Advanced Search

Regulation on the collection of data on the inclusion of air transport and other activities in the emissions trading scheme

Original Language Title: Verordnung über die Erhebung von Daten zur Einbeziehung des Luftverkehrs sowie weiterer Tätigkeiten in den Emissionshandel

Subscribe to a Global-Regulation Premium Membership Today!

Key Benefits:

Subscribe Now for only USD$40 per month.

Regulation on the collection of data on the inclusion of air traffic and other activities in emissions trading (data collection regulation 2020-DEV 2020)

Unofficial table of contents

DEV 2020

Date of completion: 22.07.2009

Full quote:

" Data collection regulation 2020 of 22 July 2009 (BGBl. 2118), as defined by Article 106 of the Regulation of 31 August 2015 (BGBl. I p. 1474).

Status: Last amended by Art. 2 sec. 21 G v. 22.12.2011 I 3044
Note: Amendment by Art. 106 V v. 31.8.2015 I 1474 (No 35) in a textual, documentary form not yet concludedly edited

For more details, please refer to the menu under Notes
*)
This Regulation shall be used for the implementation of Directive 2003 /87/EC of the European Parliament and of the Council of 13 June 2003 on the implementation of October 2003, establishing a scheme for greenhouse gas emission allowance trading within the Community and amending Council Directive 96 /61/EC (OJ L 327, 30.12.1996, p. 32), as last amended by Directive 2009 /29/EC (OJ L 284, 31.10.2009, p. OJ L 140, 5.6.2009, p.63).

Footnote

(+ + + Text proof: 25.7.2009 + + +) 
(+ + + Official note from the norm-provider on EC law:
Implementation of the
ERL 87/2003 (CELEX Nr: 32003L0087) + + +)

Unofficial table of contents

Input formula

Pursuant to Article 27 (2), (3) and (6), second sentence, of the Greenhouse Gas Emissions Trading Act (GHG), which is defined by Article 1 (4) of the Law of 16 July 2009 (BGBl. I p. 1954), the Federal Government is responsible for:

Section 1
General provisions

Unofficial table of contents

§ 1 Scope

This Regulation shall apply to activities within the scope of application of Annex I to Directive 2003 /87/EC of the European Parliament and of the Council of 13 June 2003 on the application of the Directive. October 2003, establishing a scheme for greenhouse gas emission allowance trading within the Community and amending Council Directive 96 /61/EC (OJ L 327, 30.12.1996, p. 32), as last amended by Directive 2009 /29/EC (OJ L 284, 31.10.2009, p. 63), in so far as these activities are not listed in Annex 1 of the greenhouse gas emissions trading act of 8 July 2004 (BGBl. I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. 2) This Regulation shall apply, by way of derogation from paragraph 1, to flights departing from an airport or at an aerodrome situated in the territory of a Member State of the European Union, to which the Treaty establishing the European Community applies, and which shall be carried out by aircraft operators, which shall:
1.
by the second half-sentence of Section 27 (3), second sentence, of the Greenhouse Gas Emissions Trading Act of 8 July 2004 (BGBl. I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. 1163), the Bundesanzeiger (Federal Gazette) has been notified to the Commission in accordance with Article 18a (3) of Directive 2003 /87/EC of the Federal Republic of Germany as the competent administrative Member State; or
2.
not be assigned on this list to an administrative Member State, provided that they have a valid German operating licence within the meaning of Article 3 of Regulation (EC) No 1008/2008 of the European Parliament and of the Council of 24 September 2008 on common rules for the operation of air services in the Community (OJ L 196, 27.7.2005, p 3) and do not only carry out privileged flights to Appendix 1.
Where an aircraft operator is assigned, in accordance with the first subparagraph of point 1 of the Federal Republic of Germany, as the competent administrative Member State, in accordance with the list of the Commission referred to in Article 18a (3) of Directive 2003 /87/EC, as amended by Regulation (EC) No 748/2009 (OJ L 327, 1), as amended by Regulation (EU) No 82/2010 (OJ L 327, 22.12.2010, p. 12), and whereas a new version of Regulation (EC) No 748/2009 assigns such aircraft operator to another administrative Member State, this Regulation shall continue to apply to it until the date of the entry into force of the Regulation (EC) No 748/2009, until the date of the entry into force of the Regulation (EC) No 748/2009. he has fulfilled his obligations under § 4 concerning emissions of the year 2010 and his obligations pursuant to § 5. Unofficial table of contents

