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[Federal Register Volume 77, Number 19 (Monday, January 30, 2012)]
[Rules and Regulations]
[Pages 4479-4491]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-1905]
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DEPARTMENT OF TRANSPORTATION Federal Motor Carrier Safety Administration 49 CFR Parts 382 and 391 Docket No. FMCSA-2011-0073
RIN 2126-AB35 Harmonizing Schedule I Drug Requirements AGENCY: Federal Motor Carrier Safety Administration (FMCSA), DOT. ACTION: Final rule. SUMMARY: The Federal Motor Carrier
Safety Administration (FMCSA) amends
the physical qualifications for drivers
and the instructions for the medical
examination report to clarify that
drivers may not use Schedule I drugs
and be qualified to drive commercial
motor vehicles (CMVs) under any
circumstances. The rule harmonizes
FMCSA's provisions regarding preemployment
and return-to-duty test
refusals with corresponding Department of Transportation (DOT)-wide
provisions. Finally, the rule corrects
inaccurate uses of the term "actual
knowledge."
DATES: This final rule is effective
February 29, 2012.
ADDRESSES: All background documents,
comments, and materials related to this
rule may be viewed in docket number
FMCSA–2011–0073 using either of the
following methods:
- Federal eRulemaking Portal: http://www.regulations.gov.
- Docket Management Facility (M–
30), U.S. Department of Transportation,
West Building Ground Floor, Room
W12–140, 1200 New Jersey Avenue SE.,
Washington, DC 20590–0001.
FOR FURTHER INFORMATION CONTACT: If
you have questions on this rule, call or
e- mail Angela Ward, Nurse Consultant,
Medical Programs Office, Federal Motor
Carrier Safety Administration,
telephone: (202) 366–3109; email:
angela.ward@dot.gov. If you have
questions on viewing the docket, call
Renee V. Wright, Program Manager,
Docket Operations, telephone (202)
366–9826.
SUPPLEMENTARY INFORMATION: Table of Contents for Preamble - Public Participation
- Viewing Comments and Documents
- Privacy Act
- Abbreviations
- Background
- History
- Legal Authority
- Comments on the Proposed Rule
- Section-by-Section Analysis
- Changes to the Proposed Rule in This
Final Rule
- Regulatory Analyses
I. Public Participation A. Viewing Comments and Documents
To view comments, as well as
documents mentioned in this preamble
as being available in the docket, go to
http://www.regulations.gov and click on
the "Read Comments" box in the upper
right hand side of the screen. Then, in
the "Keyword" box, insert "FMCSA–
2011–0073" and click "Search." Next,
click "Open Docket Folder" in the
"Actions" column. Finally, in the
"Title" column, click on the document
you would like to review. If you do not
have access to the Internet, you may
view the docket online by visiting the
Docket Management Facility in Room
W12–140 on the ground floor of the
DOT West Building, 1200 New Jersey
Avenue SE., Washington, DC 20590,
between 9 a.m. and 5 p.m., e.t., Monday
through Friday, except Federal holidays.
B. Privacy Act
All comments received are posted
without change to http://www.regulations.gov. Anyone is able to
search the electronic form for all
comments received into any of our
dockets by the name of the individual
submitting the comment (or signing the
comment, if submitted on behalf of an
association, business, labor union, etc.).
You may review DOT's complete
Privacy Act Statement in the Federal
Register published on January 17, 2008
(73 FR 3316), or you may visit http://edocket.access.gpo.gov/2008/pdf/E8-785.pdf.
II. Abbreviations
CAA Clean Air Act
CFR Code of Federal Regulations
CMV Commercial Motor Vehicle
DEA Drug Enforcement
Administration
FMCSA Federal Motor Carrier Safety
Administration
FR Federal Register
NEPA National Environmental Policy
Act
OTETA Omnibus Transportation
Employee Testing Act of 1991
U.S.C. United States Code
III. Background A. History
The Federal laws governing drugs of
abuse are set forth in the
Comprehensive Drug Abuse Prevention
and Control Act of 1970, often referred
to as the Controlled Substances Act and
the Controlled Substances Import and
Export Act (21 U.S.C. 801–971), as
amended. Controlled substances are
drugs and other substances that have a
potential for abuse and psychological
and physical dependence. The Drug
Enforcement Administration (DEA) is
the primary agency responsible for
enforcing the Federal controlled
substance laws. The DEA regulations,
which implement these laws, are found
in 21 CFR parts 1300 to 1321. As part
of these regulations, DEA publishes an
updated list of controlled substances in
21 CFR 1308.11 through 1308.15. The
controlled substances are divided into
five schedules. The controlled
substances listed in the schedule that
are relevant to this rulemaking,
Schedule I controlled substances, have
a high potential for abuse and have no
currently accepted medical use in the
United States (DEA Interim Final Rule
on Electronic Prescriptions for
Controlled Substances, 75 FR 16236,
March 31, 2010).
