Regulatory Flexibility Act
The following text
of the Regulatory Flexibility Act of 1980, as amended, is taken from 5 U.S.C.
§§ 601 612.
(The Regulatory Flexibility
Act was originally passed in 1980 (Pub. L. 96-354). The Act was
amended by the Small Business Regulatory
Enforcement Fairness Act of 1996 (Pub. L. 104-121).) (PDF File)
§ 601. Definitions
For purposes of this chapter--
(1) the term "agency" means an
agency as defined in section 551(1) of this title;
(2) the term "rule" means any
rule for which the agency publishes a general notice of proposed
rulemaking pursuant to section 553(b) of this title, or any other
law, including any rule of general applicability governing Federal
grants to State and local governments for which the agency provides
an opportunity for notice and public comment, except that the
term "rule" does not include a rule of particular applicability
relating to rates, wages, corporate or financial structures or
reorganizations thereof, prices, facilities, appliances, services,
or allowances therefor or to valuations, costs or accounting,
or practices relating to such rates, wages, structures, prices,
appliances, services, or allowances;
(3) the term "small business"
has the same meaning as the term "small business concern"
under section 3 of the Small Business Act, unless an agency,
after consultation with the Office of Advocacy of the Small Business
Administration and after opportunity for public comment, establishes
one or more definitions of such term which are appropriate to
the activities of the agency and publishes such definition(s)
in the Federal Register;
(4) the term "small organization"
means any not-for-profit enterprise which is independently owned
and operated and is not dominant in its field, unless an agency
establishes, after opportunity for public comment, one or more
definitions of such term which are appropriate to the activities
of the agency and publishes such definition(s) in the Federal
Register;
(5) the term "small governmental jurisdiction"
means governments of cities, counties, towns, townships, villages,
school districts, or special districts, with a population of
less than fifty thousand, unless an agency establishes, after
opportunity for public comment, one or more definitions of such
term which are appropriate to the activities of the agency and
which are based on such factors as location in rural or sparsely
populated areas or limited revenues due to the population of
such jurisdiction, and publishes such definition(s) in the Federal
Register;
(6) the term "small entity" shall
have the same meaning as the terms "small business",
"small organization" and "small governmental jurisdiction"
defined in paragraphs (3), (4) and (5) of this section; and
(7) the term "collection of information"--
(A) means the obtaining, causing to be
obtained, soliciting, or requiring the disclosure to third parties
or the public, of facts or opinions by or for an agency, regardless
of form or format, calling for either--
(i) answers to identical questions posed
to, or identical reporting or recordkeeping requirements imposed
on, 10 or more persons, other than agencies, instrumentalities,
or employees of the United States; or
(ii) answers to questions posed to agencies,
instrumentalities, or employees of the United States which are
to be used for general statistical purposes; and
(B) shall not include a collection of information
described under section 3518(c)(1) of title 44, United States
Code.
(8) Recordkeeping requirement.--The term
"recordkeeping requirement" means a requirement imposed
by an agency on persons to maintain specified records.
§ 602. Regulatory agenda
(a) During the months of October and April
of each year, each agency shall publish in the Federal Register
a regulatory flexibility agenda which shall contain--
(1) a brief description of the subject
area of any rule which the agency expects to propose or promulgate
which is likely to have a significant economic impact on a substantial
number of small entities;
(2) a summary of the nature of any such
rule under consideration for each subject area listed in the
agenda pursuant to paragraph (1), the objectives and legal basis
for the issuance of the rule, and an approximate schedule for
completing action on any rule for which the agency has issued
a general notice of proposed rulemaking, and
(3) the name and telephone number of an
agency official knowledgeable concerning the items listed in
paragraph (1).
(b) Each regulatory flexibility agenda
shall be transmitted to the Chief Counsel for Advocacy of the
Small Business Administration for comment, if any.
(c) Each agency shall endeavor to provide
notice of each regulatory flexibility agenda to small entities
or their representatives through direct notification or publication
of the agenda in publications likely to be obtained by such small
entities and shall invite comments upon each subject area on
the agenda.
(d) Nothing in this section precludes an
agency from considering or acting on any matter not included
in a regulatory flexibility agenda, or requires an agency to
consider or act on any matter listed in such agenda.
§ 603. Initial regulatory flexibility
analysis
(a) Whenever an agency is required by section
553 of this title, or any other law, to publish general notice
of proposed rulemaking for any proposed rule, or publishes a
notice of proposed rulemaking for an interpretative rule involving
the internal revenue laws of the United States, the agency shall
prepare and make available for public comment an initial regulatory
flexibility analysis. Such analysis shall describe the impact
of the proposed rule on small entities. The initial regulatory
flexibility analysis or a summary shall be published in the Federal
Register at the time of the publication of general notice of
proposed rulemaking for the rule. The agency shall transmit a
copy of the initial regulatory flexibility analysis to the Chief
Counsel for Advocacy of the Small Business Administration. In
the case of an interpretative rule involving the internal revenue
laws of the United States, this chapter applies to interpretative
rules published in the Federal Register for codification in the
Code of Federal Regulations, but only to the extent that such
interpretative rules impose on small entities a collection of
information requirement.