§ 2 Definitions

(1) The following definitions shall apply to this Regulation:
1.
Commissioning: the first-time recording of the regular operation after the completion of the trial operation;
2.
Capacity: the actual and legally maximum possible production volume per year;
3.
Aircraft operator: a natural or legal person who operates an aircraft at the time when an air transport activity is carried out or, if the identity of that person is unknown or not by the aircraft owner shall be the owner of the aircraft;
4.
Air transport activities: flights falling within the scope of this Regulation;
5.
Monitoring guidelines: Commission Decision 2007 /589/EC of 18 July 2007 laying down guidelines for the monitoring and reporting of greenhouse gas emissions within the meaning of Directive 2003 /87/EC of the European Parliament and the Council (monitoring guidelines) (OJ C 139, 30.4.2004 1), which was last amended by Decision 2009 /399/EC (OJ L 327, 28.11.2009, p. 10) has been amended;
6.
Test operation: the temporary operation of an installation to check its operational capacity in accordance with the scheduled date of the commissioning;
7.
Quantity of production: the quantity of product units produced per year in an installation, in relation to the annual net sales of products sold;
8.
Monitoring plan: a monitoring plan in accordance with Section 4.3 of Annex I to the Monitoring Guidelines;
9.
Responsible for another activity: a natural or legal person who has direct decision-making authority over a further activity while carrying out the economic risks of the activity; in the case of installations in need of approval in the sense of Section 4 (1) sentence 3 of the Federal Immission Control Act, the person responsible for a further activity of the operator of the plant is responsible;
10.
Other activities: activity within the meaning of Annex I to Directive 2003 /87/EC in fixed installations, insofar as the activity is not or not to this extent in Annex 1 of the greenhouse gas emissions trading act of 8 July 2004 (BGBl. I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. 1163) has been amended and is not an aviation activity.
(2) The definitions in Section 2 (1) to (5) of Annex I to the Monitoring Guidelines shall also apply. Unofficial table of contents

§ 3 General requirements for the identification of data and their reporting

(1) Aircraft operators and those responsible for any further activity shall be obliged to identify and communicate data and information in accordance with the provisions of this Regulation. In so far as the provisions of this Regulation do not contain derogations, the data shall be determined and reported in accordance with the requirements of the monitoring guidelines. (2) Where information is provided for the performance of calculations or The aircraft operator and the person responsible for another activity shall be obliged to explain the calculation and measurement method used and to show the derivation of the information in a comprehensible way. The individual documents on which they are based shall be submitted without delay at the request of the competent authority.

Section 2
Reporting obligations for aircraft operators

Unofficial table of contents

§ 4 Identification of emission data, reporting and compilation of the monitoring plan