The Omnibus Transportation
Employee Testing Act of 1991 (OTETA)
mandated that DOT establish a controlled substances (drug) and alcohol
testing program applicable to regulated
entities and individuals performing
safety sensitive functions. Entitled
"Procedures for Transportation
Workplace Drug and Alcohol Testing
Programs," 49 CFR part 40 contains the
DOT regulations that detail how testing
must be administered and prescribes
procedures to protect the integrity of the
process. FMCSA's related drug and
alcohol testing regulations are in 49 CFR
part 382, "Controlled Substances and
Alcohol Use and Testing."
Section 382.213 prohibits CMV
drivers from using any controlled
substances when on duty or reporting
for duty except when prescribed by a
licensed medical practitioner who has
advised the driver that the prescribed
substance will not adversely affect the
driver's ability to operate a CMV.
Section 382.213 has remained largely
unchanged since its adoption in 1994,
outside of a technical amendment
changing the term "physician" to
"licensed medical practitioner" for the
purpose of the prescription exception
(61 FR 9556, March 8, 1996).
In addition to those in part 382, the
Federal Motor Carrier Safety
Regulations (FMCSRs) include several
other regulations governing drivers' use
of drugs. Section 391.41(b)(12) was first
promulgated in 1970, and stated that
persons who "use an amphetamine,
narcotic, or any habit-forming drug, are
not medically qualified to operate a
commercial motor vehicle" (35 FR 6463,
April 22, 1970). The regulation was
revised several times, most notably in
1984, when the DEA's Schedule I drugs
were added to the list of drugs
prohibited by § 391.41(b)(12) (49 FR
44215, November 5, 1984). Section
391.43(f) incorporates the substance of
§ 391.41(b)(12) in the instructions to the
medical examiner.
Sections 382.213 and 391.41(b)(12)
were designed to complement § 392.4,
which prohibits the use of drugs by
CMV drivers. Section 392.4 contains an
exception for use of non-Schedule I
drugs "administered to a driver by or
under the instructions of a licensed
medical practitioner, as defined in
§ 382.107 of this subchapter, who has
advised the driver that the substance
will not affect the driver's ability to
safely operate a motor vehicle" (49 CFR
392.4).
On July 8, 2011 (76 FR 40306),
FMCSA proposed a rule to resolve a
perceived inconsistency among:
§§ 382.213, 391.41(b)(12), 391.43(f), and
392.4 of the FMCSRs; DOT-wide drug
regulations in part 40; and DEA
regulations. The Notice of Proposed
Rulemaking (NPRM) proposed to eliminate these perceived
inconsistencies by making three changes
to FMCSA's regulations. The first was to
amend the minimum physical
qualifications for CMV drivers to clarify
that the use of Schedule I drugs is
prohibited under all circumstances. The
second was to require that drivers who
refuse to submit to pre-employment and
return-to-duty tests be subject to the
same referral, evaluation, and treatment
steps that are required after refusing
other types of tests. The third was to
replace the term "actual knowledge"
with the word "knowledge" in the
context of regulations addressing
employers' knowledge of positive test
results. The comment period ended on
September 6, 2011, and the Agency
received two comments.
