Environmental Permit No. EP-313/2008/D
環境許可證編號 EP-313/2008/D
ENVIRONMENTAL IMPACT ASSESSMENT ORDINANCE
(CHAPTER 499)
Sections 10 & 13
環境影響評估條例
(第499章)
第10及13條
ENVIRONMENTAL PERMIT TO CONSTRUCT AND OPERATE
A DESIGNATED
PROJECT
建造及營辦指定工程項目的環境許可證
A部 (許可證主要部分)
Pursuant to
Section 10 of the Environmental Impact Assessment Ordinance (EIAO), the
Director of Environmental Protection (the Director) grants the Environmental Permit (EP-313/2008)
to the MTR
Corporation Limited (hereinafter referred to as the "Permit Holder") on 12 January 2009. Pursuant to Section 13 of the EIAO, the
Director amends the Environmental Permit based on the Application No. VEP-333/2010. The amendments, described below, are
incorporated into this Environmental Permit (EP-313/2008/D). This Environmental Permit as amended is
for the construction and operation of the
designated project described in Part
B subject to the conditions specified in Part C. The issue of this
environmental permit is based on the documents, approvals or permissions
described below:
根據《環境影響評估條例》(條例)第10及13條的規定,環境保護署署長(署長)於 2009 年 1月 12日將環境許可證 (編號EP-313/2008) 批予香港鐡路有限公司 (下稱 “許可證持有人”)。根據條例第13條的規定,署長因應更改環境許可證的申請編號VEP-333/2010修訂環境許可證。以下修訂已包含在本環境許可證內(EP-313/2008/D) 。本經修訂的環境許可證作為建造及營辦本許可證B部所說明的指定工程項目,但須遵守C部所列明的條件。本環境許可證的發出,乃以下表所列的文件、批准或許可作為根據:
Application
No. 申請書編號 |
VEP-333/2010 |
Document in the Register : 登記冊上的文件: |
(1) West Island Line Environmental Impact Assessment (EIA) Report, Environmental Monitoring and Audit (EM&A) Manual and Executive Summary (Register No.: AEIAR-126/2008) [Hereinafter referred to as the “EIA Report”] (1) 西港島線環境影響評估報告,環境監測及審核手冊及行政摘要 (登記冊檔號:
AEIAR-126/2008) [下稱 “環評報告”] |
|
(2) The
Director’s letter of approval of the EIA report dated 23 Dec 2008 [ Ref.:
(10) in EP2/G/A/ (2) 署長於 |
(3) Application for an Environmental Permit No. AEP-313/2008. [Hereafter
referred to as “the Application No. AEP-313/ (3)申請環境許可證編號 AEP-313/2008。[下稱 “申請書編號 AEP-313/ |
|
(4) Application
documents for Variation of Environmental Permit including all attachments
submitted by the Permit Holder on 15 June 2009 (Application No. VEP-291/2009) (4) 許可證持有人於 |
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(5) Application
documents for Variation of Environmental Permit including all attachments
submitted by the Permit Holder on 24 June 2009 and 17 July 2009 (Application
No. VEP-294/2009) (5) 許可證持有人於 |
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(6) Application
documents for Variation of Environmental Permit including all attachments
submitted by the Permit Holder on 18 August 2009 (Application No. VEP-298/2009) (6) 許可證持有人於 |
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(7) Application
documents for Variation of Environmental Permit including all attachments
submitted by the Permit Holder on 24 December 2009 (Application No. VEP-333/2010) (7) 許可證持有人於 |
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19
January 2011 |
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Date 日期 |
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(Victor
W. T. YEUNG) Acting
Principal Environmental Protection Officer for
Director of Environmental Protection 環境保護署署長 (署理首席環境保護主任 楊維德代 行) |
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PART B (DESCRIPTION OF DESIGNATED PROJECT)
B部 (指定工程項目的說明)
Hereunder
is the description of the designated project mentioned in Part A of this environmental permit
(hereinafter referred to as “the Permit”):
下列為本環境許可證(下稱“許可證”)A部所提述的指定工程項目的說明:
Title of Designated Project 指定工程項目的名稱
|
[This
designated project hereinafter referred to as “the Project”] 西港島線 [這指定工程項目下稱“工程項目”] |
Nature of Designated Project 指定工程項目的性質 |
Construction and operation of an approximately 興建和運作一條長約3
公里的地底鐵路及有關的火車站。 |
Location of Designated Project 指定工程項目的地點
|
Sheung Wan, Sai Ying Pun and |
Scale and Scope of Designated Project |
Construction and operation of an
approximately 興建和營辦一條長約 |
Part C (PERMIT CONDITIONS)
1.
