New Mexico OCD Rules
New Mexico OCD Rules
New Mexico OCD Rules
CHAPTER 15
OIL AND GAS
[This part was repealed effective 12/1/2008 because of a restructuring effort involving many of the rules in Title 19, Chapter 15. Material
previously found in this part is now available at 19.15.2 NMAC, General Provisions for Oil and Gas Operations.]
History of Repealed Material: 19.15.1 NMAC, General Provisions and Definitions, filed 4/27/2001 - repealed effective 12/1/2008.
NMAC History:
19.15.1 NMAC, General Provisions and Definitions, filed 4/27/2001 replaced by 19.15.2 NMAC, General Provisions for Oil and Gas Operations,
effective 12/1/2008.
19.15.2.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.2.1 NMAC - Rp, 19.15.1.1 NMAC, 12/1/08]
19.15.2.2 SCOPE: 19.15.2 NMAC applies to persons or entities engaged in oil and gas development and production within New Mexico
and to 19.15.2 NMAC through 19.15.39 NMAC.
[19.15.2.2 NMAC - Rp, 19.15.1.2 NMAC, 12/1/08]
19.15.2.3 STATUTORY AUTHORITY: 19.15.2 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Sections 70-2-1
through 70-2-38, which grants the oil conservation division jurisdiction and authority over all matters relating to the conservation of oil and gas,
the prevention of waste of oil and gas and of potash as a result of oil and gas operations, the protection of correlative rights and the disposition of
wastes resulting from oil and gas operations.
[19.15.2.3 NMAC - Rp, 19.15.1.3 NMAC, 12/1/08]
19.15.2.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.2.5 NMAC - Rp, 19.15.1.5 NMAC, 12/1/08]
19.15.2.6 OBJECTIVE: To set forth general provisions and definitions pertaining to the authority of the oil conservation division and the
oil conservation commission pursuant to the Oil and Gas Act, NMSA 1978, Sections 70-2-1 through 70-2-38.
[19.15.2.6 NMAC - Rp, 19.15.1.6 NMAC, 12/1/08]
19.15.2.7 DEFINITIONS: These definitions apply to 19.15.2 NMAC through 19.15.39 NMAC.
A. Definitions beginning with the letter “A”.
(1) “Abate” means to investigate, contain, remove or mitigate water pollution.
(2) “Abatement” means the investigation, containment, removal or other mitigation of water pollution.
(3) “Abatement plan” means a description of operational, monitoring, contingency and closure requirements and conditions for water
pollution’s prevention, investigation and abatement.
(4) “ACT” means automatic custody transfer.
(5) “Adjoining spacing units” mean those existing or prospective spacing units in the same pool that are touching at a point or line on
the subject spacing unit.
(6) “Adjusted allowable” means the allowable production a well or proration unit receives after all adjustments are made.
(7) “AFE” means authorization for expenditure.
(8) “Allocated pool” means a pool in which the total oil or gas production is restricted and is allocated to various wells in the pool in
accordance with proration schedules.
(9) “Allowable production” means that number of barrels of oil or cubic feet of gas the division authorizes to be produced from an
allocated pool.
(10) “APD” means application for permit to drill.
(11) “API” means the American petroleum institute.
(12) “Approved temporary abandonment” means the status of a well that is inactive, has been approved in accordance with
19.15.25.13 NMAC and is in compliance with 19.15.25.12 NMAC through 19.15.25.14 NMAC.
(13) “Aquifer” means a geological formation, group of formations or a part of a formation that is capable of yielding a significant
amount of water to a well or spring.
(14) “ASTM” means ASTM International - an international standards developing organization that develops and publishes voluntary
technical standards for a wide range of materials, products, systems and services.
B. Definitions beginning with the letter “B”.
(1) “Back allowable” means the authorization for production of an underproduction resulting from pipeline proration.
(2) “Background” means, for purposes of ground water abatement plans only, the amount of ground water contaminants naturally
occurring from undisturbed geologic sources or water contaminants occurring from a source other than the responsible person’s facility. This
definition does not prevent the director from requiring abatement of commingled plumes of pollution, does not prevent responsible persons from
seeking contribution or other legal or equitable relief from other persons and does not preclude the director from exercising enforcement authority
under any applicable statute, rule or common law.
(3) “Barrel” means 42 United States gallons measured at 60 degrees fahrenheit and atmospheric pressure at the sea level.
(4) “Barrel of oil” means 42 United States gallons of oil, after deductions for the full amount of basic sediment, water and other
impurities present, ascertained by centrifugal or other recognized and customary test.
(5) “Below-grade tank” means a vessel, excluding sumps and pressurized pipeline drip traps, where a portion of the tank's sidewalls
is below the surrounding ground surface’s elevation. Below-grade tank does not include an above ground storage tank that is located above or at
the surrounding ground surface’s elevation and is surrounded by berms.
(6) “Berm” means an embankment or ridge constructed to prevent the movement of liquids, sludge, solids or other materials.
(7) “Biopile”, also known as biocell, bioheap, biomound or compost pile, means a pile of contaminated soils used to reduce
concentrations of petroleum constituents in excavated soils through the use of biodegradation. This technology involves heaping contaminated
soils into piles or “cells” and stimulating aerobic microbial activity within the soils through the aeration or addition of minerals, nutrients and
moisture.
(8) “BLM” means the United States department of the interior, bureau of land management.
(9) “Bottom hole pressure” means the gauge pressure in psi under conditions existing at or near the producing horizon.
(10) “Bradenhead gas well” means a well producing gas through wellhead connections from a gas reservoir that has been
successfully cased off from an underlying oil or gas reservoir.
(11) “BS&W” means basic sediments and water.
(12) “BTEX” means benzene, toluene, ethylbenzene and xylene.
C. Definitions beginning with the letter “C”.
(1) “Carbon dioxide gas” means noncombustible gas composed chiefly of carbon dioxide occurring naturally in underground rocks.
(2) “Casinghead gas” means a gas or vapor or both gas and vapor indigenous to and produced from a pool the division classifies as
an oil pool. This also includes gas-cap gas produced from such an oil pool.
(3) “Cm/sec” means centimeters per second.
(4) “CPD” means central point delivery.
(5) “Combination multiple completion” means a multiple completion in which two or more common sources of supply are produced
through a combination of two or more conventional diameter casing strings cemented in a common well bore, or a combination of small diameter
and conventional diameter casing strings cemented in a common well bore, the conventional diameter strings of which might or might not be a
conventional multiple completion.
(6) “Commission” means the oil conservation commission.
(7) “Commission clerk” means the division employee the director designates to provide staff support to the commission and accept
filings in rulemaking or adjudicatory cases before the commission.
(8) “Common purchaser for gas” means a person now or hereafter engaged in purchasing from one or more producers gas produced
from gas wells within each common source of supply from which it purchases.
(9) “Common purchaser for oil” means every person now engaged or hereafter engaging in the business of purchasing oil to be
transported through pipelines.
(10) “Common source of supply”. See pool.
(11) “Condensate” means the liquid recovered at the surface that results from condensation due to reduced pressure or temperature of
petroleum hydrocarbons existing in a gaseous phase in the reservoir.
(12) “Contiguous” means acreage joined by more than one common point, that is, the common boundary is at least one side of a
governmental quarter-quarter section.
(13) “Conventional completion” means a well completion in which the production string of casing has an outside diameter in excess
of 2.875 inches.
(14) “Conventional multiple completion” means a completion in which two or more common sources of supply are produced through
one or more strings of tubing installed within a single casing string, with the production from each common source of supply completely
segregated by means of packers.
(15) “Correlative rights” means the opportunity afforded, as far as it is practicable to do so, to the owner of each property in a pool to
produce without waste the owner’s just and equitable share of the oil or gas in the pool, being an amount, so far as can be practically determined,
and so far as can be practicably obtained without waste, substantially in the proportion that the quantity of recoverable oil or gas under the property
bears to the total recoverable oil or gas in the pool, and for the purpose to use the owner’s just and equitable share of the reservoir energy.
(16) “Cubic feet of gas or cubic foot of gas” means that volume of gas contained in one cubic foot of space and computed at a base
pressure of 10 ounces per square inch above the average barometric pressure of 14.4 psi (15.025 psi absolute), at a standard base temperature of 60
degrees fahrenheit.
D. Definitions beginning with the letter “D”.
(1) “Deep pool” means a common source of supply that is situated 5000 feet or more below the surface.
(2) “Depth bracket allowable” means the basic oil allowable the division assigns a pool and based on its depth, unit size or special
pool orders, which, when multiplied by the market demand percentage factor in effect, determines the pool’s top proration unit allowable.
(3) “Director” means the director of the New Mexico energy, minerals and natural resources department, oil conservation division.
(4) “Division” means the New Mexico energy, minerals and natural resources department, oil conservation division.
(5) “Division clerk” means the division employee the director designates to accept filings in adjudicatory cases before the division.
(6) “Downstream facility” means a facility associated with the transportation (including gathering) or processing of gas or oil
(including a refinery, gas plant, compressor station or crude oil pump station); brine production; or the oil field service industry.
(7) “DRO” means diesel range organics.
E. Definitions beginning with the letter “E”.
(1) “EC” means electrical conductivity.
(2) “Enhanced oil recovery project” means the use or the expanded use of a process for the displacement of oil from an oil well or
division-designated pool other than a primary recovery process, including but not limited to the use of a pressure maintenance process; a water
flooding process; an immiscible, miscible, chemical, thermal or biological process; or any other related process.
(3) “EOR project” means an enhanced oil recovery project.
(4) “EPA” means the United States environmental protection agency.
(5) “Exempted aquifer” means an aquifer that does not currently serve as a source of drinking water, and that cannot now and will not
in the foreseeable future serve as a source of drinking water because:
(a) it is hydrocarbon producing;
(b) it is situated at a depth or location that makes the recovery of water for drinking water purposes economically or
technologically impractical; or
(c) it is so contaminated that it would be economically or technologically impractical to render that water fit for human
consumption.
(6) “Exempt waste” means oil field waste exempted from regulation as hazardous waste pursuant to Subtitle C of RCRA and
applicable regulations.
(7) “Existing spacing unit” means a spacing unit containing a producing well.
F. Definitions beginning with the letter “F”.
(1) “Facility” means a structure, installation, operation, storage tank, transmission line, access road, motor vehicle, rolling stock or
activity of any kind, whether stationary or mobile.
(2) “Field” means the general area that at least one pool underlays or appears to underlay; and also includes the underground
reservoir or reservoirs containing oil or gas. The words field and pool mean the same thing when only one underground reservoir is involved;
however, field unlike pool may relate to two or more pools.
(3) “Fresh water” to be protected includes the water in lakes and playas (regardless of quality, unless the water exceeds 10,000 mg/l
TDS and it can be shown that degradation of the particular water body will not adversely affect hydrologically connected fresh ground water), the
surface waters of streams regardless of the water quality within a given reach, and underground waters containing 10,000 mg/l or less of TDS
except for which, after notice and hearing, it is found there is no present or reasonably foreseeable beneficial use that contamination of such waters
would impair.
G. Definitions beginning with the letter “G”.
(1) “Gas”, also known as natural gas, means a combustible vapor composed chiefly of hydrocarbons occurring naturally in a pool the
division has classified as a gas pool.
(2) “Gas lift” means a method of lifting liquid to the surface by injecting gas into a well from which oil production is obtained.
(3) “Gas-oil ratio” means the ratio of the casinghead gas produced in standard cubic feet to the number of barrels of oil concurrently
produced during any stated period.
(4) “Gas-oil ratio adjustment” means the reduction in allowable of a high gas oil ratio unit to conform with the production permitted
by the limiting gas-oil ratio for the particular pool during a particular proration period.
(5) “Gas transportation facility” means a pipeline in operation serving gas wells for the transportation of gas, or some other device or
equipment in like operation where the gas produced from gas wells connected with the pipeline or other device or equipment can be transported or
used for consumption.
(6) “Gas well” means a well producing gas from a gas pool, or a well with a gas-oil ratio in excess of 100,000 cubic feet of gas per
barrel of oil producing from an oil pool.
(7) “Geomembrane” means an impermeable polymeric sheet material that is impervious to liquid and gas as long as it maintains its
integrity, and is used as an integral part of an engineered structure designed to limit the movement of liquid or gas in a system.
(8) “Geotextile” means a sheet material that is less impervious to liquid than a geomembrane but more resistant to penetration
damage, and is used as part of an engineered structure or system to serve as a filter to prevent the movement of soil fines into a drainage system, to
provide planar flow for drainage, to serve as a cushion to protect geomembranes or to provide structural support.
(9) “GRO” means gasoline range organics.
(10) “Ground water” means interstitial water that occurs in saturated earth material and is capable of entering a well in sufficient
amounts to be used as a water supply.
(11) “Ground water sensitive area” means an area the division specifically designates after evaluation of technical evidence where
ground water exists that would likely exceed WQCC standards if contaminants were introduced into the environment.
H. Definitions beginning with the letter “H”.
(1) “Hardship gas well” means a gas well where underground waste occurs if the well is shut-in or curtailed below its minimum
sustainable flow rate.
(2) “Hazard to public health” exists when water that is used or is reasonably expected to be used in the future as a human drinking
water supply exceeds at the time and place of the use, one or more of the numerical standards of Subsection A of 20.6.2.3103 NMAC, or the
naturally occurring concentrations, whichever is higher, or if a toxic pollutant as defined at Subsection WW of 20.6.2.7 NMAC affecting human
health is present in the water. In determining whether a release would cause a hazard to public health to exist, the director investigates and
considers the purification and dilution reasonably expected to occur from the time and place of release to the time and place of withdrawal for use
as human drinking water.
(3) “Hazardous waste” means non-exempt waste that exceeds the minimum standards for waste hazardous by characteristics
established in RCRA regulations, 40 CFR 261.21-261.24, or listed hazardous waste as defined in 40 CFR, part 261, subpart D, as amended.
(3) “Regulated NORM” means NORM contained in oil-field soils, equipment, sludges or other materials related to oil-field
operations or processes exceeding the radiation levels specified in 20.3.14.1403 NMAC.
(4) “Release” means breaks, leaks, spills, releases, fires or blowouts involving oil, produced water, condensate, drilling fluids,
completion fluids or other chemical or contaminant or mixture thereof, including oil field wastes and gases to the environment.
(5) “Remediation plan” means a written description of a program to address unauthorized releases. The plan may include appropriate
information, including assessment data, health risk demonstrations and corrective action or actions. The plan may also include an alternative
proposing no action beyond the spill report’s submittal.
(6) “Responsible person” means the owner or operator who shall complete a division-approved corrective action for pollution from
releases.
(7) “Royalty interest owner” means the owner of an interest in the non-executive rights including lessors, royalty interest owners and
overriding royalty interest owners. Royalty interests are non-cost bearing.
(8) “Run-on” means rainwater, leachate or other liquid that drains from other land onto any part of a division-approved facility.
S. Definitions beginning with the letter “S”.
(1) “SAR” means the sodium adsorption ratio.
(2) “Secondary recovery” means a method of recovering quantities of oil or gas from a reservoir which quantities would not be
recoverable by ordinary primary depletion methods.
(3) “Sediment oil” means tank bottoms and other accumulations of liquid hydrocarbons on an oil and gas lease, which hydrocarbons
are not merchantable through normal channels.
(4) “Shallow pool” means a pool that has a depth range from zero to 5000 feet.
(5) “Shut-in” means the status of a production well or an injection well that is temporarily closed down, whether by closing a valve
or disconnection or other physical means.
(6) “Shut-in pressure” means the gauge pressure noted at the wellhead when the well is completely shut-in, not to be confused with
bottom hole pressure.
(7) “Significant modification of an abatement plan” means a change in the abatement technology used excluding design and
operational parameters, or relocation of 25 percent or more of the compliance sampling stations, for a single medium, as designated pursuant to
Subparagraph (d) of Paragraph (2) of Subsection D of 19.15.30.13 NMAC.
(8) “Soil” means earth, sediments or other unconsolidated accumulations of solid particles produced by the physical and chemical
disintegration of rocks, and that may or may not contain organic matter.
(9) “Spacing unit” means the area allocated to a well under a well spacing order or rule. Under the Oil and Gas Act, NMSA 1978,
Section 70-2-12(B)(10), the commission may fix spacing units without first creating proration units. See Rutter & Wilbanks corp. v. oil
conservation comm’n, 87 NM 286 (1975). This is the area designated on form C-102.
(10) “Subsurface water” means ground water and water in the vadose zone that may become ground water or surface water in the
reasonably foreseeable future or that vegetation may use.
(11) “Surface waste management facility” means a facility that receives oil field waste for collection, disposal, evaporation,
remediation, reclamation, treatment or storage except:
(a) a facility that utilizes underground injection wells subject to division regulation pursuant to the federal Safe Drinking Water
Act, and does not manage oil field wastes on the ground in pits, ponds, below-grade tanks or land application units;
(b) a facility permitted pursuant to the New Mexico environmental improvement board rules or WQCC rules;
(c) a temporary pit as defined in 19.15.17 NMAC;
(d) a below-grade tank or pit that receives oil field waste from a single well, permitted pursuant to 19.15.37 NMAC, regardless
of the capacity or volume of oil field waste received;
(e) a facility located at an oil and gas production facility and used for temporary storage of oil field waste generated on-site
from normal operations, if the facility does not pose a threat to fresh water, public health, safety or the environment;
(f) a remediation conducted in accordance with a division-approved abatement plan pursuant to 19.15.30 NMAC, a corrective
action pursuant to 19.15.29 NMAC or a corrective action of a non-reportable release;
(g) a facility operating pursuant to a division emergency order;
(h) a site or facility where the operator is conducting emergency response operations to abate an immediate threat to fresh
water, public health, safety or the environment or as the division has specifically directed or approved; or
(i) a facility that receives only exempt oil field waste, receives less than 50 barrels of liquid water per day (averaged over a 30-
day period), has a capacity to hold 500 barrels of liquids or less and is permitted pursuant to 19.15.17 NMAC.
T. Definitions beginning with the letter “T”.
(1) “Tank bottoms” means that accumulation of hydrocarbon material and other substances that settles naturally below oil in tanks
and receptacles that are used in oil’s handling and storing, and which accumulation contains in excess of two percent of BS&W; provided,
however, that with respect to lease production and for lease storage tanks, a tank bottom shall be limited to that volume of the tank in which it is
contained that lies below the bottom of the pipeline outlet to the tank.
(2) “TDS” means total dissolved solids.
(3) “Temporary abandonment” means the status of a well that is inactive.
(4) “Top proration unit allowable for gas” means the maximum number of cubic feet of gas, for the proration period, the division
allocates to a gas producing unit in an allocated gas pool.
(5) “Top proration unit allowable for oil” means the maximum number of barrels for oil daily for each calendar month the division
allocates on a proration unit basis in a pool to non-marginal units. The division shall determine the top proration unit allowable for a pool by
multiplying the applicable depth bracket allowable by the market demand percentage factor in effect.
(6) “TPH” means total petroleum hydrocarbons.
(7) “Treating plant” means a plant constructed for the purpose of wholly or partially or being used wholly or partially for reclaiming,
treating, processing or in any manner making tank bottoms or other waste oil marketable.
(8) “Tribal lands” means those lands for which the United States government has a trust responsibility to a native American tribe or a
member of a native American tribe. This includes reservations, pueblo land grants, tribal trust lands and individual trust allotments.
(9) “Tribal leases” means those leases of minerals or interests in or rights to minerals for which the United States government has a
trust responsibility to a native American tribe or a member of a native American tribe.
(10) “Tribal minerals” means those minerals for which the United States government has a trust responsibility to a native American
tribe or a member of a native American tribe.
(11) “Tubingless completion” means a well completion in which the production string of casing has an outside diameter of 2.875
inches or less.
(12) “Tubingless multiple completion” means completion in which two or more common sources of supply are produced through an
equal number of casing strings cemented in a common wellbore, each such string of casing having an outside diameter of 2.875 inches or less, with
the production from each common source of supply completely segregated by cement.
U. Definitions beginning with the letter “U”.
(1) “Underground source of drinking water” means an aquifer that supplies water for human consumption or that contains ground
water having a TDS concentration of 10,000 mg/l or less and that is not an exempted aquifer.
(2) “Underproduction” means the amount of oil or the amount of gas during a proration period by which a given proration unit failed
to produce an amount equal to that the division authorizes in the proration schedule.
(3) “Unit of proration for gas” consists of such multiples of 40 acres as may be prescribed by division-issued special pool orders.
(4) “Unit of proration for oil” consists of one 40-acre tract or such multiples of 40-acre tracts as may be prescribed by division-issued
special pool orders.
(5) “Unorthodox well location” means a location that does not conform to the spacing requirements division rules establish.
(6) “Unstable area” means a location that is susceptible to natural or human-induced events or forces capable of impairing the
integrity of some or all of a division-approved facility’s structural components. Examples of unstable areas are areas of poor foundation
conditions, areas susceptible to mass earth movements and karst terrain areas where karst topography is developed as a result of dissolution of
limestone, dolomite or other soluble rock. Characteristic physiographic features of karst terrain include sinkholes, sinking streams, caves, large
springs and blind valleys.
(7) “Upstream facility” means a facility or operation associated with the exploration, development, production or storage of oil or gas
that is not a downstream facility.
V. Definitions beginning with the letter “V”. “Vadose zone” means unsaturated earth material below the land surface and above
ground water, or in between bodies of ground water.
W. Definitions beginning with the letter “W”.
(1) “Waste”, in addition to its ordinary meaning, includes:
(a) underground waste as those words are generally understood in the oil and gas business, and to embrace the inefficient,
excessive or improper use or dissipation of the reservoir energy, including gas energy and water drive, of a pool, and the locating, spacing, drilling,
equipping, operating or producing of a well or wells in a manner to reduce or tend to reduce the total quantity of oil or gas ultimately recovered
from a pool, and the use of inefficient underground storage of gas;
(b) surface waste as those words are generally understood in the oil and gas business, and to embrace the unnecessary or
excessive surface loss or destruction without beneficial use, however caused, of gas of any type or in any form, or oil, or a product thereof, but
including the loss or destruction, without beneficial use, resulting from evaporation, seepage, leakage or fire, especially such loss or destruction
incident to or resulting from the manner of spacing, equipping, operating or producing a well or wells, or incident to or resulting from the use of
inefficient storage or from the production of oil or gas, in excess of the reasonable market demand;
(c) oil production in this state in excess of the reasonable market demand for the oil; the excess production causes or results in
waste that the Oil and Gas Act prohibits; reasonable market demand as used herein with respect to oil means the demand for the oil, for reasonable
current requirements for current consumption and use within or outside of the state, together with the demand of amounts as are reasonably
necessary for building up or maintaining reasonable storage reserves of oil or the products thereof, or both the oil and products;
(d) the non-ratable purchase or taking of oil in this state; the non-ratable taking and purchasing causes or results in waste, as
defined in Subparagraphs (a), (b) and (c) of Paragraph (1) of Subsection W of 19.15.2.7 NMAC and causes waste by violating the Oil and Gas Act,
NMSA 1978, Section 70-2-16;
(e) the production in this state of gas from a gas well or wells, or from a gas pool, in excess of the reasonable market demand
from such source for gas of the type produced or in excess of the capacity of gas transportation facilities for such type of gas; the words
“reasonable market demand”, as used herein with respect to gas, shall be construed to mean the demand for gas for reasonable current
requirements, for current consumption and for use within or outside the state, together with the demand for such amounts as are necessary for
building up or maintaining reasonable storage reserves of gas or products thereof, or both the gas and products.
(2) “Water” means all water including water situated wholly or partly within or bordering upon the state, whether surface or
subsurface, public or private, except private waters that do not combine with other surface or subsurface water.
(3) “Water contaminant” means a substance that could alter if released or spilled water’s physical, chemical, biological or
radiological qualities. Water contaminant does not mean source, special nuclear or by-product material as defined by the Atomic Energy Act of
1954.
(4) “Watercourse” means a river, creek, arroyo, canyon, draw or wash or other channel having definite banks and bed with visible
evidence of the occasional flow of water.
(5) “Water pollution” means introducing or permitting the introduction into water, either directly or indirectly, of one or more water
contaminants in such quantity and of such duration as may with reasonable probability injure human health, animal or plant life or property, or to
unreasonably interfere with the public welfare or property use.
(6) “Well blowout” means a loss of control over and subsequent eruption of a drilling or workover well or the rupture of the casing,
casinghead or wellhead of an oil or gas well or injection or disposal well, whether active or inactive, accompanied by the sudden emission of fluids,
gaseous or liquid, from the well.
(7) “Well bore” means the interior surface of a cased or open hole through which drilling, production or injection operations are
conducted.
(8) “Wellhead protection area” means the area within 200 horizontal feet of a private, domestic fresh water well or spring used by less
than five households for domestic or stock watering purposes or within 1000 horizontal feet of any other fresh water well or spring. Wellhead
protection areas does not include areas around water wells drilled after an existing oil or gas waste storage, treatment or disposal site was
established.
(9) “Wetlands” means those areas that are inundated or saturated by surface or ground water at a frequency and duration sufficient to
support, and under normal circumstances do support, a prevalence of vegetation typically adapted for life in saturated soil conditions in New
Mexico. This definition does not include constructed wetlands used for wastewater treatment purposes.
(10) “Working interest owner” means the owner of an operating interest under an oil and gas lease who has the exclusive right to
exploit the oil and gas minerals. Working interests are cost bearing.
(11) “WQCC” means the New Mexico water quality control commission.
[19.15.2.7 NMAC- Rp, 19.15.1.7 NMAC, 12/1/08]
19.15.2.9 ORDERS: The division or commission may issue orders, including division or commission special pool orders when required
and the orders shall prevail against rules if in conflict with them.
[19.15.2.9 NMAC - Rp, 19.15.1.11 NMAC, 12/1/08]
19.15.2.13 COMPUTATION OF TIME: In computing a period of time 19.15.2 NMAC through 19.15.39 NMAC prescribes, the day from
which the period of time begins to run shall not be included. The last calendar day of the time period shall be included in the computation unless it
is a Saturday, Sunday or a day on which state agencies observe a legal holiday. In such case, the period of time runs to the close of business on the
next regular workday. If the period is less than 11 days, a Saturday, Sunday or legal holiday is excluded from the computation.
[19.15.2.13 NMAC - Rp, 19.15.14.1226 NMAC, 12/1/08]
19.15.2.14 MEETINGS BY TELECONFERENCE: Pursuant to NMSA 1978, Section 10-15-1 commission members may participate in
commission meetings and hearings by conference telephone or other similar communications equipment when it is otherwise difficult or impossible
for members to attend the meeting or hearing in person. Each member participating by conference telephone or other similar communications
equipment shall be identified when speaking. Participants shall be able to hear each other at the same time. Members of the public hearing
attending the meetings or hearing shall be able to hear commission members who speak during the meeting or hearing.