The aircraft operator shall have a monitoring plan for the monitoring and reporting of the carbon dioxide emissions caused by its aviation activities as from 1 January 2010, on which it has to report in accordance with paragraph 5, in accordance with Annex I, and XIV to the monitoring guidelines and to submit them to the competent authority for approval. Where the list referred to in Article 1 (2) (1) is published in the Federal Gazette by 25 July 2009, the latest date for the submission of the monitoring plan referred to in Annex XIV, Section 6 (1), is the monitoring guidelines for the 31. (2) The aircraft operator shall submit an application in accordance with Article 6 (1) of this Directive up to the relevant date referred to in the second sentence of paragraph 1, and shall be submitted to the Commission for the period of six weeks after the date of publication of the list. if this request is rejected, the time limit for the submission of the monitoring plan shall be six (3) If the aircraft operator has not submitted a monitoring plan until the relevant date referred to in the second sentence of paragraph 1, and has not submitted an application in accordance with Article 6 (1), the aircraft operator shall be obliged to: The monitoring plan shall be submitted within a period to be determined by the competent authority. Where additional information is required by the competent authority for the examination of the monitoring plan submitted, the aircraft operator shall, at the request of the competent authority, be required to provide such information within a competent authority the period to be determined. Where a monitoring plan does not comply with the requirements of this Regulation, the aircraft operator shall be obliged to remedy the deficiencies identified within a time limit to be determined by the competent authority and to establish a monitoring plan (4) In so far as an aircraft operator is not responsible for an aviation activity until after 25 July 2009 or is no longer exempted from Article 6 of this Regulation, it shall be obliged to comply with the monitoring plan referred to in paragraph 1 1 sentence 1 shall be submitted immediately to the competent authority. (5) The aircraft operator shall, as from 1 January 2010, have the carbon dioxide emissions caused by its aviation activities in the calendar years 2010 and 2011 in accordance with Annexes I and XIV to the monitoring guidelines. on the basis of an approved monitoring plan for each of the two calendar years, and to report on emissions by 31 March of the following year to the competent authority. The obligation set out in the first sentence does not include the emissions of privileged flights to Appendix 1. (6) If an aircraft operator does not fall within the scope of this Regulation until after 25 July 2009, the investigative and The reporting requirements referred to in paragraph 5 shall apply to the entire calendar year in which this event occurs. (7) The monitoring guidelines shall be amended after 25 July 2009 and the Commission shall designate a monitoring plan for the purpose of submitting the monitoring plan. later than the date referred to in the second sentence of paragraph 1, that date shall be the date referred to in paragraph 1. Sentence 2 shall apply. To the extent that the monitoring guidelines are amended after 25 July 2009 and those changes relate to the determination of the emissions referred to in the first sentence of paragraph 1 and the first sentence of paragraph 5, the aircraft operator shall, in accordance with the amended version, The monitoring guidelines should be drawn up and reported and reported on the monitoring plan. The Federal Ministry for the Environment, Nature Conservation, Building and Nuclear Safety announcates the changes made in the Federal Gazette of the Federal Gazette (Bundesanzeiger), which are significant for the aircraft operator. Unofficial table of contents

§ 5 Determination of the flight route and payload, reporting and preparation of the monitoring plan

The aircraft operator shall have the air transport activity, as far as it does not fall under the privileged flights of Appendix 1, in the calendar year 2010, and the payload transported this year, in accordance with the Annexes I and XV to the monitoring guidelines and to report on them to the competent authority by 31 March 2011. Where additional information is required by the competent authority for the purpose of examining the report referred to in the first sentence, the aircraft operator shall, at the request of the competent authority, be required to make such information within a (2) For the purpose of the identification and reporting referred to in the first sentence of paragraph 1, the aircraft operator shall draw up a monitoring plan in accordance with Annex I and XV of the monitoring guidelines and shall, for the purposes of the competent authority, for approval . Where the list referred to in Article 1 (2) (1) is published in the Federal Gazette by 25 July 2009, the latest date for the submission of the monitoring plan referred to in Annex XV, Section 3, paragraph 2, shall be the monitoring guidelines for the 31. (3) § 4 (2) to (4) and (6) shall apply accordingly. (3) In accordance with Article 4 (7), the amendments to the monitoring guidelines shall apply to the date of the decision referred to in the second sentence of paragraph 2 and to the distance travelled and the payload being transported. (4) The duties shall be paragraphs 1 and 2 shall be deleted if the aircraft operator is in an irrevocable, written declaration to the competent authority in respect of its future entitlement to free allocation of allowances for the 2012 allocation period and for the 2013 allocation period until 2020. Unofficial table of contents