General Conditions
1.1 The
Permit Holder and any person working on the Project shall comply with all
conditions set out in this Permit. Any non-compliance by any person may
constitute a contravention of the Environmental Impact Assessment Ordinance
(Cap. 499) and may become the subject of appropriate action being taken under
the Ordinance.
1.2 The Permit Holder shall
ensure full compliance with all legislation from time to time in force
including but without limitation the Noise Control Ordinance (Cap. 400), Air
Pollution Control Ordinance (Cap. 311), Water Pollution Control Ordinance (Cap.
358), Waste Disposal Ordinance (Cap. 354), Occupational Safety and Health
Ordinance (Cap. 509), Factories and Industrial Undertakings Ordinance (Cap. 59)
and Dangerous Goods Ordinance (Cap.295).
This Permit does not of itself constitute any ground of defense against
any proceedings instituted under any legislation.
1.3 The
Permit Holder shall make copies of this Permit together with all documents
referred to in this Permit or the documents referred to in Part A
of the Permit readily available at all times for inspection by the Director or
his authorised officers at all sites/offices covered by this Permit. Any reference to the Permit shall
include all documents referred to in the Permit and also the relevant documents
in the Register.
1.4 The
Permit Holder shall give a copy of this Permit to the person(s) in charge of
the site(s) and ensure that such person(s) fully understands all conditions and
all requirements incorporated by the Permit. The site(s) refers to site(s) of
construction and operation of the Project and shall mean the same hereafter.
1.5 The Permit Holder
shall display conspicuously a copy of this Permit on the construction site(s) at
all vehicular site entrances/exits or at a convenient location for public’s
information at all times. The
Permit Holder shall ensure that the most updated information about the Permit,
including any amended permit, is displayed at such locations. If the Permit
Holder surrenders a part or the whole of the Permit, the notice he sends to the
Director shall also be displayed at the same locations as the original Permit.
The suspended, varied or cancelled Permit shall be removed from display at the
construction site(s).
1.6 The Permit Holder shall
construct and operate the Project in accordance with the project descriptions
in Part B
of this Permit.
1.7 The Permit
Holder shall ensure that the Project is designed, constructed and operated in
accordance with the information and all recommendations described in the EIA
Report (Register No.: AEIAR- 126/2008), the application documents including all
attachments (Application No. AEP-313/2008), the Applications for Variation of
Environmental Permit including all attachments submitted by the Permit Holder,
other relevant documents in the Register; and the information or mitigation
measures described in this Permit, and mitigation measures to be recommended in
submissions that shall be deposited with or approved by the Director as a
result of permit conditions contained in this Permit, and mitigation measures
to be recommended under on going surveillance and monitoring activities during
all stages of the Project. Where recommendations referred to in the documents
of the Register are not expressly referred to in this Permit, such
recommendations are nevertheless to be implemented unless expressly excluded or
impliedly amended in this Permit.
1.8 All deposited
submissions, as required under this Permit, shall be rectified and resubmitted
in accordance with the comments, if any, made by the Director within one month
of the receipt of the Director’s comments or otherwise as specified by the
Director.
1.9 All
submissions approved by the Director, all submissions deposited without
comments by the Director, and all submissions rectified in accordance with
comments by the Director under this Permit shall be construed as part of the
permit conditions described in Part C
of this Permit. Any variation of the submissions shall be approved by the Director
in writing or as prescribed in the relevant permit conditions. Any
non-compliance with the submissions may constitute a contravention of the
Environmental Impact Assessment Ordinance (Cap. 499). All submissions or any
variation of the submissions shall be certified by the Environmental Team (ET)
Leader and verified by the Independent Environmental Checker (IEC) referred to
in Conditions 2.1 and 2.2 below, before submitting to the Director under this
Permit.