[19.15.2.14 NMAC - Rp, 19.15.1.20 NMAC, 12/1/08]
19.15.2.15 AUTHORITY TO COOPERATE WITH OTHER AGENCIES: The division may from time to time enter into arrangements
with state and federal governmental agencies, industry committees and individuals with respect to special projects, services and studies relating to
oil and gas conservation and the associated protection of fresh waters.
[19.15.2.15 NMAC - Rp, 19.15.1.17 NMAC, 12/1/08]
19.15.2.16 DUTIES AND AUTHORITY OF FIELD PERSONNEL: Oil and gas inspectors, deputy oil and gas inspectors, scouts,
engineers and geologists the division duly appoints have the authority and duty to enforce division rules. Oil and gas inspectors and their deputies
may allow minor deviations from 19.15.2 NMAC through 19.15.39 NMAC’s requirements as to field practices where, by so doing, waste is
prevented or burdensome delay or expense on the part of the operator is avoided.
[19.15.2.16 NMAC - Rp, 19.15.15.1303, 12/1/08]
19.15.2.18 RENUMBERING OR REORGANIZATION OF RULES: When the commission approves reorganization or renumbering of
division rules, either through amendment or repeal and replacement, persons with permits, orders or agreements that reference rules that have been
reorganized or renumbered shall comply with the rules as reorganized or renumbered.
[19.15.2.18 NMAC - N, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions (filed 04/27/2001); 19.15.14 NMAC, Procedure (filed 09/16/2005); and
19.15.15 NMAC, Administration (filed 07/12/2004) all repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.1 NMAC, General Provisions (Sections 1-7, 11, 13, 17, & 20) (filed 04/27/2001); 19.15.14 NMAC, Procedure
(Sections 1225 and 1226) (filed 09/16/2005); and 19.15.15 NMAC, Administration (Sections 1301 and 1303) (filed 07/12/2004) were replaced by
19.15.2 NMAC, General Provisions for Oil and Gas Operations, effective 12/1/08.
19.15.3.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.3.1 NMAC - Rp, 19.15.14.1 NMAC, 12/1/08]
19.15.3.2 SCOPE: 19.15.3 NMAC applies to persons or entities engaged in rulemaking proceedings before the commission.
[19.15.3.2 NMAC - Rp, 19.15.14.2 NMAC, 12/1/08]
19.15.3.3 STATUTORY AUTHORITY: 19.15.3 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
which grants the oil conservation division and the oil conservation commission jurisdiction and authority over all matters relating to the
conservation of oil and gas, the prevention of waste of oil and gas and of potash as a result of oil and gas operations, the protection of correlative
rights and the disposition of wastes resulting from oil and gas operations, and NMSA 1978, Section 70-2-7, which provides that the division shall
prescribe by rule its hearing procedures.
[19.15.3.3 NMAC - Rp, 19.15.14.3 NMAC, 12/1/08]
19.15.3.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.3.5 NMAC - Rp, 19.15.14.5 NMAC, 12/1/08]
will have statewide effect, in a newspaper of general circulation in the state, no less than 20 days prior to the scheduled hearing date;
(2) on the applicable docket for the commission hearing at which the commission will hear the matter, which the commission clerk
shall send by regular or electronic mail not less than 20 days prior to the hearing to all who have requested such notice;
(3) one time in the New Mexico register, with the publication date not less than 10 business days prior to the scheduled hearing date;
and
(4) by posting on the division’s website not less than 20 days prior to the scheduled hearing date.
B. In cases of emergency, the commission chairman may shorten these time limits by written order.
[19.15.3.9 NMAC - Rp, 19.15.14.1202, 12/1/08]
19.15.3.10 COMMENTS ON RULEMAKING: A person may submit written, electronic or facsimile comments on a proposed rule
change, and those comments shall be made part of the hearing record. Individuals or entities shall provide written comments on the proposed rule
change to the commission clerk not later than five business days before the scheduled hearing date, unless the commission chairman or the
commission extends the time for filing comments. The commission chairman or the commission may extend the time for filing written, electronic
or facsimile comments by making an announcement at the hearing, or by posting notice on the division’s website. A person may review written,
electronic or facsimile comments on a proposed rule change at the division’s Santa Fe office. The division shall post copies of written, electronic
or facsimile comments that persons have filed with the commission clerk on the division’s website as soon as practicable after they are filed.
[19.15.3.10 NMAC - Rp, 19.15.14.1203 NMAC, 12/1/08]
(b) the commission may allow persons to make a brief opening statement;
(c) unless otherwise ordered, the applicant, or in the case of commission initiated rulemaking, commission or division staff,
shall present its case first;
(d) the commission chairman shall establish an order for other participants’ testimony based upon notices of intent to present
technical testimony, sign-in sheets, the availability of witnesses who cannot be present for the entire hearing and any other appropriate factor;
(e) the commission may allow persons to make a brief closing statement;
(f) if the hearing continues for more than one day, the commission shall provide an opportunity each day for public comment;
(g) at the close of the hearing, the commission shall determine whether to keep the record open for written submittals including
arguments and proposed statements of reasons supporting the proposed commission decision; in considering whether the record will remain open,
the commission shall consider the reasons why the material was not presented during the hearing, the significance of material to be submitted and
the necessity for a prompt decision; if the commission keeps the record open, the commission chairman shall announce at the hearing’s conclusion
the subjects on which the commission will allow submittals and the deadline for filing the submittals; and
(h) if the hearing is not completed on the day that it commences, the commission may, by announcement, continue the hearing
as necessary without further notice.
B. Testimony and cross-examination.
(1) The commission shall take all testimony under oath or affirmation, which may be accomplished en masse or individually.
However, a person may make an un-sworn position statement.
(2) The commission shall admit relevant evidence, unless the commission determines that the evidence is incompetent or unduly
repetitious.
(3) A person who testifies at the hearing is subject to cross-examination by a person who has filed a pre-hearing statement on the
subject matter of the person’s direct testimony. A person who presents technical testimony may also be cross-examined on matters related to the
person’s background and qualifications. The commission may limit cross-examination to avoid harassment, intimidation, needless expenditure of
time or undue repetition.
C. Exhibits.
(1) A person offering an exhibit shall provide six sets of the exhibit for the commission, copies for each of those individuals or
entities that have filed an intent to present technical testimony or cross-examine witnesses at the hearing and five additional copies for others who
may attend the hearing.
(2) Exhibits offered at the hearing shall be marked with a designation identifying the person offering the exhibit and shall be
numbered sequentially.
D. Transcript of proceeding.
(1) The commission shall make a verbatim record of the hearing.
(2) A person may obtain a copy of the hearing transcript. The person requesting the copy shall pay for the cost of the copy of the
hearing transcript.
E. Deliberation and decision.
(1) If a quorum of the commission attended the hearing, and if the hearing agenda indicates that a decision might be made at the
hearing’s conclusion, the commission may immediately deliberate and make a decision in open session on the proposed rule change based on a
motion that includes reasons for the decision.
(2) If, during the course of deliberations, the commission determines that additional testimony or documentary evidence is necessary
for a proper decision on the proposed rule change, the commission may reopen the hearing for additional evidence after notice pursuant to
19.15.3.9 NMAC.
(3) The commission shall issue a written order adopting or refusing to adopt the proposed rule change, or adopting the proposed rule
change in part, and shall include in the order the reasons for the action taken.
(4) Upon the commission’s issuance of the order, the commission clerk shall post the order on the division’s website and mail or e-
mail a copy of the order to each person who presented non-technical testimony at the hearing or who filed a pre-hearing statement, or the person’s
attorney.
F. Filing. The division shall file with the state records center and archives and publish any rule the commission adopts, amends or
repeals consistent with the State Rules Act.
[19.15.3.12 NMAC - Rp, 19.15.14.1205 NMAC, 12/1/08]
History of Repealed Material: 19.15.14 NMAC, Procedure (filed 09/16/2005) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.14 NMAC, Procedure (Sections 1-6, 1201 - 1205) (filed 09/16/2005) were replaced by 19.15.3 NMAC,
Rulemaking, effective 12/1/08.
19.15.4.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.4.1 NMAC - Rp, 19.15.14.1 NMAC, 12/1/08]
19.15.4.2 SCOPE: 19.15.4 NMAC applies to persons engaged in adjudicatory proceedings before the division or the commission.
[19.15.4.2 NMAC -Rp, 19.15.14.2 NMAC, 12/1/08]
19.15.4.3 STATUTORY AUTHORITY: 19.15.4 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
which grants the oil conservation division and the oil conservation commission jurisdiction and authority over all matters relating to the
conservation of oil and gas, the prevention of waste of oil and gas and of potash as a result of oil and gas operations, the protection of correlative
rights and the disposition of wastes resulting from oil and gas operations, and NMSA 1978, Section 70-2-7, which provides that the division shall
prescribe by rule its hearing procedures.
[19.15.4.3 NMAC - Rp, 19.15.14.3 NMAC, 12/1/08]
19.15.4.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.4.5 NMAC - Rp, 19.15.14.5 NMAC, 12/1/08]
19.15.4.6 OBJECTIVE: To establish procedures for adjudicatory hearings before the division or commission.
[19.15.4.6 NMAC - Rp, 19.15.14.6 NMAC, 12/1/08]
relevant correspondence;
(vii) proposed overhead charges (combined fixed rates) to be applied during drilling and production operations along with
the basis for such charges;
(viii) the location and proposed depth of the well to be drilled on the pooled units; and
(ix) a copy of the AFE the applicant, if appointed operator, will submit to the well’s interest owners.
(c) Applicants shall provide with all submittals sworn and notarized statements by those persons who prepared submittals,
attesting that the information is correct and complete to the best of their knowledge and belief.
(d) The division shall set unopposed pooling applications for hearing. If the division finds the application complete, the
information submitted with the application shall constitute the record in the case, and the division shall issue an order based on the record.
(e) At an interested person’s request or upon the division’s own initiative, the division shall set a pooling application for full
hearing with oral testimony by the applicant.
(2) Unorthodox well locations.
(a) Affected persons are the following persons owning interests in the adjoining spacing units:
(i) the division-designated operator;
(ii) in the absence of an operator, a lessee whose interest is evidenced by a written conveyance document either of record
or known to the applicant as of the date he files the application; and
(iii) in the absence of an operator or lessee, a mineral interest owner whose interest is evidenced by a written conveyance
document either of record or known to the applicant as of the date the applicant filed the application.
(b) In the event the proposed unorthodox well’s operator is also the operator of an existing, adjoining spacing unit, and
ownership is not common between the adjoining spacing unit and the spacing unit containing the proposed unorthodox well, then affected persons
include working interest owners in that spacing unit.
(c) If the proposed location is unorthodox by being located closer to the spacing unit’s outer boundary than 19.15.15 NMAC or
applicable special pool orders permit, the applicant shall notify the affected persons in the adjoining spacing units towards which the unorthodox
location encroaches.
(d) If the proposed location is unorthodox by being located in a different quarter-quarter section or quarter section than special
pool orders provide, the applicant shall notify affected persons.
(3) Non-standard proration unit. The applicant shall notify owners of interest in the mineral estate to be excluded from the proration
unit in the quarter-quarter section for 40-acre pools or formations, the one-half quarter section for 80-acre pools or formations, the quarter section
for 160-acre pools for formations, the half section for 320-acre pools or formations or section for 640-acre pools or formations in which the non-
standard unit is located and to such other persons as the division requires.
(4) Special pool orders regulating or affecting a specific pool.
(a) Except for non-standard proration unit applications, if the application involves changing the amount of acreage to be
dedicated to a well, the applicant shall notify:
(i) division-designated operators in the pool; and
(ii) owners of interests in the mineral estate in existing spacing units with producing wells.
(b) If the application involves other matters, the applicant shall notify:
(i) division-designated operators in the pool; and
(ii) division-designated operators of wells within the same formation as the pool and within one mile of the pool’s outer
boundary that have not been assigned to another pool.
(5) Special orders regarding any division-designated potash area. The applicant shall notify potash lessees, oil and gas operators, oil
and gas lessees and unleased mineral interest owners within the designated potash area.
(6) Downhole commingling. The applicant shall notify owners of interests in the mineral estate in the spacing unit if ownership is
not common for commingled zones within the spacing unit.
(7) Surface disposal of produced water or other fluids. The applicant shall notify surface owners within one-half mile of the site.
(8) Surface commingling. The applicant shall give notice as Subsection C of 19.15.12.10 NMAC prescribes.
(9) Adjudications not listed above. The applicant shall give notice as the division requires.
B. Type and content of notice. The applicant shall send a notice 19.15.4.9 NMAC requires by certified mail, return receipt
requested, to the last known address of the person to whom notice is to be given at least 20 days prior to the application’s scheduled hearing date
and shall include a copy of the application; the hearing’s date, time and place; and the means by which protests may be made. When an applicant
has been unable to locate persons entitled to notice after exercising reasonable diligence, the applicant shall provide notice by publication, and
submit proof of publication at the hearing. Such proof shall consist of a copy of a legal advertisement that was published at least 10 business days
before the hearing in a newspaper of general circulation in the county or counties in which the property is located, or if the application’s effect is
statewide, in a newspaper of general circulation in this state, together with the newspaper’s affidavit of publication.
C. At the hearing, the applicant shall make a record, either by testimony or affidavit, that the applicant or its authorized
representative has signed, that the applicant has:
(1) complied with notice provisions of 19.15.4.9 NMAC;
(2) conducted a good-faith diligent effort to find the correct addresses of persons entitled to notice; and
(3) given notice at that correct address as 19.15.4.9 NMAC requires; in addition, the record shall contain the name and address of
each person to whom notice was sent and, where proof of receipt is available, a copy of the proof.
D. Evidence of failure to provide notice as 19.15.4.9 NMAC requires may, upon proper showing, be considered cause for reopening
the case.
E. In the case of an administrative application where the required notice was sent and a timely filed protest was made, the division
shall notify the applicant and the protesting party in writing that the case has been set for hearing and the hearing’s date, time and place. No further
notice is required.
[19.15.4.12 NMAC - Rp, 19.15.14.1210 NMAC, 12/1/08]
19.15.4.13 PLEADINGS, COPIES, PRE-HEARING STATEMENTS, EXHIBITS AND MOTIONS FOR CONTINUANCE:
A. Pleadings. Applicants shall file two sets of pleadings and correspondence in cases pending before a division examiner with the
division clerk and six sets of pleadings and correspondence in cases pending before the commission with the commission clerk. For cases pending
before the commission, the commission clerk shall disseminate copies of pleadings and correspondence to the commission members. The party
filing the pleading or correspondence shall at the same time serve a copy of the pleading or correspondence upon each party who has entered an
appearance in the case on or prior to the business day immediately preceding the date when the party files the pleading or correspondence with the
division or the commission clerk, as applicable. Parties shall accomplish service by hand delivery or transmission by facsimile or electronic mail to
a party who has entered an appearance or, if the party is represented, the party’s attorney of record. Service upon a party who has not filed a
pleading containing a facsimile number or e-mail address may be made by ordinary first class mail. Parties shall be deemed to have made an
appearance when they have either sent a letter regarding the case to the division or commission clerk or made an in person appearance at a hearing
before the commission or before a division examiner. A written appearance, however, shall not be complete until the appearing party has provided
notice to other parties of record. An initial pleading or written entry of appearance a party other than the applicant files shall include the party’s
address or the address of the party’s attorney and an e-mail and facsimile number if available.
B. Pre-hearing statements.
(1) A party to an adjudicatory proceeding who intends to present evidence at the hearing shall file a pre-hearing statement, and serve
copies on other parties or, for parties that are represented, their attorneys in the manner Subsection A of 19.15.4.13 NMAC provides, at least four
business days in advance of a scheduled hearing before the division or the commission, but in no event later than 5:00 p.m. mountain time, on the
Thursday preceding the scheduled hearing date. The statement shall include:
(a) the names of the party and the party’s attorney;
(b) a concise statement of the case;
(c) the names of witnesses the party will call to testify at the hearing, and in the case of expert witnesses, their fields of
expertise;
(d) the approximate time the party will need to present its case; and
(e) identification of any procedural matters that are to be resolved prior to the hearing.
(2) A party other than the applicant shall include in its pre-hearing statement a statement of the extent to which the party supports or
opposes the issuance of the order the applicant seeks and the reasons for such support or opposition. In cases to be heard by the commission, each
party shall include copies of exhibits that it proposes to offer in evidence at the hearing with the pre-hearing statement. The commission may
exclude witnesses the party did not identify in the pre-hearing statement, or exhibits the party did not file and serve with the pre-hearing statement,
unless the party offers such evidence solely for rebuttal or makes a satisfactory showing of good cause for failure to disclose the witness or exhibit.
(3) A pre-hearing statement filed by a corporation or other entity not represented by an attorney shall identify the person who will
conduct the party’s presentation at the hearing and include a sworn and notarized statement attesting that the corporation’s or entity’s governing
body or chief executive officer authorizes the person to present the corporation or entity in the matter.
(4) For cases pending before the commission, the commission clerk shall disseminate copies of pre-hearing statements and exhibits to
the commission members.
C. Motions for continuance. Parties shall file and serve motions for continuance no later than 48 hours prior to time the hearing is
set to begin, unless the reasons for requesting a continuance arise after the deadline, in which case the party shall file the motion as expeditiously as
possible after becoming aware of the need for a continuance.
[19.15.4.13 NMAC - Rp, 19.15.14.1211 NMAC, 12/1/08]
making a statement at an adjudicatory hearing shall be subject to cross-examination by the parties or their attorneys.
[19.15.4.14 NMAC - Rp, 19.15.14.1212 NMAC, 12/1/08]
19.15.4.15 CONTINUANCE OF AN ADJUDICATORY HEARING: A division examiner or the commission chair may continue an
adjudicatory hearing before a division examiner or the commission held after due notice to a specified time and place without the necessity of
notice of the same being served or published.
[19.15.4.15 NMAC - Rp, 19.15.14.1213 NMAC, 12/1/08]
19.15.4.18 DIVISION EXAMINER’S QUALIFICATIONS, APPOINTMENT AND REFERRAL OF CASES: The director shall
appoint as division examiners division staff who are licensed attorneys, or who have experience in hydrogeology, hydrology, geology, petroleum
engineering, environmental engineering or a related field and a college degree in geology, engineering, hydrology or related field. Nothing in
19.15.4.18 NMAC shall prevent a commission member from serving as a division examiner. The director may refer a matter or proceeding to a
division examiner for hearing in accordance with 19.15.4 NMAC.
[19.15.4.18 NMAC - Rp, 19.15.14.1216 NMAC, 12/1/08]
19.15.4.19 DIVISION EXAMINER’S POWER AND AUTHORITY: The division examiner to whom the director refers a matter under
19.15.4 NMAC shall have full authority to hold hearings on such matter in accordance with 19.15.4 NMAC, subject only to such limitations as the
director may order in a particular case. The division examiner shall have the power to perform all acts and take all measures necessary and proper
for the hearing’s efficient and orderly conduct, including administering oaths to witnesses, receiving testimony and exhibits offered in evidence
and ruling upon such objections as may be interposed. The division examiner shall cause a complete record of the proceedings to be made and
transcribed and shall certify the record of the proceedings to the director as provided in 19.15.4.21 NMAC.
[19.15.4.19 NMAC - Rp, 19.15.14.1217 NMAC, 12/1/08]
19.15.4.20 ADJUDICATORY HEARINGS THAT SHALL BE HELD BEFORE THE COMMISSION: Notwithstanding other
provisions of 19.15.4 NMAC, the hearing on a matter shall be held before the commission if:
A. it is a hearing pursuant to NMSA 1978, Section 70-2-13; or
B. the director directs the commission to hear the matter.
[19.15.4.20 NMAC - Rp, 19.15.14.1218 NMAC, 12/1/08]
19.15.4.21 REPORT AND RECOMMENDATIONS FROM DIVISION EXAMINER’S HEARING: Upon conclusion of a hearing
before a division examiner, the division examiner shall promptly consider the proceedings in such hearing, and based upon the hearing’s record
prepare a written report with recommendations for the division’s disposition of the matter or proceeding. The division examiner shall draft a
proposed order and submit it to the director with the certified record of the hearing.
[19.15.14.1219 NMAC - Rp, 19.15.14.1219 NMAC, 12/1/08]
19.15.4.22 DISPOSITION OF CASES HEARD BY DIVISION EXAMINER: After receipt of the division examiner’s report, the
director shall enter the division’s order, which the director may have modified from the division examiner’s proposed order, disposing of the matter.
[19.15.4.22 NMAC - Rp, 19.15.14.1220 NMAC, 12/1/08]
19.15.4.24 COPIES OF COMMISSION AND DIVISION ORDERS: Within 10 business days after the division or commission issues an
order in an adjudicatory case, including an order granting or refusing rehearing or order following rehearing, the division or commission clerk shall
mail a copy of such order to each party or its attorney of record. For purposes of 19.15.4.24 NMAC only, the parties to a case are the applicant and
each person who has entered an appearance in the case, in person or by attorney, either by filing a protest, pleading or notice of appearance with the
division or commission clerk or by entering an appearance on the record at a hearing.
[19.15.4.24 NMAC - Rp, 19.15.14.1222 NMAC, 12/1/08]
19.15.4.25 REHEARINGS: Within 20 days after entry of a commission order a party of record whom the order adversely affects may file
with the commission clerk an application for rehearing on a matter the order determined, setting forth the respect in which the party believes the
order is erroneous. The commission shall grant or refuse the application in whole or in part within 10 business days after the party files it, and the
commission’s failure to act on the application within such period shall be deemed a refusal and a final disposition of such application. In the event
the commission grants the rehearing, the commission may enter a new order after rehearing as the circumstances may require.
[19.15.14.25 NMAC - Rp, 19.15.14.1223 NMAC, 12/1/08]
History of Repealed Material: 19.15.14 NMAC, Procedure (filed 09/16/2005) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.14 NMAC, Procedure (Sections 1-6, 1206 - 1224) (filed 09/16/2005) were replaced by 19.15.4 NMAC,
Adjudication, effective 12/1/08.
19.15.5.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.5.1 NMAC - N, 12/1/08]
19.15.5.2 SCOPE: 19.15.5 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.5.2 NMAC - N, 12/1/08]
19.15.5.3 STATUTORY AUTHORITY: 19.15.5 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.5.3 NMAC - N, 12/1/08]
19.15.5.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.5.5 NMAC - N, 12/1/08]
19.15.5.6 OBJECTIVE: To establish a process to ensure compliance with the Oil and Gas Act, division rules and division and
commission orders.
[19.15.5.6 NMAC - N, 12/1/08]
19.15.5.8 ENFORCEMENT OF STATUTES AND RULES: The division is charged with the duty and obligation of enforcing the
state’s rules and statutes relating to the conservation of oil and gas including the protection of public health and the environment. An owner or
operator shall obtain information pertaining to the regulation of oil and gas before beginning operations.
[19.15.5.8 NMAC - Rp, 19.15.1.12 NMAC, 12/1/08]
19.15.5.9 COMPLIANCE:
A. An operator is in compliance with Subsection A of 19.15.5.9 NMAC if the operator:
(1) currently meets the financial assurance requirements of 19.15.8 NMAC;
(2) is not subject to a division or commission order, issued after notice and hearing, finding the operator to be in violation of an order
requiring corrective action;
(3) does not have a penalty assessment that is unpaid more than 70 days after issuance of the order assessing the penalty; and
(4) has no more than the following number of wells out of compliance with 19.15.25.8 NMAC that are not subject to an agreed
compliance order setting a schedule for bringing the wells into compliance with 19.15.25.8 NMAC and imposing sanctions if the schedule is not
met:
(a) two wells or 50 percent of the wells the operator operates, whichever is less, if the operator operates 100 wells or less;
(b) five wells if the operator operates between 101 and 500 wells;
(c) seven wells if the operator operates between 501 and 1000 wells; and
(d) 10 wells if the operator operates more than 1000 wells.
B. The division shall notify an operator on a monthly basis when, according to records on file with the division, a well on the
inactive well list described in Subsection F of 19.15.5.9 NMAC shows no production or injection for the past 12 months by sending a letter by first
class mail to the address the operator has provided the division pursuant to Subsection C of 19.15.9.8 NMAC.
C. The division shall make available on its website and update weekly the status of operators’ financial assurance 19.15.8 NMAC
requires, according to division records.
D. Orders requiring corrective action.
(1) The division shall make available on its website division or commission orders, issued after notice and hearing, finding an
operator to be in violation of an order requiring corrective action.
(2) An operator who contests an order finding it to be in violation of an order requiring corrective action may appeal and may seek a
stay of the order. An order that is stayed pending appeal does not affect an operator’s compliance with Subsection A of 19.15.5.9 NMAC.
(3) An operator who completes the corrective action the order requires may file a motion with the order’s issuer to declare the order
satisfied. The division or commission, as applicable, may grant the motion without hearing, or may set the matter for hearing.
E. Penalty assessments.
(1) The division shall make available on its website penalty assessments and the date the operator paid them, according to division
records.
(2) An operator who contests an order assessing penalties may appeal and may seek a stay of the order. An order that is stayed
pending appeal does not affect an operator’s compliance with Subsection A of 19.15.5.9 NMAC.
F. Inactive wells.
(1) The division shall make available on its website, and update daily, an “inactive well list” listing each well, by operator, that
according to division records:
(a) does not have its well bore plugged in accordance with 19.15.25.9 NMAC through 19.15.25.11 NMAC;
(b) is not in approved temporary abandonment in accordance with 19.15.25.12 NMAC through 19.15.14 NMAC; and
(c) is not subject to an agreed compliance order setting a schedule for bringing the well into compliance with 19.15.25.8
NMAC and imposing sanctions if the operator does not meet the schedule.
(2) For purposes of 19.15.5.9 NMAC, the listing of a well on the division’s inactive well list as a well inactive for more than one year
plus 90 days creates a rebuttable presumption that the well is out of compliance with 19.15.25.8 NMAC.
[19.15.5.9 NMAC - Rp, 19.15.1.40 NMAC, 12/1/08]
19.15.5.11 ENFORCEABILITY OF PERMITS AND ADMINISTRATIVE ORDERS: A person who conducts an activity pursuant to a
permit, administrative order or other written authorization or approval from the division shall comply with every term, condition and provision of
the permit, administrative order, authorization or approval.