(b) Each initial regulatory flexibility
analysis required under this section shall contain--
(1) a description of the reasons why action
by the agency is being considered;
(2) a succinct statement of the objectives
of, and legal basis for, the proposed rule;
(3) a description of and, where feasible,
an estimate of the number of small entities to which the proposed
rule will apply;
(4) a description of the projected reporting,
recordkeeping and other compliance requirements of the proposed
rule, including an estimate of the classes of small entities
which will be subject to the requirement and the type of professional
skills necessary for preparation of the report or record;
(5) an identification, to the extent practicable,
of all relevant Federal rules which may duplicate, overlap or
conflict with the proposed rule.
(c) Each initial regulatory flexibility
analysis shall also contain a description of any significant
alternatives to the proposed rule which accomplish the stated
objectives of applicable statutes and which minimize any significant
economic impact of the proposed rule on small entities. Consistent
with the stated objectives of applicable statutes, the analysis
shall discuss significant alternatives such as--
(1) the establishment of differing compliance
or reporting requirements or timetables that take into account
the resources available to small entities;
(2) the clarification, consolidation, or
simplification of compliance and reporting requirements under
the rule for such small entities;
(3) the use of performance rather than
design standards; and
(4) an exemption from coverage of the rule,
or any part thereof, for such small entities.
§ 604. Final regulatory flexibility
analysis
(a) When an agency promulgates a final
rule under section 553 of this title, after being required by
that section or any other law to publish a general notice of
proposed rulemaking, or promulgates a final interpretative rule
involving the internal revenue laws of the United States as described
in section 603(a), the agency shall prepare a final regulatory
flexibility analysis. Each final regulatory flexibility analysis
shall contain--
(1) a succinct statement of the need for,
and objectives of, the rule;
(2) a summary of the significant issues
raised by the public comments in response to the initial regulatory
flexibility analysis, a summary of the assessment of the agency
of such issues, and a statement of any changes made in the proposed
rule as a result of such comments;
(3) a description of and an estimate of
the number of small entities to which the rule will apply or
an explanation of why no such estimate is available;
(4) a description of the projected reporting,
recordkeeping and other compliance requirements of the rule,
including an estimate of the classes of small entities which
will be subject to the requirement and the type of professional
skills necessary for preparation of the report or record; and
(5) a description of the steps the agency
has taken to minimize the significant economic impact on small
entities consistent with the stated objectives of applicable
statutes, including a statement of the factual, policy, and legal
reasons for selecting the alternative adopted in the final rule
and why each one of the other significant alternatives to the
rule considered by the agency which affect the impact on small
entities was rejected.
(b) The agency shall make copies of the
final regulatory flexibility analysis available to members of
the public and shall publish in the Federal Register such analysis
or a summary thereof.
§ 605. Avoidance of duplicative
or unnecessary analyses
(a) Any Federal agency may perform the
analyses required by sections 602, 603, and 604 of this title
in conjunction with or as a part of any other agenda or analysis
required by any other law if such other analysis satisfies the
provisions of such sections.
(b) Sections 603 and 604 of this title
shall not apply to any proposed or final rule if the head of
the agency certifies that the rule will not, if promulgated,
have a significant economic impact on a substantial number of
small entities. If the head of the agency makes a certification
under the preceding sentence, the agency shall publish such certification
in the Federal Register at the time of publication of general
notice of proposed rulemaking for the rule or at the time of
publication of the final rule, along with a statement providing
the factual basis for such certification. The agency shall provide
such certification and statement to the Chief Counsel for Advocacy
of the Small Business Administration.
(c) In order to avoid duplicative action,
an agency may consider a series of closely related rules as one
rule for the purposes of sections 602, 603, 604 and 610 of this
title.
§ 606. Effect on other law
The requirements of sections 603 and 604
of this title do not alter in any manner standards otherwise
applicable by law to agency action.
§ 607. Preparation of analyses
In complying with the provisions of sections
603 and 604 of this title, an agency may provide either a quantifiable
or numerical description of the effects of a proposed rule or
alternatives to the proposed rule, or more general descriptive
statements if quantification is not practicable or reliable.
§ 608. Procedure for waiver or
delay of completion
(a) An agency head may waive or delay the
completion of some or all of the requirements of section 603
of this title by publishing in the Federal Register, not later
than the date of publication of the final rule, a written finding,
with reasons therefor, that the final rule is being promulgated
in response to an emergency that makes compliance or timely compliance
with the provisions of section 603 of this title impracticable.