1.10 The Permit Holder
shall release all finalised submissions as required under this Permit, to the
public by depositing copies in the Environmental Impact Assessment Ordinance
Register Office, or in any other places, or any internet websites as specified
by the Director, or by any means as specified by the Director, for public
inspection. For this purpose, the Permit Holder shall provide sufficient copies
of the submissions.
1.11 The Permit Holder
shall notify the Director in writing the commencement date of construction of
the Project no later than one month prior to the commencement of construction
of the Project. The Permit Holder shall notify the Director in writing
immediately if there is any change of the commencement date of the
construction.
1.12 All submissions to
the Director required under this Permit shall be delivered either in person or
by registered mail to the Environmental Impact Assessment Ordinance Register
Office (currently at 27/F, Southorn Centre, 130 Hennessy Road, Wanchai, Hong
Kong). Electronic copies of all finalised submissions required under this
Permit shall be prepared in Hyper Text Markup Language (HTML) (version 4.0 or
later) and in Portable Document Format (PDF version 1.3 or later), unless
otherwise agreed by the Director and shall be submitted at the same time as the
hardcopies.
1.13 For the purpose of
this Permit, “commencement of construction” does not include works related to
site clearance and preparation, or other works as agreed by the Director.
1.14 The Permit Holder
shall notify the Director in writing the commencement date of operation of the
Project no later than one week prior to the commencement of operation of the
Project. The Permit Holder shall notify the Director in writing immediately if
there is any change of the commencement date of the operation.
2 Special Conditions
Submissions or Measures before
Commencement of Construction of the Project
2.1 An
Environmental Team (ET) shall be established by the Permit Holder no later than
one month before the commencement of construction of the Project. The ET shall
not be in any way an associated body of the Independent Environmental Checker
(IEC) for the Project. The ET shall be headed by an ET Leader. The ET Leader
shall be a person who has at least 7 years of experience in environmental
monitoring and auditing (EM&A) or environmental management. The ET and the
ET Leader shall be responsible for the implementation of the EM&A programme
in accordance with the EM&A requirements as contained in the EM&A
Manual of the Project. The ET Leader shall keep a contemporaneous log-book of
each and every instance or circumstance or change of circumstances, which may
affect the compliance with the recommendations of the EIA Report (Register No.
AEIAR-126/2008) and this Permit. The ET Leader shall notify the IEC within one
working day of the occurrence of any such instance or circumstance or change of
circumstances. The ET Leader’s log-book shall be kept readily available for
inspection by all persons assisting in supervision of the implementation of the
recommendations of the EIA Report (Register No. AEIAR-126/2008) and this Permit
or by the Director or his authorized officers. Failure to maintain records in
the log-book, failure to discharge the duties of the ET Leader as defined in
the EM&A Manual or failure to comply with this Condition would entitle the
Director to require the Permit Holder by notice in writing to replace the ET
Leader. Failure by the Permit Holder to make replacement, or further failure to
keep contemporaneous records in the log-book despite the employment of a new ET
Leader may render the Permit liable to suspension, cancellation or variation.
2.2 An
Independent Environmental Checker (IEC) shall be employed by the Permit Holder
no later than one month before commencement of construction of the Project. The
IEC shall not be in any way an associated body of the Contractor or the ET for
the Project. The IEC shall be a person who has at least 7 years of experience
in EM&A or environmental management. The IEC shall be responsible for
duties defined in the EM&A Manual and shall audit the overall EM&A
performance, including the implementation of all environmental mitigation
measures, submissions required in the EM&A Manual, and any other submissions
required under this Permit. In addition, the IEC shall be responsible for
verifying the environmental acceptability of permanent and temporary works,
relevant design plans and submissions under this Permit. The IEC shall verify
the log-book(s) mentioned in Condition 2.1 of this Permit. The IEC shall notify
the Director by fax, within one working day of receipt of notification from the
ET Leader of each and every occurrence, change of circumstances or
non-compliance with the EIA Report (Register No. AEIAR-126/2008) and this
Permit, which might affect the monitoring or control of adverse environmental
impacts from the Project. In the case where the IEC fails to so notify the
Director of the same, fails to discharge the duties of the IEC as defined in the
EM&A Manual or fails to comply with this Condition, the Director may
require the Permit Holder by notice in writing to replace the IEC. Failure to
replace the IEC as directed or further failure to so notify the Director
despite employment of a new IEC may render the Permit liable to suspension,
cancellation or variation. Notification by the Permit Holder is the same as
notification by the IEC for the purpose of this Condition.
