Environmental Guidelines no. 1, 2002 Guidelines for Air Emission RegulationContentsForewordIn 1990 the Danish Environmental Protection Agency issued Guidelines No. 6/1990 on the limitation of air pollution from installations (published in English as Vejledning fra Miljøstyrelsen 9/1992: "Industrial Air Pollution Control Guidelines). The guidelines were based on observation of the various harmful effects of air pollution over many years as it became apparent that it was not sufficient simply to dilute substances harmful to the environment in the atmosphere. The 1990 guidelines have subsequently been applied in the administration of the Environmental Protection Act through environment approvals and orders. The central terms are mass flow limits, emission limit values, and contribution values (C-values). Mass-flow values and emission limit values form the basis for determining whether it is necessary to clean the air emitted. Limit values for emissions stipulate maximum concentrations after purification or abatement. The C-value is a limit value for how much each installation may contribute to air pollution. In view of the amendment to the approval scheme implementing Council Directive 96/61/EC on Integrated Pollution Prevention and Control (the IPPC Directive) into Danish legislation1, the Danish EPA has found it appropriate to revise and clarify these guidelines. The most important amendments are:
Please note that these guidelines do not include many C-values, and that those included are only examples. In future, C-values will be published in a separate set of guidelines on C-values from the Danish EPA. The Danish EPA expects to revise these guidelines every two or three years. The guidelines are not binding but are intended to offer advice to the authorities on how to process cases concerning the limitation of air pollution. The authorities should always base their actions on the guidelines when placing demands on emissions of substances from an installation. In addition to these guidelines, the following guidelines also deal with air pollution (unfortunately they are not available in English):
All these guidelines still apply. The odour guidelines regulate odour emissions from installations emitting mixtures of odorous substances where it is not possible to state the concentration in weight units of each substance. The Danish EPA hopes that these guidelines will provide a clearer and more informative tool for preparing terms and reassessments of environmental approvals and for issuing orders. These guidelines replace guidelines No. 6/1990 on limiting air pollution from installations.
1. The general principles of the Environmental Protection Act1.1 Introduction to the BAT principleThe Environmental Protection Act7 is based on the basic principle that the total pollution of the environment should be prevented or limited as far as possible. On the basis of this integrated idea, overall assessment of pollution from an installation is carried out, including air, wastewater and noise pollution. In addition, assessments should take account of the waste created by the installation, and the need to reduce consumption of natural resources and energy. The idea is that environmental problems should not be solved by transferring pollution from the air to water or soil, or vice-versa. On the basis of this principle, the Environmental Protection Act requires the individual installation to apply the best available techniques (BAT) so that its total pollution becomes as little as possible. Assessment of the best available techniques should primarily emphasise preventing pollution through the use of cleaner technology. In addition to this, unavoidable pollution should be limited as far as possible through pollution-reducing measures, including the best possible abatement technique. These principles appear in Part 1 of the Environmental Protection Act and they provide the basis for decisions by the authorities under the Act. 1.2 What are the Best Available Techniques (BAT)?The expression "best available techniques" means the most advanced activities, processes, and operating methods, and the methods most effective in preventing or limiting pollution from a given sector at the time of assessment. When installations and authorities decide what the best available techniques are for a specific sector, they do not just think of "technology" in the narrow sense of the word, but also
The technique should have been tested in Denmark or abroad at a level appropriate for the relevant sector. Furthermore, there is a requirement that the technique should be technically and financially feasible for the relevant sector. 1.3 Where can you find information on BAT?The best available techniques are under constant development. This is the whole philosophy behind the concept. When investigating the possibilities for using BAT, considerations should be based on material published by the Danish Environmental Protection Agency. This may be
The Danish Environmental Protection Agency has prepared sector-information documents (in Danish) for a number of sectors, which take as their point of departure the pollution problems of specific sectors8, as well as the opportunities for using cleaner technology at installations and for authorities in processing applications under Part 5 of the Environmental Protection Act. The Danish EPA in association with the sector has determined the form and content of the individual sector-specific information documents. A sector information document will typically contain a general description of the sector and its pollution situation, as well as a review of the technology and methods available to reduce pollution. In some cases the sector information document will contain actual recommendations according to agreements with the sector. For some sectors, final sector guidelines9 (in Danish) have been prepared. These are systematic reviews of the entire sector stating limit values, etc. which should form the basis for how the authorities process specific installations within the sector. The Danish EPA has also issued a reference list10 (in Danish) which includes information about reports on cleaner technology that can supplement the material mentioned above. The European Commission regularly issues "BAT reference documents" for installations marked with an11 (i) in the list of installations requiring an approval to operate. These documents are referred to as "BREFs" below and contain
It is important to emphasise that the BREFs do not contain emission limit values, but only emission levels. The Danish EPA will issue information on a regular basis about the application of BREFs by the approving authorities. This information should be the basis for approving and supervisory authorities when laying down requirements for reductions on air pollution from installations marked with an (i). The sections in these Guidelines for Air Emission Regulation on outlet heights, terms for self-inspection, etc. would, however, always apply, even for this type of installation. Full versions of the BREFs are published on the European IPPC Bureau website at http://eippcb.jrc.es/ A short extract (executive summary) is published by the European Commission on its website section regarding the IPPC Directive. http://europa.eu.int/comm/environment/ippc/index.htm A total of 32 BREFs are planned up to 2003. At the end of 2000, the following eight BREFs were available:
1.4 How to apply the BAT principle when processing a caseThe BAT principle should form the basis for all cases under the Environmental Protection Act, i.e. both for issuing approvals and reassessing Listed Installations, and for assessing non-Listed Installations. When requirements are set for an installation, a specific assessment must be carried out on the basis of the current information on the best available techniques for the relevant sector, taking into account the vulnerability of the surroundings. As mentioned above, emphasis should primarily be on preventing pollution by using cleaner technology, i.e. first assessments should be of whether:
After this, the extent of necessary purification or abatement measures that should be applied may be assessed, such as
Finally, the extent other measures can contribute to limiting pollution may be assessed, such as
Requirements put on installations by the environmental authorities for pollution limits on the basis of the BAT principle should not normally be set as requirements to use a specific technology, but rather as requirements corresponding to a pollution level which can be achieved only by applying the best available techniques. In principle the installation can decide how requirements are to be met. However, this does not exclude the possibility of setting up very specific requirements for layout and operation when the goal cannot be expressed by limit values. 1.4.1 Approvals for new Listed InstallationsWhen the authority issues an approval to a new installation, the authority should ensure that the installation is laid out and operated in accordance with what is considered best available techniques for the relevant type of installation. This means that, as a principle, new installations cannot use the excuse that the required technology is too expensive for the individual installation. The issue of cost has already been taken into account by deciding what the best available techniques are for the entire sector. Furthermore, an independent assessment should be carried out of whether the establishment of an installation at a specific site is consistent with the vulnerability of the surroundings. The approving authority can therefore impose particularly stringent requirements when necessary to comply with any environmental quality norms14 for the area. If it is not possible to comply with these requirements, the application will not be granted. 1.4.2 Reassessment of environmental approvals for existing Listed InstallationsReassessment15 of existing Listed Installations should aim at the long-term operation of the installation based on what is considered BAT for the relevant type of installation. Realisable and realistic time limits should be given to the installation to carry out new investment and operational changes in order to bring the installation up to modern standards. It may also be relevant to impose new requirements on the installation, if these are necessary to comply with any environmental quality norms. If there is both a cleaner-technology solution and end-of-line purification technology, both of which lead to the same environmental result, all else being equal, the cleaner technology solution should be selected. If the time horizons are not the same, for example in cases where end-of-line technology is immediately accessible while cleaner technology will take time to implement, the type and scope of the pollution may be decisive for whether to wait for the cleaner-technology solution. 1.4.3 Regulation of non-Listed InstallationsNon-Listed Installations should also be laid out and operated on the basis of best available techniques. When the authority is to assess pollution from a non-Listed Installation, see Section 42 of the Environmental Protection Act, the point of departure should be the same principles as mentioned above in sections 1.4.1 and 1.4.2.
2. Contents and application of the guidelines2.1 The contents of the guidelinesThe Guidelines for Air Emission Regulation contain a complete description of how air pollution from installations should be regulated. Central to these regulations is the use of mass flow limits, emission limit values, and contribution values (C-values). The mass flow limit determines whether it is necessary to clean the air emitted from an outlet, and the emission limit values determine the maximum concentration allowed after purification or abatement. These limits are described in Chapter 3 in these Guidelines. The Danish EPA regularly sets up new contribution values for substances. The most recent information on C-values can be found in Sector Information Document (Orientering) No. 15/1996 published by the Danish EPA (in Danish). These C-values are based on the knowledge the Danish EPA possessed about the substances in question at the time of publication. The Danish EPA will publish a new set of guidelines on C-values in August-September 2001. The Guidelines for Air Emission Regulation only include examples of C-values, and as these can be amended, the Danish EPAs Information Document and new set of guidelines on C-values should always form the basis for using the values. Chapter 4 includes calculation methods for outlet heights in order to comply with C-values. A computer-based model, the OML model, is used for these calculations. When requirements for air pollution from an installation have been determined on the basis of Chapters 3 and 4, terms should be stipulated. Chapter 5 deals with designing terms, which type of terms can be applied and how to check compliance with these terms. With regard to energy plants, the Danish EPA has chosen to prepare a separate chapter, Chapter 6, which includes a more detailed description of requirements for the different types of energy plant. Furthermore, a special chapter, Chapter 7, has been prepared on requirements for the design and operation of tanks and silos. Chapter 8 deals with measuring emissions from air-polluting installations. This chapter also establishes methods for sampling and analysis. Chapter 9 includes conversion tables for surplus air and moisture content. Chapter 10 on recommended emission limit values and inspection rules includes emission limit values, etc., for thermal and catalytic oxidation installations for the destruction of gaseous organic solvents. 2.2 How to apply the guidelinesThe Guidelines for Air Emission Regulation basically apply to all installations emitting substances to the air. However, if emission limit values for a certain type of plant, installation or sector have been determined in a Statutory Order, the limit values stipulated in this Order should be complied with, regardless of whether the Guidelines for Air Emission Regulation contain stricter or more lenient emission limit values of the substance in question. This is because, when it was issued, the Statutory Order took into account the technical and financial possibilities of lowering emissions of the relevant substances for the sector in question. If sector guidelines have been prepared, they must form the basis of the requirements for the installation in connection with issuing an approval for the installation. With regard to installations marked with an (i) and included in a BREF16, the Danish EPA will provide information on which requirements should be imposed on the installations described in the BREF. Please note that the sections on outlet height, self-inspection, terms, etc., in the Guidelines for Air Emission Regulation are general and apply to all types of installations. The Guidelines include minimum limits for emissions that require purification or abatement measures in order not to spend resources on limiting, monitoring, and controlling pollution of little significance to the environment. A few small air outlets which cannot be integrated naturally into the overall discharge from an installation may be exempt from purification or abatement requirements, provided each outlet comprises less than 10 per cent of the mass flow limit for the substance(s) in question. Diffused emissions, for example emissions from stock kept outdoors are not regulated by the guidelines. Instead, these emissions should be regulated through requirements for the operation and design of the installation. These Guidelines do not regulate diffused pollution from installations affecting the indoor climate in adjacent residential housing in the same building. The method of applying these guidelines when handling specific cases in pursuance of the Environmental Protection Act is explained in the following. 2.2.1 Application for approvals for new Listed InstallationsAs mentioned in Chapter 1, the approving authority must ensure that the establishment and operation of the installation in question is based on the BAT principle. This means that the approving authority must first assess the possibility of limiting pollution by using cleaner technology. Based on the information included in the application on the nature of substances emitted and the volume of these emissions, the approving authority will then assess whether purification or abatement measures should be implemented. Purification or abatement measures are required if the mass flow limit is exceeded and if the current emission limit values cannot be complied with. In such instances the approval should contain terms including emission limit values and the maximum volume of air. Mass-flow limits and emission limit values can be found in Chapter 3 of these Guidelines. Required outlet heights are calculated on the basis of C-values for the substances in question. The calculation method is described in more detail in Chapter 4. C-values should always be complied with under normal operating conditions. Moreover, the approving authority should set up instructions for operation in extraordinary situations, including starting up, closing down, by-pass, etc. 2.2.2 Application for expansion or changes to Listed InstallationsIf a Listed Installation intends to expand or change its operations in a way that entails increased pollution, the expansion or changes must be approved in advance17. The terms of the expansion or change as regards air pollution must be determined in accordance with the same principles as described in the above for approvals for new installations. In practice, determining the terms of an expansion or change that entails increased air pollution often causes difficulties. In particular, there has been some uncertainty as to whether requirements can only be made for the expansion or changes, or whether air pollution conditions for the entire installation should be included, when stipulating requirements. Requirements for purification or abatement and outlet heights in connection with typical extensions and changes will be explained in the following. See also the definitions in Chapter 3.1. It is a requirement that all possibilities for introducing cleaner technology have been assessed prior to the extension or change, including whether
Example 1.
Example 2.
Note that in some cases where an installation emits a new substance, it is may be required that other substances from the same substance group are included in calculation of mass flow and emission concentration. 2.2.3 Regulation of existing Listed InstallationsApplication of the Guidelines to existing Listed Installations is explained in the following. 2.2.3.1 Listed Installations without an approval Processing applications for approvals from existing Listed Installations is based on the same principles as processing applications from new installations. Depending on the scope and nature of pollution, a reasonable time limit for the implementation of any requirements for measures limiting pollution should be determined. In some cases a gradual reduction of pollution may be appropriate. 2.2.3.2 Reassessment of Listed Installations with an approval 2.2.3.2.1 Before expiry of the legal protection period Within the first eight years19 of issuing an approval, new requirements may only be made to the installations, if20
The result is that, under certain circumstances, the authorities can serve orders to installations within the first eight years following the issue of an approval. However, the publication of new guidelines, information on BREFs and sector-specific information documents, as well as stricter C-values do not in themselves give authorities the right to make new requirements within the legal protection period. This also applies to limit values, which have been tightened in these Guidelines compared to previous guidelines. Please note also that terms for self-inspection in current guidelines can be reassessed at any time with a view to improving self-inspection at the installation, even though the legal protection period22 has not yet expired. 2.2.3.2.2 After expiry of the legal protection period Regular reassessment of Listed Installations marked with an (i) The supervising authority should reassess the entire installation on a regular basis and at least once every ten years. The terms of the approval should be changed as necessary to ensure that the operation of the installation remains based on the BAT principle23. The first reassessment should take place when the legal protection period for the installations first approval expires. Note that installations must continue to limit pollution on the basis of developments in technology. Reassessment of all other Listed Installations that are not marked with an (i) Even though the Environmental Protection Act does not include an obligation to reassess approvals for Listed Installations not marked with an (i), there is clear authorisation to do so24 and existing approvals should be reassessed on a regular basis. These installations should also live up to the BAT principle. 2.2.4 Regulation of non-Listed InstallationsIf an installation not requiring an approval causes significant pollution, the authorities can order it to implement measures to relieve the pollution25. The supervising authority should provide evidence that an installation is the cause of such high levels of pollution that measures to relieve pollution must be implemented. Such pollution levels may be:
The supervising authority should collect information from the installation itself regarding
If the mass flow limit is exceeded and if the current emission limit value is not complied with, there should be a requirement that emissions are reduced so as to ensure compliance with the current emission limit value. If the C-values have been exceeded considerably, there should be requirements that they be complied with before a set date. If limitation of emissions has not been implemented for Group 1 substances as stated in Chapter 3, requirements should be made for this. Reasonable and realistic time limits should be set for implementation of possible purification or abatement measures.