B. Legal Authority
FMCSA has general authority to
promulgate safety standards, including
those governing drivers' use of drugs
while operating a CMV. The Motor
Carrier Safety Act of 1984 (Pub. L. 98–
554, Title II, 98 Stat. 2832, October 30,
1984) (the 1984 Act) gives the Secretary
of Transportation (Secretary) authority
to regulate drivers, motor carriers, and
vehicle equipment. It requires the
Secretary to ensure that-(1) CMVs are
maintained, equipped, loaded, and
operated safely; (2) the responsibilities
imposed on operators of CMVs do not
impair their ability to operate the
vehicles safely; (3) the physical
condition of CMV operators is adequate
to enable them to operate the vehicles
safely; and (4) the operation of CMVs
does not have a deleterious effect on the
physical condition of the operators (49
U.S.C. 31136(a)). Section 211 of the
1984 Act also grants the Secretary broad
power in carrying out motor carrier
safety statutes and regulations to
"prescribe recordkeeping and reporting
requirements" and to "perform other
acts the Secretary considers
appropriate" (49 U.S.C. 31133(a)(8) and
(10)).
The FMCSA Administrator has been
delegated authority under 49 CFR
1.73(g) to carry out the functions vested
in the Secretary by 49 U.S.C. chapter
311, subchapters I and III, relating to
CMV programs and safety regulation.
This rule implements, in part, the
Administrator's delegated authority
under Section 206(a)(3) of the 1984 Act
to ensure that the physical condition of
CMV operators is adequate to enable
them to operate vehicles safely by
clarifying that drivers may not use
Schedule I drugs and be qualified to
drive CMVs under any circumstances.
The rule also exercises the broad
recordkeeping and implementation authority under Section 211. The other
subsections of Section 206(a) do not
apply because this final rule only
addresses the physical condition of
CMV drivers.
In addition, and as stated above,
OTETA (Pub. L. 102–143, Title V, 105
Stat. 917, at 952, October 28, 1991,
partially codified at 49 U.S.C. 31306),
mandated the alcohol and controlled
substances (drug) testing program for
DOT. OTETA required the Secretary to
promulgate regulations for alcohol and
controlled substances testing for persons
in safety-sensitive positions in four
modes of transportation-motor carrier,
airline, railroad, and mass transit. Those
regulations, including subsequent
amendments, are codified at 49 CFR
part 40, "Procedures for Transportation
Workplace Drug and Alcohol Testing
Programs." Part 40 prescribes drug and
alcohol testing requirements for all
DOT-regulated parties, including
employers of drivers with commercial
driver's licenses subject to FMCSA
testing requirements. FMCSA's related
drug and alcohol testing regulations are
in 49 CFR part 382, "Controlled
Substances and Alcohol Use and
Testing."
IV. Comments on the Proposed Rule
FMCSA received two comments in
response to the NPRM (76 FR 40306,
July 8, 2011). The commenters included
a member of the public and the
American Trucking Associations (ATA).
Both commenters expressed support for
the rulemaking. The individual
commenter stated the final rule "can
help with the safety on the road and the
public." Specifically, ATA
"commended FMCSA for its continued
efforts to clarify and improve the drug
and alcohol testing regulations."
Pre-employment Tests
ATA commented that it believed that
the proposed changes to § 382.211 (preemployment
tests) would likely be
ineffective because any driver that fails
a pre-employment test would probably
seek a position elsewhere and not report
the failed test to future employers. ATA
stated that this is a loophole that cannot
be closed until FMCSA implements a
national clearinghouse for drug/alcohol
test results.
FMCSA Response. Implementation of
a national clearinghouse is outside the
scope of the rule FMCSA proposed.
FMCSA is considering, however,
addressing this issue as a part of a future
rulemaking.
V. Section-by-Section Analysis Sections 382.201 and 382.215
This rule amends §§ 382.201 and
382.215 to correct improper use of the
term "actual knowledge." An employer
has "actual knowledge" that an
employee has used drugs or alcohol in
violation of FMCSA rules when he or
she directly observes or otherwise learns
that a driver is using controlled
substances or consuming alcohol while
on duty (49 CFR 382.107). Actual
knowledge, as defined at § 382.107, is
distinct from an employer knowing that
his or her employee-driver tested
positive or refused a DOT drug or
alcohol test. Because §§ 382.201 and
382.215 set forth prohibitions related to
an employer's knowledge related to
testing, not observation, the use of the
term "actual knowledge" is not
appropriate. FMCSA replaces the term
"actual knowledge" with "knowledge"
in these sections, clarifying that these
prohibitions refer to the knowledge of
test results, not employer observation of
prohibited conduct.