2.3 The
Permit Holder shall, no later than two weeks before the commencement of
construction of the Project, inform the Director in writing the management
organization of the main construction companies and/or any form of joint
ventures associated with the construction of the Project. The submitted
information shall include at least an organization chart, names of responsible
persons and their contact details.
2.4 The
Permit Holder shall, no later than two weeks before the commencement of
construction of the Project, deposit with the Director six hard copies and one
electronic copy of the construction programme showing the commencement and
completion dates of major items of construction works, including dates of
taking possession of and subsequent exit from Works Area B. The construction programme shall be
certified by the ET Leader and verified by the IEC as conforming to the
information, requirements and recommendations set out in the approved EIA
report (Register No. AEIAR-126/2008).
The Permit Holder shall inform the Director accordingly in writing in
case of any subsequent changes of items contained in this submitted
construction programme.
2.5 The
Permit Holder shall appoint a Certified Arborist for the Project to advise on,
monitor and ensure proper implementation of measures for protecting trees
affected by the Project, in particular the tree walls and registered Old and
Valuable Trees around Forbes Street Temporary Playground and
2.6 The
Permit Holder shall set up Community Liaison Groups comprising representatives
of concerned and affected parties, including owners’ corporations, management
offices, local committees and schools in the affected areas, to facilitate
communication, enquiries and complaints handling on all environmental issues,
including the follow up on the implementation of remedial mitigation measures,
and other initiatives by the Permit Holder such as Indirect Technical Remedy in
the form of upgraded glazing and air conditioning for eligible dwellings
affected by construction air-borne noise impact, as well as any need for real
time noise monitoring and web camera monitoring. The Permit Holder shall notify the
Director the date of setting up the Community Liaison Groups at least 2 weeks
before commencement of construction of the Project. A designated complaint
hotline shall also be set up for the Project to address such concerns and
complaints in an efficient manner.
2.7 The
Certified Arborist appointed under Condition 2.5 shall no later than two weeks
before the commencement of construction of the Project, deposit with the
Director six (6) hard copies and one electronic copy of a Tree Protection Plan
detailing the requirements and measures for the proper protection and
monitoring of trees affected by the construction of the Project, including all
Old and Valuable Trees within the Project boundary and the tree walls at Forbes
Street Temporary Playground and King George V Memorial Park. The Tree
Protection Plan shall also cover Works Area MA (magazine site) shown in Figure 2
and shall include:
(i) detailed working method statement for
the protection of retained trees;
(ii) tree
transplanting proposal including final location for transplanted trees that
will be affected by the works and are trees of high to medium survival rate;
(iii) compensatory
tree planting proposal including location of trees planted as compensation to
felled trees;
(iv) water table monitoring proposal at
Forbes Street Temporary Playground;
(v) an
audit report proposal on the tree protection activities to be implemented
throughout the construction period
Before submission to the
Director, the Tree Protection Plan shall be certified by the ET Leader and
verified by the IEC as conforming to the information, requirements and
recommendations as set out in the approved EIA report.
2.8 Prior to
the commencement of construction work at Works Area MA (the magazine site), to
protect the two individual plants, Hong Kong Pavetta (Pavetta hongkongensis),
located within the footprint of proposed tunnel portal and access entrance from
Works Area MA, shall be transplanted to a suitable nearby tall shrubland or
woodland habitats. The transplantation shall be supervised by the Certified
Arborist appointed under Condition 2.5. The existing trees and species of
conservation importance (i.e. the two identified Silver-back Artocarpus,
Artocarpus hypargyreus) located near the Works Area MA shall be fenced off and
the trunk protected with hessian sacking as far as practicable prior to the
commencement of construction work at Works Area MA.