[19.15.5.11 NMAC - Rp, 19.15.1.41 NMAC, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions (filed 04/27/2001) and 19.15.14 NMAC, Procedure (filed 09/16/2005)
repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.1 NMAC, General Provisions (Sections 12, 40 & 41) (filed 04/27/2001) and 19.15.14 NMAC, Procedure
(Section 1227) (filed 09/16/2005), were replaced by 19.15.5 NMAC, Enforcement and Compliance, effective 12/1/08.
19.15.6.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.6.1 NMAC - N, 12/1/08]
19.15.6.2 SCOPE: 19.15.6 NMAC applies to persons or entities engaged in oil and gas development and production within New Mexico.
[19.15.6.2 NMAC - N, 12/1/08]
19.15.6.3 STATUTORY AUTHORITY: 19.15.6 NMAC is adopted pursuant to NMSA 1978, Section 7-29A-1 et seq. and Section 7-
29B-1 et seq.
[19.15.6.3 NMAC - N, 12/1/08]
19.15.6.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.6.5 NMAC - N, 12/1/08]
19.15.6.6 OBJECTIVE: To establish procedures for the certification of eligibility for the enhanced oil recovery project tax incentive, the
production restoration project tax incentive, the well workover project tax incentive and the stripper well tax incentive.
[19.15.6.6 NMAC - N, 12/1/08]
19.15.6.7 DEFINITIONS:
A. “Average daily production” means the number derived by dividing the total volume of oil or gas production from the stripper
well property reported to the division during a calendar year by the sum of the number of days each eligible well within the property produced or
injected during that calendar year.
B. “Eligible well” means an oil or gas well that produces or an injection well that injects and is integral to production, for any
period of time during the preceding calendar year.
C. “Expansion or expanded use” means a significant change or modification as the division determines in:
(1) the technology or process used for the displacement of oil from an oil well or division-designated pool; or
(2) the expansion, extension or increase in size of the geologic area or adjacent geologic area that could reasonably be determined to
represent a new or unique area of activity.
D. “Operator”:
(1) for purposes of 19.15.6.8 NMAC, means the person responsible for an EOR project’s actual physical operation; and
(2) for purposes of 19.15.6.9 NMAC, means the person responsible for an oil or gas well’s actual physical operation.
E. “Positive production response” means that the rate of oil production from the wells or pools an EOR project affects is greater
than the rate that would have occurred without the project.
F. “Project area” means a pool or a portion of a pool that EOR operations directly affect.
G. “Primary recovery” means the displacement of oil from an oil well or division-designated pool into the well bore by means of
the natural pressure of the oil well or pool, including artificial lift.
H. “Production restoration incentive tax exemption” means the severance tax exemption for natural gas or oil produced from an
approved production restoration project found in NMSA 1978, Section 7-29-4.
I. “Production restoration project” means returning to production a gas or oil well, including an injection well that has previously
produced, which had no more than 30 days of production in a period of 24 consecutive months beginning on or after January 1, 1993 the division
has approved and certified.
J. “Recovered oil tax rate” means the tax rate set forth in NMSA 1978, Section 7-29-4, on oil produced from an EOR project.
K. “Routine maintenance” means repair or like-for-like replacement of downhole equipment or other procedure an operator
performs to maintain the well’s current production.
L. “Secondary recovery project” means an EOR project that:
(1) occurs subsequent to the completion of primary recovery and is not a tertiary recovery project;
(2) involves the application, in accordance with sound engineering principles of carbon dioxide miscible fluid displacement, pressure
maintenance, water flooding or other division accepted and approved secondary recovery method that can reasonably be expected to result in an
increase, determined in light of the facts and circumstances, in the amount of oil that may ultimately be recovered; and
(3) encompasses a pool or portion of a pool the boundaries of which can be adequately defined and controlled.
M. “Stripper well property” means an oil or gas producing property that the taxation and revenue department assigns a single
production unit number (PUN) and:
(1) if an oil producing property, produced a daily average of less than 10 barrels of oil per eligible well per day for the preceding
calendar year;
(2) if a gas producing property, produced a daily average of less than 60,000 cubic feet of gas per eligible well per day during the
preceding calendar year; or
(3) if a property with wells that produce both oil and gas, produced a daily average of less than 10 barrels of oil per eligible well per
day for the preceding calendar year, as determined by converting the volume of gas the well produced to barrels of oil by using a ratio of 6000
cubic feet to one barrel of oil.
N. “Stripper well incentive tax rates” means the tax rates set for stripper well properties by NMSA 1978, Sections 7-29-4 and 7-31-
4.
O. “Termination” means the operator’s discontinuance of an EOR project.
P. “Tertiary recovery project” means an EOR project that:
(1) occurs subsequent to a secondary recovery project’s completion;
(2) involves the application, in accordance with sound engineering principles, of carbon dioxide miscible fluid displacement,
pressure maintenance, water flooding or other division accepted and approved tertiary recovery method that can reasonably be expected to result in
an increase, determined in light of the facts and circumstances, in the amount of oil that may ultimately be recovered; and
(3) encompasses a pool or portion of a pool the boundaries of which can be adequately defined and controlled.
Q. “Well” means a well bore with single or multiple completions, including all horizons and producing formations from the surface
to total depth.
R. “Well workover incentive tax rate” means the tax rate NMSA 1978, Section 7-29-4 imposes on gas or oil produced from a well
workover project.
S. “Well workover project” means a procedure the operator of a gas or oil well undertakes that is intended to increase production
from the well and that the division has approved and certified.
T. “Workover” means a procedure the operator undertakes that is intended to increase production but is not routine maintenance
and includes:
(1) re-entry into the well to drill deeper, to sidetrack to a different location, to recomplete for production or to restore production
from a zone that has been temporarily abandoned;
(2) recompletion by re-perforation of a zone from which gas or oil has been produced or by perforation of a different zone;
(3) repair or replacement of faulty or damaged casing or related downhole equipment;
(4) fracturing, acidizing or installing compression equipment; or
(5) squeezing, cementing or installing equipment necessary for removal of excessive water, brine or condensate from the well bore in
order to establish, continue or increase production from the well.
[19.15.6.7 NMAC - Rp, 19.15.1.30 NMAC, 19.15.1.31 NMAC; 19.15.1.32 NMAC, and 19.15.1.33 NMAC, 12/1/08]
(3) The operator shall notify the interest owners of the certification of the property as a stripper well property.
(4) An operator may make a written request that the division reevaluate a property for stripper well status.
(5) If the division denies stripper well certification to a property, the division upon the operator’s request shall set the matter for
hearing.
[19.15.6.11 NMAC - Rp, 19.15.1.33 NMAC, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions (filed 04/27/2001) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.1 NMAC, General Provisions (Sections 30, 31, 32, and 33) (filed 04/27/2001), were replaced by 19.15.6
NMAC, Tax Incentives, effective 12/1/08.
19.15.7.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.7.1 NMAC - Rp, 19.15.13.1 NMAC, 12/1/08]
19.15.7.2 SCOPE: 19.15.7 NMAC applies to persons or entities engaged in oil and gas development and production within New Mexico.
[19.15.7.2 NMAC - Rp, 19.15.13.2 NMAC, 12/1/08]
19.15.7.3 STATUTORY AUTHORITY: 19.15.7 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.7.3 NMAC - Rp, 19.15.13.3 NMAC, 12/1/08]
19.15.7.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.7.5 NMAC - Rp, 19.15.13.5 NMAC, 12/1/08]
19.15.7.6 OBJECTIVE: To provide for the filing of reports to enable the division to carry out its statutory mandates under the Oil and
Gas Act.
[19.15.7.6 NMAC - Rp, 19.15.13.6 NMAC, 12/1/08]
19.15.7.8 GENERAL:
A. Where to file reports. Unless otherwise specifically provided for in a division rule or order, the operator shall file forms and
reports 19.15.7 NMAC requires with the appropriate division district office as provided in 19.15.2.17 NMAC and 19.15.7.10 NMAC.
B. Additional data. 19.15.7 NMAC does not limit or restrict the division’s authority to require the furnishing of additional reports,
data or other information relative to the production, transportation, storing, refining, processing or handling of oil, gas or products in the state as
may appear to the division to be necessary or desirable, either generally or specifically, for the prevention of waste and the conservation of the
state’s natural resources.
C. Books and records. A producer, injector, transporter, storer, refiner, gasoline or extraction plant operator, treating plant operator
and initial purchaser of gas within the state shall make and keep appropriate books and records for a period of not less than five years, covering
operations in New Mexico, in order to make and substantiate the reports the division requires.
D. Written notices, requests, permits and reports. A person required to file notices, requests, permits or reports shall use the forms
listed below for the purpose shown in accordance with the instructions printed on the form and the rule covering the form’s use or special order
pertaining to its use:
(1) form C-101 - application for permit to drill, deepen or plug back;
(2) form C-102 - well location and acreage dedication plat;
(3) form C-103 - sundry notices and reports on wells;
(4) form C-104 - request for allowable and authorization to transport oil and gas;
(5) form C-105 - well completion or recompletion report and log;
(6) form C-106 - notice of intention to utilize automatic custody transfer equipment;
(7) form C-107 - application for multiple completion;
(8) form C-107-A - application for downhole commingling;
(9) form C-107-B - application for surface commingling (diverse ownership);
(10) form C-108 - application to dispose of salt water by injection into a porous formation;
(11) form C-109 - application for discovery allowable and creation of a new pool;
(12) form C-111 - gas transporter’s monthly report (sheet 1 and sheet 2);
(13) form C-112 - transporter’s and storer’s monthly report;
(14) form C-112-A - receipts continuation sheet;
(15) form C-112-B - deliveries continuation sheet;
(16) form C-113 - refiner’s monthly report (sheet 1 and sheet 2);
(17) form C-115 - operator’s monthly report;
(18) form C-115-EDP - operator’s monthly report (electronic data processing);
(19) form C-116 - gas-oil ratio tests;
(20) form C-117-A - tank cleaning, sediment oil removal, transportation of miscellaneous hydrocarbons and disposal permit;
19.15.7.9 FORMS UPON REQUEST: The division’s forms for written notices, requests and reports it requires are available on the
division’s website. The division shall furnish paper copies upon request.
[19.15.7.9 NMAC - Rp, 19.15.1.16 NMAC, 12/1/08]
19.15.7.10 WHERE TO FILE REPORTS AND FORMS: A person required to file a report or form shall file the report or form with the
division in the number and at the time specified on the form or report or by the applicable section in 19.15.7 NMAC. An operator shall file
plugging bonds directly with the division’s Santa Fe office.
[19.15.7.10 NMAC - Rp, 19.15.15.1302 NMAC, 12/1/08]
19.15.7.11 UNITED STATES GOVERNMENT LEASES: For wells located on land that the United States or a native american nation,
tribe or pueblo owns, an operator shall file applications for permit to drill, deepen or plug back, BLM form no. 3160-3; sundry notices and reports
on wells, BLM form no. 3160-5; and well completion or recompletion report and log, BLM form no. 3160-4 with the BLM in lieu of filing the
corresponding division forms with the division. All such forms are, however, subject to division approval in the same manner and to the same
extent as the corresponding division forms.
[19.15.7.11 NMAC - Rp, 19.15.1.14 NMAC, 12/1/08]
19.15.7.12 APPLICATION FOR PERMIT TO DRILL, DEEPEN OR PLUG BACK (Form C-101): Form C-101 is the form an
operator uses to apply for a permit to drill, deepen, re-enter or plug a well back to a different pool or complete or re-complete a well in an
additional pool.
[19.15.13.12 NMAC - Rp, 19.15.13.1101 NMAC, 12/1/08]
The form is also used to show the ownership and status of each lease contained within the dedicated acreage. When there is more than one working
interest or royalty owner on a given lease, designation of the majority owner et al. is sufficient.
B. An operator shall fill out and certify the information required on form C-102 except the well location on the plat. A professional
surveyor, registered in the state of New Mexico, or surveyor approved by the division, shall plot and certify the well location on the plat from the
section’s outer boundaries.
C. An operator shall file amended form C-102 in the event there is a change in the information the operator previously submitted.
The operator does not need to provide certification of the well location when filing amended form C-102.
[19.15.13.13 NMAC - Rp, 19.15.13.1102 NMAC, 12/1/08]
19.15.7.14 SUNDRY NOTICES AND REPORTS ON WELLS (Form C-103): Form C-103 is a dual purpose form the operator files
with the appropriate division district office to obtain division approval prior to commencing certain operations and to report various completed
operations.
A. Form C-103 as a notice of intention.
(1) An operator shall file form C-103 and obtain the division’s approval prior to:
(a) effecting a change of plans from those the division previously approved on form C-101 or form C-103;
(b) altering a drilling well’s casing program or pulling casing or otherwise altering an existing well’s casing installation;
(c) making multiple completions in a well;
(d) placing a well in approved temporary abandonment;
(e) plugging and abandoning a well;
(f) performing remedial work on a well that, when completed, will affect the well’s original status (this includes making new
perforations in existing wells or squeezing old perforations in existing wells, but does not apply to new wells in the process of being completed nor
to old wells being deepened or plugged back to another zone when the division has authorized the recompletion by an approved form C-101,
application for permit to drill, re-enter, deepen plug back or add a zone, nor to acidizing, fracturing or cleaning out previously completed wells, nor
to installing artificial lift equipment); or
(g) downhole commingling in well bores, within pools or areas that the division has established as pre-approved pools or areas.
(2) In the case of well plugging operations, the notice of intention shall include a detailed statement of the proposed work including
plans for shooting and pulling casing; plans for mudding, including the mud’s weight; plans for cementing, including number of sacks of cement
and depths of plugs; restoration and remediation of the location; and the time and date of the proposed plugging operations. The operator shall file
a complete log of the well on form C-105 with the notice of intention to plug the well, if the operator has not previously filed the log (see
19.15.7.16 NMAC); the division shall not release the financial assurance until the operator complies with this requirement.
B. Form C-103 as a subsequent report.
(1) The operator shall file form C-103 as a subsequent report of operations in accordance with 19.15.7.14 NMAC as applicable to
the particular operation being reported.
(2) The operator shall use form C-103 in reporting such completed operations as:
(a) commencement of drilling operations;
(b) casing and cement test;
(c) altering a well’s casing installation;
(d) work to secure approved temporary abandonment;
(e) plugging and abandonment;
(f) plugging back or deepening within the same pool;
(g) remedial work;
(h) installation of artificial lifting equipment; or
(i) other operations that affect the well’s original status but that are not specifically covered in 19.15.7.14 NMAC.
C. Report of commencement of drilling operations. Within 10 days following the commencement of drilling operations, the
operator shall file a report of commencement on form C-103. The report shall indicate the hour and the date the operator spudded the well.
D. Report of results of test of casing and cement job; report of casing alteration. The operator shall file a report of casing and
cement test within 10 days following the setting of each string of casing or liner. The operator shall file the report on form C-103 and include a
detailed description of the test method employed and the results obtained by the test and any other pertinent information 19.15.16.10 NMAC
requires. The report shall also indicate the top of the cement and the means by which the operator determined the top. It shall also indicate any
changes from the casing program previously authorized for the well.
E. Report of temporary abandonment. The operator shall file a notice of work to secure approved temporary abandonment within
30 days following the work’s completion. The report shall present a detailed account of the work done on the well, including location and type of
plugs used, if any, and status of surface and downhole equipment and any other pertinent information relative to the well’s overall status.
F. Report on plugging of well.
(1) The operator shall file a report of plugging operations within 30 days following completion of plugging operations on a well. The
operator shall file the report on form C-103, which shall include the date the operator began plugging operations and the date the operator
completed the work, a detailed account of the manner in which the operator performed the work including the depths and lengths of the various
plugs set, the nature and quantities of materials employed in the plugging operations including the weight of the mud used, the size and depth of all
casing left in the hole and any other pertinent information. (See 19.15.25 NMAC regarding plugging operations.)
(2) The division shall not approve a plugging report until the operator demonstrates compliance with Subsection B of 19.15.25.10
NMAC. The operator shall contact the appropriate division district office when the operator has restored the location in order to arrange for a
division representative’s inspection of the plugged well and the location.
G. Report of remedial work. The operator shall file a report of remedial work performed on a well within 30 days following the
work’s completion. The operator shall file the report on form C-103 and present a detailed account of the work done and the manner in which the
operator performed the work; the daily production of oil, gas and water both prior to and after the remedial operation; the size and depth of shots;
the quantity and type of crude, chemical or other materials the operator employed in the operation; and any other pertinent information. Among the
remedial work an operator shall report on form C-103 are the following:
(1) report on shooting, fluid fracturing or chemical treatment of a previously completed well;
(2) report of squeeze job;
(3) report on setting of liner or packer;
(4) report of installation of pumping equipment or gas lift facilities; or
(5) report of any other remedial operations that are not specifically covered herein.
H. Report on deepening or plugging back within the same pool. An operator shall file a report of deepening or plugging back
within 30 days following completion of the operations on a well. The operator shall file the report on form C-103 and present a detailed account of
work done and the manner in which the operator performed the work. If the operator recompletes the well in the same pool, the operator shall also
report the daily production of oil, gas and water both prior to and after recompletion. If the well is recompleted in another pool, the operator shall
file forms C-101, C-102, C-104 and C-105 in accordance with 19.15.7.12 NMAC, 19.15.7.13 NMAC, 19.15.7.15 NMAC and 19.15.7.16 NMAC.
I. Other reports on wells. The operator shall submit reports on other operations that affect the well’s original status but that are not
specifically covered in 19.15.7.14 NMAC to the division on form C-103 10 days following the operation’s completion.
[19.15.7.14 NMAC - Rp, 19.15.13.1103 NMAC, 12/1/08]
19.15.7.15 REQUEST FOR ALLOWABLE AND AUTHORIZATION TO TRANSPORT OIL AND GAS (Form C-104): An
operator shall file with the division a complete form C-104 to request the division assign an allowable to a newly completed or re-completed well
or a well completed in an additional pool or issue an operator authorization to transport oil or gas from the well.
[19.15.7.15 NMAC - Rp, 19.15.13.1104 NMAC, 12/1/08]
19.15.7.17 NOTICE OF INTENTION TO UTILIZE AUTOMATIC CUSTODY TRANSFER EQUIPMENT (Form C-106): An
operator intending to use an ACT system shall file form C-106, when applicable, in accordance with Subsection A of 19.15.18.15 NMAC.
[19.15.7.17 NMAC - Rp, 19.15.13.1106 NMAC, 12/1/08]
19.15.7.18 APPLICATION FOR MULTIPLE COMPLETION (Form C-107): An operator shall file form C-107, when applicable, in
accordance with Subsection A of 19.15.16.15 NMAC.
[19.15.7.18 NMAC - Rp, 19.15.13.1107 NMAC, 12/1/08]
19.15.7.19 APPLICATION FOR AUTHORIZATION TO INJECT (Form C-108): An operator shall file form C-108 in accordance
with Subsection B of 19.15.26.8 NMAC.
[19.15.7.19 NMAC - Rp, 19.15.13.1108 NMAC, 12/1/08]
19.15.7.20 APPLICATION FOR DISCOVERY ALLOWABLE AND CREATION OF A NEW POOL (Form C-109): An operator
shall file form C-109, when applicable, in accordance with 19.15.20.16 NMAC.
[19.15.7.20 NMAC - Rp, 19.15.13.1109 NMAC, 12/1/08]
alphabetical order.
B. An operator of a gas gathering system, gas transportation system, recycling system, fuel system, gas lift system, gas drilling
operation, etc. shall complete and maintain for division inspection form C-111 each month. The form shall cover gas, casinghead gas and carbon
dioxide gas taken into a system during the preceding month and shall show the gas’ source and its disposition.
C. An operator of a gasoline plant, cycling plant or other plant at which gasoline, butane, propane, kerosene, oil or other products
are extracted from gas within the state shall complete and maintain for the division’s inspection form C-111 each month. The form shall cover gas,
casinghead gas and carbon dioxide gas the plant has taken during the preceding month and shall show the gas’ source and its disposition. If an
operator owns more than one plant in a given division district, the operator shall file sheet no. 1 of form C-111 for each plant. In preparing sheet
no. 2, the operator shall consolidate requisitions for plants in the district, itemized in the order described in the Subsection A of 19.15.7.21 NMAC.
D. Where a producer takes gas and uses it for any of the above uses, the producer shall complete and maintain for division
inspection form C-111 itemizing such gas. The producer shall also include this gas on form C-115. The producer shall also include gas used on
the lease from which it was produced for consumption in lease houses, treaters, compressors, combustion engines and other similar equipment, or
gas that is flared, on the form C-115 but shall not include it on form C-111.
[19.15.7.21 NMAC - Rp, 19.15.13.1111 NMAC, 12/1/08]
19.15.7.22 TRANSPORTER’S AND STORER’S MONTHLY REPORT (Form C-112): A transporter or storer of oil and liquid
hydrocarbons within the state shall complete and maintain for division inspection for each calendar month a form C-112 containing complete
information and data indicated by the form respecting stocks of oil and liquid hydrocarbons on hand and receipts and deliveries of oil and liquid
hydrocarbons by pipeline and trucks within the state, and receipts and deliveries from leases to storers or refiners; between transporters within the
state; between storers and refiners within the state.
[19.15.7.22 NMAC - Rp, 19.15.13.1112 NMAC, 12/1/08]
19.15.7.23 REFINER’S MONTHLY REPORT (Form C-113): A refiner of oil within the state shall file for each calendar month form
C-113 containing the information and data indicated by the form respecting oil and products involved in the refiner’s operation during each month.
The refiner shall file the completed form C-113 for each month and postmark it on or before the 15th day of the next succeeding month.
[19.15.7.23 NMAC - Rp, 19.15.13.1113 NMAC, 12/1/08]
19.15.7.25 GAS-OIL RATIO TESTS (Form C-116): An operator shall make and report gas-oil ratio tests on form C-116 as prescribed
in 19.15.18.8 NMAC and applicable special pool orders. The operator shall file the form C-116.
[19.15.7.25 NMAC - Rp, 19.15.13.1116 NMAC, 12/1/08]
19.15.7.27 TREATING PLANT OPERATOR’S MONTHLY REPORT (Form C-118): A treating plant operator shall file on a
monthly basis form C-118 with the appropriate division district office. The form C-118 shall contain all the information the form requires.
Column 1 of sheet 1-A of form C-118 entitled permit number, references form C-117-A, for each lot of oil the operator picked up for processing.
[19.15.7.27 NMAC - Rp, 19.15.13.1118 NMAC, 12/1/08]
19.15.7.28 MONTHLY WATER DISPOSAL REPORT (Form C-120-A): An operator of a salt water disposal system shall report its
operations on form C-120-A. The operator shall file form C-120-A in duplicate, with one copy to the division’s Santa Fe office and one copy to
the appropriate division district office, and shall postmark the form no later than the 15th day of the second succeeding month.
[19.15.7.28 NMAC - Rp, 19.15.13.1120 NMAC, 12/1/08]
19.15.7.30 MULTIPOINT AND ONE POINT BACK PRESSURE TEST FOR GAS WELL (Form C-122):
A. Gas well test data sheet - San Juan basin (form C-122-A)
B. Initial potential test data sheet (form C-122-B)
C. Deliverability test report (form C-122-C)
D. Worksheet for calculation of static column wellhead pressure (Pw) (form C- 122-D)
E. Worksheet for stepwise calculation of (surface) (subsurface) pressure (P c & P w) (P f & P s ) (form C-122-E)
F. Worksheet for calculation of wellhead pressures (P c or P w) from known bottom hole pressure (P f or P s ) (form C-122-F)
G. Worksheet for calculation of status column pressure at gas liquid interface (form C-122-G). The operator shall file the forms
listed in Subsections A through F of 19.15.7.30 NMAC with the appropriate division district office in accordance with the provisions of the
manual for back-pressure testing of natural gas wells or gas well testing manual for northwest New Mexico, 19.15.19.8 NMAC and applicable
special pool orders and proration orders.
[19.15.7.30 NMAC - Rp, 19.15.13.1122 NMAC, 12/1/08]
19.15.7.31 REQUEST FOR THE CREATION OF A NEW POOL (Form C-123): The appropriate division district office shall provide
the operator of a well that requires the creation of a pool written instructions regarding the filing of form C-123.
[19.15.7.31 NMAC - Rp, 19.15.13.1123 NMAC, 12/1/08]
19.15.7.33 GAS WELL SHUT-IN PRESSURE TESTS (Form C-125): An operator shall file form C-125 to report shut-in pressure tests
on gas wells as required under the provisions of special pool orders.
[19.15.7.33 NMAC - Rp, 19.15.13.1125 NMAC, 12/1/08]
19.15.7.34 PERMIT TO TRANSPORT RECOVERED LOAD OIL (Form C-126): An applicant to transport recovered load oil shall
file form C-126 with the appropriate division district office in conformance with 19.15.20.15 NMAC.
[19.15.7.34 NMAC - Rp, 19.15.13.1126 NMAC, 12/1/08]
19.15.7.35 REQUEST FOR ALLOWABLE CHANGE (Form C-127): An oil producer shall file form C-127 with the appropriate
division district office not later than the 10th day of the month preceding the month for which an oil producer is requesting oil well allowable
changes.
[19.15.7.35 NMAC - Rp, 19.15.13.1127 NMAC, 12/1/08]
sundry notices and reports on wells and well completion or recompletion report and log for wells on federal lands in New Mexico. However, the
operator shall submit two extra copies of each of the forms to the BLM, which, upon approval, will transmit the forms to the division. An operator
of a well on federal land shall use the following BLM forms in lieu of division forms:
BLM Form No. Title of Form (Same for both agencies) Form No.
3160-3 (Nov. 1993) Application for Permit to Drill, Deepen or Plug Back C-101
3160-5 (Nov. 1983) Sundry Notices and Reports on Wells C-103
3160-4 (Nov. 1983) Well Completion or Recompletion Report and Log C-105
B. The above forms as the BLM may revise are the only forms that an operator may file in place of division forms.
C. After a well is completed and ready for pipeline connection, the operator shall file form C-104 along with a copy of form C-105
or BLM form No. 3160-4, whichever is applicable, with the division on wells drilled in the state, regardless of land status. Further, the operator
shall file production reports using division forms; the division will not accept federal forms for reporting production.
D. An operator’s failure to comply with 19.15.7.36 NMAC shall result in the division’s cancellation of form C-104 for the affected
well or wells.
[19.15.7.36 NMAC - Rp, 19.15.13.1128 NMAC, 12/1/08]
19.15.7.37 APPLICATION FOR EXCEPTION TO NO-FLARE (Form C-129): An operator shall file form C-129 when applicable, in
accordance with 19.15.18.12 NMAC.
