Appendix A to Part 851 - Worker Safety and Health Functional Areas
10:4.0.2.5.31.5.74.7.27 : Appendix A
Appendix A to Part 851 - Worker Safety and Health Functional Areas
This appendix establishes the mandatory requirements for
implementing the applicable functional areas required by §
851.24.
1. Construction Safety
(a) For each separately definable construction activity (e.g.,
excavations, foundations, structural steel, roofing) the
construction contractor must:
(1) Prepare and have approved by the construction manager an
activity hazard analysis prior to commencement of affected work.
Such analyses must:
(i) Identify foreseeable hazards and planned protective
measures;
(ii) Address further hazards revealed by supplemental site
information (e.g., site characterization data, as-built drawings)
provided by the construction manager;
(iii) Provide drawings and/or other documentation of protective
measures for which applicable Occupational Safety and Health
Administration (OSHA) standards require preparation by a
Professional Engineer or other qualified professional, and
(iv) Identify competent persons required for workplace
inspections of the construction activity, where required by OSHA
standards.
(2) Ensure workers are aware of foreseeable hazards and the
protective measures described within the activity analysis prior to
beginning work on the affected activity.
(3) Require that workers acknowledge being informed of the
hazards and protective measures associated with assigned work
activities. Those workers failing to utilize appropriate protective
measures must be subject to the construction contractor's
disciplinary process.
(b) During periods of active construction (i.e.,
excluding weekends, weather delays, or other periods of work
inactivity), the construction contractor must have a designated
representative on the construction worksite who is knowledgeable of
the project's hazards and has full authority to act on behalf of
the construction contractor. The contractor's designated
representative must make frequent and regular inspections of the
construction worksite to identify and correct any instances of
noncompliance with project safety and health requirements.
(c) Workers must be instructed to report to the construction
contractor's designated representative, hazards not previously
identified or evaluated. If immediate corrective action is not
possible or the hazard falls outside of project scope, the
construction contractor must immediately notify affected workers,
post appropriate warning signs, implement needed interim control
measures, and notify the construction manager of the action taken.
The contractor or the designated representative must stop work in
the affected area until appropriate protective measures are
established.
(d) The construction contractor must prepare a written
construction project safety and health plan to implement the
requirements of this section and obtain approval of the plan by the
construction manager prior to commencement of any work covered by
the plan. In the plan, the contractor must designate the
individual(s) responsible for on-site implementation of the plan,
specify qualifications for those individuals, and provide a list of
those project activities for which subsequent hazard analyses are
to be performed. The level of detail within the construction
project safety and health plan should be commensurate with the
size, complexity and risk level of the construction project. The
content of this plan need not duplicate those provisions that were
previously submitted and approved as required by § 851.11.
2. Fire Protection
(a) Contractors must implement a comprehensive fire safety and
emergency response program to protect workers commensurate with the
nature of the work that is performed. This includes appropriate
facility and site-wide fire protection, fire alarm notification and
egress features, and access to a fully staffed, trained, and
equipped emergency response organization that is capable of
responding in a timely and effective manner to site
emergencies.
(b) An acceptable fire protection program must include those
fire protection criteria and procedures, analyses, hardware and
systems, apparatus and equipment, and personnel that would
comprehensively ensure that the objective in paragraph 2(a) of this
section is met. This includes meeting applicable building codes and
National Fire Protection Association codes and standards.
3. Explosives Safety
(a) Contractors responsible for the use of explosive materials
must establish and implement a comprehensive explosives safety
program.
(b) Contractors must comply with the policy and requirements
specified in the appropriate explosives safety technical
standard.
(c) Contractors must determine the applicability of the
explosives safety directive requirements to research and
development laboratory type operations consistent with the DOE
level of protection criteria described in the explosives safety
directive.
4. Pressure Safety
(a) Contractors must establish safety policies and procedures to
ensure that pressure systems are designed, fabricated, tested,
inspected, maintained, repaired, and operated by trained and
qualified personnel in accordance with applicable and sound
engineering principles.
