(a) General requirements. An operator must take additional measures beyond those already required by this Part to prevent a pipeline failure and to mitigate the consequences of a pipeline failure in a high consequence area. An operator must base the additional measures on the threats the operator has identified to each pipeline segment. (See section 255.917 of this Part.) An operator must conduct, in accordance with one of the risk assessment approaches in ASME/ANSI B31.8S (as described in section 10.3 of this Title), section 5, a risk analysis of its pipeline to identify additional measures to protect the high consequence area and enhance public safety. Such additional measures include, but are not limited to, installing Automatic Shut-off Valves or Remote Control Valves, installing computerized monitoring and leak detection systems, replacing pipe segments with pipe of heavier wall thickness, providing additional training to personnel on response procedures, conducting drills with local emergency responders and implementing additional inspection and maintenance programs.
(b) Third party damage and outside force damage.
(1) Third party damage. An operator must enhance its damage prevention program, as required under section 255.614 of this part, with respect to a covered segment to prevent and minimize the consequences of a release due to third party damage. Enhanced measures to an existing damage prevention program include, at a minimum:
(i) Using qualified personnel (see Section 255.915 of this Part) for work an operator is conducting that could adversely affect the integrity of a covered segment, such as marking, locating, and direct supervision of known excavation work.
(ii) Collecting in a central database information that is location specific on excavation damage that occurs in covered and non covered segments in the transmission system and the root cause analysis to support identification of targeted additional preventative and mitigative measures in the high consequence areas. This information must include recognized damage that is not required to be reported as an incident under Sections 255.801(a) and 255.831 of this Part.
(iii) Participating in one-call systems in locations where covered segments are present.
(iv) Monitoring of excavations conducted on covered pipeline segments by pipeline personnel. If an operator finds physical evidence of encroachment involving excavation that the operator did not monitor near a covered segment, an operator must either excavate the area near the encroachment or conduct an above ground survey using methods defined in NACE RP0502 (as described in section 10.3 of this Title). An operator must excavate, and remediate, in accordance with ANSI/ ASME B31.8S and section 255.933 of this Part any indication of coating holidays or discontinuity warranting direct examination.
(2) Outside force damage. If an operator determines that outside force (e.g., earth movement, loading, longitudinal, or lateral forces, seismicity of the area, floods, unstable suspension bridge) is a threat to the integrity of a covered segment, the operator must take measures to minimize the consequences to the covered segment from outside force damage. These measures include, but are not limited to, increasing the frequency of aerial, foot or other methods of patrols, adding external protection, reducing external stress, relocating the line, or inline inspections with geospatial and deformation tools.
(c) Risk analysis for gas releases and protection against ruptures. If an operator determines, based on a risk analysis, that a rupture-mitigation valve (RMV) or alternative equivalent technology would be an efficient means of adding protection to a high consequence area (HCA) in the event of a gas release, an operator must install the RMV or alternative equivalent technology. In making that determination, an operator must, at least, evaluate the following factors – timing of leak detection and pipe shutdown capabilities, the type of gas being transported, operating pressure, the rate of potential release, pipeline profile, the potential for ignition, and location of nearest response personnel. An RMV or alternative equivalent technology installed under this subdivision must meet all of the other applicable requirements in this part.
(d) Pipelines operating below 30 percent SMYS. An operator of a transmission pipeline operating below 30 percent SMYS located in a high consequence area must follow the requirements in Paragraphs (1) and (2) of this Subdivision. An operator of a transmission pipeline operating below 30 percent SMYS located in a class 3 or class 4 area but not in a high consequence area must follow the requirements in Paragraphs (1), (2) and (3) of this Dubdivision.
(1) Apply the requirements in Subparagraphs (b)(1)(i) and (iii) of this Section to the pipeline.
(2) Either monitor excavations near the pipeline, or conduct patrols as required by Section 255.705 of this Part of the pipeline at bi-monthly intervals. If an operator finds any indication of unreported construction activity, the operator must conduct a follow up investigation to determine if mechanical damage has occurred.
(3) Perform leak surveys twice each calender year at intervals not exceeding 7-1/2 months (four times each calender year at intervals not exceeding 4-1/2 months for unprotected pipelines or cathodically protected pipe where electrical surveys are impractical).
(e) Plastic transmission pipeline. An operator of a plastic transmission pipeline must apply the requirements in subparagraphs (b)(1)(i), (iii) and (iv) of this section to the covered segments of the pipeline.
(f) Periodic evaluations. Risk analyses and assessments conducted under subdivision (c) of this section must be reviewed by the operator and certified by a senior executive of the company, for operational matters that could affect rupturemitigation processes and procedures. Review and certification must occur once per calendar year, with the period between reviews not to exceed 15 months, and must also occur within 3 months of an incident or safety-related condition, as those terms are defined at 49 CFR sections 191.3 and 191.23, as described in section 10.2 of this Title, respectively.