[19.15.7.37 NMAC - Rp, 19.15.13.1129 NMAC, 12/1/08]
19.15.7.39 MONTHLY GAS STORAGE REPORT (Form C-131-A); ANNUAL LPG STORAGE REPORT (Form C-131-B):
A. An operator of an underground gas storage project shall report its operation monthly on form C-131-A. The operator shall file
form C-131-A with the division’s Santa Fe office with a copy to the appropriate division district office and shall postmark it not later than the 24th
day of the next succeeding month.
B. An operator of underground liquefied petroleum gas storage projects approved by the division shall report its operations annually
on form C-131-B.
[19.15.7.39 NMAC - Rp, 19.15.13.1131 NMAC, 12/1/08]
19.15.7.41 GAS WELL CONNECTION, RECONNECTION OR DISCONNECTION NOTICE: A gas transporter accepting gas for
delivery from a wellhead or central point of delivery shall notify the division within 30 days of a new connection or reconnection to or
disconnection from the gathering or transportation system by filing form C-135 with the appropriate division district office.
[19.15.7.41 NMAC - Rp, 19.15.13.1135 NMAC, 12/1/08]
19.15.7.42 APPLICATION FOR APPROVAL TO USE AN ALTERNATE GAS MEASUREMENT METHOD (Form C-136):
A. An operator shall use form C-136 to request and obtain division approval for use of an alternate procedure for measuring gas
production from a well that is not capable of producing more than 15 MCFD (Paragraph (1) of Subsection B of 19.15.19.9 NMAC) or for a well
that has a producing capacity of 100 MCFD or less and is on a multi-well lease (Paragraph (2) of Subsection B of 19.15.19.9 NMAC).
B. An operator shall fill out the applicable information required on form C-136 with the required supplemental information
attached, and file it with the appropriate division district office.
[19.15.7.42 NMAC - Rp, 19.15.13.1136 NMAC, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions (filed 04/27/2001); 19.15.13 NMAC, Reports (filed 06/17/2004) and 19.15.15
NMAC, Pits, Closed-Loop Systems, Below-Grade Tanks and Sumps (filed 5/30/2008) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.1 NMAC, General Provisions (Sections 14, 16, those applicable portions of 31 and 32 (filed 04/27/2001);
19.15.13 NMAC, Reports (Sections 1-6; 1100, 1101-1109, 1111-1113; 1115-1118, 1120-1131; 1133; and 1135) (filed 06/17/2004); and 19.15.15
NMAC, Pits, Closed-Loop Systems, Below-Grade Tanks and Sumps (Section 1302) (filed 5/30/2008) were all replaced by 19.15.7 NMAC, Forms
and Reports, effective 12/1/08.
19.15.8.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.8.1 NMAC - N, 12/1/08]
19.15.8.2 SCOPE: 19.15.8 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.8.2 NMAC - N, 12/1/08]
19.15.8.3 STATUTORY AUTHORITY: 19.15.8 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-12 and Section 70-2-14.
[19.15.8.3 NMAC - N, 12/1/08]
19.15.8.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.8.5 NMAC - N, 12/1/08]
19.15.8.6 OBJECTIVE: To establish financial assurance requirements for persons, firms, corporations or associations who have drilled or
acquired, are drilling or propose to drill or acquire an oil, gas or injection or other service well to furnish financial assurance acceptable to the
division.
[19.15.8.6 NMAC - N, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.3 NMAC, Drilling (Section 101) (filed 10/29/2001) was replaced by 19.15.8 NMAC, Financial Assurance,
effective 12/1/08.
19.15.9.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.9.1 NMAC - N, 12/1/08]
19.15.9.2 SCOPE: 19.15.9 NMAC applies to persons or entities operating oil or gas wells within New Mexico.
[19.15.9.2 NMAC - N, 12/1/08]
19.15.9.3 STATUTORY AUTHORITY: 19.15.9 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.9.3 NMAC - N, 12/1/08]
19.15.9.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.9.5 NMAC - N, 12/1/08]
19.15.9.6 OBJECTIVE: To require an operator of a well or wells to register with the division prior to commencing operations and to
require the reporting of a change of operator or a change of name to the division.
[19.15.9.6 NMAC - N, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.3 NMAC, Drilling (Section 100) (filed 11/30/2005) was replaced by 19.15.9 NMAC, Well Operator Provisions,
effective 12/1/08.
19.15.10.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.10.1 NMAC - N, 12/1/08]
19.15.10.2 SCOPE: 19.15.10 NMAC applies to persons or entities engaged in oil and gas development and production within New
Mexico.
[19.15.10.2 NMAC - N, 12/1/08]
19.15.10.3 STATUTORY AUTHORITY: 19.15.10 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.10.3 NMAC - N, 12/1/08]
19.15.10.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.10.5 NMAC - N, 12/1/08]
19.15.10.6 OBJECTIVE: To establish safety procedures for drilling and production of oil and gas wells.
[19.15.10.6 NMAC - N, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.3 NMAC, Drilling (Section 114) (filed 10/29/2001) was replaced by 19.15.10 NMAC, Safety, effective 12/1/08.
19.15.11.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.11.1 NMAC - N, 12/1/08]
19.15.11.2 SCOPE: 19.15.11 NMAC applies to a person subject to the division’s jurisdiction, including a person engaged in drilling,
stimulating, injecting into, completing, working over or producing an oil, gas or carbon dioxide well or a person engaged in gathering, transporting,
storing, processing or refining of oil, gas or carbon dioxide. 19.15.11 NMAC does not exempt or otherwise excuse surface waste management
facilities the division permits pursuant to 19.15.36 NMAC from more stringent conditions on the handling of hydrogen sulfide required of such
facilities by 19.15.36 NMAC or more stringent conditions in permits issued pursuant to 19.15.36 NMAC, nor shall the facilities be exempt or
otherwise excused from the requirements set forth in 19.15.11 NMAC by virtue of permitting under 19.15.36 NMAC.
[19.15.11.2 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.3 STATUTORY AUTHORITY: 19.15.11 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.11.3 NMAC - N, 12/1/08]
19.15.11.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.11.5 NMAC - N, 12/1/08]
19.15.11.6 OBJECTIVE: To require oil and gas operations be conducted in a manner that protects the public from exposure to hydrogen
sulfide gas.
[19.15.11.6 NMAC - N, 12/1/08]
19.15.11.7 DEFINITIONS:
A. “ANSI” means the American national standards institute.
B. “Area of exposure” means the area within a circle constructed with a point of escape at its center and the radius of exposure as its
radius.
C. “Dispersion technique” is a mathematical representation of the physical and chemical transportation characteristics, dilution
characteristics and transformation characteristics of hydrogen sulfide gas in the atmosphere.
D. “Escape rate” means the maximum volume (Q) that is used to designate the possible rate of escape of a gaseous mixture
containing hydrogen sulfide, as set forth in 19.15.11 NMAC.
(1) For existing gas facilities or operations, the escape rate is calculated using the maximum daily rate of the gaseous mixture
produced or handled or the best estimate thereof. For an existing gas well, the escape rate is calculated using the current daily absolute open flow
rate against atmospheric pressure or the best estimate of that rate.
(2) For new gas operations or facilities, the escape rate is calculated as the maximum anticipated flow rate through the system. For a
new gas well, the escape rate is calculated using the maximum open-flow rate of offset wells in the pool or reservoir, or the pool or reservoir
average of maximum open-flow rates.
(3) For existing oil wells, the escape rate is calculated by multiplying the producing gas/oil ratio by the maximum daily production
rate or the best estimate of the maximum daily production rate.
(4) For new oil wells, the escape rate is calculated by multiplying the producing gas/oil ratio by the maximum daily production rate of
offset wells in the pool or reservoir, or the pool or reservoir average of the producing gas/oil ratio multiplied by the maximum daily production rate.
(5) For facilities or operations not mentioned, the escape rate is calculated using the actual flow of the gaseous mixture through the
system or the best estimate of the actual flow of the gaseous mixture through the system.
E. “GPA” means the gas processors association.
F. “LEPC” means the local emergency planning committee established pursuant to the Emergency Planning and Community
Right-To-Know Act, 42 U.S.C. section 11001.
G. “NACE” means the national association of corrosion engineers.
H. “Potentially hazardous volume” means the volume of hydrogen sulfide gas of such concentration that:
(1) the 100-ppm radius of exposure includes a public area;
(2) the 500-ppm radius of exposure includes a public road; or
(3) the 100-ppm radius of exposure exceeds 3000 feet.
I. “Public area” means a building or structure that is not associated with the well, facility or operation for which the radius of
exposure is being calculated and that is used as a dwelling, office, place of business, church, school, hospital or government building, or a portion
of a park, city, town, village or designated school bus stop or other similar area where members of the public may reasonably be expected to be
present.
J. “Public road” means a federal, state, municipal or county road or highway.
K. “Radius of exposure” means the radius constructed with the point of escape as its starting point and its length calculated using
the following Pasquill-Gifford derived equation, or by such other method as the division may approve:
(1) for determining the 100-ppm radius of exposure: X = [(1.589)(hydrogen sulfide concentration)(Q)] (0.6258) , where “X” is the
radius of exposure in feet, the “hydrogen sulfide concentration” is the decimal equivalent of the mole or volume fraction of hydrogen sulfide in the
gaseous mixture and “Q” is the escape rate expressed in cubic feet per day (corrected for standard conditions of 14.73 psi absolute and 60 degrees
fahrenheit);
(2) for determining the 500-ppm radius of exposure: X = [(0.4546)(hydrogen sulfide concentration)(Q)] (0.6258) , where “X” is the
radius of exposure in feet, the “hydrogen sulfide concentration” is the decimal equivalent of the mole or volume fraction of hydrogen sulfide in the
gaseous mixture and “Q” is the escape rate expressed in cubic feet per day (corrected for standard conditions of 14.73 psi absolute and 60 degrees
fahrenheit);
(3) for a well being drilled, completed, recompleted, worked over or serviced in an area where insufficient data exists to calculate a
radius of exposure but where hydrogen sulfide could reasonably be expected to be present in concentrations in excess of 100 ppm in the gaseous
mixture, a 100-ppm radius of exposure equal to 3000 feet is assumed.
[19.15.11.7 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
notification and reaction plans. The plan shall include information on the availability and location of necessary safety equipment and supplies.
(b) Characteristics of hydrogen sulfide and sulfur dioxide. The hydrogen sulfide contingency plan shall include a discussion of
the characteristics of hydrogen sulfide and sulfur dioxide.
(c) Maps and drawings. The hydrogen sulfide contingency plan shall include maps and drawings that depict the area of
exposure and public areas and public roads within the area of exposure.
(d) Training and drills. The hydrogen sulfide contingency plan shall provide for training and drills, including training in the
responsibilities and duties of essential personnel and periodic on-site or classroom drills or exercises that simulate a release, and shall describe how
the person will document the training, drills and attendance. The hydrogen sulfide contingency plan shall also provide for training of residents as
appropriate on the proper protective measures to be taken in the event of a release, and shall provide for briefing of public officials on issues such
as evacuation or shelter-in-place plans.
(e) Coordination with state emergency plans. The hydrogen sulfide contingency plan shall describe how the person will
coordinate emergency response actions under the plan with the division and the New Mexico state police consistent with the New Mexico
hazardous materials emergency response plan.
(f) Activation levels. The hydrogen sulfide contingency plan shall include the activation level and a description of events that
could lead to a release of hydrogen sulfide sufficient to create a concentration in excess of the activation level.
C. Plan activation. The person shall activate the hydrogen sulfide contingency plan when a release creates a hydrogen sulfide
concentration greater than the activation level set forth in the hydrogen sulfide contingency plan. At a minimum, the person shall activate the plan
whenever a release may create a hydrogen sulfide concentration of more than 100 ppm in a public area, 500 ppm at a public road or 100 ppm 3000
feet from the site of release.
D. Submission.
(1) Where submitted. The person shall submit the hydrogen sulfide contingency plan to the division.
(2) When submitted. The person shall submit a hydrogen sulfide contingency plan for a new well, facility or operation before
operations commence. The hydrogen sulfide contingency plan for a drilling, completion, workover or well servicing operation shall be on file with
the division before operations commence and may be submitted separately or along with the APD or may be on file from a previous submission. A
person shall submit a hydrogen sulfide contingency plan within 180 days after the person becomes aware or should have become aware that a
public area or public road is established that creates a potentially hazardous volume where none previously existed.
(3) Electronic submission. A filer who operates more than 100 wells or who operates an oil pump station, compressor station,
refinery or gas plant shall submit each hydrogen sulfide contingency plan in electronic format. The file may submit the hydrogen sulfide
contingency plan through electronic mail, through an Internet filing or by delivering electronic media to the division, so long as the electronic
submission is compatible with the division’s systems.
E. Failure to submit plan. A person’s failure to submit a hydrogen sulfide contingency plan when required may result in denial of
an application for permit to drill, cancellation of an allowable for the subject well or other enforcement action appropriate to the well, facility or
operation.
F. Review, amendment. The person shall review the hydrogen sulfide contingency plan any time a subject addressed in the plan
materially changes and make appropriate amendments. If the division determines that a hydrogen sulfide contingency plan is inadequate to protect
public safety, the division may require the person to add provisions to the plan or amend the plan as necessary to protect public safety.
G. Retention and inspection. The hydrogen sulfide contingency plan shall be reasonably accessible in the event of a release,
maintained on file at all times and available for division inspection.
H. Annual inventory of contingency plans. On an annual basis, each person required to prepare one or more hydrogen sulfide
contingency plans pursuant to 19.15.11 NMAC shall file with the appropriate local emergency planning committee and the state emergency
response commission an inventory of the wells, facilities and operations for which plans are on file with the division and the name, address and
telephone number of a point of contact.
I. Plans required by other jurisdictions. The person may submit a hydrogen sulfide contingency plan the BLM or other
jurisdiction require that meets the requirements of 19.15.11.9 NMAC to the division in satisfaction of 19.15.11.9 NMAC.
[19.15.11.9 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.10 SIGNS, MARKERS: For each well, facility or operation involving a hydrogen sulfide concentration of 100 ppm or greater, the
person shall install and maintain signs or markers that conform with the current ANSI standard Z535.1-2002 (Safety Color Code), or some other
division-approved standard. The sign or marker shall be readily readable, and shall contain the words “poison gas” and other information
sufficient to warn the public that a potential danger exists. The person shall prominently post signs or markers at locations, including entrance
points and road crossings, sufficient to alert the public that a potential danger exists.
[19.15.11.10 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.11 PROTECTION FROM HYDROGEN SULFIDE DURING DRILLING, COMPLETION, WORKOVER AND WELL
SERVICING OPERATIONS:
A. API standards. The person shall conduct drilling, completion, workover and well servicing operations involving a hydrogen
sulfide concentration of 100 ppm or greater with due consideration to the guidelines in the API publications Recommended Practice for Oil and
Gas Well Servicing and Workover Operations Involving Hydrogen Sulfide, RP-68, and Recommended Practices for Drilling and Well Servicing
Operations Involving Hydrogen Sulfide, RP-49, most recent editions, or some other division-approved standard.
B. Detection and monitoring equipment. Drilling, completion, workover and well servicing operations involving a hydrogen sulfide
concentration of 100 ppm or greater shall include hydrogen sulfide detection and monitoring equipment as follows.
(1) Each drilling and completion site shall have an accurate and precise hydrogen sulfide detection and monitoring system that
automatically activates visible and audible alarms when the hydrogen sulfide’s ambient air concentration reaches a predetermined value the
operator sets, not to exceed 20 ppm. The operator shall locate a sensing point at the shale shaker, rig floor and bell nipple for a drilling site and the
cellar, rig floor and circulating tanks or shale shaker for a completion site.
(2) For workover and well servicing operations, the person shall locate one operational sensing point as close to the well bore as
practical. Additional sensing points may be necessary for large or long-term operations.
(3) The operator shall provide and maintain as operational hydrogen sulfide detection and monitoring equipment during drilling when
drilling is within 500 feet of a zone anticipated to contain hydrogen sulfide and continuously thereafter through all subsequent drilling.
C. Wind indicators. Drilling, completion, workover and well servicing operations involving a hydrogen sulfide concentration of
100 ppm or greater shall include wind indicators. The person shall have equipment to indicate wind direction present and visible at all times. The
person shall install at least two devices to indicate wind direction at separate elevations that visible from all principal working areas at all times.
When a sustained hydrogen sulfide concentration is detected in excess of 20 ppm at a detection point, the person shall display red flags.
D. Flare system. For drilling and completion operations in an area where it is reasonably expected that a potentially hazardous
hydrogen sulfide volume will be encountered, the person shall install a flare system to safely gather and burn hydrogen-sulfide-bearing gas. The
person shall locate flare outlets at least 150 feet from the well bore. Flare lines shall be as straight as practical. The person shall equip the flare
system with a suitable and safe means of ignition. Where noncombustible gas is to be flared, the system shall provide supplemental fuel to
maintain ignition.
E. Well control equipment. When the 100 ppm radius of exposure includes a public area, the following well control equipment is
required.
(1) Drilling. The person shall install a remote-controlled well control system that is operational at all times beginning when drilling
is within 500 vertical feet of the formation believed to contain hydrogen sulfide and continuously thereafter during drilling. The well control
system shall include, at a minimum, a pressure and hydrogen-sulfide-rated well control choke and kill system including manifold and blowout
preventer that meets or exceeds the specifications in API publications Choke and Kill Systems, 16C and Blowout Prevention Equipment Systems
for Drilling Wells, RP 53 or other division-approved specifications. The person shall use mud-gas separators. The person shall test and maintain
these systems pursuant to the specifications referenced, according to the requirements of 19.15.11 NMAC, or as the division otherwise approves.
(2) Completion, workover and well servicing. The person shall install a remote controlled pressure and hydrogen-sulfide-rated well
control system that meets or exceeds API specifications or other division-approved specifications that is operational at all times during a well’s
completion, workover and servicing.
F. Mud program. Drilling, completion, workover and well servicing operations involving a hydrogen sulfide concentration of 100
ppm or greater shall use a hydrogen sulfide mud program capable of handling hydrogen sulfide conditions and well control, including de-gassing.
G. Well testing. Except with prior division approval, a person shall conduct drill-stem testing of a zone that contains hydrogen
sulfide in a concentration of 100 ppm or greater only during daylight hours and not permit formation fluids to flow to the surface.
H. If hydrogen sulfide encountered during operations. If hydrogen sulfide was not anticipated at the time the division issued a
permit to drill but is encountered during drilling in a concentration of 100 ppm or greater, the operator shall satisfy the requirements of 19.15.11
NMAC before continuing drilling operations. The operator shall notify the division of the event and the mitigating steps that the operator has or is
taking as soon as possible, but no later than 24 hours following discovery. The division may grant verbal approval to continue drilling operations
pending preparation of a required hydrogen sulfide contingency plan.
[19.15.11.11 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.12 PROTECTION FROM HYDROGEN SULFIDE AT OIL PUMP STATIONS, PRODUCING WELLS, TANK
BATTERIES AND ASSOCIATED PRODUCTION FACILITIES, PIPELINES, REFINERIES, GAS PLANTS AND COMPRESSOR
STATIONS:
A. API standards. A person shall conduct operations at oil pump stations and producing wells, tank batteries and associated
production facilities, refineries, gas plants and compressor stations involving a hydrogen sulfide concentration of 100 ppm or greater with due
consideration to the guidelines in the API publication Recommended Practices for Oil and Gas Producing and Gas Processing Plant Operations
Involving Hydrogen Sulfide, RP-55, latest edition or some other division-approved standard.
B. Security. A person shall protect well sites and other unattended, fixed surface facilities involving a hydrogen sulfide
concentration of 100 ppm or greater from public access by fencing with locking gates when the location is within 1/4 mile of a public area. For the
purposes of Subsection B of 19.15.11.12 NMAC, a surface pipeline is not considered a fixed surface facility.
C. Wind direction indicators. Oil pump stations, producing wells, tank batteries and associated production facilities, pipelines,
refineries, gas plants and compressor stations involving a hydrogen sulfide concentration of 100 ppm or greater shall have equipment to indicate
wind direction. The person shall install wind direction equipment that is visible from all principal working areas at all times.
D. Control equipment. When the 100 ppm radius of exposure includes a public area, the following additional measures are
required.
(1) The person shall install and maintain in good operating condition safety devices, such as automatic shut-down devices, to prevent
hydrogen sulfide’s escape. Alternatively, the person shall establish safety procedures to achieve the same purpose.
(2) A well shall possess a secondary means of immediate well control through the use of an appropriate christmas tree or downhole
completion equipment. The equipment shall allow downhole accessibility (reentry) under pressure for permanent well control.
E. Tanks or vessels. The person shall chain each stair or ladder leading to the top of a tank or vessel containing 300 ppm or more
19.15.11.13 PERSONNEL PROTECTION AND TRAINING: The person shall provide persons responsible for implementing a hydrogen
sulfide contingency plan training in hydrogen sulfide hazards, detection, personal protection and contingency procedures.
[19.15.11.13 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.14 STANDARDS FOR EQUIPMENT THAT MAY BE EXPOSED TO HYDROGEN SULFIDE: Whenever a well, facility or
operation involves a potentially hazardous hydrogen sulfide volume, the person shall select equipment with consideration for both the hydrogen
sulfide working environment and anticipated stresses and shall use NACE Standard MR0175 (latest edition) or some other division-approved
standard for selection of metallic equipment or, if applicable, use adequate protection by chemical inhibition or other methods that control or limit
hydrogen sulfide’s corrosive effects.
[19.15.11.14 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.15 EXEMPTIONS: A person may petition the director or the director’s designee for an exemption to a requirement of 19.15.11
NMAC. A petition shall provide specific information as to the circumstances that warrant approval of the exemption requested and how the person
will protect public safety. The director or the director’s designee, after considering all relevant factors, may approve an exemption if the
circumstances warrant and so long as the person protects public safety.
[19.15.11.15 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
19.15.11.16 NOTIFICATION OF THE DIVISION: The person shall notify the division upon a release of hydrogen sulfide requiring
activation of the hydrogen sulfide contingency plan as soon as possible, but no more than four hours after plan activation, recognizing that a prompt
response should supersede notification. The person shall submit a full report of the incident to the division on form C-141 no later than 15 days
following the release.
[19.15.11.16 NMAC - Rp, 19.15.3.118 NMAC, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.3 NMAC, Drilling (Section 118) (filed 10/29/2001) was replaced by 19.15.11 NMAC, Hydrogen Sulfide Gas,
effective 12/1/08.
19.15.12.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.12.1 NMAC - N, 12/1/08]
19.15.12.2 SCOPE: 19.15.12 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.12.2 NMAC - N, 12/1/08]
19.15.12.3 STATUTORY AUTHORITY: 19.15.12 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-12, Section 70-2-16 and Section 70-2-17.
[19.15.12.3 NMAC - N, 12/1/08]
19.15.12.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.12.5 NMAC - N, 12/1/08]
19.15.12.6 OBJECTIVE: To regulate oil and gas operations that involve commingling of oil or gas from different pools or leases, in order
to prevent waste and protect correlative rights.
[19.15.12.6 NMAC - N, 12/1/08]
19.15.12.7 DEFINITIONS:
A. “Diverse ownership” means leases or pools have different working, royalty or overriding royalty interest owners or different
ownership percentages of the same working, royalty or overriding royalty interest owners.
B. “Identical ownership” means leases or pools have the same working, royalty and overriding royalty owners in exactly the same
percentages.
C. “Lease” means a contiguous geographical area of identical ownership overlying a pool or portion of a pool. An area pooled,
unitized or communitized, either by agreement or by division order, or a participating area shall constitute a lease. If there is diversity of ownership
between different pools, or between different zones or strata, then each such pool, zone or stratum having diverse ownership shall be considered a
separate lease.
[19.15.12.7 NMAC - Rp, 19.15.5.303 NMAC, 12/1/08]
19.15.12.8 CLASSIFYING AND DEFINING POOLS: The division shall determine whether a particular well or pool is a gas or oil well,
or a gas or oil pool, and from time to time classify and reclassify wells and name pools accordingly, and shall determine the limits of a pool or
pools producing oil or gas and from time to time re-determine such limits.
[19.15.12.8 NMAC - Rp, 19.15.1.15 NMAC, 12/1/08]
commingling; and
(3) the operator has met the other applicable requirements in 19.15.12.10 NMAC.
B. Specific requirements and provisions for commingling of leases, pools or leases and pools with identical ownership.
(1) Measurement and allocation methods.
(a) Well test method. If all wells or units to be commingled are marginal and are physically incapable of producing the top
proration unit allowable for their respective pools, or if all affected pools are unprorated, the division shall permit commingling without separately
measuring the production from each pool or lease. Instead, the operator may determine the production from each well and from each pool or lease
from well tests conducted periodically, but no less than annually. The well test method shall not apply to wells or units that can produce an
amount of oil equal to the top proration unit allowable for the pool but are restricted because of high gas-oil ratios. The operator of a marginal
commingling installation shall notify the division any time a well or unit commingled under 19.15.12.10 NMAC becomes capable of producing the
top proration unit allowable for its pool, at which time the division shall require separate measurement.
(b) Metering method. The operator may determine production from each pool or lease by separately metering before
commingling.
(c) Subtraction method. If production from all except one of the pools or leases to be commingled is separately measured, the
operator may determine the production from the remaining pool or lease by the subtraction method as follows:
(i) for oil, the net production from the unmetered pool or lease shall be the difference between the net pipeline runs with
the beginning and ending stock adjustments and the sum of the net production of the metered pools or leases;
(ii) for gas, the net production from the unmetered pool or lease shall be the difference between the volume recorded at the
sales meter and the sum of the volumes recorded at the individual pool or lease meters.
(d) Top allowable producers. If a well or unit in a prorated pool to be commingled can physically be produced at top proration
unit allowable rates (even if restricted because of high gas-oil ratios), the division may permit commingling only if the operator or a gatherer,
transporter or processor meters the production from the unit prior to commingling, or determines it by the subtraction method.
(e) Alternative methods. An operator may determine production from each pool or lease to be commingled by other methods
the division has specifically approved prior to commingling. The division shall determine what evidence is necessary to support a request to use an
alternative method.
(2) Prior to commingling, the applicant shall notify the division by filing form C-103 in the division’s Santa Fe office with the
following information set forth in the form or attached to the form:
(a) identification of each of the leases, pools or leases and pools to be commingled;
(b) the method of allocation the applicant will use; if the applicant proposes using the well test method for production from a
prorated pool, the notification to the division shall be accompanied by a tabulation of production showing that the average daily production of an
affected proration unit over a 60-day period has been below the top proration unit allowable for the subject pool (or for a newly drilled well
without a 60-day production history, a tabulation of the available production) or other evidence acceptable to the division to establish that the well
or wells on the unit are not capable of producing the top proration unit allowable; if the proposed allocation method is other than an approved
method provided in Subsection B of 19.15.12.10 NMAC, the operator shall submit evidence of the method’s reliability;
(c) a certification by a licensed attorney or qualified petroleum landman that the ownership in the pools and leases to be
commingled is identical as defined in 19.15.12.7 NMAC; and
(d) evidence of notice to the state land office or the BLM, if required.