§ 6 Liberation for listed aircraft operators with privileged flights

At the request of an aircraft operator assigned by the Commission's list in accordance with Article 18a (3) of Directive 2003 /87/EC of the Federal Republic of Germany as the competent administrative Member State, the competent authority shall exempt: these aircraft operators shall be subject to the obligations laid down in § § 4 and 5, provided that:
1.
the aircraft operator carried out only privileged flights in accordance with Appendix 1 in the calendar year 2008, or
2.
It is to be expected that in the calendar years 2010 or 2011 the aircraft operator will carry out only privileged flights in accordance with Appendix 1; the exemption shall apply to the calendar year for which it is expected that the aircraft operator shall be required to: is fulfilled.
(2) In the case referred to in point (2) of paragraph 1, the applicant shall indicate the changes to the level or type of air transport activity carried out so far, on the basis of which it is to be expected that he shall be subject only to privileged flights to Appendix 1 (3) The exemption shall be waived if, in a calendar year for which the exemption was granted, the aircraft operator also carries out flights which are not privileged in accordance with Annex 1. In this case, the investigative and reporting obligations in accordance with § 4 (5) and § 5 (1) sentence 1 relate to the entire calendar year in which the waiver according to the first sentence of the first sentence is obtained.

Section 3
Participation obligations for those responsible for further activities

Unofficial table of contents

Section 7 Identification and communication of data

(1) The person responsible for a further activity shall identify the annual emissions caused by his activity in the calendar years 2005 to 2008 and shall communicate to the competent authority by 31 March 2010. When a new plant is put into service in the period 2005 to 2008, the obligation under sentence 1 shall apply from the date of entry into service. (2) The obligation to provide information and to provide notification relates to the respective further activity on those Greenhouse gases listed in column 2 of the table in Annex I to Directive 2003 /87/EC. (3) In the case of a further activity, emissions arising from incineration are to be determined and reported in accordance with Annex II of the monitoring guidelines. In the case of those other activities in respect of which Annexes III to XI and XIII of the Monitoring Guidelines or this Regulation provide for action in accordance with Articles 8 and 9 of this Regulation, those provisions shall be laid down in addition to the general provisions of the Annex I to the monitoring guidelines for the identification and communication of emissions. For those other activities in respect of which the monitoring guidelines in the Annexes or this Regulation do not provide for any activity-specific arrangements, the general rules set out in Annex I to the monitoring guidelines shall be adopted in the case of: To base the identification and communication of emissions. Annex 2, Part I, point 2, of the greenhouse gas emissions trading act of 8 July 2004 (BGBl. I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. (4) Where no activity-specific requirements are laid down in the monitoring guidelines or in this Regulation, or where the person responsible for the further activity is determined to do so, the following shall be: The data is to be determined and reported with the highest attainable degree of accuracy and completeness in the individual case. In this case, the person responsible for the further activity shall state on what basis the information is based and what degree of accuracy has been achieved in this respect. (5) The person responsible for further activity shall be obliged to: to specify the following data:
1.
the name of the further activity;
2.
a textual description of the installation to be monitored, the activities carried out there and the products produced in the installation, as far as it exists;
3.
the capacity of the facility for the relevant survey period;
4.
the date of entry into service of the installation;
5.
the total heat output, broken down by each unit of the installation, to the extent that the activity in Annex I to Directive 2003 /87/EC indicates a threshold value as a thermal input;
6.
the classification of further activity in accordance with the numbering applicable to the installation in the Annex to the Regulation on installations in need of approval, and in the case of a different numbering in the authorisation for immission protection, including those;
7.
the NACE code to which the further activity is to be attributed, in accordance with Annex I to Regulation (EC) No 1893/2006 of the European Parliament and of the Council of 20 December 2006 establishing the statistical classification of economic activities NACE Revision 2 and amending Council Regulation (EEC) No 3037/90 as well as certain EC Regulations on certain statistical domains (OJ L 136, 31.7.1990, p. No. OJ L 393, 30.12.2006, p.1);
8.
the data referred to in the monitoring guidelines referred to in Annex I, section 8, with the exception of the paragraphs before point 1, and section 14, and
9.
in the case of the transmission of dome gases, synthesis gases or greenhouse gases to other installations, information on the quantity and installations to which these gases have been transmitted; in the case of secondary coupling gases, synthesis gases or gases which have been passed on, Greenhouse gases are the information on the quantity and origin of the gases.
Unofficial table of contents