3. Recommended mass flow limits, emission limit values, and C-values3.1 Terms, definitions, and explanationsThe following is a description of the various types of limit values used in these
Guidelines. Detailed explanation
3.1.1 Mass flowThe mass flow is the substance amount per time unit that would constitute the total emission of a given substance or substance class from an installation if no limitation of emissions were carried out. This means that the mass flow must be determined before the actual purification or abatement plant, but after the processing plant. The mass flow is measured as a mean value on the basis of a single working shift (7 hours). If a mass flow limit is exceeded and if the emission concentration is greater than the emission limit value, emissions should be limited so that the specified emission limit value is complied with from each outlet. No requirements regarding limitation of emissions should be made for installations that are only operated for relatively few hours per year, even if such installations exceed the mass flow limit and emission limit value.
Figure 1
3.1.2 Emission and reference conditionEmission means the emission into the atmosphere of polluting substances in solid, fluid, or gaseous form. The limit values also apply to aerosols, which are classified as dust within this context.
Figure 2 Examples of other reference conditions
Usually, the polluted air is led from the plant to the stack through a flue duct as shown in Figure 3. The emission limit values apply to the polluted air in the flue duct. Figure 3 Individual installations should not be allowed to comply with the emission limit values by means of "dilution", i.e. by using inordinately large quantities or air, e.g. through dilutions using indoor air or outlet air from other processes within the installation. 3.1.3 Ground-level concentrationThis means the presence in outdoor air of solid, liquid, or gaseous pollutants usually at a height of approximately 1.5 m above ground level. Where people live or stay in taller buildings (multi-storey homes, office buildings, factory premises, etc.), the ground-level concentration should be calculated at a height relevant to the building in question. 3.1.4 The C-valueThe total maximum approved contribution from an installation to the concentration of a pollutant in the air at ground level is the "C-value". The C-value must be complied with everywhere outside the boundaries of the installation, regardless of the quantities emitted and the location of the installation. The C-value must be compared to the results of an OML-model calculation. Such a calculation should be conducted for any outlet emitting pollutants into the air. The C-value must be complied with when taking the total emission from the installation into account, cf. chapter 4. In these OML calculations, hourly average concentrations are computed. They may not exceed the C-value for more than 1 per cent of the time, ie. for more than 7 hours during a single month.
Figure 4 The size of the C-value, measured as mg/m3 air for each substance is determined by the Danish EPA in accordance with procedures and principles for determining limit values for chemical substances. The C-values apply regardless of the background concentration. The C-value must not be confused with air quality requirements as specified in section 14 of the Danish Environmental Protection Act or in the method to measure such values. Air quality requirements are currently specified in:
Also of note in this connection are Council Directive 1999/30/EC of 22 April 1999 relating to limit values for sulphur dioxide, nitrogen dioxide and oxides of nitrogen, particulate matter and lead in ambient air, and European Parliament and Council Directive 2000/69/EC of 16 November 2000 relating to limit values for benzene and carbon monoxide in ambient air. These directives must be implemented in Denmark no later than 19 July 2001 and 13 December 2002, respectively. The Danish EPA will assist the authorities by determining C-values for substances where no C-value has previously been set. For more information, please contact the Danish EPA. The C-values stipulated are based upon the Danish EPAs knowledge of the relevant substances at the time of publication. The C-values for dust apply only to particles with a diameter of less than 10 m m. For wood dust, however, the C-value applies to all particle sizes. 3.1.5 Relationship between mass flow limits, emission limit values, and C-valuesThe mass flow is a measure of the potential pollution of an installation. 3.1.5.1.1 Mass flow is smaller than the mass flow limit If the mass flow for the relevant substance is smaller than the mass flow limit, no purification or abatement or adjustments to production in order to reduce emissions must be carried out. The emission should be determined by means of calculations, measurement, or similar. Outlets should be of such a height that the C-value can be complied with. A dispersion calculation for the outlet, using the OML model28 is then prepared to determine whether the C-value is complied with. This calculation is carried out with an emission corresponding to the emission limit value at the maximum flow rate. Where no emission limit value has been specified, the maximum hourly emission and the maximum flow rate are used instead. See also section 4.3. Example where mass flow is smaller than the mass flow limit
For small emissions where the dispersion coefficient i.e. the ratio between the emission measured in mg/sec. and the C-value in mg/m3 is smaller than 250 m3/sec., there is no need to carry out a dispersion calculation. In this case, the outlet should be at least 1 m above roof level30 and the air stream directed upwards in order to ensure compliance with the C-value, see chapter 4 on the calculation of outlet heights. 3.1.5.1.3 Mass flow is greater than the mass flow limit If the mass flow is greater than the mass flow limit for a given substance, the emission limit value must be complied with. This means that where the emission concentration is greater than the emission limit value, purification or abatement should be carried out, or production at the installation should be adjusted to achieve compliance with the emission limit value. The outlet must be established in such a manner and with sufficient height to ensure that the C-value is complied with. In order to determine whether the C-value is complied with, a dispersion calculation using the OML model must be carried out for the outlet. The emission limit value and maximum flow rate must be used in this calculation. Example where the mass flow is greater than the mass flow limit
An example where mass flow is greater than the AMS limit can be found in chapter 5. 3.1.6 Classification of types of substanceFor the purpose of these Guidelines, the pollutants are divided into two groups. These groups are in turn divided into substance groups and classes. For more detailed information on groups, substance groups, and classes, please see the C-value Guidelines. Chart illustrating this classification
3.1.7 Simultaneous emission of several substances. Average value Cr r 31 Where an installation emits several substances at the same time, it is very difficult to assess the total health impact associated with exposure to the substances in question. In principle, a combination of substances in a mixture may affect each others mode of operation and effects in the following three ways:
Re. 1. Where the substances act independently of each other, the C-values for each substance must be complied with separately. The outlet height must be determined on the basis of the substance with the greatest dispersion coefficient. Re. 2. If the substances affect each others effects and mode of operation, there is a risk that in certain mixtures, such substances may augment each others effects. However, animal tests indicate that such effects do not manifest themselves unless each substance is present in a concentration which would in itself entail effects, i.e. when a substance is present in a concentrations greater than its zero-effect concentration. In this connection, a C-value for an individual substance will typically be determined on the basis of data concerning the zero-effect concentration (animal or human test). The C-value will be set at a level equal to or lower than this zero-effect level, so that no effects are anticipated at the C-value. Compliance with the individual C-values of such substances is thus assumed to ensure that there will be no interaction between the substances, including reinforcing effects. Accordingly, the outlet height must be determined on the basis of the substance with the largest dispersion coefficient. Re. 3. Where the substances have identical effects and mode of operation, this constitutes a valid reason to total the exposure contributions for the relevant substances. In practice, C-values for substances with identical effects should be added up when:
If all three of the above points are complied with, the outlet calculation should be made on the basis of the total substance emission. This may be done by determining the resulting Cr value (Equation 1). This Cr value represents a total C-value for the mixture, calculated on the basis of the source strength and C-values of the individual substances. The procedure involving the use of a Cr value is correct when the substances are emitted from the same outlet, but it is excessively conservative if emissions come from several different outlets placed at some distance from each other, or of different heights. In such cases, an alternative method may be applied, as described in Section 4.4.2.2. Cr is determined by means of Equation 1: Equation 1
Please note that a C-value related to noxiousness, and therefore bearing an L label, cannot be converted into a health-related C-value. 3.1.8 C-value by intermittent32 operationThe C-value may be made less rigid for installations emitting Group 1 substances and sawdust or a quartz from Group 2 if the emissions from such installations are intermittent. If the intermittent operation is spread evenly throughout day and night and the annual cycle, a C-value for the intermittent operation, designated as Ci, may be used. This value is determined by means of Equation 2: Equation 2
If the operation is not evenly distributed, Equation 3 is used instead: Equation 3
If the C-value is relaxed in accordance with these regulations, the installations approved operation time must be specified in the requirements applying to the installation. 3.2 Mass flow limits and emission limit values3.2.1 IntroductionPollutants are divided into two groups (see section 3.1.6 on classification of substances). Examples of Group 1 substances are listed in table 2 and table 2a. Group 2 is divided into several substance groups. Some substance groups are divided into classes. A recommended mass flow limit and a recommended emission limit value are indicated for each substance or substance class. 3.2.2 Group 1 substancesGroup 1 includes chemical substances currently known to be especially harmful to health or the environment. Various dangerous chemical substances are assigned to Group 1 on the basis of one of the following: their toxicity, their long-term impact on human health, and/or their unacceptable impact on nature. The substances within Group 1 are divided into 2 classes (I and II) on the basis of the C-value. Chart illustrating the division into classes
Table 2 features examples of particularly dangerous substances used in large quantities in Denmark (i.e. more than 1 tonne a year). Table 2a features examples of particularly dangerous substances used in quantities smaller than 1 tonne per year in Denmark. C-values have been determined for these substances, depending on the risk class in which a given substance is included according to the provisions on labelling. Basically, very potent biologically active substances are regarded as Group 1 substances. The final classification of these substances, and their C-values is carried out by the Danish EPA on the basis of a specific assessment of the toxicological and eco-toxicological documentation available. 3.2.3 Limiting emissions, Group 1 substances3.2.3.1 Emissions of dust, Group 1 substances For emissions of dust, pre-purification or abatement should normally be carried out, using filtering processes with a relatively low filter surface load. Subsequently, the filtered air should be purified in an absolute filter with a retention degree of at least 99.97 per cent for particles of 0.3 µm. This purification or abatement technique means that emissions can be reduced to concentrations well below 0.01 mg/normal m3. Please see chapter 5 regarding the inspection of filters. 3.2.3.2 Emissions of flammable substances, Group 1 substances For emissions of flammable substances, purification or abatement should normally be carried out by means of thermal combustion or other, equally effective methods. Where necessary, this may be combined with absorption or adsorption methods. By these means, such emissions can normally be brought to concentrations less than 0.1 mg/normal m3. The installation is responsible for deciding which method to use to limit emissions. The installation should be able to choose freely among other purification or abatement methods, as long as such methods are of a quality corresponding to that of the methods specified in these Guidelines. The effectiveness of the purification or abatement methods chosen should be checked using appropriate means. See also chapter 5. 3.2.3.3 If neither absolute filtering nor combustion can be used If neither absolute filtering nor combustion can be used, the mass flow limits and emission limit values specified in table 1 should be used instead. Table 1
Some substances are, however, so unsafe that particularly low emission limit values should be used. These substances are specified in sections 3.2.3.4 3.2.3.8 below. PCB is subject to an emission limit value33 of 0.0001 mg/normal m3. Emissions of dioxins (polychlorinated dibenzodioxins and polychlorinated dibenzofuranes) should be limited as much as possible. Emission limit values of dioxins should apply to measurements carried out using the CEN measurement method and the international toxicity factors that have now been implemented in Denmark. The CEN method is the measurement method given in the EU Waste Incineration Directive. Please refer to CEN standards EN 1948-1, EN 1948-2, and EN 1948-3. 3.2.3.5.2 Incineration of non-hazardous waste Experience from waste-incineration plants shows that it is technically and financially feasible to limit emissions of dioxins to less than 0.1 ng I-TEQ/normal m3 air (11 per cent O2)34. This limit value is included in the protocol on limitation of persistent, organic compounds under the UN convention on Long-Range Transboundary Air Pollution, as well as in the new EU directive relating to waste incineration. 3.2.3.5.3 Incineration of dangerous waste The Statutory Order on incineration of hazardous waste35 sets an emission limit value for dioxins of 0.1 ng I-TEQ/normal m3(11% O2). The new EU directive on waste incineration also extends in scope to incineration of dangerous waste. 3.2.3.5.4 Industrial installations Steps should be taken to limit dioxin emissions from industrial installations if the annual mass flow of dioxins is greater than 0.01 g I-TEQ. The emission limit value should be set at 0.1 ng I-TEQ/normal m3. In some cases, technical and financial considerations may render it necessary to accept an emission limit value of 0.2 ng I-TEQ/normal m3 for certain installation types. Statutory Order No. 792 of 15 December 1988 on limitations of emissions of asbestos to air from industrial plants applies to emissions of asbestos36. An emission limit value of 5 mg/normal m3 at a mass flow greater than 25 g/hr applies to emissions of formaldehyde. An emission limit value of 20 mg/normal m3 at a mass flow greater than 100 g/hr applies to rockwool and glasswool factories, and wood/furniture factories. 3.2.3.8 Polyaromatic hydrocarbons, PAH A mass flow limit at 25 mg benzo[a]pyrene equivalents/hr applies to emissions of PAHs. The emission limit value for PAH substances is 0.005 mg benzo[a]pyrene equivalents/normal m3. The list below of PAH substances specifies the PAH substances included in this requirement and how each PAH compound is weighted when calculating benzo[a]pyrene equivalents. Definition
The C-value for PAH compounds is set at 2.5 ng benzo[a]pyrene equivalents/ m3, by adding up all the contributions from the substances listed, measured as benzo[a]pyrene equivalents. The basis for this is that all of these substances are considered carcinogenic or are deemed to promote the carcinogenic process. The PAH substances listed here were originally selected by the US EPA and are now widely used internationally in connection with characterisation and assessment of PAH mixtures. The Danish Veterinary and Food Administration, Institute for Food Safety and Toxicology has prepared the equivalence coefficients in connection with efforts to update the existing equivalence systems developed for PAH substances. For further information on the setting of emission limit values of PAH to air, please see the background document (June 2000) at the homepage of the Danish EPA reference laboratory. http://www.dk-teknik.dk/ref-lab/Rapporter/tekniske-undersogelser.asp. 3.2.4 Examples of Group 1 substancesTable 2
3.2.5 Group 2Group 2 encompasses substances that are harmful to human health or the environment other than those included in Group 1. Group 2 substances are divided into 6 substance groups, and some substance groups are sub-divided into classes.