(3) Approval. The division may authorize commingling without a notice or hearing and the operator may commence commingling
upon the division’s approval of form C-103, subject to compliance with any conditions of the approval the division noted, provided that the
operator shall not commence commingling involving state, federal or tribal leases unless or until approved by the state land office or the BLM, as
applicable.
C. Specific requirements and provisions for commingling of leases, pools or leases and pools with diverse ownership.
(1) Measurement and allocation methods. Where there is diversity of ownership between two or more leases, two or more pools or
between different pools and leases, the division shall only permit surface commingling of production from the leases and pools if the operator
accurately meters production from each of such pools or leases or determines the production by other methods the division has specifically
approved prior to commingling.
(2) Meter proving and calibration frequencies.
(a) Oil. The operator shall test each meter used in oil production accounting for accuracy as follows: monthly, if more than
100,000 barrels of oil per month are measured through the meter; quarterly, if between 10,000 and 100,000 barrels of oil per month are measured
through the meter; and semi-annually, if less than 10,000 barrels of oil per month are measured through the meter.
(b) Gas. For each gas sales and allocation meter, the operator shall test the metering equipment’s accuracy at the point of
delivery or allocation following the initial installation and following repair and retested: quarterly, if 100 MCFGPD or more are measured through
the meter; and semi-annually, if less than 100 MCFGPD are measured through the meter.
(c) Correction and adjustment. If a meter proving and calibration test reveals inaccuracy in the metering equipment of more
than two percent, the operator shall correct the volume measured and adjust the meter to zero error. The operator shall submit a corrected report
adjusting the volume of oil or gas measured and showing the calculations made in correcting the volumes. The operator shall correct the volumes
back to the time the inaccuracy occurred, if known. If the time is unknown, the operator shall correct the volumes for the last half of the period
elapsed since the last calibration date. If a test reveals an inaccuracy of less than two percent, the operator shall adjust the meter, but correction of
prior production is not required.
(3) Low production gas wells. For gas wells producing less than 15 MCFGPD, the operator may estimate production as an
acceptable alternative to individual well measurement provided that commingling of production from different pools or leases does not take place
unless otherwise authorized pursuant to 19.15.12 NMAC.
(4) Approval process.
(a) In general. Where there is diversity of ownership, the division may grant an exception to the requirements of 19.15.12.9
NMAC to permit surface commingling of production from different leases, pools or leases and pools only after notice and an opportunity for
hearing as provided in Paragraph (4) of Subsection C of 19.15.12.10 NMAC.
(b) Application. The operator shall submit an application for administrative approval to the division’s Santa Fe office on form
C-107-B, which shall contain a list of the parties (interest owners) owning an interest in the production to be commingled (including owners of
royalty and overriding royalty interests whether or not they have a right or option to take their interests in kind) and a method of allocating
production to ensure the protection of correlative rights.
(c) Notice. The applicant shall notify the interest owners in accordance with 19.15.4.12 NMAC. The applicant shall submit a
statement attesting that the applicant, on or before the date the applicant submitted the application to the division, notified each of the interest
owners by sending them a copy of the application and the attachments to the application, by certified mail, return receipt requested, and advising
them that they must file any objection in writing with the division’s Santa Fe office within 20 days from the date the division received the
application. The division may approve the application administratively, without hearing, upon receipt of written waivers from interest owners, or if
no interest owner has filed an objection within the 20-day period. If the division receives an objection, it shall set the application for hearing. The
division shall notify the applicant, who shall give formal notice of the hearing to each party who has filed an objection and to such other persons as
the division directs.
(d) Hearing ordered by the division. The division may set for hearing an application for administrative approval of surface
commingling, and, in such case, the applicant shall give notice of the hearing in the manner the division directs.
(e) Notice by publication. When an applicant is unable to locate all interest owners after exercising reasonable diligence, the
applicant shall provide notice by publication and submit proof of publication with the application. Such proof shall consist of a copy of the legal
advertisement that was published in a newspaper of general circulation in the county or counties in which the commingled production is located.
The advertisement shall include:
(i) the applicant’s name, address, telephone number and contact party;
(ii) the location by section, township and range of the leases from which production will be commingled and the location
of the commingling facility;
(iii) the source of all commingled production by pool name; and
(iv) a notation that interested parties must file objections or requests for hearing in writing with the division’s Santa Fe
office within 20 days after publication, or the division may approve the application.
(f) Effect of protest. The division shall include protests and requests for hearing it receives in the case file; provided however,
the division shall not consider the protest as evidence. If the protesting party does not appear at the hearing, the division may grant application
without receiving additional evidence in support of the application.
(g) Additions. A surface commingling order may authorize, prospectively, the inclusion of additional pools or leases within
defined parameters set forth in the order, provided that:
(i) the notice to the interest owners includes a statement that authorization for subsequent additions is being sought and of
the parameters for the additions the applicant proposes, and
(ii) the division finds that subsequent additions within defined parameters will not, in reasonable probability, reduce the
commingled production’s value or otherwise adversely affect the interest owners; a subsequent application to amend an order to add to the
commingled production other leases, pools or leases and pools that are within the defined parameters requires notice only to the owners of interests
in the production to be added, unless the division otherwise directs.
(h) State, federal or tribal lands. Notwithstanding the issuance of an exception under 19.15.12.10 NMAC, an operator shall not
commence commingling involving state, federal or tribal leases unless or until approved by the state land office or the BLM, as applicable.
[19.15.12.10 NMAC - Rp, 19.15.5.303 NMAC, 12/1/08]
allocated production from each producing pool in the commingled well bore shall not exceed the top oil or gas allowable rate for a well in that
pool or rate restriction applicable to the well.
(7) The commingling will not reduce the value of the total remaining production.
(8) Correlative rights will not be violated.
B. The director may rescind authority to commingle production in a well bore and require the operator produce the pools separately
if, in the director’s opinion, waste or reservoir damage is resulting, correlative rights are being impaired or the efficiency of a secondary recovery
project is being impaired, or any changes or conditions render the installation no longer eligible for downhole commingling.
C. When the conditions set forth in Subsection A of 19.15.12.11 NMAC are satisfied, the director may approve a request to
downhole commingle production in one of the following ways.
(1) Individual exceptions. An operator shall file applications to downhole commingle in well bores located outside of an area subject
to a downhole commingling order issued in a “reference case” and not within a pre-approved pool or area on form C-107-A with the division.
(a) The director may administratively approve a form C-107-A in the absence of a valid objection filed within 20 days after the
division’s receipt of the application if, in the director’s opinion, waste will not occur and correlative rights will not be impaired.
(b) In those instances where the ownership or percentages between the pools to be commingled is not identical, applicant shall
send a copy of form C-107-A to interest owners in the spacing unit by certified mail, return receipt requested.
(c) The applicant shall send copies of form C-107-A to the state land office for wells in spacing units containing state lands or
the BLM for wells in spacing units containing federal or tribal lands.
(d) The director may set an administratively filed form C-107-A for hearing.
(2) Exceptions for wells located in pre-approved pools or areas. Applicants shall file applications to downhole commingle in well
bores within pools or areas that have been established by the division as “pre-approved pools or areas” pursuant to Paragraph (2) of Subsection D
of 19.15.12.11 NMAC on form C-103 at the appropriate division district office. The district supervisor of the appropriate division district office
may approve the proposed downhole commingling following receipt of form C-103. In addition to the information required by form C-103, the
applicant shall include:
(a) the number of the division order that established pre-approved pool or area;
(b) the names of pools to be commingled;
(c) perforated intervals;
(d) allocation method and supporting data;
(e) a statement that the commingling will not reduce the total remaining production’s value;
(f) in those instances where the ownership or percentages between the pools to be commingled is not identical, a statement
attesting that applicant sent notice to the interest owners in the spacing unit by certified mail, return receipt requested of its intent to apply for
downhole commingling and no objection was received within 20 days of sending this notice; and
(g) a statement attesting that applicant sent a copy of form C-103 to the state land office for wells in spacing units containing
state lands or the BLM for wells in spacing units containing federal or tribal lands using sundry notice form 3160-5.
(3) Exceptions for wells located in areas subject to a downhole commingling order issued in a “reference case”. Applicants shall file
applications to downhole commingle in well bores within an area subject to a division order that excepted any of the criteria required by
19.15.12.11 NMAC or form C-107-A with the district supervisor of the appropriate division district office and, except for the place of filing, shall
meet the requirements of the applicable order issued in that “reference case”.
D. Applications for establishing a “reference case” or for pre-approval of downhole commingling on an area-wide or pool-wide
basis.
(1) Reference cases. If sufficient data exists for a lease, pool, formation or geographical area to render it unnecessary to repeatedly
provide the data on form C-107-A, an operator may except any of the various criteria required under 19.15.12.11 NMAC or set forth in form C-
107-A by establishing a “reference case”. The division, upon its own motion or application from an operator, may establish “reference cases”
either administratively or by hearing. Upon division approval of such “reference cases” for specific criteria, the division shall require subsequent
form C-107-A only to cite the division order number that established the exceptions and not require the applicant to submit data for those criteria.
The division may approve applications involving exceptions to the specific criteria required by 19.15.12.11 NMAC or by form C-107-A after the
applicant sends notice to the interest owners in the affected spacing units by certified mail, return receipt requested, based on evidence that the
approval would adequately satisfy the conditions of Subsection A of 19.15.12.11 NMAC.
(2) Pre-approval of downhole commingling on a pool-wide or area-wide basis. If sufficient data exists for multiple formations or
pools that have previously been commingled or are proposed to be commingled, the division, upon its own motion or application from an operator,
may establish downhole commingling on a pool-wide or area-wide basis either administratively or by hearing.
(a) Applications for pre-approval shall include the data required by form C-107-A, a list of the names and address of operators
in the pools, previous orders authorizing downhole commingling for the pools or area and a map showing the location of wells in the pools or area
and indicating those wells approved for downhole commingling.
(b) The director may approve applications for pre-approval of downhole commingling on a pool-wide or area-wide basis after
the applicant sends notice to operators in the affected pools or area by certified mail, return receipt requested, based on evidence that such approval
adequately satisfies the conditions of 19.15.12.11 NMAC.
(c) Upon approval of certain pools or areas for downhole commingling, an operator may obtain approval for subsequent
applications for approval to downhole commingle wells within those pools or areas by filing form C-103 in accordance with Paragraph (2) of
Subsection C of 19.15.12.11 NMAC.
(3) The division shall maintain and continually update a list of pre-approved pools or areas in Subsection E of 19.15.12.11 NMAC.
E. Pre-approved pools and areas. Downhole commingling is approved within the following pool combinations or geographical
areas (provided, however, that the operator shall file form C-103 with the appropriate division district office in accordance with the procedure set
forth in Paragraph (2) of Subsection C of 19.15.12.11 NMAC):
Pre-approved pools or geographic areas for downhole commingling, permian basin
All Blinebry, Tubb, Drinkard, Blinebry-Tubb, Blinebry-Drinkard and Tubb-Drinkard pool combinations within the
following geographic area in Lea County:
township 18 south, ranges 37, 38 and 39 east township 23 south, ranges 36, 37 and 38 east
township 19 south, ranges 36, 37, 38 and 39 east township 24 south, ranges 36, 37 and 38 east
township 20 south, ranges 36, 37, 38 and 39 east township 25 south, ranges 36, 37 and 38 east
township 21 south, ranges 36, 37 and 38 east township 26 south, ranges 36, 37 and 38 east
township 22 south, ranges 36, 37 and 38 east
Blinebry pools
6660 Blinebry oil and gas pool (oil) 34200 Justis-Blinebry pool
72480 Blinebry oil and gas pool (pro gas) 46990 monument-Blinebry pool
6670 west Blinebry pool 47395 Nadine-Blinebry pool
12411 Cline lower paddock-Blinebry pool 47400 west Nadine paddock-Blinebry pool
29710 Hardy-Blinebry pool 47960 oil center-Blinebry pool
31700 east Hobbs-Blinebry pool 96314 north Teague lower paddock-Blinebry assoc.
31680 Hobbs upper-Blinebry pool 58300 Teague paddock-Blinebry pool
31650 Hobbs lower-Blinebry pool 59310 east Terry-Blinebry pool
33230 house-Blinebry pool 63780 Weir-Blinebry pool
33225 south house-Blinebry pool 63800 east Weir-Blinebry pool
Tubb pools
12440 Cline-Tubb pool 47530 west Nadine-Tubb pool
77120 Fowler-Tubb pool 58910 Teague-Tubb pool
26635 south Fowler-Tubb pool 96315 north Teague-Tubb associated pool
78760 house-Tubb pool 60240 Tubb oil and gas pool (oil)
33460 east house-Tubb pool 86440 Tubb oil and gas pool (pro gas)
33470 north house-Tubb pool 87080 Warren-Tubb pool
47090 monument-Tubb pool 87085 east Warren-Tubb pool
47525 Nadine-Tubb pool
Drinkard pools
7900 south Brunson Drinkard-abo pool 47505 west Nadine-Drinkard pool
12430 Cline Drinkard-abo pool 47510 Nadine Drinkard-Abo pool
15390 D-K Drinkard pool 57000 Skaggs-Drinkard pool
19190 Drinkard pool 96768 northwest Skaggs-Drinkard pool
19380 south Drinkard pool 58380 Teague-Drinkard pool
26220 Fowler-Drinkard pool 96313 north Teague Drinkard-Abo pool
28390 Goodwin-Drinkard pool 63080 Warren-Drinkard pool
31730 Hobbs-Drinkard pool 63120 east Warren-Drinkard pool
33250 house-Drinkard pool 63840 Weir-Drinkard pool
47503 east Nadine-Drinkard pool
Blinebry-Tubb pools
62965 Warren Blinebry-Tubb oil and gas pool
Tubb-Drinkard pools
18830 dollarhide Tubb-Drinkard pool 33600 imperial Tubb-Drinkard pool
29760 Hardy Tubb-Drinkard pool 35280 Justis Tubb-Drinkard pool
96356 north Hardy Tubb-Drinkard pool
pool-combinations, Lea county
airstrip-bone spring (960) and airstrip-wolfcamp (970) pools
Baish-wolfcamp (4480) and maljamar-abo (43250) pools
Blinebry oil and gas and Wantz-abo (62700) pools
Blinebry oil and gas and south Brunson-Ellenburger (8000) pools
Blinebry oil and gas and paddock (49210) pools
cerca lower-wolfcamp (11800) and cerca upper-pennsylvanian (11810) pools
Drinkard (19190) and paddock (49210) pools
History of Repealed Material: 19.15.5 NMAC, Oil Production Practices (filed 04/27/2000) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.5 NMAC, Oil Production Practices (Section 303) (filed 04/27/2000) was replaced by 19.15.12 NMAC, Pools,
effective 12/1/08.
19.15.13.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.13.1 NMAC - N, 12/1/08]
19.15.13.2 SCOPE: 19.15.13 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.13.2 NMAC - N, 12/1/08]
19.15.13.3 STATUTORY AUTHORITY: 19.15.13 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-12 and Section 70-2-17.
[19.15.13.3 NMAC - N, 12/1/08]
19.15.13.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.13.5 NMAC - N, 12/1/08]
19.15.13.6 OBJECTIVE: To establish requirements for implementation of the division’s statutory authority to pool interests in oil and gas
spacing units.
[19.15.13.6 NMAC - N, 12/1/08]
19.15.13.7 DEFINITIONS:
A. “Infill well” means a well in a compulsory pooled proration or spacing unit to be completed in a pool in which an existing well
drilled pursuant to the compulsory pooling order has been completed and not plugged and abandoned.
B. “Operator”, for the purposes of 19.15.13 NMAC, means the division or commission appointed operator of a compulsory pooled
proration or spacing unit, or its successor.
C. “Pooled working interest” means a working interest or unleased mineral interest that is pooled by division or commission order
and not by voluntary agreement of the owner of the interest, except for an unleased mineral interest on federal, state or tribal lands.
[19.15.13.7 NMAC - N, 12/1/08]
with 19.15.4.13 NMAC, and shall have the burden to prove the justification for the risk charge sought by relevant geologic or technical evidence.
The hearing examiner may allow a responding party who has not filed a pre-hearing statement, but who appears in person or by attorney at the
hearing, to offer evidence in support of a different risk charge than that Subsection A of 19.15.13.8 NMAC provides, but in such cases the hearing
examiner shall allow a continuance of the hearing, if requested, to enable the applicant to present rebuttal evidence.
[19.15.13.8 NMAC - Rp, 19.15.1.35 NMAC, 12/1/08]
19.15.13.9 INFILL WELLS: Whenever 19.15.15 NMAC or an applicable pool order authorizes one or more infill wells within a proration
or spacing unit pooled by division or commission order pursuant to NMSA 1978, Section 70-2-17, either the operator or an owner of a pooled
working interest may, at any time after completion of the initial well provided in the pooling order, propose drilling of an infill well.
[19.15.13.9 NMAC - Rp, 19.15.1.36 NMAC, 12/1/08]
19.15.13.12 REFUND OF MONEY ADVANCED: If the operator does not commence an infill well proposed pursuant to 19.15.13.10
NMAC within the time provided, including an extension the division allows, it shall refund amounts it received from a pooled party as advance
payment of well costs for the well within 10 days after the expiration of the time provided for commencement of drilling, together with interest on
the amount received calculated at the rate of bank of America prime plus three percentage points.
[19.15.13.12 NMAC - Rp, 19.15.1.36 NMAC, 12/1/08]
19.15.13.13 DETERMINATION OF REASONABLE COSTS: The provision of the applicable compulsory pooling order regarding
reporting of actual well costs to the division and to pooled working interest owners, opportunity for objections to those costs, determinations of
reasonableness of well costs and adjustment of the amount paid to a participating pooled working interest owner to reflect reasonable well costs
shall apply to a well drilled pursuant to 19.15.13.10 NMAC or 19.15.13.11 NMAC.
[19.15.13.13 NMAC - Rp, 19.15.1.36 NMAC, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions (filed 04/27/2001) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.1 NMAC, General Provisions (Sections 35 and 36) (filed 04/27/2001) was replaced by 19.15.13 NMAC,
Compulsory Pooling, effective 12/1/08.
19.15.14.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.14.1 NMAC - N, 12/1/08]
19.15.14.2 SCOPE: 19.15.14 NMAC applies to persons engaged in drilling oil and gas wells within New Mexico.
[19.15.14.2 NMAC - N, 12/1/08]
19.15.14.3 STATUTORY AUTHORITY: 19.15.14 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.14.3 NMAC - N, 12/1/08]
19.15.14.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.14.5 NMAC - N, 12/1/08]
19.15.14.6 OBJECTIVE: To require an operator to obtain a permit prior to commencing drilling, deepening or re-entry operations or
before plugging a well back to a different pool or completing or re-completing a well in an additional pool and to establish procedures for
application for and approval or denial of the permit.
[19.15.14.6 NMAC - N, 12/1/08]
19.15.14.8 PERMIT TO DRILL, DEEPEN OR PLUG BACK: An operator shall obtain a permit from the division prior to commencing
drilling, deepening or re-entry operations, or before plugging a well back to a different pool or completing or re-completing a well in an additional
pool.
[19.15.14.8 NMAC - Rp, 19.15.3.102 NMAC, 12/1/08]
19.15.14.9 APPLICATIONS: An operator shall file a complete form C-101 and complete form C-102 with the division and meet the
following requirements, if applicable:
A. an applicant for a permit to drill a well within the corporate limits of a city, town or village shall give notice to the duly
constituted governing body of the city, town or village or its duly authorized agent and certify on form C-101 that it gave such notice;
B. an applicant for a permit to drill in a quarter-quarter section containing an existing well or wells operated by another operator
shall concurrently file a plat or other acceptable document locating and identifying the well or wells, furnish a copy of the application to the other
operator or operators in the quarter-quarter section and certify on form C-101 that it furnished the copies; and
C. an applicant for a permit to operate a well in a spacing or proration unit containing an existing well or wells operated by another
operator shall also comply with Subsection B of 19.15.15.12 NMAC.
[19.15.14.9 NMAC - Rp, 19.15.3.102 NMAC and 19.15.13.1101 NMAC, 12/1/08]
19.15.14.11 APPROVED FORM C-101 AT WELL SITE: The operator shall keep a copy of the approved form C-101 at the well site
during drilling operations.
[19.15.14.11 NMAC - Rp, 19.15.3.102 NMAC, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) and 19.15.13 NMAC, Reports (filed 6/17/2004) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.3 NMAC, Drilling (Section 118) (filed 10/29/2001) and 19.15.13 NMAC, Reports (Section 1101) (filed
6/17/2004) were replaced by 19.15.14 NMAC, Drilling Permits, effective 12/1/08.
19.15.15.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.15.1 NMAC - N, 12/1/08]
19.15.15.2 SCOPE: 19.15.15 NMAC applies to persons engaged in drilling oil and gas wells within New Mexico.
[19.15.15.2 NMAC - N, 12/1/08]
19.15.15.3 STATUTORY AUTHORITY: 19.15.15 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12, which authorizes the division to establish well spacing.
[19.15.15.3 NMAC - N, 12/1/08]
19.15.15.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.15.5 NMAC - N, 12/1/08]
19.15.15.6 OBJECTIVE: To classify wells and establish well location and well acreage requirements and procedures for multiple
operators within a spacing unit, obtaining approval of unorthodox well locations and for pooling or communitizing small acreage oil lots.
[19.15.15.6 NMAC - N, 12/1/08]
for hearing.
[19.15.15.9 NMAC - Rp, 19.15.3.104 NMAC, 12/1/08]
19.15.15.10 GAS WELL ACREAGE AND WELL LOCATION REQUIREMENTS: A wildcat well that the operator projects to drill as
a gas well to a formation and in an area that in the division’s opinion may reasonably be presumed to produce gas rather than oil and each
development well for a defined gas pool, unless otherwise provided in special pool orders, shall be spaced and located as follows.
A. 640-acre spacing applies to a deep gas well in Rio Arriba, San Juan, Sandoval or McKinley county that is projected to be drilled
to a gas producing formation older than the Dakota formation or is a development well within a gas pool created and defined by the division after
June 1, 1997 in a formation older than the Dakota formation, which formation or pool is located within the surface outcrop of the pictured cliffs
formation (i.e., the San Juan basin). The well shall be located on a spacing unit consisting of 640 contiguous surface acres, more or less,
substantially in the form of a square that is a section and legal subdivision of the United States public land surveys and shall be located no closer
than:
(1) 1200 feet to an outer boundary of the spacing unit;
(2) 130 feet to a quarter section line; and
(3) 10 feet to a quarter-quarter section line or subdivision inner boundary.
B. 320-acre spacing applies to a deep gas well in Lea, Chaves, Eddy or Roosevelt county that is projected to be drilled to a gas
producing formation, or is within a defined gas pool, that is in the Wolfcamp or an older formation. The well shall be located on a spacing unit
consisting of 320 surface contiguous acres, more or less, comprising any two contiguous quarter sections of a single section that is a legal
subdivision of the United States public land surveys provided that:
(1) the initial well on a 320-acre unit is located no closer than 660 feet to the outer boundary of the quarter section on which the well
is located and no closer than 10 feet to a quarter-quarter section line or subdivision inner boundary; and
(2) only one infill well on a 320-acre unit shall be allowed provided that the well is located in the quarter section of the 320-acre unit
not containing the initial well and is no closer than 660 feet to the outer boundary of the quarter section and no closer than 10 feet to a quarter-
quarter section line or subdivision inner boundary.
C. 160-acre spacing applies to a gas well not covered above. The well shall be located in a spacing unit consisting of 160 surface
contiguous acres, more or less, substantially in the form of a square that is a quarter section and a legal subdivision of the United States public land
surveys and shall be located no closer than 660 feet to an outer boundary of the unit and no closer than 10 feet to a quarter-quarter section or
subdivision inner boundary.
[19.15.15.10 NMAC - Rp, 19.15.3.104 NMAC, 12/1/08]
(4) The applicant shall submit a statement attesting that the applicant, on or before the date the applicant submitted the application to
the division, notified the affected persons by sending a copy of the application, including a copy of the plat described in Paragraph (3) of
Subsection B of 19.15.15.11 NMAC, by certified mail, return receipt requested, advising them that if they have an objection they must file the
objection in writing with the division within 20 days from the date the division receives the application. The director may approve the application
without hearing upon receipt of waivers from all the notified persons or if no person has filed an objection within the 20-day period.
(5) The director may set for hearing an application for administrative approval.
C. Exceptions to number of wells per spacing unit. The director may permit exceptions to 19.15.15 NMAC or special pool orders
concerning the number of wells allowed per spacing unit only after notice and opportunity for hearing. An applicant for an exception shall notify
all affected persons defined in Paragraph (2) of Subsection A of 19.15.4.12 NMAC.
[19.15.15.11 NMAC - Rp, 19.15.3.104 NMAC, 12/1/08]
F. Whenever the division approves an unorthodox location, it may order any action necessary to offset an advantage of the
unorthodox location.
[19.15.15.13 NMAC - Rp, 19.15.3.104 NMAC, 12/1/08]
19.15.15.15 DIVISION-INITIATED EXCEPTIONS: In order to prevent waste, the division may, after hearing, set different spacing
requirements and require different acreage for drilling tracts in a defined oil or gas pool.
[19.15.15.15 NMAC - Rp, 19.15.3.104 NMAC, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.3 NMAC, Drilling (Section 104) (filed 10/29/2001) were replaced by 19.15.15 NMAC, Well Spacing and
Location, effective 12/1/08.
19.15.16.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.16.1 NMAC - Rp, 19.15.3.1 NMAC, 12/1/08]
19.15.16.2 SCOPE: 19.15.16 NMAC applies to persons engaged in the drilling and production of oil and gas wells within New Mexico.
[19.15.16.2 NMAC - Rp, 19.15.3.2 NMAC, 12/1/08]
19.15.16.3 STATUTORY AUTHORITY: 19.15.16 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.16.3 NMAC - Rp, 19.15.3.3 NMAC, 12/1/08]
19.15.16.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.16.5 NMAC - Rp, 19.15.3.5 NMAC, 12/1/08]
19.15.16.6 OBJECTIVE: To regulate the drilling and production of oil and gas wells within the state.
[19.15.16.6 NMAC - Rp, 19.15.3.6 NMAC, 12/1/08]
19.15.16.7 DEFINITIONS:
A. “Azimuth” means the deviation in the horizontal plane of a well bore expressed in terms of compass degrees.
B. “Deviated well” means a well bore that is intentionally deviated from vertical but not with an intentional azimuth.
C. “Directional well” means a well bore that is intentionally deviated from vertical with an intentional azimuth.
D. “Kick-off point” means the point at which a directional well is intentionally deviated from vertical.
E. “Lateral” means a portion of a directional well past the point where the well bore has been intentionally departed from the
vertical.