Section 382.211
Prior to this final rule, § 382.211 only
prohibited drivers from refusing to
submit to a post-accident, random,
reasonable suspicion, or follow-up drug
or alcohol test. This rule amends this
section to include refusals for preemployment
testing and return-to-duty
testing as additional prohibitions. This
amendment makes the regulation
consistent with DOT-wide drug and
alcohol testing rules at 49 CFR
40.191(a)(3).
Section 382.213
Prior to this final rule, the text of
§ 382.213 prohibited CMV drivers from
using any drugs when on duty or
reporting for duty except when
prescribed by a licensed medical
practitioner who has advised the driver
that the prescribed substance will not
adversely affect the driver's ability to
operate a CMV. In this final rule, the
Agency amends the language regarding
the drugs that CMV drivers are
prohibited from using in order to
differentiate between Schedule I drugs
and non-Schedule I drugs. The changes
make it clear that Schedule I drugs may
not be used by a CMV driver under any
circumstances. FMCSA's regulations
continue to permit the use of non-
Schedule I drugs under limited
circumstances, when prescribed by a
licensed medical practitioner.
Sections 391.41 and 391.43
Prior to this final rule,
§ 391.41(b)(12)(i) stated that a driver may not use: Controlled substances on
the DEA Schedule I, amphetamines,
narcotics, or other habit-forming drugs.
Section 391.41(b)(12)(ii) contained an
exception for a substance or drug
prescribed by a licensed medical
practitioner who is familiar with the
driver's history and work duties and has
advised the driver that the prescribed
substance or drug will not adversely
affect his or her ability to safely operate
a CMV. Previously, § 391.41(b)(12) did
not differentiate between Schedule I and
non-Schedule I drugs for the purpose of
the prescription exception. However,
FMCSA has never considered this
exception to permit use of Schedule I
drugs by CMV drivers under any
circumstance because Federal law
prohibits Schedule I drugs from being
prescribed in the United States.
The Agency amends § 391.41 to
remove any ambiguity and to clarify that
the exception that allows a CMV driver
to use a substance or drug if it is
prescribed by a licensed medical
practitioner who is familiar with the
driver's medical history and has advised
the driver that the prescribed substance
or drug will not adversely affect the
driver's ability to safely operate a CMV,
only applies to non-Schedule I
prescribed substances, amphetamines,
narcotics, or other habit-forming drugs.
Section 391.43(f) incorporates the
substance of § 391.41(b)(12) into pages 4
and 8 of the Instructions to the Medical
Examiner. FMCSA makes no other
changes to this document.
VI. Changes to the Proposed Rule in
this Final Rule
This final rule makes the following
minor changes to the NPRM to improve
the clarity and intent of the rule.
The final rule removes the term
"controlled substance" from §§ 382.213
and 391.41(b)(12) and replaces it with
"drug or substance." This new language
conforms to terminology the DEA uses
in its regulations at 21 CFR part 1308.
The final rule also changes the language
in §§ 382.213(b) and 391.41(b)(12)(ii)
that references non-Schedule I drugs or
substances and replaces it with the
phrase "that is identified in the other
Schedules in 21 CFR part 1308." The
Agency did not intend to expand the
scope of these sections to nonscheduled
drugs. This change makes the
Agency's intent clear by specifically
stating that they only apply to the use
of drugs or substances that appear on
one of the DEA's controlled substances
schedules.
The final rule changes the following
highlighted language proposed in
§ 391.41(b)(12)(ii): "Does not use any
non-Schedule I controlled substance except when the use is pursuant to the
instructions of a licensed medical
practitioner * * * " After further
consideration, the Agency concluded
that this change of language is
inconsistent with language used
elsewhere in the Agency's regulations
and would be confusing to public. As a
result, the final rule does not adopt this
change. The final rule removes the
language "pursuant to the instructions
of" and replaces it with the original
language in this section, "prescribed
by."
The final rule also changes § 391.43(f)
to reflect these changes on pages 4 and
8 of the Instructions to the Medical
Examiner.