2.9 The
Tunnel Boring Machine (TBM) to be used in the Project shall be launched at
Works Area N1 (
Submissions
or Measures during Construction of the Project
2.10 Measures to Mitigation
Construction Stage Air-Borne Noise Impacts
Mitigation
Measures (Details
& timing to refer to approved EIA Report) |
Works
areas |
Movable
noise barrier shall be used for the following PME where practicable: Breaker,
Mini Backhoe, Generator, Backhoe, Crane, Hand-held Vibratory Poker, Hydraulic
Breaker, Wheel Loader, Crusher, Hand Held Breaker, Compressor, Grout Plant,
Grout Mixer, Concrete Pump, Excavator, Lorry Crane, Mobile Crane, Crawler
Crane. |
Works
areas A, C, D, H, I, J, J1, L1, M1, N1, M3, O1, O2 and O3 |
Noise
enclosure / acoustic shed shall be used for the following PMEs where
practicable: Air Compressor Concrete Pump, Shotcrete Pump, Hand Held Breaker,
Grout Pump, Concrete Corer. |
All
works areas |
Acoustic
Enclosure shall be used for enclosing the rock drill as fully as possible. |
Works
areas H, N1 and M |
Noise
insulating cover shall be used to cover the following PME: Breaker, Backhoe,
Submersible Electric Water Pump, Crawler Mounted Rock Drill Trucks, Rock
drill, Air Compressor, Electric Winch, Concrete pump, Hand-held Vibratory
Poker, Hand Held Breaker, Crane, Shotcrete pump. |
Works
areas J1, N1, M1 and M3 |
Silencer
shall be used for the ventilation fan. |
Works
areas MA, A, C, D, G, H, I, J, J1, J2, J3, L1, M, M1, M3, N1, O1, O2 and O3. |
Noise
insulating fabric shall be applied where practicable to cover the following
PME: Pile Rig, Drill Rig, Pile Extractor, Power Rammer, Earth Auger Pilling,
Hydraulic Piling, Sheet Piling Machine. |
Works
areas A, A1, A2, A3 MA, C, D, G, H, I, J, J1, J2, J3, L1, M, M1, M3, N1, O1,
O2 and O3. |
Use
of “Noise Control Curtain” - a noise insulating fabric to be mounted on the
steel scaffold erected on the buildings to be demolished to an extent such
that the line of sight between the noise source and NSR would be blocked. |
Works
area A |
Temporary
noise barriers shall be erected at the works areas of West of KET Station and
SYP Entrance A1 & A2. |
Works
area C, as shown in Figures 10,
11 &
12,
and Works Area N1 |
Decking
over shall be provided to cover the excavation area. |
Works
areas J, J3, G and L1. Works Area
C as shown in Figures 10,
11
& 12. |
Full
enclosure of entire works area. |
Works
area J2 |
Use
of concrete crusher instead of hydraulic breaker. |
Works
area J2, M1 and M3 |
2.11 Submissions
or Measures to Mitigate Construction Stage Cultural Heritage Impacts
2.12 Submissions or Measures for Construction
Waste Management
2.13 Measures to Mitigate Construction
Water Quality Impact
2.14 Measures to Mitigate Landscape & Visual Impacts at Extended
Works Area I
3 Special
Conditions pertaining to Works Area B
3.1 Entry
to, taking possession of, or commencing temporary use of Works Area B
(a) At
least two weeks before the Permit Holder’s entry to or taking possession of
Works Area B, the Permit Holder shall deposit with the Director six hard copy
and an electronic copy of a detailed updated Project programme, to be
accompanied by layout plans with detailed descriptions and drawings of
mitigation measures in scale of 1:1000 or in other suitable scale as agreed by
the Director, showing clearly the relevant works and/or temporary uses in Works
Area B of the Project. The works
and/or temporary uses in Works Area B of Project shall be implemented according
to the updated programme.
(b) Six
hard copies and one electronic copy of Remediation Report shall be deposited
with the Director after the completion of the remediation and disposal of
contaminated soil and wastes at Works Area B. The Remediation Report shall demonstrate
that the remediation and disposal work has been undertaken according to the
specified methodology and has been shown to be adequate. The Remediation Report shall be
submitted at least one month before the Permit Holder’s entry to or taking
possession of Works Area B.