F. “Penetration point” means the point where a directional well penetrates the top of the pool from which it is intended to produce.
G. “Producing area” means the portion of a project area that lies within a window formed by plotting the measured distance from
the project area’s north, south, east and west boundaries, inside of which a vertical well bore can be drilled and produced in conformity with the
setback requirements from the outer boundary of a standard spacing unit for the applicable pools.
H. “Producing interval” means that portion of a directional well drilled inside a pool’s vertical limits between its penetration point
and its terminus.
I. “Project area” means an area the operator designates on form C-102 that a spacing unit’s outer boundaries enclose, a
combination of complete, contiguous spacing units or an approved secondary, tertiary or pressure maintenance project.
J. “Project well” means a well drilled, completed, produced or injected into as either a vertical well, deviated well or directional
well.
K. “Spacing unit” means the acreage that is dedicated for a well in accordance with 19.15.15 NMAC. Included in this definition is
a unit of proration for oil or gas as defined by the division and all non-standard units the division has previously approved.
L. “Terminus” means the farthest point attained along the well bore.
M. “Vertical well” means a well that does not have an intentional departure or course deviation from the vertical.
[19.15.16.7 NMAC - Rp, 19.15.3.111 NMAC, 12/1/08]
and
(5) API number.
[19.15.16.8 NMAC - Rp, 19.15.3.103 NMAC, 12/1/08]
I. The operator shall test casing strings except conductor pipe after cementing and before commencing other operations on the
well. The operator shall file form C-103 with the division for each casing string reporting the grade and weight of pipe used. In the case of
combination strings utilizing pipe of varied grades or weights, the operator shall report the footage of each grade and weight used. The operator
shall also report results of the casing test, including actual pressure held on pipe and the pressure drop observed on the same form C-103.
(1) The operator shall pressure test casing strings in wells drilled with rotary tools. Minimum casing test pressure shall be
approximately one-third of the manufacturer’s rated internal yield pressure except that the test pressure shall not be less than 600 psi and need not
be greater than 1500 psi. In cases where combination strings are involved, the above test pressure shall apply to the lowest pressure rated casing
used. The operator shall apply test pressures for a period of 30 minutes. If a drop of more than 10 percent of the test pressure occurs the casing
shall be considered defective and the operator shall apply corrective measures.
(2) The operator may test casing strings in wells drilled with cable tools as outlined in Paragraph (1) of Subsection I of 19.15.16.10
NMAC, or by bailing the well dry in which case the hole shall remain satisfactorily dry for a period of at least one hour before the operator
commences further operations on the well.
J. Well tubing requirements.
(1) The operator shall tube flowing oil wells equipped with casing larger in size than 2 7/8-inch OD.
(2) The operator shall tube gas wells equipped with casing larger in size than 3½-inch OD.
(3) The operator shall set tubing as near the bottom as practical and tubing perforations shall not be more than 250 feet above top of
pay zone.
(4) The district supervisor of the appropriate division district office, upon application, may grant exceptions to these requirements,
provided waste will not be caused.
(5) The district supervisor may request that the director review an application. The operator shall submit information and give notice
as the director requests. The division may approve un-protested applications after 20 days of receipt of the application and supporting information.
If a person protests the application, or the director decides, the division shall set the application for hearing.
[19.15.16.10 NMAC - Rp, 19.15.3.107 NMAC, 12/1/08]
19.15.16.11 DEFECTIVE CASING OR CEMENTING: If a well appears to have a defective casing program or faultily cemented or
corroded casing that will permit or may create underground waste or contamination of fresh waters, the operator shall give written notice to the
division within five working days and proceed with diligence to use the appropriate method and means to eliminate the hazard. If the hazard of
waste or contamination of fresh water cannot be eliminated, the operator shall properly plug and abandon the well.
[19.15.16.11 NMAC - Rp, 19.15.3.108 NMAC, 12/1/08]
19.15.16.13 PULLING OUTSIDE STRINGS OF CASING: In pulling outside strings of casing from an oil or gas well, the operator shall
keep and leave the space outside the casing left in the hole full of mud-laden fluid or cement of adequate specific gravity to seal off fresh and salt
water strata and strata bearing oil or gas not producing.
[19.15.16.13 NMAC - Rp, 19.15.3.110 NMAC, 12/1/08]
(4) Directional survey requirements. Upon the director’s request, the operator shall directionally survey a vertical or deviated well.
The operator shall notify the appropriate division district office of the approximate time the operator will conduct the directional survey. The
operator shall file directional surveys run on a well with the division upon the well’s completion. The division shall not assign an allowable to the
well until the operator has filed the directional surveys.
B. Directional well bores.
(1) Directional drilling within a project area. The appropriate division district office may grant a permit to directionally drill a well
bore if the producing interval is entirely within the producing area or at an unorthodox location the division previously approved. Additionally, if
the project area consists of a combination of drilling units and includes state, federal or tribal lands, the operator shall send a copy of form C-102
to the state land office or the BLM, as applicable.
(2) Unorthodox well bores. If all or part of a directional well bore’s producing interval is projected to be outside of the producing
area, the well’s location is considered unorthodox. To obtain approval for the well’s location, the applicant shall file a written application in
duplicate with the director with a copy to the appropriate division district office and shall otherwise follow the normal process in Subsection C of
19.15.15.3 NMAC.
(3) Allowables for project areas with multiple proration units. The division shall base the maximum allowable it assigns to the
project area within a prorated pool upon the number of standard spacing units or approved non-standard spacing units that the directional well
bore’s producing interval develops or traverses. The maximum allowable shall apply to production from the project area, including vertical well
bores on standard spacing units inside the project area.
(4) Directional surveys required. An operator shall run a directional survey on each well drilled pursuant to Subsection B of
19.15.16.14 NMAC. The operator shall notify the appropriate division district office of the approximate time the operator will conduct the
directional survey. The operator shall file a directional survey run on a well with the division upon the well’s completion. The division shall not
assign an allowable to the well until the operator files the directional survey. If the directional survey indicates that part of the producing interval is
outside of the producing area, or, in the case of an approved unorthodox location, less than the approved setback requirements from the applicable
unit’s outer boundary, then the operator shall file an application with the director with a copy to the appropriate division district office and shall
otherwise follow the normal process outlined in Subsection C of 19.15.15.13 NMAC to obtain approval of the unorthodox location.
(5) Re-entry of vertical or deviated well bores for directional drilling projects. These well bores are considered orthodox provided
the surface location is orthodox and the producing interval’s location is within the tolerance allowed for deviated well bores under Paragraph (3) of
Subsection A of 19.15.16.14 NMAC.
C. Additional matters.
(1) Directional surveys that 19.15.16.14 NMAC requires shall have shot points no more than 200 feet apart and shall be run by
competent surveying companies that are approved by the director. The division shall allow exceptions to the minimum shot point spacing provided
the survey’s accuracy is still within acceptable limits.
(2) The director may set an application for administrative approval whereby the operator shall submit appropriate information and
give notice as the director requests. The division may approve un-protested applications administratively within 20 days after the division receives
the application and supporting information. If the application is protested, or the director decides that a hearing is appropriate, the division may set
the application for hearing.
(3) The division shall grant permission to deviate or directionally drill a well bore for any reason or in a manner not provided for in
19.15.16.14 NMAC only after notice and opportunity for hearing.
[19.15.16.14 NMAC - Rp, 19.15.3.111 NMAC, 12/1/08]
(2) The operator shall submit the application for a hearing to the division in triplicate and include an exhibit showing the location of
wells on applicant’s lease and offset wells on offset leases, together with a diagrammatic sketch showing the casing program, formation tops,
estimated top of cement on each casing string run and other pertinent data, including drill stem tests.
(3) The director may grant an exception to Subsection A of 19.15.16.15 NMAC’s requirements without notice and hearing where the
operator files the application in due form, and when the lowermost producing zone involved in the completion is an oil or gas producing zone
within an oil or gas pool’s defined limits and the producing zone to be produced through the bradenhead connection is a gas producing zone within
a gas pool’s defined limits. The applicant shall include with the application a written stipulation that the applicant has properly notified offset
operators.
(4) The applicant shall furnish operators who offset the lease upon which the subject well is located a copy of the application. The
director shall wait at least 10 days before approving gas production from the bradenhead gas well, and shall approve the production only in the
absence of an offset operator’s objection. If an operator objects to the completion the director shall consider the matter only after proper notice and
hearing.
(5) The division may waive the 10-day waiting period requirement if the applicant furnishes the division with the written consent to
the production of gas from the bradenhead connection by the offset operators involved.
(6) Subsection B of 19.15.16.15 NMAC shall apply only to wells completed after January 1, 1950 or, in Lea County after February 1,
1937, as bradenhead gas wells.
[19.15.16.15 NMAC - Rp, 19.15.3.112 NMAC, 12/1/08]
19.15.16.16 SHOOTING AND CHEMICAL TREATMENT OF WELLS: If shooting, fracturing or treating a well injures the producing
formation, injection interval, casing or casing seat and may create underground waste or contaminate fresh water, the operator shall within five
working days notify in writing the division and proceed with diligence to use the appropriate method and means for rectifying the damage. If
shooting, fracturing or chemical treating results in the well’s irreparable injury the division may require the operator to properly plug and abandon
the well.
[19.15.16.16 NMAC - Rp, 19.15.3.113 NMAC, 12/1/08]
19.15.16.18 LOG, COMPLETION AND WORKOVER REPORTS: Within 20 days after the completion of a well drilled for oil or gas, or
the recompletion of a well into a different common source of supply, the operator shall file a completion report with the division on form C-105.
For the purpose of 19.15.16.18 NMAC, a hole drilled or cored below fresh water or that penetrates oil- or gas-bearing formations or that an owner
drills is presumed to be a well drilled for oil or gas.
[19.15.16.18 NMAC - Rp, 19.15.3.117 NMAC, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) and 19.15.13 NMAC, Reports (filed 6/17/2004) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.3 NMAC, Drilling (Sections 103, 106 - 113, 115, & 117) (filed 10/29/2001) and 19.15.13 NMAC, Reports
(Section 1104) (filed 6/17/2004) were replaced by 19.15.16 NMAC, Drilling and Production, effective 12/1/08.
19.15.17.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.17.1 NMAC - N, 6/16/08]
19.15.17.2 SCOPE: 19.15.17 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.17.2 NMAC - N, 6/16/08]
19.15.17.3 STATUTORY AUTHORITY: 19.15.17 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.17.3 NMAC - N, 6/16/08]
19.15.17.5 EFFECTIVE DATE: June 16, 2008, unless a later date is cited at the end of a section.
[19.15.17.5 NMAC - N, 6/16/08]
19.15.17.6 OBJECTIVE: To regulate pits, closed-loop systems, below-grade tanks and sumps used in connection with oil and gas
operations for the protection of public health, welfare and the environment.
[19.15.17.6 NMAC - N, 6/16/08]
19.15.17.7 DEFINITIONS:
A. “Alluvium” means detrital material that water or other erosional forces have transported and deposited at points along a
watercourse’s flood plain. It typically is composed of sands, silts and gravels; exhibits high porosity and permeability; and generally carries fresh
water.
B. “Closed-loop system” means a system that uses above ground steel tanks for the management of drilling or workover fluids
without using below-grade tanks or pits.
C. “Division-approved facility” means a division-permitted surface waste management or injection facility, a facility permitted
pursuant to 20.6.2 NMAC, a facility approved pursuant to 19.15.35.8 NMAC or other facility that the division specifically approves for the
particular purpose. The division shall not approve any facility not otherwise permitted unless it finds that the facility’s use for the specified
purpose will protect fresh water, public health and the environment and comply with other applicable federal or state statutes, federal regulations,
state rules and local ordinances.
D. “Emergency pit” means a pit that is constructed as a precautionary matter to contain a spill in the event of a release.
E. “Permanent pit” means a pit, including a pit used for collection, retention or storage of produced water or brine that is
constructed with the conditions and for the duration provided in its permit, and is not a temporary pit.
F. “Restore” means to return a site to its former condition, in the manner and to the extent required by applicable provisions of
19.15.17 NMAC.
G. “Significant watercourse” means a watercourse with a defined bed and bank either named on a USGS 7.5 minute quadrangle
map or a first order tributary of such watercourse.
H. “Sump” means an impermeable vessel, or a collection device incorporated within a secondary containment system, with a
capacity less than 500 gallons, which remains predominantly empty, serves as a drain or receptacle for de minimis releases on an intermittent basis
and is not used to store, treat, dispose of or evaporate products or wastes.
I. “Temporary pit” means a pit, including a drilling or workover pit, which is constructed with the intent that the pit will hold
liquids for less than six months and will be closed in less than one year.
[19.15.17.7 NMAC - N, 6/16/08; A, 12/1/08]
(1) Permanent pits and exceptions requested pursuant to 19.15.17.15 NMAC. An operator shall file an application, form C-144, and
all required attachments with the environmental bureau in the division’s Santa Fe office to request approval to use or construct a permanent pit or
request an exception pursuant to 19.15.17.15 NMAC and shall provide a copy to the appropriate division district office.
(2) Temporary pits, closed-loop systems and below-grade tanks. To request approval to use or construct a temporary pit, closed-
loop system or below-grade tank, an operator shall file an application, form C-144, and all required attachments with the appropriate division
district office. If the operator plans to use a temporary pit, the operator shall provide the proposed pit location on form C-102.
[19.15.17.9 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08]
(3) where ground water is more than 100 feet below the bottom of the buried waste, unless the operator buries the waste in-place and
the treated or stabilized waste, which shall not be combined with soil or other material at a mixing ratio of more than 3:1 soil or other material to
waste, does not exceed the criteria in Subparagraph (d) of Paragraph (2) of Subsection F of 19.15.17.13 NMAC;
(4) where ground water is more than 100 feet below the bottom of the buried waste, unless the operator buries the waste in a trench
and the treated or stabilized waste, which shall not be combined with soil or other material at a mixing ratio of more than 3:1 soil or other material
to waste, does not exceed the criteria listed in Subparagraph (c) of Paragraph (3) of Subsection F of 19.15.17.13 NMAC;
(5) within 300 feet of a continuously flowing watercourse, or 200 feet of any other significant watercourse or lakebed, sinkhole or
playa lake (measured from the ordinary high-water mark), unless the division approves an alternative distance based upon the operator’s
demonstration that surface and ground water will be protected;
(6) within 300 feet from a permanent residence, school, hospital, institution or church in existence at the time of initial application;
(7) within 500 feet of a private, domestic fresh water well or spring used by less than five households for domestic or stock watering
purposes or within 1000 feet of any other fresh water well or spring, existing at the time the operator files the application for exception;
(8) within incorporated municipal boundaries or within a defined municipal fresh water well field covered under a municipal
ordinance adopted pursuant to NMSA 1978, Section 3-27-3, as amended, unless the municipality specifically approves;
(9) within 500 feet of a wetland;
(10) within the area overlying a subsurface mine, unless the division specifically approves the proposed location based upon the
operator’s demonstration that subsurface integrity will not be compromised;
(11) within an unstable area, unless the operator demonstrates that it has incorporated engineering measures into the design to ensure
that the on-site closure method will prevent contamination of fresh water and protect public health and the environment; or
(12) within a 100-year floodplain.
[19.15.17.10 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08]
material shall be resistant to ultraviolet light. Liner compatibility shall comply with EPA SW-846 method 9090A.
(4) The operator shall minimize liner seams and orient them up and down, not across a slope. The operator shall use factory welded
seams where possible. Prior to field seaming, the operator shall overlap liners four to six inches and orient seams parallel to the line of maximum
slope, i.e., oriented along, not across, the slope. The operator shall minimize the number of field seams in corners and irregularly shaped areas.
Qualified personnel shall perform field seaming. The operator shall weld field liner seams.
(5) Construction shall avoid excessive stress-strain on the liner.
(6) Geotextile is required under the liner where needed to reduce localized stress-strain or protuberances that may otherwise
compromise the liner’s integrity.
(7) The operator shall anchor the edges of all liners in the bottom of a compacted earth-filled trench. The anchor trench shall be at
least 18 inches deep.
(8) The operator shall ensure that the liner is protected from any fluid force or mechanical damage at any point of discharge into or
suction from the lined temporary pit.
(9) The operator shall design and construct a temporary pit to prevent run-on of surface water. A berm, ditch, proper sloping or other
diversion shall surround a temporary pit to prevent run-on of surface water. During drilling operations, the edge of the temporary pit adjacent to
the drilling or workover rig is not required to have run-on protection if the operator is using the temporary pit to collect liquids escaping from the
drilling or workover rig and run-on will not result in a breach of the temporary pit.
(10) The volume of a temporary pit shall not exceed 10 acre-feet, including freeboard.
(11) The part of a temporary pit used to vent or flare gas during a drilling or workover operation that is designed to allow liquids to
drain to a separate temporary pit does not require a liner, unless the appropriate division district office requires an alternative design in order to
protect surface water, ground water and the environment. The operator shall not allow freestanding liquids to remain on the unlined portion of a
temporary pit used to vent or flare gas.
G. Permanent pits. The operator shall design and construct a permanent pit in accordance with the following requirements.
(1) Each permanent pit shall have a properly constructed foundation consisting of a firm, unyielding base, smooth and free of rocks,
debris, sharp edges or irregularities to prevent the liner’s rupture or tear. The operator shall construct a permanent pit so that the inside grade of the
levee is no steeper than two horizontal feet to one vertical foot (2H:1V). The levee shall have an outside grade no steeper than three horizontal feet
to one vertical foot (3H:1V). The levee’s top shall be wide enough to install an anchor trench and provide adequate room for inspection and
maintenance.
(2) Each permanent pit shall contain, at a minimum, a primary (upper) liner and a secondary (lower) liner with a leak detection
system appropriate to the site’s conditions. The edges of all liners shall be anchored in the bottom of a compacted earth-filled trench. The anchor
trench shall be at least 18 inches deep.
(3) The primary (upper) liner and secondary (lower) liner shall be geomembrane liners. The geomembrane liner shall consist of 30-
mil flexible PVC or 60-mil HDPE liner, or an equivalent liner material the environmental bureau in the division’s Santa Fe office approves. The
geomembrane liner shall have a hydraulic conductivity no greater than 1 x 10-9 cm/sec. The geomembrane liner shall be composed of an
impervious, synthetic material that is resistant to petroleum hydrocarbons, salts and acidic and alkaline solutions. The liner material shall be
resistant to ultraviolet light. Liner compatibility shall comply with EPA SW-846 method 9090A.
(4) The environmental bureau in the division’s Santa Fe office may approve other liner media if the operator demonstrates to the
satisfaction of the environmental bureau in the division’s Santa Fe office that the alternative liner protects fresh water, public health, safety and the
environment as effectively as the specified media.
(5) The operator shall minimize liner seams and orient them up and down, not across a slope. The operator shall use factory welded
seams where possible. The operator shall ensure field seams in geosynthetic material are thermally seamed (hot wedge) with a double track weld to
create an air pocket for non-destructive air channel testing. The operator shall test a seam by establishing an air pressure between 33 and 37 psi in
the pocket and monitoring that the pressure does not change by more than one percent during five minutes after the pressure source is shut off from
the pocket. Prior to field seaming, the operator shall overlap liners four to six inches and orient seams parallel to the line of maximum slope, i.e.,
oriented along, not across, the slope. The operator shall minimize the number of field seams in corners and irregularly shaped areas. There shall
be no horizontal seams within five feet of the slope’s toe. Qualified personnel shall perform field seaming.
(6) At a point of discharge into or suction from the lined permanent pit, the operator shall ensure that the liner is protected from
excessive hydrostatic force or mechanical damage. External discharge or suction lines shall not penetrate the liner.
(7) The operator shall place a leak detection system between the upper and lower geomembrane liners that consists of two feet of
compacted soil with a saturated hydraulic conductivity of 1 x 10-5 cm/sec or greater to facilitate drainage. The leak detection system shall consist
of a properly designed drainage and collection and removal system placed above the lower geomembrane liner in depressions and sloped to
facilitate the earliest possible leak detection. Piping used shall be designed to withstand chemical attack from oil field waste or leachate; structural
loading from stresses and disturbances from overlying oil field waste, cover materials, equipment operation or expansion or contraction; and to
facilitate clean-out maintenance. The material the operator places between the pipes and laterals shall be sufficiently permeable to allow the
transport of fluids to the drainage pipe. The slope of the interior sub-grade and of drainage lines and laterals shall be at least a two percent grade,
i.e., two feet vertical drop per 100 horizontal feet. The piping collection system shall be comprised of solid and perforated pipe having a minimum
diameter of four inches and a minimum wall thickness of schedule 80. The operator shall seal a solid sidewall riser pipe to convey collected fluids
to a collection, observation and disposal system located outside the permanent pit’s perimeter. The operator may install alternative methods that
the environmental bureau in the division’s Santa Fe office approves.
(8) The operator shall notify the environmental bureau in the division’s Santa Fe office at least 72 hours prior to the primary liner’s
installation so that a representative of the environmental bureau in the division’s Santa Fe office may inspect the leak detection system before it is
covered.
(9) The operator shall construct a permanent pit in a manner that prevents overtopping due to wave action or rainfall and maintain a
three foot freeboard at all times.
(10) The volume of a permanent pit shall not exceed 10 acre-feet, including freeboard.
(11) The operator shall maintain a permanent pit to prevent run-on of surface water. A permanent pit shall be surrounded by a berm,
ditch or other diversion to prevent run-on of surface water.
H. Closed-loop systems.
(1) The operator shall design and construct a closed-loop system to ensure the confinement of oil, gas or water to prevent
uncontrolled releases.
(2) An operator of a closed-loop system that uses temporary pits for solids management shall comply with the requirements for
temporary pits specified in 19.15.17 NMAC.
(3) An operator of a closed-loop system with drying pads shall design and construct the drying pads to include the following:
(a) appropriate liners that prevent the contamination of fresh water and protect public health and the environment;
(b) sumps to facilitate the collection of liquids derived from drill cuttings; and
(c) berms that prevent run-on of surface water or fluids.
I. Below-grade tanks. The operator shall design and construct a below-grade tank in accordance with the following requirements,
as applicable.
(1) The operator shall ensure that a below-grade tank is constructed of materials resistant to the below-grade tank’s particular
contents and resistant to damage from sunlight.
(2) A below-grade tank system shall have a properly constructed foundation consisting of a level base free of rocks, debris, sharp
edges or irregularities to prevent punctures, cracks or indentations of the liner or tank bottom.
(3) The operator shall construct a below-grade tank to prevent overflow and the collection of surface water run-on.
(4) An operator shall construct a below-grade tank in accordance with one of the following designs.
(a) An operator may construct and use a below-grade tank that does not have double walls provided that the below-grade tank’s
side walls are open for visual inspection for leaks, the below-grade tank’s bottom is elevated a minimum of six inches above the underlying ground
surface and the below-grade tank is underlain with a geomembrane liner, which may be covered with gravel, to divert leaked liquid to a location
that can be visually inspected. The operator shall equip below-grade tanks designed in this manner with a properly operating automatic high-level
shut-off control device and manual controls to prevent overflows. The geomembrane liner shall consist of 30-mil flexible PVC or 60-mil HDPE
liner, or an equivalent liner material that the appropriate division district office approves. The geomembrane liner shall have a hydraulic
conductivity no greater than 1 x 10-9 cm/sec. The geomembrane liner shall be composed of an impervious, synthetic material that is resistant to
petroleum hydrocarbons, salts and acidic and alkaline solutions. The liner material shall be resistant to ultraviolet light. Liner compatibility shall
comply with EPA SW-846 method 9090A.
(b) All other below-grade tanks, in which the side walls are not open for visible inspection for leaks shall be double walled with
leak detection capability.
(c) An operator may construct a below-grade tank according to an alternative system that the appropriate district office
approves based upon the operator’s demonstration that the alternative provides equivalent or better protection.
(5) The operator of a below-grade tank constructed and installed prior to June 16, 2008 that does not meet all the requirements in
Paragraphs (1) through (4) of Subsection I of 19.15.17.11 NMAC and is not included in Paragraph (6) of Subsection I of 19.15.17.11 NMAC is not
required to equip or retrofit the below-grade tank to comply with Paragraphs (1) through (4) of Subsection I of 19.15.17.11 NMAC so long as it
demonstrates integrity. If the existing below-grade tank does not demonstrate integrity, the operator shall promptly remove that below-grade tank
and install a below-grade tank that complies with Paragraphs (1) through (4) of Subsection I of 19.15.17.11 NMAC. The operator shall comply
with the operational requirements of 19.15.17.12 NMAC.
(6) The operator of a below-grade tank constructed and installed prior to June 16, 2008 that is single walled and where any portion of
the tank sidewall is below the ground surface and not visible shall equip or retrofit the below-grade tank to comply with Paragraphs (1) through (4)
of Subsection I of 19.15.17.11 NMAC, or close it, within five years after June 16, 2008. If the existing below-grade tank does not demonstrate
integrity, the operator shall promptly remove that below-grade tank and install a below-grade tank that complies with Paragraphs (1) through (4) of
Subsection I of 19.15.17.11 NMAC. The operator shall comply with the operational requirements of 19.15.17.12 NMAC.
J. On-site trenches for closure. The operator shall design and construct an on-site trench for closure, specified in Paragraph (2) of
Subsection B of 19.15.17.13 NMAC or Paragraph (2) of Subsection D of 19.15.17.13 NMAC, in accordance with the following requirements.
(1) The operator shall locate the trench to satisfy the siting criteria specified in Subsection C of 19.15.17.10 NMAC and
Subparagraph (d) of Paragraph (3) of Subsection F of 19.15.17.13 NMAC and excavate to an appropriate depth that allows for the installation of
the geomembrane bottom liner, geomembrane liner cover and the division-prescribed soil cover required pursuant to Subsection H of 19.15.17.13
NMAC.
(2) An on-site trench shall have a properly constructed foundation and side walls consisting of a firm, unyielding base, smooth and
free of rocks, debris, sharp edges or irregularities to prevent the liner’s rupture or tear.
(3) Geotextile is required under the liner where needed to reduce localized stress-strain or protuberances that may otherwise
compromise the liner’s integrity.