Finally, the final rule removes the
following language from page 8 of the
Instructions to the Medical Examiner:
"If a driver uses a Schedule I drug or
other substance, an amphetamine, a
narcotic, or any other habit-forming
drug, it may be cause for the driver to
be found medically unqualified," and
replaces it with: "If a driver uses an
amphetamine, a narcotic or any other
habit-forming drug, it may be cause for
the driver to be found medically
unqualified. If a driver uses a Schedule
I drug or substance, it will be cause for
the driver to be found medically
unqualified." This change harmonizes
the Instructions with the other changes
made in this final rule. Specifically, it
makes clear that a driver using a
Schedule I drug or substance is not
medically qualified to drive under any
circumstances.
VII. Regulatory Analyses Regulatory Planning and Review
This action does not meet the criteria
for a "significant regulatory action,"
either as specified in Executive Order
12866 as supplemented by Executive
Order 13563 (76 FR 3821, January 18,
2011) or within the meaning of the DOT
regulatory policies and procedures (44
FR 1103, February 26, 1979). The
estimated economic costs of the rule do
not exceed the $100 million annual
threshold nor does the Agency expect
the rule to have substantial
Congressional or public interest.
Therefore, this rule has not been
formally reviewed by the Office of
Management and Budget. No
expenditures are required of the affected
population because the rule only
clarifies existing rules, amends
inconsistencies in FMCSA's current
regulations, and harmonizes them with
DOT-wide regulations and DEA
regulations.
Regulatory Flexibility Act
The Regulatory Flexibility Act of 1980
(5 U.S.C. 601–612) requires Federal
agencies to consider the effects of the
regulatory action on small business and
other small entities and to minimize any
significant economic impact. The term
"small entities" comprises small
businesses and not-for-profit
organizations that are independently
owned and operated and are not
dominant in their fields, as well as
governmental jurisdictions with
populations of less than 50,000.
Accordingly, DOT policy requires an
analysis of the impact of all regulations
on small entities and mandates that
agencies strive to lessen any adverse
effects on these businesses.
Under the Regulatory Flexibility Act,
as amended by the Small Business
Regulatory Enforcement Fairness Act of
1996 (Pub. L. 104–121, Title II, 110 Stat.
857), the rule is not expected to have a
significant economic impact on a
substantial number of small entities
because the rule only clarifies existing
rules, amends inconsistencies in
FMCSA's current regulations, and
harmonizes them with the DOT-wide
regulations and DEA regulations.
Accordingly, I certify that a regulatory
flexibility analysis is not necessary.
Assistance for Small Entities
In accordance with section 213(a) of
the Small Business Regulatory
Enforcement Fairness Act of 1996 (Pub.
L. 104–121, 110 Stat. 858), FMCSA
wants to assist small entities in
understanding this rule so that they can
better evaluate its effects on them and
participate in the rulemaking initiative.
If the rule affects your small business,
organization, or governmental
jurisdiction and you have questions
concerning its provisions or options for
compliance, please consult the FMCSA
point of contact, Angela Ward, listed in
the FOR FURTHER INFORMATION CONTACT
section of this rule. FMCSA does not
intend to take action against small
entities that have questions about this
rule or any policy or action of the
Agency.
Small businesses may send comments
on the actions of Federal employees
who enforce or otherwise determine
compliance with Federal regulations to
the Small Business and Agriculture
Regulatory Enforcement Ombudsman
and the Regional Small Business
Regulatory Fairness Boards. The
Ombudsman evaluates these actions
annually and rates each agency's
responsiveness to small business. If you
wish to comment on actions by employees of FMCSA, call 1–888–REG–
FAIR (1–(888) 734–3247).
Unfunded Mandates Reform Act of 1995
The Unfunded Mandates Reform Act
of 1995 (2 U.S.C. 1531–1538) requires
Federal agencies to assess the effects of
their discretionary regulatory actions. In
particular, the Act addresses actions
that may result in the expenditure by a
State, local, or tribal government, in the
aggregate, or by the private sector of
$143.1 million (which is the value of
$100 million in 2010 after adjusting for
inflation) or more in any 1 year. This
rule will not result in such expenditure;
FMCSA expects the effects of this rule
to be minimal because it only clarifies
existing rules, amends inconsistencies
in FMCSA's current regulations, and
harmonizes them with the DOT-wide
regulations and DEA regulations.