(a) An
Independent Structural Checker (ISC) shall be appointed by the Permit Holder no
later than one month before commencing temporary use of Works Area B. The ISC
shall be a person with at least 7 years' experience in structural engineering
design or structural engineering project management. The ISC shall not be in
any way an associated body of the Contractor or the Permit Holder for the
Project.
(b) At
locations within the Works Area B identified to be temporarily used as
mentioned in Condition
3.2 Measures
to be implemented and/or maintained during temporary use of Works Area B
(a) use
adequately designed and maintained perimeter channels, sediment traps,
temporary channels, temporary diversion and oil interception facilities to
mitigate site run-off impacts;
(b) divert
all clean surface water around Works Area B;
(c) provide
bunded areas for generators, and for storage of fuel, oil and chemical wastes;
and
(d) the
provision of mitigation measures to avoid any potential release of additional
underground contaminants into the environment resulting from the temporary use
of Works Area B as mentioned in Condition
3.3 Exit from, handing over, or ceasing
temporary use of Works Area B
(a) the
additional concrete paving and the layer of general fill material within the
areas as marked in green and red as shown in Figure 14 of this Permit; and
(b) the
temporary site office and facilities for other temporary uses mentioned in
Condition
The
site hoardings shall not be removed but shall be properly maintained, complete
and intact surrounding the site at all times during the Permit Holder’s exit
from, handing over, or ceasing temporary use of Works Area B.
(a)
a
Sampling and Testing proposal for the general fill material, to be implemented
at no less than 15 sampling points, the indicative locations of which are shown
in Figure 14. The proposal shall confirm the exact number and location of
sampling points and the details of the contaminants of concern to be included
in the general fill material sampling and testing programme, making reference
to Appendix A of this Permit and where appropriate update;
(b) a
programme for the submission of the Sampling and Testing Report (STR) and the
submission of a Remediation Action Plan (RAP) in the event that the STP found
contamination in the sampled general fill material; and
(c) a
detailed Method Statement for the removal, temporary storage and treatment if
necessary, and disposal of the additional concrete paving and general fill
material, and an event and action plan for ensuring structural integrity of the
existing concrete paving throughout the removal process.
Before
submission to the Director, the above submissions shall be certified by the ET
Leader and verified by the IEC as conforming to the information and
recommendations contained in the VEP Application Document (No. VEP-333/2010).
4. Submissions or Measures before
Commencement of Operation of the Project
4.1
Submissions or Measures for Operation Stage Ground-Borne Noise
Impacts
4.2 Submissions
or Measures for Operation Stage Landscape and Visual Impacts
5. Submissions during Operation of the
Project
5.1 Submission for Operation Visual and
Landscape Impact
6. Environmental Monitoring and Audit
Requirements
6.1 The
EM&A programme shall be implemented in accordance with the procedures and
requirements as set out in the approved EM&A Manual. Any changes to the
programme shall be justified by the ET Leader and verified by the IEC as
conforming to the information and requirements contained in the EM&A Manual
before submission to the Director for approval. The EM&A programme shall include,
among other items, the following :
(i) ground-borne
construction noise monitoring shall be conducted for TMB tunneling work. The monitoring locations shall be above
the cutting face of the TBM, and shall be located as close to the cutting face
as practicable, in accordance with the requirements in the approved EM&A
Manual;
(ii) construction
vibration monitoring shall be conducted at Declared Monuments, Graded Historic
Buildings or other Built Heritage Resources within the Project boundary as
identified in the approved EIA Report and reported in accordance with the
requirements of the approved EM&A Manual; and
(iii)
ground water table monitoring shall be conducted on a weekly basis at
6.2 Samples,
measurements and necessary remedial actions shall be taken in accordance with
the requirements of the EM&A Manual by:
(a)
conducting baseline environmental monitoring;
(b)
conducting impact monitoring;
(c)
carrying out remedial actions described in Event/Action Plans of the approved
EM&A Manual in accordance with the time frames set out in Event/Action Plans,
or as agreed by the Director, in case where specified criteria in the approved
EM&A Manual are exceeded; and
(d)
logging and keeping records of details of (a) to (c) above for all parameters
within 3 working days of collection of data or completion of remedial
action(s), for the purpose of preparing and submitting the monthly EM&A
Reports and to make available for inspection on site.