The division into classes is based partly on knowledge of the health risk/harmful impact on the environment associated with a given substance, and partly on the technical and financial feasibility of emission limitation. The following tables specify examples of mass flow limits, emission limit values, and C-values. 3.2.5.1 Dangerous types of inorganic dust Table 3 includes examples of emission limit values, mass flow limits, and C-values for dangerous types of inorganic dust. If a given outlet emits several substances within this substance group, and these substances belong to the same class, the emission limit value of this class applies to the sum of the concentrations of the substances emitted. If a given outlet emits several substances that belong to several different classes, the emission limit value for each individual class should be complied with, and the total emission concentrations should not exceed 5 mg/normal m3. Table 3
*) Small amounts of the emission of Hg, Pb, etc., may occur in gas phase, but are included as dust. NOx is a designation for the total sum of the following nitrogen oxides: nitrogen oxide, NO, and nitrogen dioxide, NO2. Table 4
The mass flow limit and the emission limit value apply to the emitted quantities of NOX, calculated as NO2. The C-value applies to the part of the amount of NOX that is emitted as NO2. The outlet height is calculated by counting all NOX as NO2 if no information on the distribution of the NOx contents is available. If less than half of a given amount of NOX is NO2, calculations should always be made on the assumption that at least half of the NOX emitted is NO2. Example of conversion of NOX to NO2
NOX for such installations are set on the basis of BAT notes. Generally speaking, however, an emission limit value of 500 mg/normal m3 measured as NO2 should be aimed for. Table 5
See also Statutory Order No. 901 of 31 October 1994 on the limitation of sulphur content in fuels for heating and transport, and Statutory Order No. 532 of 25 May 2001 on the limitation of sulphur content in certain liquid and solid fuels. Special conditions apply to lime works, moler works, leca works, rockwool plants, and tile works, as the SO2 emitted comes largely from the raw materials used. In these cases, a specific assessment must be carried out to determine the emission limit. 3.2.5.4 Other vaporous or gaseous inorganic substances Table 6 presents examples of emission limit values, mass flow limits, and C-values for installations that emit vaporous or gaseous inorganic substances other than NOX and SO2. Table 6
Organic substances are divided into three classes, usually in accordance with the criteria outlined below: Outline of the classification of organic substances
Table 8 features examples of C-values and classifications for organic substances. If an installation emits substances that belong to several classes, and if the mass flow for all substances is > 6,250 g/hr, the emission limit value for each class should be complied with, and the sum of the emission concentrations should not exceed 300 mg/normal m3. Table 7
The definition of thinner mixes has been changed as a consequence of a review of the use and composition of thinner mixes. A new C-value of 0.15 mg/m3 has been set for thinner mixes. Thinner mixes are still classified as belonging to Group 2, organic substances, class III. Hereafter, "thinner mixes" include organic solvents in paint products used in paint shops (iron, metal, plastic), at car paint shops, in furniture manufacture, etc. Thinner mixes are defined as a mixture of at least three organic solvents or at least two organic solvents for water-based paints of which the relative proportion of a single organic solvent does not exceed 80 per cent by weight. If the mix contains three or more organic solvents, three of these organic solvents must each account for more than 2 per cent by weight39. None of the organic solvents included in the mix may be substances belonging to Group 1 or Group 2, class I. The C-value of 0.15 mg/m3 has been set on the basis of odour thresholds set for a representative selection of the thinner mixes currently available. For emissions of thinner mixes, requirements on outlet heights are based exclusively on the C-value. This means that there is no need to supplement this by requirements based on the concentration of substance odorants (LE/m3) in the surroundings of outlets emitting thinner mixes. The C-value of 0.15 mg/m3 applies to new installations. This includes the establishment of new paint shops at existing installations that have not previously included a paint shop. As a general rule, the 0.15 mg/m3 C-value should also be complied with in connection with extensions to existing paint shops. For existing paint shops where the outlets have been dimensioned on the basis of a C-value of 0.3 mg/m3, orders to increase outlet heights, etc., with a view to ensuring compliance with a 0.15 mg/m3 C-value should only be given if there are significant odour problems. Detailed explanation
On 11 March 1999, the European Council adopted Directive 1999/13/EC on the limitation of emissions of volatile organic compounds due to the use of organic solvents in certain activities and installations (The VOC Directive). In Denmark, the VOC Directive will be implemented by means of a Statutory Order on limitations of emissions of volatile organic compounds from the use of organic solvents in certain installations and activities (the VOC Statutory Order). This Statutory Order applies to installations where one or more of the industrial processes and activities specified in appendix 1 are carried out and where the threshold values for use of organic solvents specified in appendix 2 A are exceeded. As a point of departure, the VOC Statutory Order is exhaustively regulates emissions of volatile organic compounds from installations. It should, however, be observed whether an installation emits Group 1 substances which do not fall within the scope of the special provisions laid down in the VOC Statutory Order on substitution and limitation of emissions of certain substances that are particularly harmful to health, i.e. substances with the R phrases R45, R46, R49, R60 and R61. It should also be observed whether any emissions of organic substances that belong to Group 2, organic substances, class I, and which have a health-related C-value, are emitted from the installation. In these cases, the recommendations in these Guidelines should be followed. Such situations are expected to be rare, as installations often use thinner mixes. Phenol is a class I substance with an emission limit value of 5 mg/normal m3. For rockwool and glasswool factories, special technical production conditions may mean that a higher emission limit value must be accepted, e.g. up to 20 mg/normal m3. Table 8
General The mass flow limits, emission limit values, and C-values specified in tables 9 and 9a apply to installations emitting types of dust that do not belong under any of the other sections in these Guidelines. Emission limit values for agricultural companies appear in the Danish EPA Guidelines No. 4/1991, Retningslinier for grovvarebranchen ("Guidelines for produce and foodstuffs companies"). Table 9
For a number of processes involving wet dust, reducing the relevant emission to a level below the specified emission limit values can be very problematic, either because the technology necessary to do so simply does not exist, or it is financially unfeasible for the relevant type of installation. For installations with mass flows greater than 0.5 kg/hr, a higher emission limit value for total dust emissions may be set within the framework specified below. Table 9a
The emission limit values specified in table 9a must apply where there is a valid reason for emissions not being brought below the normal emission limit. The C-value for particles with a diameter of less than 10 mm is 0.08 mg/m3.
4. Calculation of outlet heights4.1 IntroductionThis chapter contains instructions on how to calculate stack or outlet heights in order to ensure adequate dilution of emissions into the atmosphere to comply with C-values. In general, these calculations must be based on the OML model. This model and its use is described in more detail in section 4.2. Section 4.3 explains the concepts "source strength G" and "dispersion coefficient D" used in OML calculations. Section 4.4 provides instructions regarding calculations. Section 4.5 describes the use of the model in connection with odour emissions, and section 4.6 specifies some of the limitations applying to this model. Calculations using the OML model may be carried out by the applicant installations themselves, or by consultants. The approving authority assesses whether such calculations are adequate. 4.1.1 Information about the OML modelFor information on the OML model, refer to the National Environmental Research Institute40 manuals and supporting materials regarding this particular model. The National Environmental Research Institute also maintains a website that features information of interest to OML model users41. Here, anyone interested can find information on current versions of the model and any problems reported, and they can download tips and help files. A PC version of OML-Point (the guidelines model) is available from the Danish Ministry for Environment and Energy Shop, Miljøbutikken42. All other software is available from the National Environmental Research Institute. Inquiries regarding the normal application of these models should be made to the Danish EPA. Other, more technical questions on the application and function of models should be directed to the National Environmental Research Institute43. The previous version of these Guidelines included a description of a method for calculating outlet heights without using a PC, the so-called nomogram method. Due to subsequent developments in general PC usage, this method is not included here. 4.2 The OML modelOML is an acronym for the Danish "Operationel Meteorologisk Luftkvalitetsmodel" (Operational Meteorological Air Quality Model), and is used to calculate required outlet heights by means of a computer software package. This package is available in two versions: OML-Point and OML-Multi. OML-Point is used to carry out calculations for point sources that are assumed to be at one single geographical point, whereas OML-Multi can take into account the relative positions of many outlets. This means that OML-Multi is used in cases involving several outlets with some distance between the individual outlets. Both versions are based on a Gaussian plume model. They include a division by a factor of 1 million in the sense that if emissions are submitted in g/sec, the resulting ground level concentration will be indicated m g/m3. 4.2.1 Results from the model compared with C-valuesThe user must supply various information, such as a tentative outlet height. On this basis, the model calculates average concentrations for every hour of a reference year at a number of user-defined points the so-called receptor points. As a measure for the concentrations, 99-percent fractiles are tabulated at all receptor points for each month of the reference year. These calculated concentrations are compared to the C-values laid down in the C-value Guidelines, and repeated calculations using various outlet heights make it possible to determine an outlet height on the basis of the criterion that the 99-percent fractiles calculated must be less than or equal to the relevant C-values. The C-values must be complied with for each month, and calculations must always be carried out for all 12 months of the year, even if emissions occur only for part of the year. C-values must be complied with everywhere outside of installation boundaries. 4.2.2 Data basis for OML calculationsCalculations using the OML model require information on source strength, volume flow, flue-gas temperature, inner and outer diameter of stacks, outlet height, topography, buildings in the immediate vicinity of the source, as well as time series meteorological data. Meteorological data for a reference year (Copenhagen Airport 1976) are supplied with the model. Section 4.3 features a more detailed description of the concepts of "source strength" and "dispersion coefficient", which can be used for preliminary estimates. 4.3 Source strength and dispersion coefficient4.3.1 Source strength "G"Basically, the source strength G is the maximum permissible emission of a given substance during one hour of operation, measured as mg/sec. G should be determined by means of one of the following approaches:
Where devices intended to reduce pollution have been installed, and these devices mean that emissions from the installation in question are significantly lower than the limit values for emissions laid down in these Guidelines, the actual emissions may be used when calculating outlet heights, if a maximum hourly emission can be determined on the basis of the figures available on actual emissions. The approving authority and the relevant installation should consider whether the emission limits should be reduced instead. 4.3.2 Dispersion coefficient "D"The dispersion coefficient D is a concept that may be useful in connection with preliminary estimates. The dispersion coefficient is defined as the source strength, G, measured as mg/sec of the relevant substance, divided by the C-value in mg/m3 for the same substance.
If the dispersion coefficient is less than 250 m3/sec, the only requirement to the outlet is that it should be at least 1 m above roof level and directed upwards to ensure free dilution44. This rule may only be applied to a limited number of outlets within a single installation; the exact number depends on the size of the relevant installation. Example:
4.4 Calculation using OML4.4.1 One or more outlets and one or more substancesTable 10
Note the following regarding this model: The OML model calculates concentrations in the surroundings not outlet heights. When OML calculations are carried out, these calculations must be repeated using a different outlet height each time until a height (or set of outlet heights) in compliance with the C-value has been successfully determined. OML-Point is best suited for simple outlet conditions with only one point source. OML-Point may be used in situations involving several outlets, but it will provide results that err on the conservative side, whereas OML-Multi will give more realistic results. This is because OML-Point treats outlets as though they were situated at one single geographical location, whereas OML-Multi is capable of superimposing concentrations from different sources. As a rule of thumb, use of OML-Multi should be considered in situations where two separate outlets are located at a distance of more than two outlet heights from each other. In cases involving outlets from comfort ventilation with concentrations less than the recommended limit values for indoor climate issued by the Working Environment Authority, and with dispersion coefficients (as defined in section 4.3) less than 250 m3/sec, the only requirement to the outlet is that it should be at least 1 m above roof level45 and directed upwards or designed in some other environmentally friendly manner, so that the air emitted from the outlet can disperse freely. In those special cases where an installation emits substances with identical toxicological properties, these substances must be considered one single substance in these calculations. Section 4.4.2 specifies how calculations are carried out in such cases. The supporting material accompanying the OML model may provide helpful information and guidance when specifying input data for model simulations. This material is also available on the Internet46. These Guidelines do not include detailed instructions on how to calculate environmental contributions from sources other than point sources. It should, however, be noted that OML-Multi includes methods to perform calculations for the so-called area sources, i.e. sources where emissions may be assumed to be evenly distributed within a rectangular area. 4.4.2 Substances with identical effectsIn special cases, where an installation emits different substances within the same substance group with identical toxicological effects and health-related C-values (see section 3.1.7), outlet calculations must be carried out on the basis of the total substance emission involved. When substances have different C-values you may choose either an approach (the Cr method") where the corresponding C-value is calculated as a weighted average value, Cr, or a more technical method ("the C1 method"), where source strengths are normalised in a manner which makes it possible to apply a C-value of 1 mg/m3. The Cr method is exact when substances are emitted from one single outlet, but it is unnecessarily conservative in scenarios where emissions occur from several different outlets situated at some distance from each other or of varying heights. The Cr method is also exact in cases where substances have identical C-values. The Cr method with a weighted average value requires the calculation of a Cr value in accordance with the definition in section 3.1.7. This is followed by an OML calculation. In this OML calculation, emissions of all the substances with identical toxicological properties are included as if only one substance were involved. The C1 method will always be exact, but the ground level concentration concentrations calculated will be fictitious and must be compared with a C-value of 1 mg/m3. According to the C1 method, the source strength of each substance must be normalised according to its relevant C-value prior to the outlet calculation. This is done as follows: Equation 5
Equation 6
4.5 Application of the OML model for odour emissionsThe OML model can also be used to calculate outlet heights in connection with odour emissions. The source strength is the product of the odour-emission concentration48 stated as odour units/normal m3 and the maximum permissible air quantity (normal m3/sec). This concentration must be determined in accordance with current methods applying to odour-emission measurement. In order to take into account the fact that assessments of odour ground level concentrations are normally based on an averaging period of 1 minute rather than the 1 hour used in the OML model, the source strength must be corrected using a factor of 7.8. In practice, this means that the emission must be multiplied by a factor of 7.8 and divided by a factor of 1,000,000 in the model. The result is the odour ground level concentration stated directly in odour units/m3. 4.6 Exceptions4.6.1 Heavy gasesNote that the OML model cannot be applied to gases that are significantly heavier than the surrounding air. In calculations of plume rise, the relevant parameter is the bulk density of the gas mixture, not the molecular weight of individual pollution components. Consequently, the model should not be used in cases involving flue gas at low temperatures (in practice, the limit may be set at -5°C). 4.6.2 Wet flue gasesThe OML model cannot be expected to produce reliable results when applied to flue gases with excessively high moisture contents (e.g. in connection with forage drying plants or certain types of flue gas scrubbers). There may be an absence of lift in the plume, and the plume may also shed drops. It is difficult to quantify problems involving wet smoke plumes, and such problems are not addressed in the OML model. The National Environmental Research Institute is currently establishing a knowledge bank for methods to counteract problems with very wet flue gases. Further information is available from the National Environmental Research Institute and on the Internet49.