Paperwork Reduction Act
This rule calls for no new collection
of information under the Paperwork
Reduction Act of 1995 (44 U.S.C. 3501–
3520).
Privacy Impact Assessment
FMCSA conducted a Privacy
Threshold Analysis for the rulemaking
and determined that this rule is not a
privacy-sensitive rulemaking because it
will not require any collection,
maintenance, or dissemination of
Personally Identifiable Information from
or about members of the public.
Executive Order 13132 (Federalism)
A rule has implications for
Federalism under Executive Order
13132, Federalism, if it has a substantial
direct effect on State or local
governments and either preempts State
law or imposes a substantial direct cost
of compliance on States or localities.
Although States and localities are
prohibited by 49 U.S.C. 31306(g) from
adopting or enforcing a law or
regulation inconsistent with OTETA or
its implementing regulations, parts 382
and 391 and this rule do not impose
substantial direct costs of compliance
on States or localities. FMCSA has
therefore determined that this rule does
not have implications for federalism.
Executive Order 12630 (Taking of
Private Property)
This rule does not effect a taking of
private property or otherwise have
taking implications under Executive
Order 12630, Governmental Actions and
Interference with Constitutionally
Protected Property Rights.
Executive Order 12988 (Civil Justice
Reform)
This rule meets applicable standards
in sections 3(a) and 3(b)(2) of Executive
Order 12988, Civil Justice Reform, to
minimize litigation, eliminate
ambiguity, and reduce burden.
Executive Order 13045 (Protection of
Children)
FMCSA analyzed this rule under
Executive Order 13045, Protection of
Children from Environmental Health
Risks and Safety Risks. This rule is not
an economically significant rule and
does not create an environmental risk to
health or risk to safety that might
disproportionately affect children.
Executive Order 13211 (Energy Effects)
FMCSA analyzed this rule under
Executive Order 13211, Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use. The Agency
determined that it is not a "significant
energy action" under that order because
it is not a "significant regulatory action"
under Executive Order 12866 and is not
likely to have a significant adverse effect
on the supply, distribution, or use of
energy.
Technical Standards
The National Technology Transfer
and Advancement Act (NTTAA) (15
U.S.C. 272 note) directs agencies to use
voluntary consensus standards in their
regulatory activities unless the agency
provides Congress, through the Office of
Management and Budget, with an
explanation of why using these
standards would be inconsistent with
applicable law or otherwise impractical.
Voluntary consensus standards are
technical standards (e.g., specifications
of materials, performance, design, or
operation; test methods; sampling
procedures; and related management
systems practices) that are developed or
adopted by voluntary consensus
standards bodies. This rule does not use
technical standards. Therefore, FMCSA
did not consider the use of voluntary
consensus standards.
National Environmental Policy Act and
Clean Air Act
FMCSA analyzed this rule for the
purpose of the National Environmental
Policy Act of 1969 (NEPA) (42 U.S.C.
4321 et seq.) and determined under our
environmental procedures Order 5610.1,
published February 24, 2004 (69 FR
9680), that this action does not have any
effect on the quality of the environment.
Therefore, this rule is categorically
excluded from further analysis and
documentation in an environmental assessment or environmental impact
statement under FMCSA Order 5610.1,
paragraph 6(r) of Appendix 2. The
Categorical Exclusion under paragraph
6(y)(6) relates to "regulations
implementing employer controlled
substances and alcohol use and testing
procedures * * * " which is the focus
of this rulemaking. A Categorical
Exclusion determination is available for
inspection or copying in the
regulations.gov Web site listed under
ADDRESSES.
In addition to the NEPA requirements
to examine impacts on air quality, the
Clean Air Act (CAA) as amended (42
U.S.C. 7401 et seq.) also requires
FMCSA to analyze the potential impact
of its actions on air quality and to
ensure that FMCSA actions conform to
State and local air quality
implementation plans. The additional
contributions to air emissions are
expected to fall within the
CAA de
minimis
standards and are not expected
to be subject to the Environmental
Protection Agency's General Conformity
Rule (40 CFR parts 51 and 93).
List of Subjects 49 CFR Part 382
Administrative practice and
procedure, Alcohol abuse, Drug abuse,
Drug testing, Highway safety, Motor
carriers, Penalties, Safety,
Transportation.
