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Standard [CURRENT]

ASTM E 1903:2019

Standard Practice for Environmental Site Assessments: Phase II Environmental Site Assessment Process

Publication date
2019
Original language
English
Pages
22

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Publication date
2019
Original language
English
Pages
22
DOI
https://dx.doi.org/10.1520/E1903-19

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Short description
1.1 This practice 2 covers a process for conducting a Phase II environmental site assessment ( ESA ) of a parcel of property with respect to the presence or the likely presence of substances including but not limited to those within the scope of the Comprehensive Environmental Response, Compensation and Liability Act ( CERCLA ) (e. g., hazardous substances ), pollutants, contaminants, petroleum and petroleum products , and controlled substances and constituents thereof. It specifies procedures based on the scientific method to characterize property conditions in an objective, representative, reproducible, and defensible manner. To promote clarity in defining Phase II ESA objectives and transparency in communicating and interpreting Phase II ESA results, this practice specifies adherence to requirements for documenting the scope of assessment and constraints on the conduct of the assessment process. 1.1.1 A user's interest in the presence or likely presence of substances in environmental media at a property may arise in a wide variety of legal, regulatory, and commercial contexts, and may involve diverse objectives including those listed in 1.2 . This practice contemplates that the user and the Phase II Assessor will consult to define the scope and objectives of investigation in light of relevant factors, including without limitation the substances released or possibly released at the property , the nature of the concerns presented by their presence or likely presence , the behavior , fate and transport characteristics of substances released or possibly released, the portion of the property to be investigated, the information already available, the degree of confidence needed or desired in the results, the degree of investigatory sampling and chemical testing needed to achieve such confidence, and any applicable time and resource constraints. This practice requires that Phase II activities be conducted so that the resulting scope of work is performed, and the stated objectives are achieved, in a scientifically sound manner. 1.1.2 A Phase II ESA in accordance with this practice may be conducted after site assessment activities in accordance with Practice E1527 for Phase I Environmental Site Assessments: Phase I Environmental Site Assessment Process , Practice E2247 for Environmental Site Assessments: Phase I Environmental Site Assessment for Forestland or Rural Property , EPA 's All Appropriate Inquiries ( AAI ) Rule, 40 C.F.R. Part 312, or Practice E1528 for Limited Environmental Due Diligence: Transaction Screen Process . In defining the scope and purposes of a Phase II ESA , however, previous decisions to classify property conditions or areas as RECs , or to refrain from doing so, are not determinative as to whether investigation of the same conditions or areas is appropriate to meet the objectives of the Phase II ESA . 1.2 Objectives- This practice is intended for use where a user desires to obtain sound, scientifically valid data concerning actual property conditions, whether or not such data relate to property conditions previously identified as RECs or data gaps in Phase I ESAs . Without attempting to define all such situations, this practice contemplates that users may seek such data to inform their evaluations, conclusions, and choices of action in connection with objectives that may include, without limitation, one or more of the following: 1.2.1 Objective 1- Assess whether there has been a release of hazardous substances within the meaning of CERCLA , for purposes including landowner liability protections (i.e., innocent landowner , bona fide prospective purchaser , and contiguous property owner ). 1.2.2 Objective 2- Provide information relevant to identifying, defining or implementing landowner " continuing obligations ," or the criteria established under CERCLA (e. g., exercising appropriate care by taking reasonable steps to prevent or limit exposures to previously released hazardous substances ) for maintaining the CERCLA landowner liability protections . 1.2.3 Objective 3- Develop threshold knowledge of the presence of substances on properties within the scope of the CERCLA definition of a "brownfield site" and as required for qualifying for brownfields remediation grants from the EPA Brownfields Program. 1.2.4 Objective 4- Provide information relevant to identifying, defining and evaluating property conditions associated with target analytes that may pose risk to human health or the environment, or risk of bodily injury to persons on the property and thereby give rise to potential liability in tort. 1.2.5 Objective 5- Provide information relevant to evaluating and allocating business environmental risk in transactional and contractual contexts, including transferring, financing and insuring properties, and due diligence relating thereto. 1.2.6 Objective 6- Provide information to support disclosure of liabilities and contingent liabilities in financial statements and securities reporting. 1.2.7 Additional information concerning these six objectives may be found in the Legal Appendix, Appendix X1 . 1.3 Scope of Assessment in Relation to Objectives- The scope of a Phase II ESA is related to the objectives of the investigation. Both scope and objectives may require ongoing evaluation and refinement as the assessment progresses. 1.3.1 In developing the scope of work and in evaluating data and information concerning the property, the Phase II Assessor must determine whether the available information is sufficient to meet the objectives of the investigation. Even after conducting Phase II activities to generate additional data, the Phase II Assessor must independently evaluate the sufficiency of the data in relation to the objectives. As the investigation progresses, the objectives may be refined or redefined in consultation between the user and the Phase II Assessor . 1.3.2 A single round of sampling and chemical testing may not always provide data sufficient to meet the chosen objectives. If not, this practice contemplates additional sampling in an iterative sequence that concludes when the available data are sufficient. This practice also acknowledges, however, that the user may instead elect either to redefine the objectives so that they can be met with the data available, or to terminate the investigative process without meeting the stated objectives. The Phase II Assessment report must disclose any respect in which available data are insufficient to meet objectives. ...
ICS
13.020.30
DOI
https://dx.doi.org/10.1520/E1903-19
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