(4) An on-site trench shall be constructed with a geomembrane liner. The geomembrane shall consist of a 20-mil string reinforced
LLDPE liner or equivalent liner that the appropriate division district office approves. The geomembrane liner shall be composed of an impervious,
synthetic material that is resistant to petroleum hydrocarbons, salts and acidic and alkaline solutions. The liner material shall be resistant to
ultraviolet light. Liner compatibility shall comply with EPA SW-846 method 9090A.
(5) The operator shall minimize liner seams and orient them up and down, not across a slope. The operator shall use factory welded
seams where possible. Prior to field seaming, the operator shall overlap liners four to six inches and orient liner seams parallel to the line of
maximum slope, i.e., oriented along, not across, the slope. The operator shall minimize the number of field seams in corners and irregularly shaped
areas. Qualified personnel shall perform field seaming. The operator shall weld field liner seams.
(6) The operator shall install sufficient liner material to reduce stress-strain on the liner.
(7) The operator shall ensure that the outer edges of all liners are secured for the placement of the excavated waste material into the
trench.
(8) The operator shall fold the outer edges of the trench liner to overlap the waste material in the trench prior to the installation of the
geomembrane cover.
(9) The operator shall install a geomembrane cover over the waste material in the lined trench. The operator shall install the
geomembrane cover in a manner that prevents the collection of infiltration water in the lined trench and on the geomembrane cover after the soil
cover is in place.
(10) The geomembrane cover shall consist of a 20-mil string reinforced LLDPE liner or equivalent cover that the appropriate division
district office approves. The geomembrane cover shall be composed of an impervious, synthetic material that is resistant to petroleum
hydrocarbons, salts and acidic and alkaline solutions. Cover compatibility shall comply with EPA SW-846 method 9090A.
[19.15.17.11 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08; A, 12/1/08; A, 7/16/09]
D. Below-grade tanks. An operator shall maintain and operate a below-grade tank in accordance with the following additional
requirements.
(1) The operator shall not allow a below-grade tank to overflow or allow surface water run-on to enter the below-grade tank.
(2) The operator shall remove any visible or measurable layer of oil from the fluid surface of a below-grade tank.
(3) The operator shall inspect the below-grade tank at least monthly and maintain a written record of each inspection for five years.
(4) The operator shall maintain adequate freeboard to prevent overtopping of the below-grade tank.
(5) The operator of a below-grade tank constructed and installed prior to June 16, 2008 that does not meet the requirements of
Paragraphs (1) through (4) of Subsection I of 19.15.17.11 NMAC who discovers that the below-grade tank does not demonstrate integrity or that
the below-grade tank develops any of the conditions identified in Paragraph (5) of Subsection A of 19.15.17.12 NMAC shall close the existing
below-grade tank pursuant to the closure requirements of 19.15.17.13 NMAC and install a below-grade tank that complies with the requirements of
Paragraphs (1) through (4) of Subsection I of 19.15.17.11 NMAC.
(6) The operator of a below-grade tank constructed and installed prior to June 16, 2008 that does not comply with Paragraphs (1)
through (4) of Subsection I of 19.15.17.11 NMAC who equips or retrofits the existing tank to comply with Paragraphs (1) through (4) of
Subsection I of 19.15.17.11 NMAC shall visually inspect the area beneath the below-grade tank during the retrofit and document any areas that are
wet, discolored or showing other evidence of a release on form C-141. The operator shall demonstrate to the division whether the evidence of
contamination indicates that an imminent threat to fresh water, public health, safety or the environment exists. If the division determines that the
contamination does not pose an imminent threat to fresh water, public health, safety or the environment, the operator shall complete the retrofit or
the replacement of the below-grade tank. If the operator or division determines that the contamination poses an imminent threat to fresh water,
public health, safety or the environment, then the operator shall close the existing below-grade tank pursuant to the closure requirements of
19.15.17.13 NMAC prior to initiating the retrofit or replacement.
E. Sumps. The operator shall maintain and operate a sump in accordance with the following additional requirements.
(1) The operator shall visually inspect a sump’s integrity annually and promptly repair or replace a sump that fails the inspection.
(2) The operator shall maintain records of sump inspection and make the records available for the appropriate division district
office’s review upon request.
[19.15.17.12 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08; A, 7/16/09]
(b) The operator shall test the soils beneath the temporary pit to determine whether a release has occurred.
(i) For temporary pits where ground water is between 50 and 100 feet below the bottom of the temporary pit or for
cavitation pits allowed pursuant to Subparagraph (a) of Paragraph (1) of Subsection A of 19.15.17.10 NMAC, the operator shall collect, at a
minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other evidence of a
release; and analyze for benzene, total BTEX, TPH, the GRO and DRO combined fraction and chlorides to demonstrate that benzene, as
determined by EPA SW-846 method 8021B or 8260B or other EPA method that the division approves, does not exceed 0.2 mg/kg; total BTEX, as
determined by EPA SW-846 method 8021B or 8260B or other EPA method that the division approves, does not exceed 50 mg/kg; TPH, as
determined by EPA SW-846 method 418.1 or other EPA method that the division approves, does not exceed 2500 mg/kg; the GRO and DRO
combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; and chlorides, as determined by EPA method
300.1, do not exceed 500 mg/kg or the background concentration, whichever is greater. The operator shall notify the division of its results on form
C-141. The division may require additional delineation upon review of the results.
(ii) For temporary pits where ground water is more than 100 feet below the bottom of the temporary pit, the operator shall
collect, at a minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other
evidence of a release; and analyze for benzene, total BTEX, TPH, the GRO and DRO combined fraction and chlorides to demonstrate that benzene,
as determined by EPA SW-846 method 8021B or 8260B or other EPA method that the division approves, does not exceed 0.2 mg/kg; total BTEX,
as determined by EPA SW-846 method 8021B or 8260B or other method that the division approves, does not exceed 50 mg/kg; the GRO and DRO
combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; the TPH, as determined by EPA method 418.1 or
other EPA method that the division approves, does not exceed 2500 mg/kg; and chlorides, as determined by EPA method 300.1, do not exceed 1000
mg/kg or the background concentration, whichever is greater. The operator shall notify the division of its results on form C-141. The division may
require additional delineation upon review of the results.
(c) If the operator or the division determines that a release has occurred, then the operator shall comply with 19.15.29 NMAC
and 19.15.30 NMAC, as appropriate.
(d) If the sampling program demonstrates that a release has not occurred or that any release does not exceed the concentrations
specified in Subparagraph (b) of Paragraph (1) of Subsection B of 19.15.17.13 NMAC, then the operator shall backfill the temporary pit excavation
with compacted, non-waste containing, earthen material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The
division-prescribed soil cover, recontouring and re-vegetation requirements shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
(2) On-site burial. The operator shall demonstrate and comply with the siting requirements in Subsection C of 19.15.17.10 NMAC
and the closure requirements and standards of Subsection F of 19.15.17.13 NMAC if the proposed closure method of a temporary pit involves on-
site burial.
(3) Alternative closure methods. If the environmental bureau in the division’s Santa Fe office grants an exception approving a
closure method for a specific temporary pit other than as specified in Paragraphs (1) or (2) of Subsection B of 19.15.17.13 NMAC, then the
operator shall close that temporary pit by the method that the environmental bureau in the division’s Santa Fe office approves.
C. Closure method for permanent pits.
(1) The operator shall remove all liquids and BS&W from the permanent pit prior to implementing a closure method and shall
dispose of the liquids and BS&W in a division-approved facility.
(2) The operator shall remove the pit liner system, if applicable, and dispose of it in a division-approved facility. If there is on-site
equipment associated with permanent pit, the operator shall remove the equipment, unless the equipment is required for some other purpose.
(3) The operator shall test the soils beneath the permanent pit to determine whether a release has occurred. The operator shall collect,
at a minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other evidence of a
release; and analyze for BTEX, TPH and chlorides to demonstrate that the benzene concentration, as determined by EPA SW-846 methods 8021B
or 8260B or other EPA method that the division approves, does not exceed 0.2 mg/kg; total BTEX concentration, as determined by EPA SW-846
methods 8021B or 8260B or other EPA method that the division approves, does not exceed 50 mg/kg; the TPH concentration, as determined by
EPA method 418.1 or other EPA method that the division approves, does not exceed 100 mg/kg; and the chloride concentration, as determined by
EPA method 300.1 or other EPA method that the division approves, does not exceed 250 mg/kg, or the background concentration, whichever is
greater. The operator shall notify the division of its results on form C-141. The division may require additional delineation upon review of the
results.
(4) If the operator or the division determines that a release has occurred, then the operator shall comply with 19.15.29 NMAC and
19.15.30 NMAC, as appropriate.
(5) If the sampling program demonstrates that a release has not occurred or that any release does not exceed the concentrations
specified in Paragraph (3) of Subsection C of 19.15.17.13 NMAC, then the operator shall backfill the excavation with compacted, non-waste
containing, earthen material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The division-prescribed soil cover,
recontouring and re-vegetation requirements shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
D. Closure methods for closed-loop systems. An operator of a closed-loop system that uses a temporary pit, in lieu of a drying
pad, shall comply with the closure requirements for temporary pits specified in Subsection B of 19.15.17.13 NMAC. The operator of a closed-
loop system that uses a drying pad shall close the system by one of the following methods.
(1) Waste removal.
(a) The operator shall transfer the waste and the drying pad liner to a division-approved facility.
(b) The operator shall substantially restore and re-vegetate the impacted area’s surface in accordance with Subsections G, H
and I of 19.15.17.13 NMAC.
(2) On-site burial. The operator shall demonstrate and comply with the siting requirements of Subsection C of 19.15.17.10 NMAC
and the closure requirements and standards of Subsection F of 19.15.17.13 NMAC if the proposed closure method of a drying pad associated with a
closed-loop system involves on-site burial.
(3) Alternative closure methods. If the environmental bureau in the division’s Santa Fe office grants an exception approving a
closure method for a specific closed-loop system other than as specified in Paragraphs (1) or (2) of Subsection D of 19.15.17.13 NMAC, then the
operator shall close that drying pad associated with a closed-loop system by the method the environmental bureau in the division’s Santa Fe office
approves.
E. Closure method for below-grade tanks.
(1) The operator shall remove liquids and sludge from a below-grade tank prior to implementing a closure method and shall dispose
of the liquids and sludge in a division-approved facility.
(2) The operator shall remove the below-grade tank and dispose of it in a division-approved facility or recycle, reuse, or reclaim it in
a manner that the appropriate division district office approves.
(3) If there is any on-site equipment associated with a below-grade tank, then the operator shall remove the equipment, unless the
equipment is required for some other purpose.
(4) The operator shall test the soils beneath the below-grade tank to determine whether a release has occurred. The operator shall
collect, at a minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other
evidence of a release; and analyze for BTEX, TPH and chlorides to demonstrate that the benzene concentration, as determined by EPA SW-846
methods 8021B or 8260B or other EPA method that the division approves, does not exceed 0.2 mg/kg; total BTEX concentration, as determined by
EPA SW-846 methods 8021B or 8260B or other EPA method that the division approves, does not exceed 50 mg/kg; the TPH concentration, as
determined by EPA method 418.1 or other EPA method that the division approves, does not exceed 100 mg/kg; and the chloride concentration, as
determined by EPA method 300.1 or other EPA method that the division approves, does not exceed 250 mg/kg, or the background concentration,
whichever is greater. The operator shall notify the division of its results on form C-141. The division may require additional delineation upon
review of the results.
(5) If the operator or the division determines that a release has occurred, then the operator shall comply with 19.15.29 NMAC and
19.15.30 NMAC, as appropriate.
(6) If the sampling program demonstrates that a release has not occurred or that any release does not exceed the concentrations
specified in Paragraph (4) of Subsection E of 19.15.17.13 NMAC, then the operator shall backfill the excavation with compacted, non-waste
containing, earthen material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The division-prescribed soil cover,
recontouring and re-vegetation requirements shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
F. On-site closure methods. The following closure requirements and standards apply if the operator proposes a closure method for
a drying pad associated with a closed-loop system or a temporary pit pursuant to Paragraph (2) of Subsection D of 19.15.17.13 NMAC or
Paragraph (2) of Subsection B of 19.15.17.13 NMAC that involves on-site burial, or an alternative closure method pursuant to Paragraph (3) of
Subsection D of 19.15.17.13 NMAC or Paragraph (3) of Subsection B of 19.15.17.13 NMAC and Subsection B of 19.15.17.15 NMAC.
(1) General requirements.
(a) Any proposed on-site closure method shall comply with the siting criteria specified in Subsection C of 19.15.17.10 NMAC.
(b) The operator shall provide the surface owner notice of the operator’s proposal of an on-site closure method. The operator
shall attach the proof of notice to the permit application.
(c) The operator shall comply with the closure requirements and standards of Paragraphs (2) and (3), as applicable, of
Subsection F of 19.15.17.13 NMAC if the proposed closure method for a drying pad associated with a closed-loop system or for a temporary pit
involves on-site burial pursuant to Paragraph (2) of Subsection D of 19.15.17.13 NMAC or Paragraph (2) of Subsection B of 19.15.17.13 NMAC,
or involves an alternative closure method pursuant to Paragraph (3) of Subsection D of 19.15.17.13 NMAC or Paragraph (3) of Subsection B of
19.15.17.13 NMAC and Subsection B of 19.15.17.15 NMAC.
(d) The operator shall place a steel marker at the center of an on-site burial. The steel marker shall be not less than four inches
in diameter and shall be cemented in a three-foot deep hole at a minimum. The steel marker shall extend at least four feet above mean ground
level and at least three feet below ground level. The operator name, lease name and well number and location, including unit letter, section,
township and range, and that the marker designates an on-site burial location shall be welded, stamped or otherwise permanently engraved into the
metal of the steel marker. A person shall not build permanent structures over an on-site burial without the appropriate division district office’s
written approval. A person shall not remove an on-site burial marker without the division’s written permission.
(e) The operator shall report the exact location of the on-site burial on form C-105 filed with the division.
(f) The operator shall file a deed notice identifying the exact location of the on-site burial with the county clerk in the county
where the on-site burial occurs.
(2) In-place burial.
(a) Where the operator meets the siting criteria specified in Paragraphs (2) or (3) of Subsection C of 19.15.17.10 NMAC and
the applicable waste criteria specified in Subparagraphs (c) or (d) of Paragraph (2) of Subsection F of 19.15.17.13 NMAC, an operator may use in-
place burial (burial in the existing temporary pit) for closure of a temporary pit or bury the contents of a drying pad associated with a closed-loop
system in a temporary pit that the operator constructs in accordance with Paragraphs (1) through (6) and (10) of Subsection F of 19.15.17.11
NMAC for closure of a drying pad associated with a closed loop system.
(b) Prior to closing an existing temporary pit or to placing the contents from a drying pad associated with a closed-loop system
into a temporary pit that the operator constructs for disposal, the operator shall stabilize or solidify the contents to a bearing capacity sufficient to
support the temporary pit’s final cover. The operator shall not mix the contents with soil or other material at a mixing ratio of greater than 3:1, soil
or other material to contents.
(c) Where ground water will be between 50 and 100 feet below the bottom of the buried waste, the operator shall collect at a
minimum, a five point, composite sample of the contents of the drying pad associated with a closed-loop system or the contents of a temporary pit
after treatment or stabilization, if treatment or stabilization is required, to demonstrate that benzene, as determined by EPA SW-846 method 8021 B
or 8260B, does not exceed 0.2 mg/kg; total BTEX, as determined by EPA SW-846 method 8021 B or 8260B, does not exceed 50 mg/kg; TPH, as
determined by EPA SW-846 method 418.1 or other EPA method approved that the division approves, does not exceed 2500 mg/kg; the GRO and
DRO combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; and chlorides, as determined by EPA method
300.1, do not exceed 500 mg/kg or the background concentration, whichever is greater. The operator may collect the composite sample prior to
treatment or stabilization to demonstrate that the contents do not exceed these concentrations. However, if the contents collected prior to treatment
or stabilization exceed the specified concentrations the operator shall collect a second five point, composite sample of the contents after treatment
or stabilization to demonstrate that the contents do not exceed these concentrations.
(d) Where the ground water will be more than 100 feet below the bottom of the buried waste, the operator shall collect at a
minimum, a five point, composite sample of the contents of the drying pad associated with a closed-loop system or the contents of a temporary pit
after treatment or stabilization, if treatment or stabilization is required, to demonstrate that benzene, as determined by EPA SW-846 method 8021B
or 8260B, does not exceed 0.2 mg/kg; total BTEX, as determined by EPA SW-846 method 8021B or 8260B, does not exceed 50 mg/kg; the GRO
and DRO combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; TPH, as determined by EPA method
418.1 or other EPA method that the division approves, does not exceed 2500 mg/kg; and chlorides, as determined by EPA method 300.1, do not
exceed 1000 mg/kg or the background concentration, whichever is greater. The operator may collect the composite sample prior to treatment or
stabilization to demonstrate that the contents do not exceed these concentrations. However, if the contents collected prior to treatment or
stabilization exceed the specified concentrations the operator shall collect a second five point, composite sample of the contents after treatment or
stabilization to demonstrate that the contents do not exceed these concentrations.
(e) Upon closure of a temporary pit, or closure of a temporary pit that the operator constructs for burial of the contents of a
drying pad associated with a closed-loop system, the operator shall cover the geomembrane lined, filled, temporary pit with compacted, non-waste
containing, earthen material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The division-prescribed soil cover,
recontouring and re-vegetation shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
(f) For burial of the contents from a drying pad associated with a closed-loop system, the operator shall construct a temporary
pit, in accordance with Paragraphs (1) through (6) and (10) of Subsection F of 19.15.17.11 NMAC, within 100 feet of the drying pad associated
with a closed-loop system, unless the appropriate division district office approves an alternative distance and location. The operator shall use a
separate temporary pit for closure of each drying pad associated with a closed-loop system.
(3) On-site trench burial.
(a) Where the operator meets the siting criteria in Paragraph (4) of Subsection C of 19.15.17.10 NMAC, an operator may use
on-site trench burial for closure of a drying pad associated with a closed loop system or for closure of a temporary pit when the waste meets the
criteria in Subparagraph (c) of Paragraph (3) of Subsection F of 19.15.17.13 NMAC, provided that the operator certifies to the division that it has
given written notice to the surface owner that it intends to do so. The operator shall use a separate on-site trench for closure of each drying pad
associated with a closed-loop system or each temporary pit.
(b) Prior to placing the contents from a drying pad associated with a closed-loop system or from a temporary pit into the trench,
the operator shall stabilize or solidify the contents to a bearing capacity sufficient to support the final cover of the trench burial. The operator shall
not mix the contents with soil or other material at a mixing ratio of greater than 3:1, soil or other material to contents.
(c) The operator shall collect at a minimum, a five point, composite sample of the contents of the drying pad associated with a
closed-loop system or of the temporary pit to demonstrate that the TPH concentration, as determined by EPA method 418.1 or other EPA method
that the division approves, does not exceed 2500 mg/kg. Using EPA SW-846 method 1312 or other EPA leaching procedure that the division
approves, the operator shall demonstrate that (i) the chloride concentration, as determined by EPA method 300.1 or other EPA method that the
division approves, does not exceed 3000 mg/l or the background concentration, whichever is greater, (ii) the concentrations of the inorganic water
contaminants specified in Subsection A of 20.6.2.3103 NMAC as determined by appropriate EPA methods do not exceed the standards specified in
Subsection A of 20.6.2.3103 NMAC or the background concentration, whichever is greater, and (iii) the concentrations of the organic water
contaminants specified in Subsection A of 20.6.2.3103 NMAC as determined by appropriate EPA methods do not exceed the standards specified in
Subsection A of 20.6.2.3103 NMAC, unless otherwise specified above. The operator may collect the composite sample prior to treatment or
stabilization to demonstrate that the contents do not exceed these concentrations. However, if the contents collected prior to treatment or
stabilization exceed the specified concentrations the operator shall collect a second five point, composite sample of the contents after treatment or
stabilization to demonstrate that the contents do not exceed these concentrations.
(d) If the contents from a drying pad associated with a closed-loop system or from a temporary pit do not exceed the criteria in
Subparagraph (c) of Paragraph (3) of Subsection F of 19.15.17.13 NMAC, the operator shall construct a trench lined with a geomembrane liner
located within 100 feet of the drying pad associated with a closed-loop system or temporary pit, unless the appropriate division district office
approves an alternative distance and location. The operator shall design and construct the lined trench in accordance with the design and
construction requirements specified in Paragraphs (1) through (8) of Subsection J of 19.15.17.11 NMAC.
(e) The operator shall close each drying pad associated with a closed-loop system or temporary pit by excavating and
transferring all contents and synthetic pit liners or liner material associated with a closed-loop system or temporary pit to a lined trench. The
excavated materials shall pass the paint filter liquids test (EPA SW-846, method 9095) and the closure standards specified in Subparagraph (c) of
Paragraph (3) of Subsection F of 19.15.17.13 NMAC.
(f) The operator shall test the soils beneath the temporary pit after excavation to determine whether a release has occurred.
(i) Where ground water is between 50 and 100 feet below the bottom of the temporary pit, the operator shall collect, at a
minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other evidence of a
release; and analyze for BTEX, TPH, benzene, GRO and DRO combined fraction and chlorides to demonstrate that benzene, as determined by
EPA SW-846 method 8021B or 8260B, does not exceed 0.2 mg/kg; total BTEX, as determined by EPA SW-846 method 8021B or 8260B, does not
exceed 50 mg/kg; TPH, as determined by EPA SW-846 method 418.1 or other EPA method approved that the division approves, does not exceed
2500 mg/kg; the GRO and DRO combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; and chlorides, as
determined by EPA method 300.1, do not exceed 500 mg/kg or the background concentration, whichever is greater. The operator shall notify the
division of its results on form C-141. The division may require additional delineation upon review of the results. The operator shall notify the
division of its results on form C-141.
(ii) Where ground water is more than 100 feet below the bottom of the temporary pit, the operator shall collect at a
minimum, a five point, composite sample; collect individual grab samples from any area that is wet, discolored or showing other evidence of a
release; and analyze for BTEX, TPH, benzene, GRO and DRO combined fraction and chlorides to demonstrate that benzene, as determined by
EPA SW-846 method 8021B or 8260B, does not exceed 0.2 mg/kg; total BTEX, as determined by EPA SW-846 method 8021B or 8260B, does not
exceed 50 mg/kg; the GRO and DRO combined fraction, as determined by EPA SW-846 method 8015M, does not exceed 500 mg/kg; TPH, as
determined by EPA method 418.1 or other EPA method that the division approves, does not exceed 2500 mg/kg; and chlorides, as determined by
EPA method 300.1, do not exceed 1000 mg/kg or the background concentration, whichever is greater. The operator shall notify the division of its
results on form C-141. The division may require additional delineation upon review of the results.
(g) If the sampling program demonstrates that a release has not occurred or that any release does not exceed the concentrations
specified in Subparagraph (c) of Paragraph (3) of Subsection F of 19.15.17.13 NMAC, then the operator shall backfill the excavation with
compacted, non-waste containing earthen material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The division-
prescribed soil cover, recontouring and re-vegetation shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
(h) If the operator or the division determines that a release has occurred, then the operator shall comply with 19.15.29 NMAC
and 19.15.30 NMAC, as appropriate. The operator may propose to transfer the excavated, contaminated soil into the lined trench.
(i) The operator shall install a geomembrane cover over the excavated material in the lined trench. The operator shall design
and construct the geomembrane cover in accordance with the requirements specified in Paragraphs (9) and (10) of Subsection J of 19.15.17.11
NMAC.
(j) The operator shall cover the geomembrane lined and covered, filled, trench with compacted, non-waste containing, earthen
material; construct a division-prescribed soil cover; recontour and re-vegetate the site. The division-prescribed soil cover, recontouring and re-
vegetation shall comply with Subsections G, H and I of 19.15.17.13 NMAC.
G. Reclamation of pit locations, on-site burial locations and drying pad locations.
(1) Once the operator has closed a pit or trench or is no longer using a drying pad, below-grade tank or an area associated with a
closed-loop system, pit, trench or below-grade tank, the operator shall reclaim the pit location, drying pad location, below-grade tank location or
trench location and all areas associated with the closed-loop system, pit, trench or below-grade tank including associated access roads to a safe and
stable condition that blends with the surrounding undisturbed area. The operator shall substantially restore the impacted surface area to the
condition that existed prior to oil and gas operations by placement of the soil cover as provided in Subsection H of 19.15.17.13 NMAC, recontour
the location and associated areas to a contour that approximates the original contour and blends with the surrounding topography and re-vegetate
according to Subsection I of 19.15.17.13 NMAC.
(2) The operator may propose an alternative to the re-vegetation requirement if the operator demonstrates that the proposed
alternative effectively prevents erosion, and protects fresh water, human health and the environment. The proposed alternative shall be agreed upon
by the surface owner. The operator shall submit the proposed alternative, with written documentation that the surface owner agrees to the
alternative, to the division for approval.
H. Soil cover designs.
(1) The soil cover for closures where the operator has removed the pit contents or remediated the contaminated soil to the division’s
satisfaction shall consist of the background thickness of topsoil or one foot of suitable material to establish vegetation at the site, whichever is
greater.
(2) The soil cover for burial-in-place or trench burial shall consist of a minimum of four feet of compacted, non-waste containing,
earthen material. The soil cover shall include either the background thickness of topsoil or one foot of suitable material to establish vegetation at
the site, whichever is greater.
(3) The operator shall construct the soil cover to the site’s existing grade and prevent ponding of water and erosion of the cover
material.
I. Re-vegetation.
(1) The first growing season after the operator closes a pit or trench or is no longer using a drying pad, below-grade tank or an area
associated with a closed-loop system, pit or below-grade tank including access roads, the operator shall seed or plant the disturbed areas.
(2) The operator shall accomplish seeding by drilling on the contour whenever practical or by other division-approved methods. The
operator shall obtain vegetative cover that equals 70% of the native perennial vegetative cover (un-impacted by overgrazing, fire or other intrusion
damaging to native vegetation) consisting of at least three native plant species, including at least one grass, but not including noxious weeds, and
maintain that cover through two successive growing seasons. During the two growing seasons that prove viability, there shall be no artificial
irrigation of the vegetation.
(3) The operator shall repeat seeding or planting until it successfully achieves the required vegetative cover.