(b) Contractors must ensure that all pressure vessels, boilers,
air receivers, and supporting piping systems conform to:
(1) The applicable American Society of Mechanical Engineers
(ASME) boilers and pressure vessel codes (BPVC), including
applicable code cases as indicated in paragraphs (b)(1)(i) through
(xxxii) of this section:
(i) BPVC.I-2015, Section I - Rules for Construction of Power
Boilers (incorporated by reference, see § 851.27);
(ii) BPVC.II.A-2015, Section II-Materials, Part A - Ferrous
Material Specifications (Beginning to SA-450) (incorporated by
reference, see § 851.27);
(iii) BPVC.II.A-2015, Section II - Materials, Part A -
Ferrous Material Specifications (SA-451 to End) (incorporated
by reference, see § 851.27);
(iv) BPVC.II.B-2015, Section II - Materials, Part B -
Nonferrous Material Specifications (incorporated by reference,
see § 851.27);
(v) BPVC.II.C-2015, Section II - Materials, Part
C-Specification for Welding Rods; Electrodes, and Filler Metals
(incorporated by reference, see § 851.27);
(vi) BPVC.II.D.C-2015, Section II - Materials, Part D -
Properties (Customary) (incorporated by reference, see §
851.27);
(vii) BPVC.II.D.M-2015, Section II - Materials, Part D -
Properties (Metric) (incorporated by reference, see §
851.27);
(viii) BPVC.III.A-2015, Section III - Rules for Construction
of Nuclear Facility Components, Appendices (incorporated by
reference, see § 851.27);
(ix) BPVC.III.1.NB-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division I - Subsection NB, Class 1
Components (incorporated by reference, see § 851.27);
(x) BPVC.III.1.NC-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division I - Subsection NC, Class 2
Components (incorporated by reference, see § 851.27);
(xi) BPVC.III.1.ND-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division I - Subsection ND, Class 3
Components (incorporated by reference, see § 851.27);
(xii) BPVC.III.1.NE-2015, Section III - Rules for
Construction of Nuclear Facility Components, Division I -
Subsection NE, Class MC Components (incorporated by reference,
see § 851.27);
(xiii) BPVC.III.1.NF-2015, Section III - Rules for
Construction of Nuclear Facility Components, Division I -
Subsection NF, Supports (incorporated by reference, see §
851.27);
(xiv) BPVC.III.1.NG-2015, Section III - Rules for
Construction of Nuclear Facility Components, Division I -
Subsection NG, Core Support Structures (incorporated by
reference, see § 851.27);
(xv) BPVC.III.1.NH-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division I - Subsection NH, Class 1
Components in Elevated Temperature Service (incorporated by
reference, see § 851.27);
(xvi) BPVC.III.NCA-2015, Section III - Rules for Construction
of Nuclear Facility; Components, Subsection NCA, General
Requirements for Division 1 and Division 2 (incorporated by
reference, see § 851.27);
(xvii) BPVC.III.2-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division 2, Code for Concrete
Containments (incorporated by reference, see § 851.27);
(xviii) BPVC.III.3-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division 3, Containment for
Transportation and Storage of Spent Nuclear Fuel and High Level
Radioactive Material and Waste (incorporated by reference, see
§ 851.27);
(xix) BPVC.III.5-2015, Section III - Rules for Construction
of Nuclear Facility Components, Division 5, High Temperature
Reactors (incorporated by reference, see § 851.27);
(xx) BPVC.IV-2015, Section IV, Rules for Construction of
Heating Boilers (incorporated by reference, see § 851.27);
(xxi) BPVC.V-2015, Section V, Nondestructive Examination
(incorporated by reference, see § 851.27);
(xxii) BPVC.VI-2015, Section VI, Recommended Rules for the
Care and Operation of Heating Boilers (incorporated by
reference, see § 851.27);
(xxiii) BPVC.VII-2015, Section VII, Recommended Guidelines
for the Care of Power Boilers (incorporated by reference, see §
851.27);
(xxiv) BPVC.VIII.1-2015, Section VIII - Rules for
Construction of Pressure Vessels, Division 1 (incorporated by
reference, see § 851.27);
(xxv) BPVC.VIII.2-2015, Section VIII - Rules for Construction
of Pressure Vessels, Division 2, Alternative Rules
(incorporated by reference, see § 851.27);
(xxvi) BPVC.VIII.3-2015, Section VIII - Rules for
Construction of Pressure Vessels, Division 3, Alternative Rules for
Construction of High Pressure Vessels (incorporated by
reference, see § 851.27);
(xxvii) BPVC.IX-2015, Section IX - Welding, Brazing and
Fusing Qualifications, Qualification Standard for Welding, Brazing,
and Fusing Procedures; Welders; Brazers; and Welding, Brazing, and
Fusing Operators (incorporated by reference, see § 851.27);
(xxviii) BPVC.X-2015, Section X, Fiber - Reinforced Plastic
Pressure Vessels (incorporated by reference, see § 851.27);
(xxix) BPVC.XI-2015, Section XI, Rules for Inservice
Inspection of Nuclear Power Plant Components (incorporated by
reference, see § 851.27);
(xxx) BPVC.XII-2015, Section XII, Rules for Construction and
Continued Service of Transport Tanks (incorporated by
reference, see § 851.27);
(xxxi) BPVC.CC.BPV-2015, Code Cases, Boilers and Pressure
Vessels (incorporated by reference, see § 851.27); and
(xxxii) BPVC.CC.NC-2015, Code Cases, Nuclear Components
(incorporated by reference, see § 851.27).