5. Terms and inspection rules5.1 IntroductionIn this chapter, section 5.2 describes the various types of terms and how they should be set up. The terms addressed are operating terms, emission terms, and inspection terms. Three different types of terms require inspection of emissions:
For the purposes of these Guidelines, "performance inspection" means emission measurement carried out at intervals, e.g. once a year, where 3 samples are taken, each with a duration of one hour (or a different period of time, depending on the measurements or operating circumstances). "AMS inspection" means continual emission measurement carried out over a relatively long period of time, typically throughout the plants life cycle. "Random tests" means emission measurement carried out at intervals, such as 6 times a year. Section 5.3 addresses inspection rules for inspection of operation and emissions. Section 5.3.3 describes the scope of emission inspection, both in the main text and in a diagram. Section 5.4 describes when the emission limit values are complied with. Section 5.5 shows examples of formulated terms. This chapter may be used when deciding on terms and when setting inspection rules in an environmental approval or order. It may also be useful with regard to plans to change the terms or inspection provisions laid down in an environmental approval or order. 5.1.1 Definition of self-inspectionSelf-inspection is defined as inspection paid for by the installation and either carried out by external laboratories or by in-house staff. This provides installations with the opportunity to take faster action to remedy excessive emissions. Such inspection may be combined successfully with an environmental management system. Measurements carried out by external laboratories should be carried out as accredited measurements. It is recommended that major installations which carry out self-inspection themselves on a regular basis consider applying for accreditation to carry out emission measurement whenever legislation allows for such accreditation. The Danish EPA advocates inspection of air pollution from installations to be carried out via self-inspection. 5.2 Terms5.2.1 General issuesTerms in approvals and orders should be clear and unambiguous, and it should be possible to carry out inspections to determine compliance with such terms without expending unreasonable resources. Terms should be followed up by inspection in order to confirm compliance. The scope of such inspection should be adjusted to reflect the potential environmental impact. 5.2.2 Types of termsThe objective of terms for air pollution is to ensure that such pollution is kept below a specific limit. These terms may be presented in various ways: Operating terms Operating terms are requirements that affect the design and operation of installations and have an impact on air pollution from such installations. Such requirements might involve the maximum capacity of the power plant or the use of specific raw materials. Emission terms Emission terms are requirements for air quantities and the concentration of substances emitted by installations, or requirements regarding maximum hourly emissions. Terms for outlet heights The objective of terms specifying outlet heights is to ensure compliance with the C-values. The final part of this chapter features draft terms. 5.2.3 Operating termsThe objective of operating terms is to limit emissions of pollutants, e.g. by ensuring that purification or abatement equipment at installations is always working optimally. As regards purification or abatement equipment, these terms might entail regular inspection and the setting of acceptable limits for e.g.:
Such inspection should be followed up, so that all faults are corrected and repaired as soon as the acceptable limits are exceeded. Naturally, such monitoring requires instruments, indicators, inspection hatches, sampling ports, etc., necessary for inspection. If necessary, the approval must stipulate appropriate terms to ensure that such equipment is available and that all indicators and instrument displays are easily accessible and easy to read. These terms may stipulate that such displays must be situated in a control room or at the operating staffs usual place of work. As a rule, purification or abatement plants should not be bypassed50. In some situations, however, purification or abatement plants may be bypassed for technical reasons. For example,
The bypass period should be as short as possible and must not lead to unacceptable environmental impacts. The terms should state the acceptable extent of such bypass periods and how they should be registered. Operating terms may be requirements regarding the preparation of an operating log, detailing e.g. the raw materials used, operating temperatures, operating failures and breakdowns, etc. There should also be terms demanding that logs are kept of faults, errors, or accidents on the installation itself (both process and purification or abatement equipment) or during operation. The operating log and any operation instructions must be available to the supervising authorities upon request. The operating log must be stored at the installation for a specific period of time, for example three years. 5.2.4 Emission and inspection termsThe objective of emission terms is to establish limits for concentrations of the pollution and air quantity emitted. The emission limit value is set:
Along with terms on maximum air quantities per time unit and outlet height, the emission terms will ensure that concentrations in the surroundings do not exceed the C-value. As a minimum, emission terms should meet the following requirements:
There are three different types of inspection procedures: Performance inspection Performance inspection is used at installations with significant pollution (i.e. where the mass flow limit has been exceeded, but where the AMS inspection limit has not). AMS51 inspection AMS inspection is used at installations with very significant air pollution (i.e. where the AMS inspection limit has been exceeded), see section 5.3.3.3. Random testing Random testing is used at installations with very significant air pollution, where it is not technically or financially feasible to use AMS inspection. The following issues should always be taken into consideration when setting up emission terms:
For AMS inspections, steps should also be taken to ensure:
The pollutant may be a chemical substance or a substance group, or pollution may be described in terms of a particular property (such as odour or biological activity). The term used should state whether there are one or several states (e.g. both gas and particle phase), whether one or more elements are included in calculations for all compounds, etc., and whether the limit values apply, for example, to the sum of specific compounds. 5.2.4.2 The emission limit value The emission limit value is a limit value for the maximum pollution. This pollution may be stated as mg pollutant/normal m3 from a specific outlet measured at a maximum air flux. The emission limit value must be stated clearly and unambiguously and must include a specific measurement unit and reference condition. For more information on reference conditions, see section 3.1.2. The inspection period is the period in which emissions are inspected. The length of these inspection periods is usually:
The inspection period should be sufficiently long to facilitate assessment of a representative part of the emission; i.e. long enough to ensure that random short-term high or low values do not influence the assessment significantly. At the same time, the inspection period should be short enough to make it possible to decide whether the term is complied with within a reasonable period of time. The measurement period is the period used for each measurement. This applies to both manual and continual measurements. Terms should always include a specification of the measurement period. Performance inspections normally have a measurement period of one hour or more, depending on what is being measured. If, for example, performance inspection is carried out by means of instruments that register data continuously, the measurement period is usually set at one hour. As a point of departure, performance inspection is carried out once a year, but the intervals between inspections may be longer or shorter, depending on specific assessment of the relevant situation. For AMS inspections, the shortest theoretical measurement period will depend on the time constant of the instrument used. This time constant is usually less than one minute. In practice, the measurement period is set at one hour, which provides good time for a suitable statistical basis. AMS inspections are carried out on a continuous basis. Random tests usually have a measurement period of one hour or more, depending on what is being measured. If, for example, random testing is carried out by means of instruments that register data continuously, the measurement period is usually set at one hour. Random tests are carried out regularly each year, but the number of samples taken varies, as specified in section 5.4.3. It is recommended that the same one-hour measurement period is used for performance, AMS, and random tests alike. Any deviations from this measurement period should be based on special conditions in the process or in the method of measurement that favour a shorter or longer measurement period. The measurement period may also be set at a period other than one hour if specified in international provisions, such as EU Directives. 5.2.4.5 Number of individual measurements Inspection terms should state how many individual measurements should be taken. An individual measurement is a quantitative measurement to determine the emission over the measurement period. Performance inspection is carried out by taking at least three individual measurements, each lasting one hour. Automatic measuring and registering instruments are used for AMS inspections, and measurement is carried out all the time. If the measurement period is set at one hour, this means that 720 measurements will be carried out during a single month if the installation is operated around the clock. Otherwise the measurements are only carried out when the installation is operating and emissions occur. Random tests are carried out on six randomly chosen days a year (the installation must be operating on these days). At least two individual measurements must be carried out each day. Overview of inspection period, measurement period, and number of measurements
In connection with performance inspections, the term should clearly state at what type and level of production measurements should be carried out. If emissions vary during operation, steps should be taken to ensure that measurements are carried out while emissions are at their maximum level. Emission terms apply to those periods where the installation is operating i.e. when emissions occur. This means that non-active periods are not included. If the installation is operated for less than one hour at a time, the relevant operating period is used as the averaging time. The operating circumstances influence the relevant emission limit value. The inspection terms should state the method of measurement to be used. Chapter 8 features methods of sampling and analysis which may be used when setting up these terms. If the measurements must be accredited, steps should be taken to ensure that accredited laboratories are, in fact, available for the method chosen. The inspection term should be phrased so that it is possible to use other measurement methods of a similar quality, if the installation can justify it. The detection limit should normally be less than 10% of the emission limit value inspected. If the emission limit value applies to the sum of several substances, measurement results below the detection limit are not included in calculations. 5.2.5 Terms for outlet heightsThe objective of the terms for outlet heights is to ensure compliance with the C-values. Outlet heights are calculated by means of the OML model. At installations with few outlets, the terms will usually require specific outlet heights in order to ensure that the C-value is complied with when the emission limit value is met. At installations with many outlets, it may be fair to impose terms regarding compliance with C-values as such a procedure will enable the installation to make its own decisions on distribution of outlet heights and purification or abatement, if applicable. Emission limit values must still be set in such cases. 5.3 Type and scope of inspectionInspections of compliance with terms imposed on plants require inspection terms that specify when it can be said that a given term is complied with or exceeded. Three different types of inspection are used:
Inspections of operation are carried out by monitoring the relevant process or plant. Inspections of emissions are carried out by measuring or calculating the relevant emission. 5.3.1 Inspections of operationThe installation must carry out inspections of operation by monitoring the relevant processes and plants in accordance with the terms set. The operating terms are deemed to be complied with when the operating log has been correctly kept and the terms set up for the operation observed. 5.3.2 Inspection of emissionsInspection of emissions may be carried out by measuring if necessary by calculating the relevant emission. All measurements must be carried out in accordance with the relevant emission terms. Who carries out inspection of emissions?
Large-scale installations carrying out self-inspection on a regular basis should consider applying for accreditation to carry out emission measurements if current legislation allows for this. Measurements should be carried out as specified in chapter 8. 5.3.3 Type and scope of inspection of emissions
Figure 5 The use of the various types of terms depends on the significance of the emissions. The installations are divided into the following categories: 5.3.3.1 Installations with less significant air pollution Installations with less significant air pollution are installations where the mass flow (substance quantities prior to purification or abatement) is less than the mass flow limit. In such cases, emission measurements are usually not required, and inspection can be limited to an effective inspection of operation. However, emission measurements may also be required in order to document that the mass flow remains below the mass flow limit, as well as to determine the maximum hourly emission where this cannot be done by means of calculations. 5.3.3.2 Installations with significant air pollution Installations with significant air pollution are installations where the mass flow (substance quantities prior to purification or abatement) exceeds the mass flow limit, but remains below the AMS inspection limit specified in section 5.3.3.3. When issuing approvals to such installations, requirements should be made that inspections of compliance with the operating provisions that are significant to limiting air pollution should be carried out daily, or even more regularly. This must also apply to inspections to verify that all significant measures designed to limit pollution function correctly. There should also be requirements stipulating that emission measurements, usually in the form of performance inspection, must be carried out once a year if an emission limit has been specified. However, if the result of a performance inspection shows a value of less than 60 per cent of the emission limit value, such measurements need only be carried out every second year. Performance inspection for dioxins and furans should be carried out for all outlets with a mass flow (substance quantity prior to purification or abatement) greater than 0.1 mg dioxins and furan/hr, measured as mg I-TEQ. At normal operating circumstances, at least two (parallel or serial) individual samples must be taken for dioxin analysis twice a year for new installations and once a year hereafter, if the emission limit value is complied with. If the emission complies with the relevant requirements over a period of two years, measurements may be carried out at even greater intervals. The measurement period for individual samples must be 6-8 hours in order to ensure a sufficiently low detection limit. 5.3.3.3 Installations with very significant air pollution Installations with very significant air pollution are defined as installations where the mass flow (substance quantities prior to purification or abatement) for each outlet exceeds the AMS inspection limits, as specified below. AMS for measurement of the relevant emissions should be mandatory for such installations. 5.3.3.3.1 AMS inspection limits for gaseous substances Any outlet (individual outlet) with a mass flow (substance quantity prior to purification or abatement) greater than
should be fitted with AMS for measurement of the relevant substances. 5.3.3.3.2 AMS inspection limits for particles, etc. Any outlet (individual outlet) with a mass flow (substance quantity prior to purification or abatement) greater than 2 kg/hr of the substances specified below52 should be fitted with AMS for measurement of the installations emissions of:
Any outlet (individual outlet) with a mass flow (substance quantity prior to purification or abatement) greater than 200 kg particles/hr (other than those specified above) should be fitted with AMS for measurement of the installations particle emissions. Random tests are used in situations where use of AMS is impossible. 5.4 When are the terms complied with?What follows are descriptions of when terms are complied with. Such information should be included directly in terms in approvals and orders, as this will help avoid problems regarding the burden of proof in any subsequent legal action. 5.4.1 Performance inspectionThe emission terms are complied with when the arithmetical average value of all individual measurements carried out during the performance inspection is less than or equal to the required value. 5.4.2 AMS inspectionThe emission terms are complied with when the arithmetical average value of all individual measurements carried out during the inspection period (one calendar month) is less than or equal to the required value. 5.4.2.1 Inspection rules for individual measurements If an individual measurement exceeds the emission limit value by a factor of three or more, the supervisory authority must be notified. At the same time, an account must be given of the reason behind this breach and of the measures taken, or about to be taken, in order to prevent future problems. In addition to this, intensified monitoring of the equipment designed to limit pollution must be carried out. This must be done in consultation with the supervising authority. 5.4.3 Random testingIn random testing, a number of samples are taken at intervals during the inspection period. In principle, these samples must be taken on six randomly selected operating days during a single year. A single sample comprises two individual measurements, each lasting one hour. The result of such a sample is the average value of these two measurements. 5.4.3.1 Inspection rule for random testing The assessment of whether the required value is complied with is carried out in accordance with the following principles:
On this basis, it is possible to establish the following two rules for whether the required value is complied with, and whether the number of samples taken is adequate: The limit value (K) is complied with if M (the measured value) is less than the inspection limit value for the emission measured. The inspection limit value (M1) is calculated as follows: Equation 7
The number of samples taken is sufficiently large if M is less than the inspection limit value for the number of samples (M2), which is calculated as follows: Equation 8
If this is not the case, the number of samples taken during the next inspection period must be increased by three. The terms of both rules must be met in order to comply with the required value. If the terms of the rule on limit values are not met, but the sample rule is complied with, the limit value is considered exceeded. If neither the limit value rule nor the sample rule are met, the number of samples taken during the next inspection period should be increased, and measures should be taken to reduce emissions of the relevant parameter. If the limit value rule is met, while the sample rule is not, this should lead to an increase in the number of samples taken during the next inspection period as well as increased inspection (inspection of operation) of the equipment designed to limit pollution. If the results of at least two inspection periods show that the emissions measured amount to less than 50 per cent of the required values, the number of samples taken per inspection period may be reduced from six to four. If this pattern is repeated, the number of samples taken may be reduced further, from four to two, and finally to a single annual performance inspection. If the required value is exceeded, the number of samples to be taken each year will return to six. 5.4.3.4 Inspection rules for individual measurements If an individual measurement exceeds the emission limit value by a factor of three or more, the supervisory authority must be notified. At the same time, an account must be given of the reason behind this breach and of the measures taken, or about to be taken, in order to prevent future problems. In addition to this, intensified monitoring of the equipment designed to limit pollution must be carried out. This must be done in consultation with the supervising authority. Example of the application of this inspection rule
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Outlet height and operating terms
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An iron foundry emits sand dust from two outlets due to sand mixing and knocking-out castings: outlet 1(sand mixing) emits an air quantity of 40,000 normal m3/hr, and outlet 2 (knocking out) emits an air quantity of 17,000 normal m3/hr.