6.3 Six (6)
hard copies and one electronic copy of the Baseline Monitoring Report shall be
submitted to the Director at least one month before commencement of
construction of the Project. The submission shall be certified by the ET Leader
and verified by the IEC. Additional copies of the submission shall be made
available to the Director upon his request.
6.4 Six (6)
hard copies and one electronic copy of monthly EM&A Report shall be
submitted to the Director within 10 working days after the end of the reporting
month. The EM&A Reports shall include a summary of all non-compliance
(exceedances) of the environmental quality performance limits (Action and Limit
Levels). The submissions shall be verified by the IEC. Additional copies of the
submission shall be provided to the Director upon request by the Director.
6.5 All
environmental monitoring and audit data submitted under this Permit shall be
true, valid and correct.
7. Electronic
Reporting of EM&A Information
7.1 To
facilitate public inspection of the Baseline Monitoring Report and monthly
EM&A Reports via the EIAO Internet Website and at the EIAO Register Office,
electronic copies of these Reports shall be prepared in Hyper Text Markup
Language (HTML) (version 4.0 or later) and in Portable Document Format (PDF
version 1.3 or later), unless otherwise agreed by the Director and shall be
submitted at the same time as the hardcopies as described in Condition 6 of
this Permit. For the HTML version, a content page capable of providing
hyperlink to each section and sub-section of these Reports shall be included in
the beginning of the document. Hyperlinks to all figures, drawings and tables
in these Reports shall be provided in the main text from where the respective
references are made. All graphics in these Reports shall be in interlaced GIF
format unless otherwise agreed by the Director. The content of the electronic
copies of these Reports must be the same as the hardcopies.
7.2 The Permit Holder
shall, set up a dedicated web site and notify the Director in writing the
Internet address where the environmental monitoring and project data is to be placed,
within six weeks after the commencement of construction of the Project. All
environmental monitoring data described in Condition 6 above shall be made
available to the public via a dedicated web site to be set up by the Permit
Holder in the shortest possible time and in no event later than 2 weeks after
the relevant environmental monitoring data are collected or become available,
unless otherwise agreed with the Director.
7.3 The
Internet website as described in Condition 7.2 above shall enable user-friendly
public access to the monitoring and project data including the approved EIA
report and the environmental permit(s) and the project profile of the Project.
The Internet website shall have features capable of:
(a) providing
access to all environmental monitoring data collected since the commencement of
works;
(b) searching
by date;
(c) searching
by types of monitoring data (noise, water and air quality); and
(d) hyperlinks
to relevant monitoring data after searching;
or otherwise as agreed by the
Director.
Notes :
1. This Permit consists of three
parts, namely, PART A
(Main Permit), PART B
(Description of Designated Project) and PART C(Permit
Conditions). Any person relying on this permit should obtain independent
legal advice on the legal implications under the Ordinance, and the following
notes are for general information only.
2. If there is a breach of any
conditions of this Permit, the Director or his authorized officer may, with the
consent of the Secretary for the Environment, order the cessation of associated
work until the remedial action is taken in respect of the resultant
environmental damage, and in that case the Permit Holder shall not carry out
any associated works without the permission of the Director or his authorized
officer.
3. The Permit Holder may apply under
Section 13 of the Ordinance to the Director for a variation of the conditions
of this Permit. The Permit Holder shall replace the original permit
displayed on the construction site by the amended permit.
4. A person who assumes the
responsibility for the whole or a part of the designated project may, before he
assumes responsibility of the designated project, apply under Section 12 of the
Ordinance to the Director for a further environmental permit.
5. Under Section 14 of the Ordinance,
the Director may with the consent of the Secretary for the Environment,
suspend, vary or cancel this Permit. The suspended, varied or cancelled
Permit shall be removed from display at the construction site.