Section 8 Special requirements for the identification and notification of perfluorinated hydrocarbons (PFC)

(1) Among the perfluorinated hydrocarbons, tetrafluoromethane and hexafluorethan are to be determined in accordance with Appendix 2 and the emission levels for each year of the calendar years 2005 to 2008 must be reported. The emission levels of tetrafluoromethane and hexafluorethan are to be specified separately. In this case, the emission quantity of hexafluoroethane can be determined by calculation from the emission quantity of tetrafluoromethane. The notification of tetrafluoromethane and hexafluoroethane does not include conversion into carbon dioxide equivalents. (2) The person responsible for a further activity shall be obliged to provide the following data in addition to the data in accordance with § 7:
1.
the annual production quantity of aluminium per cell type;
2.
the indication of the cell types;
3.
the coefficients of slope determined for each plant cell type-specific and the date of the determination in the case of the detection according to Formula 2 in accordance with Appendix 2;
4.
the duration of the anode effect in the case of detection according to Formula 2 in accordance with Appendix 2; the method of detecting the duration of the anode effect shall be described;
5.
the overvoltage coefficients as well as the date of the determination in the case of detection according to Formula 3 in accordance with Appendix 2;
6.
the values of the anode effect over-voltage in the case of detection according to Formula 3 in accordance with Appendix 2; the method of detection of the overvoltage shall be described;
7.
the efficiency of the aluminium production in the case of recording according to Formula 3 in accordance with Appendix 2; the method of recording the efficiency of the electricity must be described;
8.
the weighting factors used in determining the amount of emissions of hexafluorethan according to formula 5.
Unofficial table of contents

§ 9 Special requirements for the identification and notification of nitrous oxide (N2O)

(1) The determination and notification of nitrous oxide shall apply to the minimum level of accuracy level 2 of Annex XIII, Section 2.2. of the Monitoring Guidelines. According to § 10 (1) and (2) of the allocation regulation 2012, the data necessary for the determination of the emission quantities shall be applicable. (2) The person responsible for the further activity shall be obliged to do so in addition to the data. in accordance with Article 7, the data referred to in Annex XIII (9) (a) to (g) of the Monitoring Guidelines. (3) Data on nitrous oxide in accordance with Annex XIII, Section 2.6. or Section 6.3. of the Monitoring Guidelines shall be identified and communicated, the person responsible for the further activity shall be responsible for the basis on which the determination is based on and what degree of accuracy has been achieved.

Section 4
Procedure

Unofficial table of contents

§ 10 Electronic Communications

The competent authority may require aircraft operators and persons responsible for further activity to use the electronic form templates provided on the website of the competent authority, and to: to submit completed form templates in electronic form. It shall disclose orders in accordance with sentence 1 at least one month before the expiry of the specified transmission period in the Federal Gazette. Unofficial table of contents

§ 11 Examination

(1) The reports in accordance with § § 4 and 5 as well as the data notifications in accordance with § § 7 to 9 must be examined prior to their submission by an expert body announced by the competent authority. The requirements set out in Annex V to Directive 2003 /87/EC shall apply accordingly. (2) During the examination of the data communications of persons responsible for further activity in installations with carbon dioxide emissions of less than 25 000 tonnes per year in the calendar years 2005 to 2008, the competent authority may refuse to visit the facility on site. (3) The competent authority shall make the expert bodies according to the provisions of § 5 (3) sentence 2 to 9 of the Greenhouse gas emission trading law of 8 July 2004 (BGBl. I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. 1163) has been amended.