The emission concentration of the air prior to purification or abatement in the two outlets is between 300 and 1,000 mg dust/normal m3.
Calculations show that the total mass flow of the installation from the two outlets is approximately 50 kg/hr on average over 7 hours.
The dust in the outlets is considered to be total dust, i.e. dust that contains particles larger and smaller than 10 µm.
The dust belongs under table 9 of these Guidelines, "Other dust", with a mass flow limit of 5 kg/hr and an emission limit value of 10 mg/normal m3.
As the installations mass flow of sand is greater than the mass flow limit for other dust (5 kg/hr), and as the emission concentration in the two outlets for other dust is greater than the emission limit value for other dust, purification or abatement is necessary. This may be carried out by means of bag filters, etc.
The AMS inspection limit for dust is 200 kg/hr.
As the AMS inspection limit for dust has not been exceeded, there is no need to use AMS.
The terms for air pollution from the installation and inspection hereof are as follows:
Outlet No. |
Pollutant |
Air quantity
normal m3/hr |
Emission limit value
mg/normal m3 |
Outlet height, metres |
No. 1 |
Sand dust |
40,000 |
10 |
X |
No. 2 |
17,000 |
10 |
Y |
The emission limit values apply to both outlets (1 and 2).
Outlet No. 1 must be at least X m above ground level.
Outlet No. 2 must be at least Y m above ground level.
The sampling points in the outlets must be designed in accordance with guidelines in chapter 8 of the Danish EPA Guidelines for Air Emission Regulation. Documentation hereof must be submitted to the approving authority.
Inspection
Operating instructions for the filters must be available in the immediate vicinity of the filters. Operation and inspection of the bag filters must be carried out in accordance with the manufacturers operating instructions. A weekly log must be kept of the inspection of filters to check that the bag filters are not worn out. Any operating disruptions, breakdowns, and other relevant information must be recorded in the log, stating the date, year, and possibly time.
The log must be available for inspection by the supervising authority and must be stored at the installation for at least three years.
Not later than three months after the receipt of this approval, the installation must carry out an accredited performance inspection of outlets 1 and 2 in order to document compliance with the emission limit value. Each performance measurement must include at least three individual measurements, each lasting approximately one hour. This measurement must include measurement of the relevant air quantity.
When this has been completed, performance measurements must be carried out at least once a year. However, if the result of a performance measurement is less than 60 per cent of the emission limit value, such measurements need only be carried out every second year.
The following method of measurement53 must be used:
Substance |
Method of measurement |
Dust |
VDI 2066/7 |
Deviations from this method of measurement must be duly justified and approved by the approving authority.
Inspection rules for performance inspection
The emission limit value is complied with when the arithmetic average of the three (or the relevant number) measurements carried out during the inspection period is less than or equal to the limit value. The inspection period is the total measurement period.
Operating terms must also be set.
An installation manufactures a number of organic coarse chemicals and organic intermediates for other chemical industries. These products are used as raw materials and intermediates by manufacturers in the pharmaceuticals sector.
Sulphur dioxide (SO2) is emitted through the installation outlet P. The installation states that the mass flow of sulphur dioxide is approximately 300 kg/hr, and that the air quantity in the outlet is approximately 1,000 normal m³ /hr. The concentration prior to purification or abatement is approximately 300 g/normal m³.
According to chapter 3 of these Guidelines, the mass flow limit for SO2 is 5,000 g/hr. The emission limit value for SO2 is 400 mg/normal m³.
According to section 5.3.3.3, the AMS inspection limit for SO2 is 200 kg/hr.
As the installations mass flow of SO2 is greater than the mass flow limit for SO2, and as the emission of SO2 is greater than the emission limit value, purification or abatement must be carried out in order to ensure compliance with the emission limit value for SO2.
As the installations mass flow of SO2 is greater than the AMS inspection limit, the emissions must be inspected by means of AMS.
The outlet height has been determined by means of an OML calculation on the basis of the relevant limit value for emissions and the maximum air quantity, and has been set at Z m above ground level.
The terms for air pollution from the installation and the inspection hereof are as follows:
Emission limit value applying to outlet P:
Parameter |
Emission limit value |
Outlet height, calculated using metres |
SO2 |
400 |
Z |
![]() | The discharges from outlet P must be at least Z m above ground level. |
![]() | The air quantity in outlet P must never exceed 1,200 normal m³/hr. |
![]() | The purification or abatement plant must always be operating during production. |
Inspection
Instruments and software (methods of analysis) intended for use in AMS measurements for SO2 must be approved by the supervisory authority before use. The instruments must be installed correctly at the point of measurement, and must be serviced and maintained regularly by qualified staff in accordance with the manufacturers directions. The procedures for operation and maintenance of equipment must be available in a manual.
The air quantity must be checked when the plant is established.
The operating instructions must be available in the immediate vicinity of the equipment.
The measurement instruments must be calibrated in accordance with the manufacturers directions. In addition to this, parallel measurements must be carried out in the form of performance inspection. The first of these measurements must be carried out no later than two months after the installation begins operation, and once every year after that. These inspections must be carried out by an accredited laboratory.
The following method of measurement must be used54:
Substance |
Method of measurement for AMS |
SO2 |
DS/ISO 7935 |
Deviations from this method of measurement must be duly justified and approved by the approving authority.
The sampling points in the outlets must be designed in accordance with the guidelines featured in chapter 8.
All measurement data from the AMS measurements in outlet P must be continually displayed on-screen and recorded. It must also be possible to have hourly and daily values displayed on-screen. All measurement data must be stored for at least three years and must be presented to the supervising authority upon request.
Inspection rules for AMS measurements
The emission limit value is complied with when the arithmetic average of all one-hour measurements taken during the inspection period is less than or equal to the limit value. The inspection period is one calendar month. Periods without any emission of the relevant substance must not be included in the inspection period.
If a single one-hour measurement exceeds the emission limit value by a factor of 3 or more, the supervising authority must be notified. At the same time, an account must be given of the reason behind this breach and of the measures taken, or about to be taken, in order to prevent future problems. In addition to this, intensified monitoring of the equipment designed to limit pollution must be carried out. This must be done in consultation with the supervising authority.
Furthermore, operating terms must be set.
50 | "Bypass" means that the polluted air is led around the purification or abatement installation. |
51 | The letters AMS form an acronym for Automatic Measuring System. An AMS system uses fixed measuring equipment to measure and record emissions. A CEN standard establishing performance requirements for AMS systems is currently being prepared. See also section 5.3.3.3. |
52 | Both in particle form and gaseous form |
53 | This method is recommended in the list of methods in chapter 8. |
54 | See the list of methods in chapter 8. |
The emission limit values featured in this section apply to all plants that produce power and heat. For example, a plant in which a substance is dried or concentrated by using flue gas as the source of energy, but where there is no contact between the gas and the substance/material being dried/concentrated, is considered an energy plant.
The main fuels used at energy plants in Denmark are natural gas, light fuel oil, coal, and heavy fuel oil. Renewable fuels such as biogas, straw, and wood are also used. Dust is emitted from these plants in the form of soot, oil coke, NOX, etc., and polluting components arising from impurities in the fuel. Examples of such impurities are sulphur, chlorine, and fluorine, as well as ashes containing heavy metals such as nickel, vanadium, etc.
Rules regarding the maximum sulphur content of fuels have been stipulated in order to limit emissions of SO2. These rules can be found in the Statutory Order on limitation of sulphur content in fuel for heating and transport55 and the Statutory Order on limitation of sulphur content in certain liquid fuels56.
Emissions of sulphur dioxide are normally proportional to the sulphur content of the relevant fuel. In such cases, 0.02 kg SO2 is emitted per kilo fuel used per percentage point sulphur.
Except in cases where special plants have been established to clean flue gas, emissions correspond to the content of the relevant substances in the fuel concerned. Please note, however, that some of the substances emitted into the atmosphere are also bound in cinders and ashes to a lesser extent.
It is important that all energy plants are constructed, maintained and adjusted so that the inevitable pollution of the air is reduced to a minimum. The fact that there is some correlation between the concepts of minimum pollution and maximum energy efficiency provides a double incentive to reduce pollution from energy plants.
If a energy plant has equipment for flue-gas purification or abatement, such equipment should be sufficiently effective to ensure that terms regarding emission limit values included in an approval can be met throughout the energy plants entire life cycle and under all normal operating conditions. This means that purification or abatement equipment at energy plants should be designed for emissions that are significantly lower than the limit values.
This section features special emission limit values from energy plants. The mass flow limits and emission limit values laid down in these Guidelines apply to all substances that are not expressly specified in connection with each item (energy plant). The C-values apply to all substances. Only in exceptional cases will it be necessary to stipulate emission limit values other than those specified for each fuel type below.
The emission limit values for NOX in this chapter apply to all NOX converted into NO2.
For combustion plants with two-channel burners and modulating burners, outlet heights are calculated at various loads. The load resulting in the highest outlet must be chosen.
Please note that the physical conditions mentioned below, e.g. calorific values, may change if the chemical composition of the fuel is changed.
Calorific value for natural gas:
Lower calorific value: | approximately 48.6 MJ/kg or |
approximately 39.3 MJ/normal m3. |
|
Upper calorific value: | approximately 56 MJ/kg. |
When natural gas is burned, approximately 57 g CO2 /MJ is formed. When LPG is
burned, approximately 65 g CO2/MJ is formed.
When 1 kg natural gas57 is burned, the following approximate quantity of flue gas is formed:
Equations 9 and 10
where % O2 denotes O2 content in the flue gas, expressed as a percentage by volume. |
Emissions from such plants are regulated in accordance with Statutory Order No. 720 of 5 October 1998 on the limitation of emissions of nitrogen oxides, unburned carbon hydrides and carbon monoxide from gas motors and gas turbines.
From 1 July 2003, an emission limit for formaldehyde of 10 mg/normal m3 at 5 % O2 at an efficiency (in electricity production) of 30 per cent also applies to gas motors with a total input effect of 5 MW or more. This limit value is adjusted upwards or downwards in equal proportion to the electricity efficiency.
The emission of formaldehyde from gas turbines is significantly below this limit value, and so there is no need to set an emission limit value for gas turbines.
The outlet height is determined by means of an OML calculation.
An input effect of 120 kW corresponds to consumption of approximately 8.6 kg natural gas per hour.
The stack must be constructed in accordance with current regulations on gas and building construction.
Before purchasing new equipment, the installation should make sure that such equipment complies with the following emission limit values:
NOX measured58 as NO2 | = | 65 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = | 75 mg/normal m3 dry flue gas at 10 per cent O2. |
For existing plants, up to 125 mg NOX/normal m3 dry flue gas at 10 per cent O2, measured as NO2, is acceptable.
Outlet heights are determined in accordance with current regulations on gas and construction or by means of an OML calculation.
An input effect of 5 MW corresponds to the consumption of approximately 360 kg natural gas per hour.
These plants should comply with the following emission limit values:
NOX measured as NO2 | = | 65 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = | 75 mg/normal m3 dry flue gas at 10 per cent O2. |
For existing plants, the environmental authorities may accept up to 125 mg NOX/normal m3 dry flue gas at 10 per cent O2 measured as NO2, if it turns out that the emission limit value must be relaxed.
The outlet height is determined by means of an OML calculation.
An input effect of 50 MW corresponds to the consumption of approximately 3.6 tonnes natural gas per hour.
Example:
Determining the emission limit value and outlet height for gas-fired plants
with an input effect of 5 MW or more, but less than 50 MW
A plant states that the emission of NOX from their boiler plant, which uses natural gas, will be less than 50 mg/normal m3. It is stated that 90 per cent of the emitted quantity of NOX is NO by weight. The rest is NO2. The approving authority approves the plant and sets a emission limit value of 65 mg NOX measured as NO2 pr. normal m3, which is the emission limit for NOX. The outlet height is determined on the basis of the assumption that half of the 65 mg NOX per normal m3 consists of NO2, see section 3.2.5.2. |
More detailed provisions on plants with an input effect of 50 MW or more are given in Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., are set according to the BAT principle on the basis of a specific assessment, see chapter 1.
The outlet height is determined by means of an OML calculation.
For gas-fired plants with an input effect of 5-30 MW, performance inspections should be used to verify compliance with the limit values for NOX and CO.
Gas-fired plants with an input effect of more than 30 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the burning process. Such plants should also be fitted with AMS equipment for NOX. In addition to this, performance inspections should be used to verify compliance with the limit value for CO.
If an emission limit value of formaldehyde is set, performance inspections should be used to verify compliance with this limit value.
For plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October
1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides, and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
Calorific value:
Lower calorific value: | approximately 43 MJ/kg. |
Upper calorific value: | approximately 45 MJ/kg. |
When light fuel oil is burned, approximately 74 g CO2 /MJ is formed.
When 1 kg light fuel oil is burned, the following approximate quantity of flue gas is formed:
Equations 11 and 12
where % O2 denotes the O2 content in flue gas, expressed as a percentage by volume. |
No emission limit values for sulphur dioxide have been given for plants that burn light fuel oil, as such emissions are proportional to the sulphur content in the oil used. A total of 0.02 kg SO2 is emitted per kg oil used per percentage point sulphur.
Rapeseed oil that has been produced specifically for burning and which is of a quality corresponding to that of light fuel oil may be burned under the rules set up in this section.
Oil combustion plants that are mainly used for domestic heating fall within the scope of the Ministry of Environment and Energy Statutory Order No. 785 of 21 August 2000 on the inspection measurement, adjustment and purification or abatement of oil combustion plants.
No actual emission limit values have been set for these plants.
The stack must be constructed in accordance with current building regulations.
An input effect of 120 kW corresponds to consumption of approximately 10 kg light fuel oil per hour.
Prior to purchasing new equipment, all installations should ensure that such equipment complies with the following emission limit values:
NOX measured as NO2 = 110 mg/normal m3 dry flue gas at
10 per cent O2.
CO = 100 mg/normal m3 dry flue gas at 10 per cent O2.
For existing plants, the environmental authorities may accept up to 250 mg NOX/normal m3 dry flue gas at 10 per cent O2 measured as NO2 if it turns out that the emission limit value must be relaxed.
The outlet height is determined by means of an OML calculation.
An input effect of 5 MW corresponds to the consumption of approximately 440 kg light fuel oil per hour.
These plants should comply with the following emission limit values:
Dust | = 30 mg/normal m3 dry flue gas at 10 per cent O2. |
NOX measured as NO2 | = 110 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = 100 mg/normal m3 dry flue gas at 10 per cent O2. |
For existing plants, the environmental authorities may accept up to 250 mg NOX/normal
m3 dry flue gas at 10 per cent O2, measured as NO2, if it
turns out that it is necessary to relax the emission limit value.
The outlet height is determined by means of an OML calculation.
An input effect of 50 MW corresponds to the consumption of approximately 4.2 tonnes light fuel oil per hour.
More detailed provisions on light fuel oil fired plants with an input effect of 50 MW or more are given in Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., are set according to the BAT principle on the basis of a specific assessment, see chapter 1.