(2) The applicable ASME B31 code for pressure piping as
indicated in this paragraph; and or as indicated in paragraph
(b)(3) of this section:
(i) B31.1-2016, Power Piping (incorporated by reference,
see § 851.27);
(ii) B31.3-2014, Process Piping (incorporated by
reference, see § 851.27);
(iii) B31.4-2016, Pipeline Transportation Systems for Liquids
and Slurries (incorporated by reference, see § 851.27);
(iv) B31.5-2016, Refrigeration Piping and Heat Transfer
Components (incorporated by reference, see § 851.27);
(v) B31.8-2016, Gas Transmission and Distribution Piping
Systems (incorporated by reference, see § 851.27);
(vi) B31.8S-2014, Managing System Integrity of Gas
Pipelines (incorporated by reference, see § 851.27);
(vii) B31.9-2014, Building Services Piping (incorporated
by reference, see § 851.27); and
(viii) B31G-2012, Manual for Determining the Remaining
Strength of Corroded Pipelines (incorporated by reference, see
§ 851.27).
(3) The strictest applicable state and local codes.
(c) When national consensus codes are not applicable (because of
pressure range, vessel geometry, use of special materials, etc.),
contractors must implement measures to provide equivalent
protection and ensure a level of safety greater than or equal to
the level of protection afforded by the ASME or applicable state or
local code. Measures must include the following:
(1) Design drawings, sketches, and calculations must be reviewed
and approved by a qualified independent design professional
(i.e., professional engineer). Documented organizational
peer review is acceptable.
(2) Qualified personnel must be used to perform examinations and
inspections of materials, in-process fabrications, non-destructive
tests, and acceptance test.
(3) Documentation, traceability, and accountability must be
maintained for each unique pressure vessel or system, including
descriptions of design, pressure conditions, testing, inspection,
operation, repair, and maintenance.
5. Firearms Safety
(a) A contractor engaged in DOE activities involving the use of
firearms must establish firearms safety policies and procedures for
security operations, and training to ensure proper accident
prevention controls are in place.
(1) Written procedures must address firearms safety, engineering
and administrative controls, as well as personal protective
equipment requirements.
(2) As a minimum, procedures must be established for:
(i) Storage, handling, cleaning, inventory, and maintenance of
firearms and associated ammunition;
(ii) Activities such as loading, unloading, and exchanging
firearms. These procedures must address use of bullet containment
devices and those techniques to be used when no bullet containment
device is available;
(iii) Use and storage of pyrotechnics, explosives, and/or
explosive projectiles;
(iv) Handling misfires, duds, and unauthorized discharges;
(v) Live fire training, qualification, and evaluation
activities;
(vi) Training and exercises using engagement simulation
systems;
(vii) Medical response at firearms training facilities; and
(viii) Use of firing ranges by personnel other than DOE or DOE
contractor protective forces personnel.
(b) Contractors must ensure that personnel responsible for the
direction and operation of the firearms safety program are
professionally qualified and have sufficient time and authority to
implement the procedures under this section.
(c) Contractors must ensure that firearms instructors and
armorers have been certified by the Safeguards and Security
National Training Center to conduct the level of activity provided.
Personnel must not be allowed to conduct activities for which they
have not been certified.