(b) Except as provided in section 605(b),
an agency head may not waive the requirements of section 604
of this title. An agency head may delay the completion of the
requirements of section 604 of this title for a period of not
more than one hundred and eighty days after the date of publication
in the Federal Register of a final rule by publishing in the
Federal Register, not later than such date of publication, a
written finding, with reasons therefor, that the final rule is
being promulgated in response to an emergency that makes timely
compliance with the provisions of section 604 of this title impracticable.
If the agency has not prepared a final regulatory analysis pursuant
to section 604 of this title within one hundred and eighty days
from the date of publication of the final rule, such rule shall
lapse and have no effect. Such rule shall not be repromulgated
until a final regulatory flexibility analysis has been completed
by the agency.
§ 609. Procedures for gathering
comments
(a) When any rule is promulgated which
will have a significant economic impact on a substantial number
of small entities, the head of the agency promulgating the rule
or the official of the agency with statutory responsibility for
the promulgation of the rule shall assure that small entities
have been given an opportunity to participate in the rulemaking
for the rule through the reasonable use of techniques such as--
(1) the inclusion in an advanced notice
of proposed rulemaking, if issued, of a statement that the proposed
rule may have a significant economic effect on a substantial
number of small entities;
(2) the publication of general notice of
proposed rulemaking in publications likely to be obtained by
small entities;
(3) the direct notification of interested
small entities;
(4) the conduct of open conferences or
public hearings concerning the rule for small entities including
soliciting and receiving comments over computer networks; and
(5) the adoption or modification of agency
procedural rules to reduce the cost or complexity of participation
in the rulemaking by small entities.
(b) Prior to publication of an initial
regulatory flexibility analysis which a covered agency is required
to conduct by this chapter--
(1) a covered agency shall notify the Chief
Counsel for Advocacy of the Small Business Administration and
provide the Chief Counsel with information on the potential impacts
of the proposed rule on small entities and the type of small
entities that might be affected;
(2) not later than 15 days after the date
of receipt of the materials described in paragraph (1), the Chief
Counsel shall identify individuals representative of affected
small entities for the purpose of obtaining advice and recommendations
from those individuals about the potential impacts of the proposed
rule;
(3) the agency shall convene a review panel
for such rule consisting wholly of full time Federal employees
of the office within the agency responsible for carrying out
the proposed rule, the Office of Information and Regulatory Affairs
within the Office of Management and Budget, and the Chief Counsel;
(4) the panel shall review any material
the agency has prepared in connection with this chapter, including
any draft proposed rule, collect advice and recommendations of
each individual small entity representative identified by the
agency after consultation with the Chief Counsel, on issues related
to subsections 603(b), paragraphs (3), (4) and (5) and 603(c);
(5) not later than 60 days after the date
a covered agency convenes a review panel pursuant to paragraph
(3), the review panel shall report on the comments of the small
entity representatives and its findings as to issues related
to subsections 603(b), paragraphs (3), (4) and (5) and 603(c),
provided that such report shall be made public as part of the
rulemaking record; and
(6) where appropriate, the agency shall
modify the proposed rule, the initial regulatory flexibility
analysis or the decision on whether an initial regulatory flexibility
analysis is required.
(c) An agency may in its discretion apply
subsection (b) to rules that the agency intends to certify under
subsection 605(b), but the agency believes may have a greater
than de minimis impact on a substantial number of small entities.
(d) For purposes of this section, the term
"covered agency" means the Environmental Protection
Agency and the Occupational Safety and Health Administration
of the Department of Labor.
(e) The Chief Counsel for Advocacy, in
consultation with the individuals identified in subsection (b)(2),
and with the Administrator of the Office of Information and Regulatory
Affairs within the Office of Management and Budget, may waive
the requirements of subsections (b)(3), (b)(4), and (b)(5) by
including in the rulemaking record a written finding, with reasons
therefor, that those requirements would not advance the effective
participation of small entities in the rulemaking process. For
purposes of this subsection, the factors to be considered in
making such a finding are as follows:
(1) In developing a proposed rule, the
extent to which the covered agency consulted with individuals
representative of affected small entities with respect to the
potential impacts of the rule and took such concerns into consideration.
(2) Special circumstances requiring prompt
issuance of the rule.
(3) Whether the requirements of subsection
(b) would provide the individuals identified in subsection (b)(2)
with a competitive advantage relative to other small entities.
§ 610. Periodic review of rules
(a) Within one hundred and eighty days
after the effective date of this chapter, each agency shall publish
in the Federal Register a plan for the periodic review of the
rules issued by the agency which have or will have a significant
economic impact upon a substantial number of small entities.