The outlet height is determined by means of an OML calculation.
For light fuel oil fired plants with an input effect of 5-30 MW, compliance with the limit values for NOX and CO should be checked by means of performance inspection.
Light fuel oil fired plants with an input effect of more than 30 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the combustion process, and with AMS equipment for NOX. In addition to this, performance inspections should be used to verify compliance with the limit value for CO.
For plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
This section applies to plants that burn heavy fuel oil, orimulsion, and fuels of similar quality.
Calorific value:
Lower calorific value: approximately 41 MJ/kg.
Upper calorific value: approximately 43 MJ/kg.
When heavy fuel oil is burned, approximately 78 g CO2 /MJ is formed.
When 1 kg heavy fuel oil is burned, the following approximate quantity of flue gas is formed:
Equations 13 and 14
where % O2 denotes O2 content in the flue gas, expressed as a percentage by volume. |
Heavy fuel oil, orimulsion, and other fuels of similar quality may not be used in burners with an input effect of less than 2 MW.
The following emission limit values apply to these plants:
Dust | = 100 mg/normal m3 dry flue gas at 10 per cent O2. |
NOX measured as NO2 | = 300 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = 100 mg/normal m3 dry flue gas at 10 per cent O2. |
Hg | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
Cd | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
The sum (S )
of: |
|
Ni | |
V | |
Cr | |
Cu | |
Pb | = 5 mg/normal m3 dry flue gas at 10 per cent O2. |
The SO2 emission depends on the sulphur content of the relevant fuel. The
maximum sulphur content in heavy fuel oil is regulated in the Statutory Order on the
limitation of sulphur contents in fuel for heating and transport59
and the Statutory Order on the limitation of the sulphur content in certain liquid fuels60. As a result, no emission limit value for SO2
is given.
If a supplier of heavy fuel oil guarantees compliance with the above limit values for heavy metals (on the basis of the composition of the heavy fuel oil), there is no need to stipulate further requirements on such substances.
For existing plants, emission limit values are determined on the basis of emission measurements and an assessment of the possibilities for reducing emissions of NOX.
Outlet heights are determined by means of OML calculations.
An input effect of 50 MW corresponds to a consumption of 4.4 tonnes heavy fuel oil per hour.
For more detailed provisions on plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
In addition to these requirements, all plants should comply with the following emission limit values:
Hg = 0.1 mg/normal m3 dry flue gas at 10 per cent O2.
Cd = 0.1 mg/normal m3 dry flue gas at 10 per cent O2.
The sum (S )
of: |
|
Ni | |
V | |
Cr | |
Cu | |
Pb | = 5 mg/normal m3 dry flue gas at 10 per cent O2. |
If a supplier of heavy fuel oil guarantees compliance with the above limit values for
heavy metals (on the basis of the composition of the heavy fuel oil), there is no need to
stipulate further requirements on such substances.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., are set according to the BAT principle on the basis of a specific assessment, see chapter 1.
The outlet height is determined by means of an OML calculation.
For heavy fuel oil fired plants with an input effect of 5-30 MW, compliance with the limit values for NOX and CO should be checked by means of performance inspection.
Fuel-oil-fired plants with an input effect of more than 30 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the combustion process. Such plants should also be fitted with AMS equipment for NOX. In addition to this, performance inspections should be used to verify compliance with the limit value for CO.
Heavy fuel oil fired plants with an input effect of over 50 MW should be fitted with AMS sampling apparatus for dust, SO2, NOX, and O2. Compliance with the emission limit values for the heavy metals specified here should be checked by means of performance inspection at least twice a year.
For more detailed provisions on plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
Emissions of metals may often be calculated on the basis of the metal content in the relevant fuel. In many cases, such calculations are sufficiently accurate to replace emission measurement.
Waste oil or oil waste is hazardous waste, but falls outside the scope of the regulations on incineration of hazardous waste, as specified in the Ministry of Environment and Energy Statutory Order No. 660 on the approval, etc., of plants incinerating hazardous waste, see Section 1 (5), 1st clause of this Order. Incineration of oil waste falls within the scope of special provisions; see Section 57 and Appendix 11 of the Ministry of Environment and Energy Statutory Order No. 619 of 27 June 2000 on Waste (the Waste Order). Waste oil may only be incinerated at plants with a thermal output of more than 1 MW.
Outlet heights are determined by means of an OML calculation.
Appendix 11 of the Statutory Order on Waste states that it should be possible to provide documentation of compliance with the emission limit values, either by means of calculations or emission measurements.
Measurements of emissions should be carried out by means of performance inspection.
Waste oil fired plants with an input effect of more than 5 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the incineration process. In addition to this, plants with an input effect of more than 30 MW should also be fitted with AMS equipment for NOX.
Waste oil fired plants with an input effect of more than 50 MW should be fitted with AMS equipment for dust, SO2, NOX, and O2. As regards the substances specified in Appendix 11 of the Statutory Order on Waste, the emission limit values should be checked by means of performance inspection.
This section includes plants that burn coal, pet-coke, and lignite or other fuels of similar quality.
Calorific value for coal:
Lower calorific value: approximately 25 MJ/kg.
Upper calorific value: approximately 26 MJ/kg.
When coal is burned, approximately 95 g CO2 /MJ is formed.
When 1 kg coal is burned, the following approximate quantity of flue gas is formed:
Equations 15 and 16
where % O2 denotes O2 content in the flue gas, expressed as a percentage by volume. |
Coal, petcoke, and lignite should not be used in new plants with an input effect of less than 5 MW.
An input effect of 5 MW corresponds to a consumption of approximately 720 kg of coal per hour.
An input effect of 50 MW corresponds to a consumption of approximately 7.2 tonnes of coal per hour.
The following emission limit values apply to these plants:
Dust | = 100 mg/normal m3 dry flue gas at 10 per cent O2. |
NOX measured as NO2 | = 200 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = 100 mg/normal m3 dry flue gas at 10 per cent O2. |
Hg | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
Cd | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
HCl | = 10 mg/normal m3 dry flue gas at 10 per cent O2. |
The sum (S
) of: |
|
Ni | |
V | |
Cr | |
Cu | |
Pb | = 5 mg/normal m3 dry flue gas at 10 per cent O2. |
If a supplier of coal guarantees compliance with the above limit values for heavy metals
(on the basis of the composition of the coal in question), there is no need to stipulate
further requirements in connection with such substances.
The SO2 emission depends on the sulphur content of the relevant coals. The maximum sulphur content in coal and petcoke is regulated in the Statutory Order on the limitation of sulphur contents in fuel for heating and transport61. As a result, no emission limit value for SO2 is given.
The emission limit value of NOX for existing plants is determined on the basis of emission measurements and an assessment of the possibilities for reducing NOX emissions. For existing plants that are also used for the removal of noxious substances, the limit for NOX emissions should be determined on the basis of a specific assessment.
Outlet heights are determined by means of an OML calculation.
6.6.3 Input effect of 50 MW or moreFor more detailed provisions on plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
In addition to these requirements, all plants should comply with the following emission limit values:
HCl | = 10 mg/normal m3 dry flue gas at 10 per cent O2. |
HF | = 1.0 mg/normal m3 dry flue gas at 10 per cent O2. |
Hg | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
Cd | = 0.1 mg/normal m3 dry flue gas at 10 per cent O2. |
The sum (S )
of: |
|
Ni | |
V | |
Cr | |
Cu | |
Pb | = 5 mg/normal m3 dry flue gas at 10 per cent O2. |
If a supplier of coal guarantees compliance with the above limit values for heavy metals
(on the basis of the composition of the coal in question), there is no need to stipulate
further requirements on such substances.
For older plants, which do not fall within the scope of the Statutory Order, emission limits, inspection, etc., is determined on the basis of specific assessment by means of the BAT principle. See chapter 1.
Outlet height is determined by means of an OML calculation.
If limit values for heavy metals have been set for installations using coal-fired plants, performance inspections should be carried out to check compliance with the emission limit value for the heavy metals specified.
Coal-fired plants with an input effect of more than 5 MW should be fitted with automatic measuring equipment for measurement and registration of dust emissions in accordance with the principle of opacity or methods of similar quality. They should also be fitted with sampling apparatus and regulation equipment for O2 in order to control the burning process.
Coal-fired plants with an input effect of 5-30 MW should be monitored by means of performance inspections in order to verify compliance with the limit value for NOX. Plants with an input effect greater than 30 MW should also be fitted with AMS equipment for measurement of NOX.
Coal-fired plants with an input effect of over 50 MW should be fitted with AMS equipment for dust, SO2, NOX, and O2. The emission limit value for heavy metals specified should be monitored by means of performance inspection.
For plants with an input effect of 50 MW or more, please see Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
Emissions of metals may often be calculated on the basis of the metal content in the relevant fuel. In many cases, such calculations are sufficiently accurate to replace emission measurement.
This section addresses combustion plants using wood and waste wood complying with the purity requirements specified in the Statutory Order on biomass waste62.
The calorific value depends on the water content. The calorific value for wood containing 25 per cent water is approximately 13.7 MJ/kg.
When 1 kg wood is burned, the following approximate quantity of flue gas is formed:
Equations 17 and 18
where % O2 denotes O2 content in the flue gas, expressed as a percentage by volume. |
If a stove causes significant pollution or significant environmental nuisance, the local authorities may order the owner to reduce such pollution. This is laid down in Section 42 (1) of the Environmental Protection Act, and applies regardless of whether the stove in question is located within a residential area or an industrial area, and whether it belongs to a company or to a private individual.
Information on the use of stoves is available in the leaflet "Før du fyrer løs" ["Before you light up"] from the Danish EPA, and in the leaflet "Korrekt fyring. Sådan udnyttes brændslet bedre" ["How to make the most of your fuel"] from the Danish Ministry of Housing and Urban Affairs. Unfortunately, these leaflets are only available in Danish.
Please note that only unadulterated wood may be used in stoves. This means that stoves may not be used to burn waste such as painted wood, impregnated wood, chipboard, MDF boards, or other types of household waste. Newspapers may, however, be used to light fires.
Please note that orders issued pursuant to Section 42 of the Environmental Protection Act relating to fixed, non-commercial facilities cannot be appealed to any other administrative authority. This is specified in Section 19 of Statutory Order No. 366 of 10 May 1992 on non-commercial animal husbandry, unhygienic conditions, etc.
Before purchasing new plants of this type, all installations should make sure that they comply with the following emission limit values:
Dust | = 300 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = 500 mg/normal m3 dry flue gas at 10 per cent O2. |
Outlet heights are determined by means of an OML calculation.
The following emission limit values apply to these plants:
Dust | = 40 mg/normal m3 dry flue gas at 10 per cent O2.63 |
NOX measured as NO2 | = 300 mg/normal m3 dry flue gas at 10 per cent O2.64 |
CO | = 625 mg/normal m3 dry flue gas at 10 per cent O2. |
If, for example, condensing equipment is used, the emission limit value for dust may be
relaxed to 100 mg/normal m3 dry flue gas at 10 per cent O2.
Outlet heights are determined by means of an OML calculation.
Plants using wood and with an input effect of 50 MW or more fall within the scope of Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., must be set according to the BAT principle on the basis of a specific assessment, see chapter 1.
Outlet heights are determined by means of an OML calculation.
For wood-fired plants with an input effect greater than 1 MW but less than 5 MW, performance inspection should be carried out to verify compliance with the emission limit values.
Wood-fired plants with an input effect of 5 MW or more should be fitted with automatic measuring equipment for measurement and registration of:
![]() | Dust emissions in accordance with the principle of opacity or methods of a corresponding quality, and |
![]() | CO emissions. |
For wood-fired plants with an input effect of 5-30 MW, compliance with the limit value for NOX should be checked by means of performance inspection.
Wood-fired plants with an input effect of more than 1 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the burning process. In addition to this, plants with an input effect of more than 30 MW should also be fitted with AMS equipment for NOX.
Wood-fired plants with an input effect of more than 50 MW should be fitted with measuring equipment for CO, dust, NOX, and O2.
For plants with an input effect of 50 MW or more, please see Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
The Statutory Order on biomass65 includes more detailed information on which types of straw may be used as a fuel.
Calorific value: 14.5 MJ/kg.
When 1 kg straw is burned, the following approximate quantity of flue gas is formed:
Equations 19 and 20
where % O2 denotes the O2 content in the flue gas, expressed as a percentage by volume. |
The following emission limit values apply to these plants:
Dust | = 40 mg/normal m3 dry flue gas at 10 per cent O2. |
NOX measured as NO2 | = 300 mg/normal m3 dry flue gas at 10 per cent O2.66 |
CO | = 625 mg/normal m3 dry flue gas at 10 per cent O2. |
These figures are hourly mean values and must not be exceeded after ten minutes from
firing.
Due to the risk of nuisance caused by smoke, it is recommended that new plants should be 200 m or more from the nearest dwelling.
The outlet height is determined by means of an OML calculation.
Straw-fired plants with an input effect of 50 MW or more fall within the scope of Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., are set according to the BAT principle on the basis of a specific assessment, see chapter 1.
The outlet height is determined by means of an OML calculation.
For straw-fired plants with an input effect greater than 1 MW but less than 5 MW, performance inspection should be carried out to verify compliance with the emission limit values.
Straw-fired plants with an input effect of 5 MW or more should be fitted with automatic measuring equipment for measurement and registration of:
![]() | Dust emissions in accordance with the principle of opacity or methods of a corresponding quality, and |
![]() | CO emissions. |
For straw-fired plants with an input effect of 5-30 MW, compliance with the limit value for NOX should be checked by means of performance inspection.
Straw-fired plants with an input effect of more than 1 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the combustion process. In addition to this, plants with an input effect of more than 30 MW should also be fitted with AMS equipment for NOX.
Straw-fired plants with an input effect greater than 50 MW should be fitted with measuring equipment for CO, dust, NOX, and O2.
For plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
Statutory Order No. 638 of 3 July 1997 on biomass waste and its Annex provide more detail on the types of biomass waste accepted for use as fuel.
Before purchasing new plants, all installations should make sure that such plants comply with the following emission limit values:
Dust | = 300 mg/normal m3 dry flue gas at 10 per cent O2. |
CO | = 500 mg/normal m3 dry flue gas at 10 per cent O2. |
The outlet height is determined by means of an OML calculation.
The following emission limit values apply to these plants:
Dust | = 40 mg/normal m3 dry flue gas at 10 per cent O2. |
NOX measured as NO2 | = 300 mg/normal m3 dry flue gas at 10 per cent O2.67 |
CO | = 625 mg/normal m3 dry flue gas at 10 per cent O2. |
The outlet height is determined by means of an OML calculation.
Plants with an input effect of 50 MW or more fall within the scope of Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
For older plants, which do not fall within the scope of this Statutory Order, the various emission limits, inspection measures, etc., must be set according to the BAT principle on the basis of a specific assessment, see chapter 1.
Outlet heights are determined by means of an OML calculation.