49 CFR Part 391
Alcohol abuse, Drug abuse, Drug
testing, Highway safety, Motor carriers,
Reporting and recordkeeping
requirements, Safety, Transportation.
For the reasons stated in the
preamble, FMCSA amends 49 CFR parts
382 and 391 as follows:
PART 382-CONTROLLED
SUBSTANCES AND ALCOHOL USE
AND TESTING
1. The authority citation for part 382
continues to read as follows:
Authority: 49 U.S.C. 31133, 31136, 31301
et seq., 31502; and 49 CFR 1.73.
§ 382.201 [Amended]
2. Amend § 382.201 by removing the
word "actual" between the words
"having" and "knowledge."
3. Revise § 382.211 to read as follows:
§ 382.211 Refusal to submit to a required
alcohol or controlled substances test.
No driver shall refuse to submit to a
pre-employment controlled substance
test required under § 382.301, a postaccident
alcohol or controlled substance
test required under § 382.303, a random
alcohol or controlled substances test
required under § 382.305, a reasonable
suspicion alcohol or controlled
substance test required under § 382.307,
a return-to-duty alcohol or controlled
substances test required under
§ 382.309, or a follow-up alcohol or
controlled substance test required under
§ 382.311. No employer shall permit a
driver who refuses to submit to such
tests to perform or continue to perform
safety-sensitive functions.
4. Revise § 382.213 to read as follows: § 382.213 Controlled substance use.
(a) No driver shall report for duty or
remain on duty requiring the
performance of safety sensitive
functions when the driver uses any drug
or substance identified in 21 CFR
1308.11 Schedule I.
(b) No driver shall report for duty or
remain on duty requiring the
performance of safety-sensitive
functions when the driver uses any non-
Schedule I drug or substance that is
identified in the other Schedules in 21
CFR part 1308 except when the use is
pursuant to the instructions of a
licensed medical practitioner, as
defined in § 382.107, who is familiar
with the driver's medical history and
has advised the driver that the
substance will not adversely affect the
driver's ability to safely operate a
commercial motor vehicle.
(c) No employer having actual
knowledge that a driver has used a
controlled substance shall permit the
driver to perform or continue to perform
a safety-sensitive function.
(d) An employer may require a driver
to inform the employer of any
therapeutic drug use.
§ 382.215 [Amended]
5. Amend § 382.215 by removing the
word "actual" between the words
"having" and "knowledge."
PART 391-QUALIFICATIONS OF
DRIVERS AND LONGER
COMBINATION VEHICLE (LCV)
DRIVER INSTRUCTORS
6. The authority citation for part 391
continues to read as follows:
Authority: 49 U.S.C. 322, 504, 508, 31133,
31136, and 31502; sec. 4007(b) of Pub. L.
102–240, 105 Stat. 2152; sec. 114 of Pub. L.
103–311, 108 Stat. 1673, 1677; sec. 215 of
Pub. L. 106–159, 113 Stat. 1767; and 49 CFR
1.73.
7. Revise § 391.41 paragraph (b)(12) to
read as follows:
§ 391.41 Physical qualifications for
drivers.
* * * * * (b) * * *
(12)(i) Does not use any drug or
substance identified in 21 CFR 1308.11
Schedule I, an amphetamine, a narcotic,
or other habit-forming drug.
(ii) Does not use any non-Schedule I
drug or substance that is identified in
the other Schedules in 21 part 1308
except when the use is prescribed by a
licensed medical practitioner, as
defined in § 382.107, who is familiar
with the driver's medical history and
has advised the driver that the
substance will not adversely affect the
driver's ability to safely operate a
commercial motor vehicle.
* * * * *
8. Amend § 391.43(f) by removing the
Medical Examination Report for
Commercial Driver Fitness
Determination, form 649–F (6045), and
adding in its place the following form,
to read as follows:
§ 391.43 Medical examination; certificate
of physical examination.
* * * * * (f) * * * BILLING CODE 4910–EX–P http://www.gpo.gov/fdsys/pkg/FR-2012-01-30/pdf/2012-1905.pdf * * * * *
Issued on: January 18, 2012.
Anne S. Ferro,
Administrator.
[FR Doc. 2012–1905 Filed 1–27–12; 8:45 am]
BILLING CODE 4910–EX–C
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