Section 5
Penalties and entry into force

Unofficial table of contents

§ 12 Administrative Offences

Contrary to Article 19 (1) (4) of the Greenhouse Gas Emissions Trading Act of 8 July 2004 (BGBl). I p. 1578), most recently by Article 9 of the Law of 11 August 2010 (BGBl. 1163), shall be the person who intentionally or negligently
1.
contrary to the first sentence of Article 4 (3), including in conjunction with the second sentence of paragraph 4, a monitoring plan shall not be submitted in good time or shall not be submitted in time
2.
, contrary to the second sentence of Article 4 (3), including in conjunction with the second sentence of paragraph 4, an indication not, not correct, not complete or not provided in good time,
3.
the first sentence of Article 4 (5) of the competent authority shall not be reported or reported in due time;
4.
, contrary to Article 5 (1) sentence 2, an indication is not transmitted correctly or not fully, or
5.
Contrary to § 7 (1) sentence 1 in conjunction with Section 7 (5), § 8 (2) or § 9 (2), a communication does not make it correct, not complete or does not make it in good time.
Unofficial table of contents

Section 13 Competent authority

The competent authority within the meaning of this Regulation shall be the Federal Environment Agency. Unofficial table of contents

Section 14 Entry into force

This Regulation shall enter into force on the day following the date of delivery. Unofficial table of contents

Appendix 1 (to § 1 (2) (2), § 4 (5) sentence 2, § 5 (1) sentence 1 and § 6)
Privileged Flights

(Fundstelle BGBl. I 2009, 2123)
1.
Flights carried out exclusively to carry the following persons in an official mission:
a)
monarchs and monarchs and their immediate family members,
b)
Heads of state, heads of state, government ministers and government ministers and government ministers
of a non-Member State of the European Union, to the extent that this is indicated by an appropriate status indicator in the flight plan;
2.
military flights in military aircraft as well as customs and police flights;
3.
Flights in connection with search and rescue operations, fire-fighting flights, humanitarian flights and ambulance flights in medical emergencies, to the extent that the competent authority has been approved;
4.
Flights carried out exclusively by visual flight rules within the meaning of Articles 28 and 31 to 34 of the Air Traffic Order;
5.
Flights in which the aircraft shall return to the home airfield without an intermediate landing;
6.
Exercise flights carried out solely for the purpose of acquiring a pilot certificate or a licence for the crew, provided that this is indicated in the flight plan; these flights may not be used for the carriage of passengers or freight or to the the positioning or transfer of aircraft;
7.
flights solely for scientific research or for the control, testing or approval of aircraft or equipment, whether they are on board or ground equipment;
8.
Flights from aircraft with a maximum starting mass of less than 5,700 kilograms;
9.
Flights within the framework of public service obligations under the conditions laid down in Article 16 of Regulation (EC) No 1008/2008 on routes within the outermost regions within the meaning of Article 299 (2) of the Treaty establishing the European Community Community or on routes with a maximum capacity of 30 000 seats per year, and
10.
Flights in accordance with Article 1 (2) which are not already covered by points 1 to 9 and are carried out by an aircraft operator who, in respect of charges, shall provide scheduled or scheduled air services to the public in respect of which he is a passenger; Freight or mail (commercial aircraft operator), provided that the operator is either
a)
carry out less than 243 such flights in each of three consecutive four-month periods, or
b)
the total annual emissions of such flights by this aircraft operator shall be less than 10 000 tonnes;
this privilege shall not apply to flights exclusively for the carriage of ruling monarchs and monarchs and their immediate family members, as well as of State and Heads of State, Government Heads of Government and Government; and Ministers of a Member State of the European Union, which are members of the Government, in the performance of their duties.
Unofficial table of contents

Appendix 2 (for the first sentence of Article 8 (1) and (2) (3) to (8))
Identification and reporting of perfluorocarbons (PFC)