For biomass-fired plants with an input effect greater than 1 MW, but less than 5 MW, performance inspection should be carried out to verify compliance with the emission limit values.
Biomass-fired plants with an input effect of 5 MW or more should be fitted with automatic measuring equipment for measurement and registration of:
![]() | Dust emissions in accordance with the principle of opacity or methods of a corresponding quality, and |
![]() | CO emissions. |
For biomass-fired plants with an input effect of 5-30 MW, compliance with the limit value for NOX should be checked by means of performance inspection.
Biomass-fired plants with an input effect of more than 1 MW should be fitted with measurement and regulation equipment for oxygen (O2) to control the combustion process. In addition to this, plants with an input effect of more than 30 MW should also be fitted with AMS equipment for NOX.
Biomass-fired plants with an input effect greater than 50 MW should be fitted with measuring equipment for CO, dust, NOX, and O2.
For plants with an input effect of 50 MW or more, refer to Statutory Order No. 689 of 15 October 1990 on the limitation of emissions of sulphur dioxide, nitrogen oxides and dust from large combustion plants, as amended by Statutory Order No. 518 of 20 June 1995.
As regards waste incineration plants, a distinction is made between plants burning hazardous waste, and plants that burn household waste, commercial waste, etc.
Plants burning hazardous waste are regulated in Statutory Order No. 660 of 11 August 1997 on the approval, etc., of plants burning hazardous waste.
However, incineration of oil waste, which is also a hazardous waste, does not fall within the scope of Statutory Order No. 660/1997. Instead, such incineration falls within the scope of special provisions, see Appendix 11 in Statutory Order No. 619 of 27 June 2000 on waste. Oil waste may only be incinerated at plants with a thermal output of more than 1 MW. See also section 6.5.
More detailed rules on plants incinerating non-hazardous waste are laid down in Statutory Order No. 41 of 14 January 1997 on waste incineration plants68 and in the Danish EPA Guidelines No. 2/1993 on the limitation of pollution from incineration plants.
Outlet heights are determined by means of an OML calculation.
The Statutory Orders specified above feature inspection regulations for the incineration of waste.
The calorific value is a measure for the amount of heat released upon combustion. A distinction is made between the concepts "lower" and "upper" calorific value. The lower (effective) calorific value describes the quantity of heat which is usually utilised by an energy plant. The upper (calorimetric) calorific value includes the heat that is released from condensation of flue-gas content of steam (water vapour).
The calorific value for each type of fuel is specified under the heading "General information" in each section.
![]() | 1 ppm SO2 = 2.93 mg/normal m3 SO2 at 0° C and 101.3 kPa. |
![]() | 1 ppm NO = 1.34 mg/normal m3 NO at 0° C and 101.3 kPa. |
![]() | 1 ppm NO2 = 2.05 mg/normal m3 NO2 at 0° C and 101.3 kPa. |
![]() | 1 ppm CO = 1.25 mg/normal m3 CO at 0° C and 101.3 kPa. |
![]() | 1 ppm CO2 = 1.98 mg/normal m3 CO2 at 0° C and 101.3 kPa. |
NOX is the name used for the sum of the following nitrogen oxides: nitrogen monoxide (NO) and nitrogen dioxide (NO2).
When determining emissions of NOX, all NOX must be converted into NO2. In practice, emissions of NO and NOX are measured in ppm. The resultant values are totalled, and the sum is converted into mg/normal m3 NO2 by means of the conversion factor for NO2.
See also the example of a conversion from NOX to NO2 in section 3.2.5.2.
When standard fuels are burned, the resultant NOX comprises approximately 10 per cent NO2 and 90 per cent NO.
This does not apply to gas motors69, which generate significantly more NO2.
Measurements should generally be carried out by installations or persons with the appropriate accreditation; see section 5.3.2 for more details. Chapter 8 describes methods of measurement and sample extraction.
55 | Statutory Order No. 901 of 31 October 1994. |
56 | Statutory Order No. 580 of 22 June 2000 |
57 | Natural gas has a bulk density of approximately 0.8 kg/normal m3. |
58 | See the example in section 3.2.5.2 on conversion of NOX into NO2 |
59 | No. 901 of 31 October 1994. |
60 | No. 580 of 22 June 2000. |
61 | No. 901 of 31 October 1994. |
62 | Statutory Order No. 638 of 3 July 1997 on biomass waste. |
63 | As a point of departure, this also applies to condensing wood-fired plants and plants without dust filters. |
64 | This only applies to plants with an input effect of 5 MW or more. When firing with wood chips with high bark content and a large proportion of needles, the emission limit value may be raised to 400 mg/normal m3 |
65 | Statutory Order No. 638 of 3 July 1997 on biomass waste. |
66 | This only applies to plants with an input effect of 5 MW or more. |
67 | This only applies to plants with an input effect of 5 MW or more. When firing with wood chips with high bark content and a large proportion of needles, the emission limit value may be raised to 400 mg/normal m3 |
68 | See Directive 2000/76/EC on waste incineration. This Directive addresses both hazardous and non-hazardous waste. There will be consultation on a Statutory Order. |
69 | For gas motors, please contact the Danish Gas Technology Centre (DGC), Dr.
Neergaards Vej 5A, 2970 Hørsholm. Tel.: (+45) 45 76 60 44. www.dgc.dk. |
Tanks are normally used to store liquid substances, whereas silos are used to store solid substances. For the purposes of these Guidelines, "Very noxious substances" means substances that are present in the gaseous phase in concentrations corresponding to more than 100,000 LE/m3 at the storage temperature.
Tanks to be used for gaseous substances are not included.
There is no need to carry out OML calculations for tanks and silos.
The exterior walls and roofs of tanks situated above ground should be painted in a colour with a total reflection coefficient for radiant heat of at least 70 per cent. For existing tanks, this can be carried out as part of standard regular maintenance work. This requirement regarding paint does not, however, apply to tanks linked to a condensation plant or other air-cleaning plants.
7.2.1.2 Existing tanks with external floating roofs
Tanks with external floating roofs and intended for storage of principal group 1 substances and very noxious substances should be fitted with a primary seal, covering the ring-shaped gap between the tank walls and the outer circumference of the floating roof. They should also be fitted with a secondary seal above the primary seal. These seals should be designed so that at least 95 per cent of the vapours are retained when compared to corresponding tanks with fixed roofs which are not fitted with equipment designed to retain vapours (i.e. tanks with fixed roofs, fitted with a pressure/vacuum safety valve only).
All new tanks should be constructed either as tanks with fixed roofs linked to a condensation plant (air-cleaning plant) or designed with an external or internal floating vapour barrier with a primary and secondary seal that meets the requirements stipulated in section 7.1.1.2.
7.2.1.4 Existing tanks with fixed roofs
Existing tanks with fixed roofs should either be linked to a condensation plant in accordance with the provisions laid down in Appendix 3 of Statutory Order No. 852 of 11 November 1995, or be fitted with an internal floating vapour barrier with a primary seal, constructed in a way that a total of at least 90 per cent of the vapours are retained when compared with corresponding tanks with fixed roofs and not fitted with equipment designed to retain vapours.
Tanks should be filled by injecting liquid below the surface level inside the tank.
Example of storage in a closed system
In 1998, a Danish refinery built a new three-cut splitter for distillation of benzene. The fractionation column distils 250 tonnes of benzene from petrol every 24 hours, thus ensuring that the Danish requirements for a maximum benzene content in petrol of 1 per cent are complied with. In this connection, the installation constructed a new closed system, encompassing the fractionating column, storage, and distribution of benzene. |
The guidelines specified below apply to tanks larger than 50 m3.
Products with a vapour pressure greater than 1.3 kPa71 should be stored in tanks with fixed roofs. These tanks should be linked to a condensation plant in accordance with the provisions laid down in Appendix 3 of the Statutory Order on the limitation of emissions of vapours from storage and distribution of petrol. They may also, however, be fitted with an internal float with a primary seal, which should be constructed in a way that a total of at least 90 per cent of the vapours are retained when compared to corresponding tanks with fixed roofs and not fitted with equipment designed to retain vapours.
Products with vapour pressures less than 1.3 kPa (diesel oil, heavy fuel oil, and other substances with similar vapour pressures) should be stored in tanks with fixed roofs and a pressure/vacuum valve. Pressure/vacuum valves may be omitted on existing tanks not constructed for varying pressures corresponding to the range of the pressure/vacuum valve.
The exterior walls and roofs of tanks situated above ground level should be painted in a colour with a total reflection coefficient for radiant heat of at least 70 per cent. For existing tanks, this can be carried out as part of standard regular maintenance work.
Tanks should be filled by injecting all liquids below the surface level within the tank.
Silos for storage of solid substances should be fitted with suitable filters (V-pocket filters or filter cartridges), so that the limit values for emissions set up in these Guidelines for Air Emission Regulation can be complied with in connection with filling the silo.
Example of air terms for a silo filter
An installation using hydrated lime in its production stores the lime in a silo. This silo must be equipped with an effective silo filter capable of retaining emissions of hydrated lime during injection into the silo. This filter must be able to reduce emissions to less than 10 mg/normal m3. |
70 | Storage of petrol must be in accordance with Statutory Order from the Ministry of Energy and Environment No. 852 of 11 November 1995 on the limitation of emissions of vapours from storage and distribution of petrol. Appendix 2 of this Statutory Order includes a number of provisions on storage plants at terminals. |
71 | In this context, "vapour pressure" means the vapour pressure of the substance within the tank at the relevant storage temperature. |
The objective of this chapter is to provide guidelines on how to carry out measurements of emissions into air. It will describe methods of sampling and analysis, and set up guidelines on the design of sample-extraction sites, and on the measurement report.
The Danish EPA reference laboratory for measurement of emissions into air [hereafter referred to as "the reference laboratory"] has published (at the end of 2000) a list of recommended methods regarding performance monitoring, AMS, and random testing. The list also includes method sheets with standard operating procedures for a number of common emission parameters (substances), as well as a method sheet for planning and reporting emission measurements.
The list of recommended methods is available on the reference laboratory website72, where the full text in the method sheets can be seen and downloaded.
The recommended methods are listed in table 11. It is recommended to use these methods for performance monitoring and random testing. In special cases, it may be appropriate to apply modifications to these methods, or to use other methods of measurement than those recommended. In such cases, the choice of method should be justifiable and approved by the supervisory authority before measurement is carried out. If in doubt, please contact the reference laboratory.
8.2.2 List of recommended methods from the Danish Environmental Protection Agency
8.2.2.1 Performance monitoring and random testing
Table 11 features a list of recommended methods for parameters73, based on the national and international standards available.
Table 11.
Recommended methods for measurement of air pollution from installations (emission):
Methods for performance monitoring and random testing
Use of the methods of measurement listed in table 12 below is recommended in connection with AMS. In special cases, it may be appropriate to apply modifications to these methods, or to use other methods of measurement than those recommended here. In such cases, the choice of method should be well founded and approved by the supervisory authority before measurement is carried out.
8.2.3.1 Measurement of installation
Generally speaking, these standards do not include measurement ranges. Instead, the requirements are related to measurement ranges and/or concentrations measured.
Table 12.
Recommended methods for measurement of air pollution from installations (emission):
Methods for installation measurement using Automatic Measuring Systems (AMS)
8.2.3.2 Design of sampling site
For the purposes of these Guidelines, "sampling site" means the area of space required for a sampling location, i.e. the area where sampling equipment is placed, and from where sampling technicians are able to handle and operate such equipment.
Note that all access to sampling sites must be entirely safe and in accordance with current regulations issued by the Danish Working Environment Authority.
It is necessary to distinguish between designs of sampling sites at large-scale installations, where measurement is carried out regularly, and small installations, such as outlets, where only very few measurements may be called for. This makes it unfeasible to establish definite guidelines. The following, however, gives some recommendations which should be observed at large-scale installations where repeated measurements are called for, and where measurement is carried out at heights greater than 6 m above ground level:
Sampling sites should
![]() | be 3-5 m² in size (the exact size of the sampling platform depends on the type of measuring equipment used), |
![]() | be able to support a point load of at least 400 kg, |
![]() | have handrails built with kickboard approximately 0.25 m in height and two rails at heights of approximately 0.5 m and 1.2 m, |
![]() | be situated in a manner ensuring that the railings do not obstruct access to sampling apparatus, |
![]() | include stairs or a fixed ladder leading to the sampling site. Where the stairs or ladder meet the sampling site, the railings must have gates that close automatically or a similar safety device, |
![]() | feature 230V electric connections, |
![]() | have a pulley or similar device to lift equipment, |
![]() | have good lighting and ventilation, |
![]() | include protection against severe weather, |
![]() | have a non-skid surface. |
The conditions regarding safety at sampling sites are regulated by the Danish Working Environment Authority. This means that no terms should be included in environmental approvals for these facilities.
8.2.3.3 Design of sampling location
For the purposes of these Guidelines, "sampling location" means the point where emission measurement is carried out within a given duct. Sampling locations in stacks or ventilation ducts are typically made accessible by means of nozzles for securing exhaust probes
The location of such sampling locations and the number of sampling ports in a certain duct are very significant for the quality of the measurement results.
8.2.3.3.1 Particle measurements and volume-flow measurements
As gas velocities, particle concentrations, and distributions of particle sizes may vary within a given duct cross-section, sampling locations should be designed to facilitate extraction of representative samples in the gas flow. This is ensured by creating opportunities for traversing across the entire duct cross section, by inducing good gas mixture (i.e. avoiding layering), and by creating uniform flow conditions throughout the entire cross section.
8.2.3.4 Location of sampling location
Cross sections for measurement should be placed at a right angle to the gas flow. Where possible, sampling locations should be located in vertical ducts. Horizontal ducts should be rectangular. There should be a straight section M1 without obstacles before the sampling
location. For circular ducts, the length of M1 should be at least 5 x D, and
for rectangular ducts, M1 should be at least 2.5 x (H + W). At existing
installations, a shorter straight section is acceptable if the number of sampling points
is increased, see section 8.2.3.6.
D = inside diameter of a circular duct. H = inside height of a rectangular duct. W = inside width of a rectangular duct.
There should be a straight section M2 without obstacles after the sampling
location. For circular ducts, the length of M2 should be at least 1 x D, and
for rectangular ducts, M2 should be at least 0.5 x (H + W). (At existing
installations, a shorter straight section is acceptable if the number of sampling points
is increased, see section 8.2.3.6. There should be a straight section M2 after the sampling location and before
the opening of the outlet of at least 5 x D or 2.5 x (H + W) in length. If the gases in a duct rotate, a flow straightening device should be fitted before the
entrance of the straight section of the duct. Sampling locations should be located in a manner ensuring that they do not interfere
with AMS measurements or reference measurements.
If the measurement technician considers that a given sampling location has not been designed in accordance with current regulations, and that this fact entails greater uncertainty as to measurement results, the relevant installation and supervisory authorities should be notified before measurement commences.