(d) Contractors must conduct formal appraisals assessing
implementation of procedures, personnel responsibilities, and duty
assignments to ensure overall policy objectives and performance
criteria are being met by qualified personnel.
(e) Contractors must implement procedures related to firearms
training, live fire range safety, qualification, and evaluation
activities, including procedures requiring that:
(1) Personnel must successfully complete initial firearms safety
training before being issued any firearms. Authorization to remain
in armed status will continue only if the employee demonstrates the
technical and practical knowledge of firearms safety
semi-annually;
(2) Authorized armed personnel must demonstrate through
documented limited scope performance tests both technical and
practical knowledge of firearms handling and safety on a
semi-annual basis;
(3) All firearms training lesson plans must incorporate safety
for all aspects of firearms training task performance standards.
The lesson plans must follow the standards set forth by the
Safeguards and Security Central Training Academy's standard
training programs;
(4) Firearms safety briefings must immediately precede training,
qualifications, and evaluation activities involving live fire
and/or engagement simulation systems;
(5) A safety analysis approved by the Head of DOE Field Element
must be developed for the facilities and operation of each live
fire range prior to implementation of any new training,
qualification, or evaluation activity. Results of these analyses
must be incorporated into procedures, lesson plans, exercise plans,
and limited scope performance tests;
(6) Firing range safety procedures must be conspicuously posted
at all range facilities; and
(7) Live fire ranges, approved by the Head of DOE Field Element,
must be properly sited to protect personnel on the range, as well
as personnel and property not associated with the range.
(f) Contractors must ensure that the transportation, handling,
placarding, and storage of munitions conform to the applicable DOE
requirements.
6. Industrial Hygiene
Contractors must implement a comprehensive industrial hygiene
program that includes at least the following elements:
(a) Initial or baseline surveys and periodic resurveys and/or
exposure monitoring as appropriate of all work areas or operations
to identify and evaluate potential worker health risks;
(b) Coordination with planning and design personnel to
anticipate and control health hazards that proposed facilities and
operations would introduce;
(c) Coordination with cognizant occupational medical,
environmental, health physics, and work planning professionals;
(d) Policies and procedures to mitigate the risk from identified
and potential occupational carcinogens;
(e) Professionally and technically qualified industrial
hygienists to manage and implement the industrial hygiene program;
and
(f) Use of respiratory protection equipment tested under the DOE
Respirator Acceptance Program for Supplied-Air Suits when the
National Institute for Occupational Safety and Health-approved
respiratory protection does not exist for DOE tasks that require
such equipment. For security operations military type masks for
respiratory protection by security personnel is acceptable.
7. Biological Safety
(a) Contractors must establish and implement a biological safety
program that:
(1) Establishes an Institutional Biosafety Committee (IBC) or
equivalent. The IBC must:
(i) Review any work with biological etiologic agents for
compliance with applicable Centers for Disease Control and
Prevention (CDC), National Institutes of Health (NIH), World Health
Organization (WHO), United States Department of Agriculture Animal
and Plant Health Inspection Service (USDA/APHIS), and other
international, Federal, State, and local guidelines and assess the
containment level, facilities, procedures, practices, and training
and expertise of personnel; and
(ii) Review the site's security, safeguards, and emergency
management plans and procedures to ensure they adequately consider
work involving biological etiologic agents.
(2) Maintains an inventory and status of biological etiologic
agents, and provide to the responsible field and area office,
through the laboratory IBC (or its equivalent), an annual status
report describing the status and inventory of biological etiologic
agents and the biological safety program.
(3) Provides for submission to the appropriate Head of DOE Field
Element, for review and concurrence before transmittal to the
Federal Select Agent Program, each Laboratory Registration/Select
Agent Program registration application package (APHIS/CDC Form 1,
Application for Registration for Possession, Use, and Transfer of
Select Agents and Toxins) requesting registration of (or amendment
to a previously approved registration) a laboratory facility for
the purpose of possessing, using, or transferring biological select
agents and/or toxins.
(4) Provides for submission to the appropriate Head of DOE Field
Element, a copy of each APHIS/CDC Form 2, Request to Transfer
Select Agents and Toxins, upon initial submission of APHIS/CDC Form
2 to a vendor or other supplier requesting or ordering a biological
select agent or toxin for transfer, receipt, and handling in the
registered facility; and submission to the appropriate Head of DOE
Field Element the completed copy of the APHIS/CDC Form 2,
documenting final disposition and/or destruction of the select
agent or toxin, within 10 days of completion of the APHIS/CDC Form
2.