(Fundstelle BGBl. I 2009, 2124-2125) Part 1 Determination of the emissions of tetrafluoromethane (CF4)
1.
The total emissions of tetrafluoromethane are to be determined according to formula 1. In this case, the emission amounts ECF4, i determined for each plant cell-type-specifically determined are to be determined as a function of the process control either according to formula 2 or according to formula 3. Section 10 (1) and (2) of the 2012 Dispatch Regulation applies accordingly to the quantities of production in tonnes of aluminium required for the purposes of determining the quantities of emissions.
2.
If, in a year under review, a coefficient of slope for a type of cell with a maximum inaccuracy of 15 per cent was determined in accordance with a recognised measurement procedure, this coefficient of slope in formula 2 shall be for the reference year in question and to use the cell type. Unless such an investigation took place in each year from 2005 to 2008, a slope coefficient for one type of cell may be estimated from another reference year, provided that it has a maximum inaccuracy of 15 per cent. before. If, in the case of a determination according to the first and second sentences, the inaccuracy of a determined slope coefficient is higher than 15 per cent, or if, in no year from 2005 to 2008, a coefficient of slope shall not exceed a coefficient of slope in accordance with a recognised measurement procedure for for the year 2009, a slope coefficient shall be determined in accordance with a recognised measurement procedure for each cell type and shall be applied to all years of data communication. If the inaccuracy of 15% is exceeded in 2009 as a result of operational interruptions, process disruptions or for other technical reasons in the determination of a slope coefficient, the respective standard factor is from the Table in Part 3. The application of a standard factor shall be justified.
3.
For the overvoltage coefficients to be applied in formula 3, the requirements set out in point 2 shall apply accordingly.
Part 2Determination of the emissions of hexafluorethan (C2F6)
1.
The total emissions of hexafluorethan are to be determined according to formula 4. In this case, the cell-type-related emission amounts of C2F6 are to be determined on the basis of formula 5.
2.
For the weighting factor, the default factors from column 4 of the table in Part 3 can be used. In the case of a measurement, the requirements set out in Part 1, point 2 shall apply accordingly.
Part 3Formulas and TabelleFormula 1 (Total emissions of CF4) EMISCF4 = isons i ECF4, i
with I Index for the cell type
EMISCF4 Total amount of CF4 in kg CF4
ECF4, i Emission quantity of CF4 in kg CF4 per cell type i
Formula 2 (emission levels of CF4 per cell type over the duration of the anode effects) ECF4, i = SCF4, i * AEMi * MPi
with ECF4, i Emission quantity CF4 for cell type i in kg CF4
SCF4, i Pitch coefficient for cell type i in (kg CF4/tonne Al)/(AE-min/cell day)
AEMi Duration of the anode effect for cell type i per cell day in AE-min/cell day
MPi Quantity of production in tonnes of Al for cell type i
Formula 3 (emission levels of CF4 per cell type over the height of the overvoltage effects) ECF4, i = OVCi * AEOi * MPi/CEi * 100%
with ECF4, i Emission quantity CF4 for cell type i in kg CF4
OVCi Overvoltage coefficient for cell type i in (kg CF4/ton Al)/mV
AEOi Anode effect-overvoltage of cell type i in mV
CEi Power efficiency per cell type of aluminium production in percent (e.g. B. 95%)
MPi Quantity of production in tonnes of Al for cell type i
Formula 4 (Calculation of total emissions from C2F6) EMISC2F6 = ced by ECU i EC2F6, i
with I Index for the cell type
EMISC2F6 Total emission quantity of C2F6 in kg C2F6
EC2F6, i Emission quantity of C2F6 per cell type i
Formula 5 (Calculation of emission levels of C2F6 per cell type) EC2F6, i = ECF4, i * FC2F6/CF4, i
with EC2F6, i Emission quantity C2F6 for cell type i measured in kg C2F6
ECF4, i Emission quantity CF4 for cell type i measured in kg CF4
FC2F6/CF4, i Weighting factor indicating the ratio of EC2F6 to ECF4 in kg C2F6/kg CF4 for cell type i


Table








Cell type default factor Slope Coefficient (SCF4, i) Default factor Overvoltage Coefficient (OVCi) Default Factor Weight factor (FC2F6/CF4,i)
Mid-range oven with pre-fired anodes 0.143 1.16 0.121
Side-covered oven with pre-fired anodes 0.272 3.65 0.252
Søderberg-Cell with vertical anode arrangement 0.092 n.a. 1) 0.053
Søderberg-cell with horizontal anode arrangement 0.099 n.a. 1) 0.085
1)
n.r. = not relevant