6. If this Permit is cancelled or
surrendered during construction or operation of the Project, another
environmental permit must be obtained under the Ordinance before the Project
could be continued. It is an offence under section 26(1) of the Ordinance
to construct or operate a designated project listed in Part I of schedule 2 of
the Ordinance without a valid environmental permit.
7. Any person who constructs or
operates the Project contrary to the conditions in the Permit, and is convicted
of an offence under the Ordinance, is liable:-
(i) on
a first conviction on indictment to a fine of $ 2 million and to imprisonment
for 6 months;
(ii) on
a second or subsequent conviction on indictment to a fine of $ 5 million and to
imprisonment for 2 years;
(iii)
on a first summary conviction to a fine at level 6 and to imprisonment for 6
months;
(iv)
on a second or subsequent summary conviction to a fine of $1 million and to
imprisonment for 1 year; and
(v)
in any case where the offence is of a continuing nature, the court or
magistrate may impose a fine of $ 10,000 for each day on which he is satisfied
the offence continued.
8. The Permit Holder may appeal
against any condition of this Permit under Section 17 of the Ordinance within
30 days of receipt of this Permit.
9. The Notes are for general reference
only and that the Permit Holder should refer to the EIA Ordinance for details
and seek independent legal advice.
Environmental
Permit No. EP-313/2008/D
環境許可證編號 EP-313/2008/D
| Figure 1 | Figure 2 | Figure 3 | Figure 4 | Figure 5 | Figure 6 | Figure 7 | Figure 8 | Figure 9 | Figure 10 | Figure 11 | Figure 12 | Figure 13 |
| Figure 14 | Figure 15
| Figure 16 | Figure 17 |
[
Back to First Page ] / [ Back to Main
Index ]
Appendix A
Proposed Fill Testing
Recommendations
Remarks:
1.
This
table is produced according to Table 6.1 of the VEP application document (No.
VEP-333/2010).
2.
This
table is to be read in conjunction with Condition
COCs |
Recommended Test Method |
Recommended Reporting Limit (mg/kg) |
Acceptance Criteria (mg/kg)* |
Arsenic |
USEPA |
1 mg/kg |
21.8 |
Barium |
1 mg/kg |
10,000 |
|
Cadmium |
0.1 mg/kg |
7.28 |
|
Copper |
1 mg/kg |
2,910 |
|
Molybdenum |
1 mg/kg |
364 |
|
Nickel |
1 mg/kg |
1,460 |
|
Zinc |
20 mg/kg |
10,000 |
|
Mercury |
0.05 mg/kg |
6.52 |
|
Chromium III |
Subtracting CrVI from total Cr |
1 mg/kg |
10,000 |
Chromium VI |
APHA 3500Cr: D |
1 mg/kg |
218 |
Naphthalene |
USEPA 8270 |
0.5 mg/kg |
85.6 |
COCs |
Recommended Test Method |
Recommended Reporting Limit (mg/kg) |
Acceptance Criteria (mg/kg)* |
Anthracene |
|
0.5 mg/kg |
10,000 |
Fluoranthene |
|
0.5 mg/kg |
2,270 |
Pyrene |
|
0.5 mg/kg |
1,710 |
Benzo(a)Pyrene |
|
0.5 mg/kg |
1.14 |
Benzene |
|
0.2 mg/kg |
2.79 |
Toluene |
|
0.2 mg/kg |
705 |
Ethylbenzene |
|
0.2 mg/kg |
298 |
m-Xylene |
|
0.4 mg/kg |
36.8 |
O-Xylene |
|
0.4 mg/kg |
36.8 |
TPH C6-C8** |
USEPA 8015 |
50 mg/kg |
545 |
TPH C9-C16** |
|
50 mg/kg |
1,330 |
TPH C17-C35** |
|
100 mg/kg |
10,000 |
* Based on the “Rural Residential Landuse”
recommended in the Risk-Based Remediation Goals promulgated in the EPD’s (1) Guidance
Note for Contaminated Land Assessment and Remediation, (2) Guidance Manual for
Use of Risk-Based Remediation Goals for Contaminated Land Management.
** Number of carbon in Total Petroleum
Hydrocarbon