(5) Confirms that the site safeguards and security plans and
emergency management programs address biological etiologic agents,
with particular emphasis on biological select agents.
(6) Establishes an immunization policy for personnel working
with biological etiologic agents based on the evaluation of risk
and benefit of immunization.
(b) [Reserved]
8. Occupational Medicine
(a) Contractors must establish and provide comprehensive
occupational medicine services to workers employed at a covered
work place who:
(1) Work on a DOE site for more than 30 days in a 12-month
period; or
(2) Are enrolled for any length of time in a medical or exposure
monitoring program required by this rule and/or any other
applicable Federal, State or local regulation, or other
obligation.
(b) The occupational medicine services must be under the
direction of a graduate of a school of medicine or osteopathy who
is licensed for the practice of medicine in the state in which the
site is located.
(c) Occupational medical physicians, occupational health nurses,
physician's assistants, nurse practitioners, psychologists,
employee assistance counselors, and other occupational health
personnel providing occupational medicine services must be
licensed, registered, or certified as required by Federal or State
law where employed.
(d) Contractors must provide the occupational medicine providers
access to hazard information by promoting its communication,
coordination, and sharing among operating and environment, safety,
and health protection organizations.
(1) Contractors must provide the occupational medicine providers
with access to information on the following:
(i) Current information about actual or potential work-related
site hazards (chemical, radiological, physical, biological, or
ergonomic);
(ii) Employee job-task and hazard analysis information,
including essential job functions;
(iii) Actual or potential work-site exposures of each employee;
and
(iv) Personnel actions resulting in a change of job functions,
hazards or exposures.
(2) Contractors must notify the occupational medicine providers
when an employee has been absent because of an injury or illness
for more than 5 consecutive workdays (or an equivalent time period
for those individuals on an alternative work schedule);
(3) Contractors must provide the occupational medicine provider
information on, and the opportunity to participate in, worker
safety and health team meetings and committees;
(4) Contractors must provide occupational medicine providers
access to the workplace for evaluation of job conditions and issues
relating to workers' health.
(e) A designated occupational medicine provider must:
(1) Plan and implement the occupation medicine services; and
(2) Participate in worker protection teams to build and maintain
necessary partnerships among workers, their representatives,
managers, and safety and health protection specialists in
establishing and maintaining a safe and healthful workplace.
(f) A record, containing any medical, health history, exposure
history, and demographic data collected for the occupational
medicine purposes, must be developed and maintained for each
employee for whom medical services are provided. All occupational
medical records must be maintained in accordance with Executive
Order 13335, Incentives for the Use of Health Information
Technology.
(1) Employee medical, psychological, and employee assistance
program (EAP) records must be kept confidential, protected from
unauthorized access, and stored under conditions that ensure their
long-term preservation. Psychological records must be maintained
separately from medical records and in the custody the designated
psychologist in accordance with 10 CFR 712.38(b)(2).
(2) Access to these records must be provided in accordance with
DOE regulations implementing the Privacy Act and the Energy
Employees Occupational Illness Compensation Program Act.
(g) The occupational medicine services provider must determine
the content of the worker health evaluations, which must be
conducted under the direction of a licensed physician, in
accordance with current sound and acceptable medical practices and
all pertinent statutory and regulatory requirements, such as the
Americans with Disabilities Act.
(1) Workers must be informed of the purpose and nature of the
medical evaluations and tests offered by the occupational medicine
provider.
(i) The purpose, nature and results of evaluations and tests
must be clearly communicated verbally and in writing to each worker
provided testing;
(ii) The communication must be documented in the worker's
medical record; and
(2) The following health evaluations must be conducted when
determined necessary by the occupational medicine provider for the
purpose of providing initial and continuing assessment of employee
fitness for duty.
(i) At the time of employment entrance or transfer to a job with
new functions and hazards, a medical placement evaluation of the
individual's general health and physical and psychological capacity
to perform work will establish a baseline record of physical
condition and assure fitness for duty.
(ii) Periodic, hazard-based medical monitoring or
qualification-based fitness for duty evaluations required by
regulations and standards, or as recommended by the occupational
medicine services provider, will be provided on the frequency
required.