8.2.3.5 Number and design of sampling ports
General instructions:
![]() | The sockets used must be 4" BSP sockets with an internal thread. Deviations may be made from the 4" dimension, if duct dimensions or duct parameters so dictate. Such deviations should always be discussed with an accredited laboratory. |
![]() | Socket depth should be between 30 and 70 mm. |
![]() | There should be at least 1.5 m of open space in front of each sampling port to facilitate insertion and removal of sampling apparatus (probes, etc.) from the duct. If the diameter of a given duct (height/width) is greater than 1 metre, the area of free space in front of each sampling port should extend to a distance equal to the duct diameter + 0.5 metres outside each sampling port. |
![]() | Where measurement must be carried out for several parameters at the same time, extra sampling ports should be fitted, particularly if the parameters to be measured include particles or metals. |
![]() | All sampling ports are fitted with plugs. It must be possible to remove such plugs without difficulty. |
![]() | Ducts with thick walls (e.g. insulation) should be fitted with an opening to the outside of the duct itself (where the sampling ports are located). Such an opening should be rectangular, with inside measurements of 100 x 500 mm, or should be dimensioned in consultation with an accredited laboratory. |
Circular ducts:
![]() | Two sampling ports should be placed 90° apart. |
![]() | Where D + P is greater than 3 m, a total of 4 sampling ports should be placed at relative angles of 90° to each other. D = internal diameter and P = port depth. |
See also figure 7.
Rectangular ducts:
![]() | The sampling ports should be fitted on one of the vertical sides of the duct, so that the required number of sampling points can be distributed evenly across the cross section. |
![]() | Thus the number of sampling ports depends on the number of sampling points and the dimensions of the duct. See section 8.2.3.6 for details concerning the number of sampling points. |
See also figure 8.
8.2.3.6 Number of sampling points
The number of sampling points in a cross section is based on the area of the cross section, as well as on the length of the straight duct sections before and after sampling locations.
The required number of sampling points in both circular and rectangular cross sections must be calculated as illustrated in the following diagram:
Figure 6
Number of sampling points in cross sections
In circular cross sections, the number of sampling points should be divisible by four. The sampling points should be distributed symmetrically along two diameters placed at right angles to each other.
For short, straight duct sections, the number of sampling points should be registered for both M1 and M2. The highest number of sampling points should then be selected.
Example 1
Table 13.
Location of sampling points in a circular cross section
Sampling point along cross section |
Number of sample points in a circular cross section |
||||||
2 |
4 |
6 |
8 |
10 |
12 |
14 |
|
1 |
85 |
93 |
96 |
97 |
97 |
98 |
98 |
2 |
15 |
75 |
85 |
90 |
92 |
93 |
94 |
3 |
25 |
70 |
81 |
85 |
88 |
90 |
|
4 |
7 |
30 |
68 |
77 |
82 |
85 |
|
5 |
15 |
32 |
66 |
75 |
80 |
||
6 |
4 |
19 |
34 |
64 |
73 |
||
7 |
10 |
23 |
36 |
63 |
|||
8 |
3 |
15 |
25 |
37 |
|||
9 |
8 |
18 |
27 |
||||
10 |
3 |
12 |
20 |
||||
11 |
7 |
15 |
|||||
12 |
2 |
10 |
|||||
13 |
6 |
||||||
14 |
|
|
|
|
|
|
2 |
A circular cross section has a D = 1,000 mm. M1 is greater than or equals 5 x D and M2 is greater than or equals 1 x D. According to the diagram, there should be 11 sampling points. The number of sampling points should, however, be divisible by four. This means that a total of 12 sampling points should be chosen instead. |
This table illustrates the position of sampling points within a circular cross section. The table indicates the distances from the inside duct wall to the various sampling points. These distances are given as percentages of the duct diameter D.
Figure 7
Example of sampling point location in a circular cross section
Example 2
In a rectangular cross section at an existing installation, H = 1,100 mm and W = 700 mm. The straight sections without any disruptions of flow are short, M1 = 2.5 x D and M2 = 0.6 x D. The theoretical diameter D = 0.5 x (1,100 + 700) = 900. According to the diagram, there should be 17 sampling points. A total of 3 x 6 = 18 sampling points should then be selected. The rule for circular ducts and rectangular ducts is that figures should then be rounded up. |
Figure 8
Example of the distribution of 12 sampling points in a rectangular cross section
8.2.3.7 Sampling gaseous air pollutants
When sampling gaseous air pollution, in principle the samples should be taken at a sufficient number of points within the cross section to arrive at a representative volume of the average concentration. Under good flow conditions, where it is estimated that concentrations are not layered in the cross section, sampling may be carried out from a single point.
In general, the requirements on measurement-position design outlined in section 8.2.3.5 also apply to measurements of gas. In certain situations, such as when measuring in circular ventilation ducts, it may be sufficient to have access to the duct via two 1" BSP sockets placed 90° apart. If an installation wishes to deviate from the requirements on the design of sampling locations, as specified in section 8.2.3.5, this should be approved by the supervisory authorities and an accredited laboratory.
8.2.3.8 Ducts less than 300 mm in diameter
Special rules on the measurement of particles and volume flow apply to circular ducts with a diameter of less than 300 mm (0.5 x (H + W) <300 mm for rectangular ducts). If the requirements concerning distance, as specified in section 8.2.3.6, are complied with, particle measurements may be carried out isokinectically at a single point in the middle of the duct. Measurements of volume flow are traversed as usual. However, no measurements should be carried out at points situated less than 30 mm from the duct walls.
It may be helpful to select smaller sockets for smaller ducts. If an installation wishes to deviate from the requirements on socket dimensions, etc., as specified in section 8.2.3.5, this should first be approved by the supervisory authorities and an accredited laboratory.
Performance monitoring or random testing should be reported in the form of an accredited measurement report. Such reports must, as a minimum, meet the requirements laid down in DS/EN 45 001 or EN/ISO 17025, as stipulated in each accreditation.
The following points should be included in a measurement report:
![]() | the name and address of the test laboratory, the site tested, and the person or enterprise requesting the test, |
![]() | unambiguous identification of the report (e.g. through a serial number) and each page therein, and indication of the total number of pages, |
![]() | a description and identification of the test subject (outlet or stack), |
![]() | date and time of sampling, |
![]() | identification of test/sample specification (reference) or a description of the sample method or procedure used, |
![]() | a description of the sample-extraction procedures, |
![]() | any deviation from, addition to, or omissions regarding test specifications, as well as any other information of importance regarding a specific sample/test, |
![]() | identification of any non-standard test/sample method used, including deviations from recommended methods, |
![]() | measurements, surveys, and results, supported as necessary by tables, diagrams, drawings and photographs, and by records of all errors identified, |
![]() | a statement regarding measurement uncertainties, |
![]() | signature and job title or similar identification of the person(s) assuming technical responsibility for the test report, as well as the date of issue of the report, |
![]() | a statement that the sample results apply only to the sample subjects, |
![]() | a statement that the report may not be reproduced, except in its entirety, without written permission from the test laboratory. |
All quantitative results must include statements regarding calculated or estimated uncertainty. This means that the total uncertainty for a given measurement must be calculated or estimated and included in the report. In addition to the uncertainty associated with the measurement method used, other factors include the design of sampling locations, the measurement process, and the composition of the gas may affect the total uncertainty involved.
A measurement report must include a description (sketch) of the design of the relevant sampling location, including information on duct dimensioning and orientation, the length of straight sections before and after the sampling location, and the number of sampling ports and their relative positions. All matters that influence measurement uncertainty must be described.
The measurement report must include a measure for the level and type of production during the control period. For example, this may concern "energy" and the type of coal involved, or the number of objects painted, their surface, and the type of coating used. For certain types of production plants, it may be sufficient to state whether production is rated as "normal" or "maximum".
72 | http://www.dk-teknik.dk/ref-lab/ref-lab.asp Address: Gladsaxe Møllevej 15, DK-2860 Søborg. Tel. (+45) 39 55 59 99 |
73 | The reference laboratory is currently working on several new method sheets, including a method sheet for PCB |
In the following, all percentages are volume % dry gas.
Cref. | = | concentration at reference CO2% [mg / normal m3(ref.)] |
Cmeasured | = | measured concentration [mg / normal m3(measured)] |
CO2%(ref.) | = | reference CO2% [Vol%] |
CO2%(measured) | = | measured CO2% [Vol%] |
If the substance is measured at a concentration of 150 mg/normal m3 at 5% CO2,
at 10% CO2 this will correspond to:
Cref. | = | concentration at reference O2% [mg/normal m3(ref.)] |
Cmeasured | = | measured concentration [mg/normal m3(measured)] |
O2%(ref.) | = | reference O2% [Vol%] |
O2%(measured) | = | measured O2% [Vol%] |
If the substance is measured at a concentration of 150 mg/normal m3 at 15% O2,
at 10% O2 this will correspond to:
The following values for CO2%(max) can be used (for rough
calculations)
Wood and straw: | 20% |
Household waste: | 19% |
Coal: | 19% |
Heavy fuel oil: | 16% |
Light fuel oil: | 15% |
Natural gas: | 12% |
CO2%(max) gives CO2%, when combustion is without air surplus.
The definition of moisture percent in the air as used in OML calculations expresses the proportion of water vapour in relation to the total volume (the volume H2O / total volume of air (including water vapour))74. Conversion between the total volume and dry volume is according to the following equation:
|
|
|
= | 2.93 mg/normal m3 SO2 at 0oC and 101.3 kPa. | ||
|
= | 1.34 mg/normal m3 NO at 0oC and 101.3 kPa. | ||
|
= | 2.05 mg/normal m3 NO2 at0oC and 101.3 kPa. | ||
|
= | 1.25 mg/normal m3 CO at 0oC and 101.3 kPa. | ||
|
= | 1.98 mg/normal m3 CO2 at 0oC and 101.3 kPa. | ||
|
= | 1.87 mg/normal m3 C at 0oC and 101.3 kPa. | ||
|
= | 1.63 mg/normal m3 HCl at 0oC and 101.3 kPa. |
1 J/s | = | 1 W |
1 MJ/s | = | 0.8598 Gcal/h |
1 kJ | = | 2,778 x 10-4 kWh |
1 kWh | = | 3,600 kJ |
1 kWh | = | 859.8 kcal |
1 kcal | = | 1.163 x 10-3kWh |
1 kcal | = | 4.1868 kJ |
peta | (P) | 1015 |
tera | (T) | 1012 |
giga | (G) | 109 |
mega | (M) | 106 |
kilo | (k) | 103 |
milli | (m) | 10-3 |
micro | (µ) | 10-6 |
nano | (n) | 10-9 |
pico | (p) | 10-12 |
femto | (f) | 10-15 |
atto | (a) | 10-18 |
74 | Moisture percentages should always be expressed as mentioned above.
Certain methods of measurement (e.g. gravimetric determination of water content) allow the
possibility of stating results as the amount of water vapour in relation to the dry volume
of air. This result should always be converted to Vol% H2O before correction. Recalculation from "dry" Vol% H2O to Vol% H2O: Vol% H2O = Vol% H2O(dry) * 100 / (100 + Vol% H2O(dry)). |
This chapter deals with thermal and catalytic oxidation installations used for destruction of organic solvents containing carbon, oxygen and hydrogen. Where other elements such as halogens and nitrogen are involved, please refer to the rules in chapter 3.
Destruction of organic compounds should not commence before the installation reaches its optimal operating conditions (e.g. temperatures at the set points).
The limit value for emissions of TOC is set at 1 % by weight of the expected maximum concentration in g TOC/normal m3 added to the installation (averaged over 1 hour), but normally up to a maximum of 100 mg TOC/normal m3 and down to a minimum of 20 mg TOC/normal m3.
Reference condition is the actual concentration of oxygen.
100 mg/normal m3 at actual concentration of oxygen.
At first, the limit value for emissions of odours can be set at 4,000 LE/normal m3 at the actual concentration of oxygen. However, in some cases, for technical or financial reasons, it may be necessary to set a high limit value. (In such cases more than 95 % purification or abatement should be required.)
200 mg/normal m3 calculated as NO2 at actual concentration of oxygen.
10.4 Calculation of the height of outletsThe source strength which has the greatest dispersion coefficient found in sections 10.4.1 10.4.5, should be used to calculate the height of stacks and other outlets, see chapter 4.
Source strength is equal to the unburned part of the specific organic compounds measured or calculated after purification or abatement.
As a basis, calculations of dispersion coefficients should use a C-value of 0.1 mg TOC/m3. This C-value should take into account the fact that unknown, harmful substances such as aldehydes are formed during combustion. However, at effective combustion plants, most of the substances emitted will be light hydrocarbons such as methane, ethane, and propane. If it is possible to confirm that most of the TOCs emitted comprise these light hydrocarbons, the C-value can be increased to 1 mg/m3
The source strength for CO is calculated on the basis of the limit value for emissions of CO.
The source strength for NOX is calculated on the basis of the limit value for emissions of NOX.
The source strength for odours is calculated as described in section 4.5.
10.5 Monitoring 10.5.1 AMSRefer also to section 5.2.4.
Performance measurements for TOC should be carried out with a flame ionisation detector (FID).
Random tests |
Random tests are where emission measurement is carried out at intervals, such as 6 times a year. Random testing is used at installations with very significant air pollution, where it is not technically or financially feasible to use AMS inspection. |
Recommended methods |
At the end of 2000, the Danish Environmental Protection Agency reference laboratory for measurement of emissions into air has published a list of recommended methods for performance monitoring, AMS, and random testing. The list also includes method sheets with standard operating procedures for a number of common emission parameters (substances), as well as a method sheet for planning and reporting emission measurements. The list of recommended methods is available on the reference laboratory website http://www.dk-teknik.dk/ref-lab/ref-lab.asp, where the full text in the method sheets can be seen and downloaded. |
Terms |
The objective of terms for air pollution is to ensure that such pollution is kept below a specific limit. These terms may be presented in various ways: Operating terms Operating terms are requirements that affect the design and operation of installations and have an impact on air pollution from such installations. Such requirements might involve the maximum capacity of the power plant or the use of specific raw materials. Emission terms Emission terms are requirements for air quantities and the concentration of substances emitted by installations, or requirements regarding maximum hourly emissions. Terms for outlet heights The objective of terms specifying outlet heights is to ensure compliance with C-values. |
Thinner mix |
Thinner mixes are defined as a mixture of at least three organic solvents or at least two organic solvents for water-based paints of which the relative proportion of a single organic solvent does not exceed 80 per cent by weight. If the mix contains three or more organic solvents, three of these organic solvents must each account for more than 2 per cent by weight . None of the organic solvents included in the mix may be substances belonging to Group 1 or Group 2, class I. The definition of thinner mixes has been changed as a consequence of a review of the use and composition of thinner mixes. A new C-value of 0.15 mg/m3 has been set for thinner mixes. Thinner mixes are still classified as belonging to Group 2, organic substances, class III. Thinner mixes include organic solvents in paint products used in paint shops (iron, metal, plastic), at car paint shops, in furniture manufacture, etc. |