Such plan may be amended by the agency at any time by publishing
the revision in the Federal Register. The purpose of the review
shall be to determine whether such rules should be continued
without change, or should be amended or rescinded, consistent
with the stated objectives of applicable statutes, to minimize
any significant economic impact of the rules upon a substantial
number of such small entities. The plan shall provide for the
review of all such agency rules existing on the effective date
of this chapter within ten years of that date and for the review
of such rules adopted after the effective date of this chapter
within ten years of the publication of such rules as the final
rule. If the head of the agency determines that completion of
the review of existing rules is not feasible by the established
date, he shall so certify in a statement published in the Federal
Register and may extend the completion date by one year at a
time for a total of not more than five years.
(b) In reviewing rules to minimize any
significant economic impact of the rule on a substantial number
of small entities in a manner consistent with the stated objectives
of applicable statutes, the agency shall consider the following
factors--
(1) the continued need for the rule;
(2) the nature of complaints or comments
received concerning the rule from the public;
(3) the complexity of the rule;
(4) the extent to which the rule overlaps,
duplicates or conflicts with other Federal rules, and, to the
extent feasible, with State and local governmental rules; and
(5) the length of time since the rule has
been evaluated or the degree to which technology, economic conditions,
or other factors have changed in the area affected by the rule.
(c) Each year, each agency shall publish
in the Federal Register a list of the rules which have a significant
economic impact on a substantial number of small entities, which
are to be reviewed pursuant to this section during the succeeding
twelve months. The list shall include a brief description of
each rule and the need for and legal basis of such rule and shall
invite public comment upon the rule.
§ 611. Judicial review
(a)(1) For any rule subject to this chapter,
a small entity that is adversely affected or aggrieved by final
agency action is entitled to judicial review of agency compliance
with the requirements of sections 601, 604, 605(b), 608(b), and
610 in accordance with chapter 7. Agency compliance with sections
607 and 609(a) shall be judicially reviewable in connection with
judicial review of section 604.
(2) Each court having jurisdiction to review
such rule for compliance with section 553, or under any other
provision of law, shall have jurisdiction to review any claims
of noncompliance with sections 601, 604, 605(b), 608(b), and
610 in accordance with chapter 7. Agency compliance with sections
607 and 609(a) shall be judicially reviewable in connection with
judicial review of section 604.
(3)(A) A small entity may seek such review
during the period beginning on the date of final agency action
and ending one year later, except that where a provision of law
requires that an action challenging a final agency action be
commenced before the expiration of one year, such lesser period
shall apply to an action for judicial review under this section.
(B) In the case where an agency delays
the issuance of a final regulatory flexibility analysis pursuant
to section 608(b) of this chapter, an action for judicial review
under this section shall be filed not later than--
(i) one year after the date the analysis
is made available to the public, or
(ii) where a provision of law requires
that an action challenging a final agency regulation be commenced
before the expiration of the 1-year period, the number of days
specified in such provision of law that is after the date the
analysis is made available to the public.
(4) In granting any relief in an action
under this section, the court shall order the agency to take
corrective action consistent with this chapter and chapter 7,
including, but not limited to--
(A) remanding the rule to the agency, and
(B) deferring the enforcement of the rule
against small entities unless the court finds that continued
enforcement of the rule is in the public interest.
(5) Nothing in this subsection shall be
construed to limit the authority of any court to stay the effective
date of any rule or provision thereof under any other provision
of law or to grant any other relief in addition to the requirements
of this section.
(b) In an action for the judicial review
of a rule, the regulatory flexibility analysis for such rule,
including an analysis prepared or corrected pursuant to paragraph
(a)(4), shall constitute part of the entire record of agency
action in connection with such review.
(c) Compliance or noncompliance by an agency
with the provisions of this chapter shall be subject to judicial
review only in accordance with this section.
(d) Nothing in this section bars judicial
review of any other impact statement or similar analysis required
by any other law if judicial review of such statement or analysis
is otherwise permitted by law.
§ 612. Reports and intervention
rights
(a) The Chief Counsel for Advocacy of the
Small Business Administration shall monitor agency compliance
with this chapter and shall report at least annually thereon
to the President and to the Committees on the Judiciary and Small
Business of the Senate and House of Representatives.
(b) The Chief Counsel for Advocacy of the
Small Business Administration is authorized to appear as amicus
curiae in any action brought in a court of the United States
to review a rule. In any such action, the Chief Counsel is authorized
to present his or her views with respect to compliance with this
chapter, the adequacy of the rulemaking record with respect to
small entities and the effect of the rule on small entities.
(c) A court of the United States shall
grant the application of the Chief Counsel for Advocacy of the
Small Business Administration to appear in any such action for
the purposes described in subsection (b).
(The Regulatory
Flexibility Act was originally passed in 1980 (P. L. 96-354).
The Act was amended by the Small Business
Regulatory Enforcement Fairness Act of 1996 (P.L. 104-121).)
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