(iii) Diagnostic examinations will evaluate employee's injuries
and illnesses to determine work-relatedness, the applicability of
medical restrictions, and referral for definitive care, as
appropriate.
(iv) After a work-related injury or illness or an absence due to
any injury or illness lasting 5 or more consecutive workdays (or an
equivalent time period for those individuals on an alternative work
schedule), a return to work evaluation will determine the
individual's physical and psychological capacity to perform work
and return to duty.
(v) At the time of separation from employment, individuals shall
be offered a general health evaluation to establish a record of
physical condition.
(h) The occupational medicine provider must monitor ill and
injured workers to facilitate their rehabilitation and safe return
to work and to minimize lost time and its associated costs.
(1) The occupational medicine provider must place an individual
under medical restrictions when health evaluations indicate that
the worker should not perform certain job tasks. The occupational
medicine provider must notify the worker and contractor management
when employee work restrictions are imposed or removed.
(i) Occupational medicine provider physician and medical staff
must, on a timely basis, communicate results of health evaluations
to management and safety and health protection specialists to
facilitate the mitigation of worksite hazards.
(j) The occupational medicine provider must include measures to
identify and manage the principal preventable causes of premature
morbidity and mortality affecting worker health and
productivity.
(1) The contractor must include programs to prevent and manage
these causes of morbidity when evaluations demonstrate their cost
effectiveness.
(2) Contractors must make available to the occupational medicine
provider appropriate access to information from health, disability,
and other insurance plans (de-identified as necessary) in order to
facilitate this process.
(k) The occupational medicine services provider must review and
approve the medical and behavioral aspects of employee counseling
and health promotional programs, including the following types:
(1) Contractor-sponsored or contractor-supported EAPs;
(2) Contractor-sponsored or contractor-supported alcohol and
other substance abuse rehabilitation programs; and
(3) Contractor-sponsored or contractor-supported wellness
programs.
(4) The occupational medicine services provider must review the
medical aspects of immunization programs, blood-borne pathogens
programs, and bio-hazardous waste programs to evaluate their
conformance to applicable guidelines.
(5) The occupational medicine services provider must develop and
periodically review medical emergency response procedures included
in site emergency and disaster preparedness plans. The medical
emergency responses must be integrated with nearby community
emergency and disaster plans.
9. Motor Vehicle Safety
(a) Contractors must implement a motor vehicle safety program to
protect the safety and health of all drivers and passengers in
Government-owned or -leased motor vehicles and powered industrial
equipment (i.e., fork trucks, tractors, platform lift
trucks, and other similar specialized equipment powered by an
electric motor or an internal combustion engine).
(b) The contractor must tailor the motor vehicle safety program
to the individual DOE site or facility, based on an analysis of the
needs of that particular site or facility.
(c) The motor vehicle safety program must address, as applicable
to the contractor's operations:
(1) Minimum licensing requirements (including appropriate
testing and medical qualification) for personnel operating motor
vehicles and powered industrial equipment;
(2) Requirements for the use of seat belts and provision of
other safety devices;
(3) Training for specialty vehicle operators;
(4) Requirements for motor vehicle maintenance and
inspection;
(5) Uniform traffic and pedestrian control devices and road
signs;
(6) On-site speed limits and other traffic rules;
(7) Awareness campaigns and incentive programs to encourage safe
driving; and
(8) Enforcement provisions.
10. Electrical Safety
Contractors must implement a comprehensive electrical safety
program appropriate for the activities at their site. This program
must meet the applicable electrical safety codes and standards
referenced in § 851.23.
11. Nanotechnology Safety - Reserved
The Department has chosen to reserve this section since policy
and procedures for nanotechnology safety are currently being
developed. Once these policies and procedures have been approved,
the rule will be amended to include them through a rulemaking
consistent with the Administrative Procedure Act.
12. Workplace Violence Prevention - Reserved
The Department has chosen to reserve this section since the
policy and procedures for workplace violence prevention are
currently being developed. Once these policies and procedures have
been approved, the rule will be amended to include them through a
rulemaking consistent with the Administrative Procedure Act.
[71 FR 6931, Feb. 9, 2006; 71 FR 36661, June 28, 2006; 80 FR 69566,
Nov. 10, 2015; 82 FR 59956, Dec. 18, 2017]