(4) When conditions are not favorable for the establishment of vegetation, such as periods of drought, the division may allow the
operator to delay seeding or planting until soil moisture conditions become favorable or may require the operator to use additional cultural
19.15.17.15 EXCEPTIONS:
A. General exceptions.
(1) The operator may apply to the environmental bureau in the division’s Santa Fe office for an exception to a requirement or
provision of 19.15.17 NMAC other than the permit requirements of 19.15.17.8 NMAC; the exception requirements of 19.15.17.15 NMAC; or the
permit approval, condition, denial, revocation, suspension, modification or transfer requirements of 19.15.17.16 NMAC. The environmental
bureau in the division’s Santa Fe office may grant an exception from a requirement or provision of 19.15.17 NMAC, if the operator demonstrates
to the satisfaction of the environmental bureau in the division’s Santa Fe office that the granting of the exception provides equivalent or better
protection of fresh water, public health and the environment. The environmental bureau in the division’s Santa Fe office may revoke an exception
after notice to the operator of the pit, closed-loop system, below-grade tank or proposed alternative and to the surface owner, and opportunity for a
hearing, or without notice and hearing in event of an emergency involving imminent danger to fresh water, public health or the environment,
subject to the provisions of NMSA 1978, Section 70-2-23, if the environmental bureau in the division’s Santa Fe office determines that such action
is necessary to prevent the contamination of fresh water, or to protect public health or the environment.
(2) The operator shall give written notice by certified mail, return receipt requested, to the surface owner of record where the pit,
closed-loop system, below-grade tank or proposed alternative is, or will be, located; to surface owners of record within one-half mile of such
location; to the county commission of the county where the pit, closed-loop system, below-grade tank or proposed alternative is, or will be,
located; to the appropriate city officials if the pit, closed-loop system, below-grade tank or proposed alternative is, or will be, located within city
limits, within one-half mile of the city limits or within the city’s zoning and planning jurisdiction; to affected federal or tribal or pueblo
governmental agencies; and to such other persons as the environmental bureau in the division’s Santa Fe office may direct. Additionally, the
operator shall issue public notice by publication one time in a newspaper of general circulation in the county where the pit, closed-loop system,
below-grade tank or proposed alternative, is, or will be located. Required written and public notices require the environmental bureau in the
division’s Santa Fe office’s approval. The division shall distribute notice of the application to persons who have requested notification and shall
post notice of the application on the division’s website.
(3) Any person wishing to comment on an application for an exception may file comments or request a hearing within 30 days after
the later of the date when the applicant mails the notice required by Paragraph (2) of Subsection A of 19.15.17.15 NMAC or when the division
distributes or posts the notice provided in Paragraph (2) of Subsection A of 19.15.17.15 NMAC. In a request for hearing, the person shall set forth
the reasons why the division should hold a hearing.
(4) The environmental bureau in the division’s Santa Fe office may grant the exception administratively if the environmental bureau
in the division’s Santa Fe office receives no comments or requests for hearing within the time for commenting established in Paragraph (3) of
Subsection A of 19.15.17.15 NMAC. If the environmental bureau in the division’s Santa Fe office receives a request for hearing and the director
determines that the request presents issues that have technical merit or that there is significant public interest then the director may set the
application for hearing. The director, however, may set any application for hearing. If the environmental bureau in the division’s Santa Fe office
schedules a hearing on an application, the hearing shall be conducted according to the procedures in 19.15.4 NMAC.
(5) If the director does not determine that a hearing is necessary due to technical merit, significant public interest or otherwise then
the environmental bureau in the division’s Santa Fe office may grant the exception without a hearing notwithstanding the filing of a request for
hearing. If, however, the environmental bureau in the division’s Santa Fe office determines to deny the exception, then it shall notify the operator
of its determination by certified mail, return receipt requested, and if the operator requests a hearing within 10 days after receipt of such notice shall
set the matter for hearing, with notice to the operator and to any party who has filed a comment or requested a hearing.
B. Alternative closure methods. The operator of a temporary pit or a closed-loop system may apply to the environmental bureau in
the division’s Santa Fe office for an exception to the closure methods specified in Paragraphs (1) and (2) of Subsection B of 19.15.17.13 NMAC or
Paragraphs (1) and (2) of Subsection D of 19.15.17.13 NMAC. The environmental bureau in the division’s Santa Fe office may grant the proposed
exception if all of the following requirements are met.
(1) The operator demonstrates that the proposed alternative method protects fresh water, public health and the environment.
(2) The operator shall remove liquids prior to implementing a closure method and dispose of the liquids in a division-approved
facility or recycle or reuse the liquids in a manner that the environmental bureau in the division’s Santa Fe office approves.
(3) The operator demonstrates to the satisfaction of the environmental bureau in the division’s Santa Fe office that any proposed
alternative closure method will implement one or more of the following practices: waste minimization; treatment using best demonstrated available
technology; reclamation; reuse; recycling; or reduction in available contaminant concentration; and subject to such conditions as the environmental
bureau in the division’s Santa Fe office deems necessary in order to protect fresh water, public health and the environment.
(4) The provisions of Subsection A of 19.15.17.15 NMAC shall apply to applications for exceptions pursuant to Subsection B of
19.15.17.15 NMAC.
[19.15.17.15 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08; A, 12/1/08]
constitute approval of the transfer of the permit for the pit, below-grade tank or closed-loop system. The operator of a below-grade tank
constructed and installed prior to June 16, 2008 shall close the existing below-grade tank pursuant to the closure requirements of 19.15.17.13
NMAC or complete the retrofit of the existing below-grade tank to comply with the Paragraphs (1) through (4) of Subsection I of 19.15.17.11
NMAC prior to any sale or change of operator pursuant to 19.15.9.9 NMAC. In all other cases, the operator and the transferee shall apply for
approval to transfer the permit to the division office to which permit applications for the type of facility involved are directed.
G. Division approvals. The division shall grant or confirm any division approval authorized by a provision of 19.15.17 NMAC by
written statement. Written statements include e-mail.
H. If the division schedules a hearing on an application, the hearing shall be conducted according to 19.15.14.1206 through
19.15.14.1215 NMAC.
[19.15.17.16 NMAC - Rn, 19.15.2.50 NMAC & A, 6/16/08; A, 7/16/09]
NMAC History:
That portion of 19.15.2 NMAC (19.15.2.50 NMAC) was renumbered, amended and replaced by 19.15.17 NMAC, Pits, Closed-Loop Systems,
Below-Grade Tanks and Sumps, effective 6/16/2008.
19.15.18.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.18.1 NMAC - N, 12/1/08]
19.15.18.2 SCOPE: 19.15.18 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.18.2 NMAC - N, 12/1/08]
19.15.18.3 STATUTORY AUTHORITY: 19.15.18 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.18.3 NMAC - N, 12/1/08]
19.15.18.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.18.5 NMAC - N, 12/1/08]
19.15.18.6 OBJECTIVE: To regulate the production of oil and gas wells within the state in order to prevent waste, protect correlative
rights and protect public health and the environment.
[19.15.18.6 NMAC - N, 12/1/08]
19.15.18.7 DEFINITIONS: “Drip” means a liquid hydrocarbon incidentally accumulating in a gas gathering or transportation system.
[19.15.2.7 NMAC - Rp, Subsection A of 19.15.5.314 NMAC, 12/1/08]
K. During the productivity test, an operator shall not produce a well at a rate exceeding the top proration unit allowable for the pool
in which it is located by more than 25 percent.
[19.15.18.8 NMAC - Rp, 19.15.5.301 NMAC, 12/1/08]
19.15.18.9 BOTTOM HOLE PRESSURE TESTS: The operator shall make a bottom hole pressure test on the discovery well of a new
pool and shall report the results of the test to the division within 30 days after the discovery well’s completion. On or before December 1 of each
calendar year the division shall designate the months in which operators shall take bottom hole pressure tests in designated pools. The division
shall include in the designated list the required shut-in pressure time and datum of tests to be taken in each pool. In the event a newly discovered
pool is not included in the division’s list, the division shall issue a supplementary bottom hole pressure schedule. Tests the division designates
shall only apply to flowing wells in each pool. A person qualified by both training and experience to make such test shall make the test with an
approved bottom hole pressure instrument that is calibrated against an approved dead-weight tester at intervals frequent enough to ensure its
accuracy within one percent. Unless the division otherwise designates, all wells shall remain completely shut in for at least 24 hours prior to the
test. In the event the division does not establish a definite datum the operator shall obtain the bottom hole determination as close as possible to the
mid-point of the reservoir’s productive sand. The operator shall report the test results to the division on form C-124, which shall contain the
information required by Subsection B of 19.15.7.32 NMAC.
[19.15.18.9 NMAC - Rp, 19.15.5.302 NMAC, 12/1/08]
19.15.18.10 CONTROL OF MULTIPLE COMPLETED WELLS: The operator shall at all times operate, produce and maintain multiple
completed wells that the division has authorized in a manner to ensure the complete segregation of the various common sources of supply. The
division may require the operator take tests the division deems necessary to determine the effectiveness of segregation of the different common
sources of supply.
[19.15.18.10 NMAC - Rp, 19.15.5.304 NMAC, 12/1/08]
19.15.18.11 METERED CASINGHEAD GAS: The owner of a lease is not required to measure the exact amount of casinghead gas the
owner produces and uses for fuel purposes in the lease’s development and normal operation. The owner of the lease shall meter and report
casinghead gas produced and sold or transported away from a lease, except small amounts of flare gas, in cubic feet monthly to the division. The
owner of the lease may calculate the amount of casinghead gas sold in small quantities for use in the field upon a basis generally acceptable in the
industry, or upon a basis approved by the division in lieu of meter measurements.
[19.15.18.11 NMAC - Rp, 19.15.5.305 NMAC, 12/1/08]
B. A gathering system operator may use vacuum pumps, gathering system compressors or other devices to operate a gathering
system at below atmospheric pressure, or may accept gas originating from a well operated at below atmospheric pressure or that has been carried
by an upstream gathering system operated at below atmospheric pressure, only if that operator has executed a written agreement with the operator
of the downstream gathering system or pipeline to which the gathering system is immediately connected allowing delivery of gas from a well or
gathering system that has been operated at below atmospheric pressure into the downstream gathering system or pipeline.
[19.15.18.13 NMAC - Rp, 19.15.5.307 NMAC, 12/1/08]
19.15.18.14 SALT OR SULPHUR WATER: An operator shall report monthly on form C-115 the amount of water produced with the oil
and gas from each well.
[19.15.18.14 NMAC - Rp, 19.15.5.308 NMAC, 12/1/08]
the distance between the opening and closing levels and the provision for determining the opening and closing readings shall be sufficient to detect
variations of 5/100 of one percent. The operator of the ACT system shall file reports of determination on the division form entitled “meter test
report” or on another acceptable form in duplicate with the appropriate division district office.
(13) To obtain an exception to the requirement in Paragraph (12) of Subsection C of 19.15.18.15 NMAC that all measuring and
recording devices be checked for accuracy once each month, either the producer or transporter may file a request with the director setting forth
facts pertinent to the exception. The application shall include a history of the average factors previously obtained, both tabulated and plotted on a
graph of factors versus time, showing that the particular installation has experienced no erratic drift. The applicant shall also furnish evidence that
the other interested party has agreed to the exception. The director may then set the frequency for determination of the system’s accuracy at the
interval which the director deems prudent.
D. The division may revoke its approval of an ACT system’s form C-106 if the system’s operator fails to operate it in compliance
with 19.15.18.15 NMAC.
[19.15.18.15 NMAC - Rp, 19.15.5.309 NMAC, 12/1/08]
19.15.18.18 EMULSION, BASIC SEDIMENTS AND TANK BOTTOMS: The operator shall operate wells producing oil in a manner that
reduces as much as practicable the formation of emulsion and basic sediments. No person shall allow these substances and tank bottoms to pollute
fresh waters or cause surface damage.
[19.15.18.18 NMAC - Rp, 19.15.5.313 NMAC, 12/1/08]
History of Repealed Material: 19.15.5 NMAC, Oil Production Operating Practices (filed 04/27/2000) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.5 NMAC, Oil Production Operating Practices Sections 301, 302, 304 - 311, 313 & 314) (filed 04/27/2000) were
replaced by 19.15.18 NMAC, Production Operating Practices, effective 12/1/08.
19.15.19.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.19.1 NMAC - Rp, 19.15.6.1 NMAC, 12/1/08]
19.15.19.2 SCOPE: 19.15.19 NMAC applies to persons engaged in gas development and production within New Mexico.
[19.15.19.2 NMAC - Rp, 19.15.6.2 NMAC, 12/1/08]
19.15.19.3 STATUTORY AUTHORITY: 19.15.19 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.19.3 NMAC - Rp, 19.15.6.3 NMAC, 12/1/08]
19.15.19.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.19.5 NMAC - Rp, 19.15.6.5 NMAC, 12/1/08]
19.15.19.6 OBJECTIVE: To regulate the gas production within the state in order to prevent waste, protect correlative rights and protect
public health and the environment.
[19.15.19.6 NMAC - Rp, 19.15.6.6 NMAC, 12/1/08]
19.15.19.10 GAS UTILIZATION: After the completion of a gas well, the operator shall not permit gas from the well to escape to the air,
use the gas expansively in engines or pumps and then vent or use the gas to gas-lift wells unless all gas produced is processed in a gasoline plant
or beneficially used thereafter without waste.
[19.15.19.10 NMAC - Rp, 19.15.6.404 NMAC, 12/1/08]
19.15.19.11 STORAGE GAS: With the exception of the requirement to meter and report monthly the amount of gas injected and the amount
of gas withdrawn from storage, in the absence of waste 19.15.19 NMAC shall not apply to gas being injected into or removed from storage. (See
19.15.7.40 NMAC)
[19.15.19.11 NMAC - Rp, 19.15.6.405 NMAC, 12/1/08]
19.15.19.12 CARBON DIOXIDE: The rules relating to gas, gas wells and gas reservoirs including those provisions relating to well
locations, acreage dedication requirements, casing and cementing requirements and measuring and reporting of production also apply to carbon
dioxide gas, carbon dioxide wells and carbon dioxide reservoirs.
[19.15.19.12 NMAC - Rp, 19.15.6.406 NMAC, 12/1/08]
19.15.19.13 DISCONNECTION OF GAS WELLS: The operator shall report gas wells that are disconnected from intrastate gas
transportation facilities to the division within 30 days of the date of disconnection. The operator shall file the notice on form C-130 in compliance
with 19.15.7.39 NMAC.
[19.15.19.13 NMAC - Rp, 19.15.6.407 NMAC, 12/1/08]
History of Repealed Material: 19.15.6 NMAC, Natural Gas Production Operating Practice (filed 11/29/2001) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.6 NMAC, Natural Gas Production Operating Practice (Sections 401, and 403 - 407) (filed 11/29/2001) were
replaced by 19.15.19 NMAC, Natural Gas Production Operating Practice, effective 12/1/08.
19.15.20.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.20.1 NMAC - Rp, 19.15.7.1 NMAC, 12/1/08]
19.15.20.2 SCOPE: 19.15.20 NMAC applies to persons engaged in oil development and production within New Mexico.
[19.15.20.2 NMAC - Rp, 19.15.7.2 NMAC, 12/1/08]
19.15.20.3 STATUTORY AUTHORITY: 19.15.20 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-12, Section 70-2-16 and Section 70-2-17.
[19.15.20.3 NMAC - Rp, 19.15.7.3 NMAC, 12/1/08]
19.15.20.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.20.5 NMAC - Rp, 19.15.7.5 NMAC, 12/1/08]
19.15.20.6 OBJECTIVE: To establish requirements implementing the division’s statutory authority to prorate and allocate oil production.
[19.15.20.6 NMAC - Rp, 19.15.7.6 NMAC, 12/1/08]
19.15.20.7 DEFINITIONS:
A. “Date of completion” means the date when new oil is delivered into the stock tanks.
B. “Marginal unit” means a proration unit that is incapable of producing the top proration unit allowable for the pool in which it is
located as evidenced by well tests, production history or other report or form the operator files with the division.
C. “Non-marginal unit” means a proration unit that is incapable of producing top proration unit allowable for the pool in which it is
located and to which the division has assigned a top proration unit allowable.
D. “Recovered load oil” means oil or liquid hydrocarbon that has been used in an operation in an oil or gas well, and that has been
recovered as a merchantable product.
[19.15.20.7 NMAC - Rp, 19.15.7.7 NMAC, Subsection D of 19.15.7.503 NMAC and Subsection B of 19.15.7.508 NMAC, 12/1/08]
adjust or balance permissive tolerance of overproduction from a unit by subsequent corresponding underproduction from the same unit. The
division shall consider overproduction within the permitted tolerance as oil produced against the allowable production assigned to the unit for the
proration period during which the overproduction is adjusted or balanced by underproduction.
C. Production in excess of monthly allowable, plus tolerance.
(1) Oil produced from a unit in excess of the assigned monthly allowable plus the permissive proration period tolerance shall be
“illegal oil” as defined in the Oil and Gas Act, unless the excess oil:
(a) is produced as a result of mistake or error;
(b) results from mechanical failure beyond the operator’s immediate control; or
(c) results from essential tests of the unit within the purview of division rules.
(2) Whenever production from a unit for a proration period exceeds the assigned allowable, plus the permitted tolerance authorized in
Subsection B of 19.15.20.9 NMAC and the cause of the excess reasonably falls within Subparagraphs (a), (b) or (c) of Paragraph (1) of Subsection
C of 19.15.20.9 NMAC, the producer or operator shall briefly set forth the excess production’s cause together with a proposed plan for production
adjustment in the comments area of form C-115 for the month in which the excess production occurs. The excess production shall be considered
as oil produced against the allowable assigned to the unit for the following proration period, and it may be transported from the lease tanks only as
and when the unit accrues daily allowable to offset the excess production.
D. General.
(1) The tolerance permitted on a daily or monthly basis as provided in Subsections A and B of 19.15.20.9 NMAC does not increase a
producing unit’s allowable or grant an operator authority to market or a transporter authority to transport any quantity of oil in excess of the unit's
allowable.
(2) The possession of a quantity of oil in lease storage at the end of a proration period in excess of five days allowable plus any rerun
allowable oil is a violation of 19.15.20.9 NMAC, unless the operator reports the possession in the manner and within the time provided in
Subsection C of 19.15.20.9 NMAC for filing form C-115.
E. Storage records. Producers and transporters of oil shall maintain adequate records showing unrun allowable oil in storage at the
end of each proration period. The storage oil shall be the amount of oil in tanks from which oil is measured and delivered to the transporter.
[19.15.20.9 NMAC - Rp, 19.15.7.502 NMAC, 12/1/08]
underproduction resulting from the pipeline proration included in subsequent proration schedules. The operator shall apply upon a division-
prescribed form and file it with the division within 30 days after the close of the first proration period in which the pipeline proration
underproduction occurred. The authorization is limited to wells capable of producing the daily top proration unit allowable for the period.
L. In approving the application the division shall determine the time period during which the underproduction shall be made up
without injury to the well or pool, and shall include the time period in the regularly approved proration schedules following the pipeline proration’s
conclusion.
[19.15.20.10 NMAC - Rp, 19.15.7.503 NMAC, 12/1/08]
19.15.20.11 AUTHORIZATION FOR PRODUCTION OF OIL WHILE COMPLETING, RECOMPLETING OR TESTING AN OIL
WELL:
A. If an operator does not have sufficient lease storage to hold oil produced from a well during its drilling, completing,
recompleting or testing, the operator may produce and sell from the well an amount of oil necessary to drill, complete, recomplete or test the well;
provided however, that the operator shall file with the division a written application stating the circumstances at the well and setting forth in the
application the estimated amount of oil to be produced during the aforementioned operations, and provided further that the division approves the
application. Oil produced during drilling, completion or recompletion or testing a well shall be charged against the well’s allowable production.
B. The division shall not place a well on the proration schedule until the operator files with the division and the division approves
the form C-104.
[19.15.20.11 NMAC - Rp, 19.15.7.504 NMAC, 12/1/08]
division has not set a gas-oil ratio limit for a particular oil pool, the limiting gas-oil ratio shall be 2000 cubic feet of gas for each barrel of oil
produced. In allocated oil pools the division shall place all producing wells, whether oil or casinghead gas, on the oil proration schedule.
B. Unless specifically exempted by division order issued after hearing, the division shall place a gas-oil ratio limitation on all
allocated oil pools, and penalize all proration units having a gas-oil ratio exceeding the pool’s limit in accordance with the following procedure.
(1) A proration unit that, on the basis of the latest official gas-oil ratio test, has a gas-oil ratio that exceeds the limiting gas-oil ratio
and has the capacity to produce above the top casinghead gas volume calculated by Subsection A of 19.15.20.13 NMAC for the pool in which it is
located may produce daily that number of barrels of oil that the division determines by multiplying the current top proration unit allowable by a
fraction, the numerator of which shall be the limiting gas-oil ratio for the pool and the denominator of which shall be the well’s official test gas-oil
ratio, and the proration unit shall be designated non-marginal.
(2) A unit containing a well or wells producing from a reservoir that contains both oil and gas shall produce only that volume of gas
equivalent to the applicable limiting gas-oil ratio multiplied by the top proration unit allowable currently assigned to the pool.
(3) A marginal unit may produce the same volume of gas that it would be permitted to produce if it were a non-marginal unit.
C. The division shall indicate non-marginal proration units to which gas-oil ratio adjustments are applied in the proration schedule
with adjusted allowables stated.
D. In cases of new pools, the limit shall be 2000 cubic feet per barrel until such time as changed by division order issued after a
hearing. Upon petition and after notice and hearing according to law, the division shall determine or redetermine the specific gas-oil ratio limit that
is applicable to a particular allocated oil pool.
[19.15.20.13 NMAC - Rp, 19.15.7.506 NMAC, 12/1/08]
19.15.20.14 UNITIZED AREAS: After petition and notice and hearing, the division may approve the combining of contiguous developed
proration units into a unitized area.
[19.15.20.14 NMAC - Rp, 19.15.7.507 NMAC, 12/1/08]
nomenclature case. If the staff disagrees with the applicant’s contention that a new pool has been discovered or if within 10 days after receiving a
copy of the application another operator files with the division an objection to the creation of a new pool and the assignment of a discovery
allowable, the division shall notify the applicant. The applicant will be expected to present the evidence supporting the applicant’s case. Or, if the
applicant so desires, the division may set the application for separate hearing on other than the nomenclature docket for presentation of evidence by
the applicant.
E. The effective date of a well’s discovery allowable is 7:00 a.m. on the first day of the month next succeeding the month in which
the division approves the discovery.
F. The total discovery allowable attributable to each zone in the well shall be produced over a two-year period commencing with
the time of authorization. The well’s daily allowable for each pool receiving the discovery allowable shall not exceed the daily top proration unit
allowable for the pool plus the total pool discovery allowable divided by 730 days (731 days if a leap year is included).
G. A discovery well may produce only that volume of gas equivalent to the applicable limiting gas-oil ratio for the pool multiplied
by the top proration unit allowable for the pool plus the daily oil discovery allowable. In addition to all other statewide rules not specifically
excepted in 19.15.20.16 NMAC, the provisions of 19.15.20.9 NMAC relating to daily tolerance, monthly tolerance and underproduction and
overproduction shall apply to oil discovery allowables as well as to regular allowables for discovery wells.
H. Nothing contained in 19.15.20.16 NMAC prohibits the division from curtailing the discovery allowables of wells during times of
depressed market demand. However, the division shall reinstate such discovery allowables for production at the earliest possible date. Further,
when it appears reservoir damage or waste may result from production of the oil discovery allowable within the normal two-year period, the
division may, after notice and hearing, extend the period.
[19.15.20.16 NMAC - Rp, 19.15.7.509 NMAC, 12/1/08]
History of Repealed Material: 19.15.7 NMAC, Oil Proration and Allocation (filed 05/21/2002) repealed 12/1/08.
NMAC History:
19.15.7 NMAC, Oil Proration and Allocation, (filed 05/21/2002) was replaced by 19.15.20 NMAC, Oil Proration and Allocation, effective
12/1/08.
19.15.21.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.21.1 NMAC - Rp, 19.15.8.1 NMAC, 12/1/08]
19.15.21.2 SCOPE: 19.15.21 NMAC applies to persons engaged in gas development and production within New Mexico.
[19.15.21.2 NMAC - Rp, 19.15.8.2 NMAC, 12/1/08]
19.15.21.3 STATUTORY AUTHORITY: 19.15.21 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-12, Section 70-2-16 and Section 70-2-17.
[19.15.21.3 NMAC - Rp, 19.15.8.3 NMAC, 12/1/08]
19.15.21.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.21.5 NMAC - Rp, 19.15.8.5 NMAC, 12/1/08]
19.15.21.6 OBJECTIVE: To establish requirements implementing the division’s statutory authority to prorate and allocate gas production
to prevent waste and protect correlative rights.
[19.15.21.6 NMAC - Rp, 19.15.8.6 NMAC, 12/1/08]
19.15.21.7 DEFINITIONS:
A. “Acreage factor” means a GPU’s acreage factor determined to the nearest hundredth of a unit by dividing the acreage assigned
to the GPU by a number equal to the number of acres in a standard GPU for the pool. However, the acreage tolerance provided in Subparagraph
(b) of Paragraph (1) of Subsection A of 19.15.8.21.12 NMAC shall apply.
B. “AD factor” means an acreage multiplied by the deliverability factor is calculated in pools in which acreage and deliverability
are proration factors. The product obtained by multiplying the acreage factor by the calculated deliverability (expressed as MCF per day) for that
GPU is known as the AD factor for that GPU. The AD factor is computed to the nearest whole unit.
C. “Allocation hearing” means a hearing the division holds twice each year to determine pool allocations for the ensuing allocation
period.
D. “Allocation period” means a six-month period beginning at 7:00 a.m. April 1 and October 1 of each year.
E. “Balancing date” means the date beginning at 7:00 a.m. April 1 of each year; the 12 months following this date is the gas
proration period.
F. “Broker” means a third party who negotiates contracts for purchase and resale.
G. “Classification period” means a three month period beginning at 7:00 a.m. on April 1, July 1, October 1 and January 1 of each
year.
H. “Deliverability pressure” means the designated delivery pressure at which pipeline companies can accept gas from gas wells
depending on the pipeline’s capacity.
I. “Gas pool” means a pool that the division has designated as a gas pool after notice and hearing.
J. “Gas proration unit (GPU)” means the acreage allocated to a well, or in the case of an infill well or wells to a group of wells, for
purposes of spacing and proration. A GPU may be either of a standard or nonstandard size as provided in 19.15.21 NMAC.
K. “Gas purchaser” means the purchaser (where the producer first exchanges ownership of the gas to the purchaser for an agreed
value) of the gas from a gas well or GPU.
L. “Gas transporter” means a taker of gas, the party servicing the well meter or the party responsible for measuring the gas sold
from the well or beneficially used off-lease. This could be at the wellhead, at any other point on the lease or at a division-authorized point where
connection is made for gas transportation or utilization (other than is necessary for maintaining the well’s producing ability). The gas transporter
can be the gatherer, transporter, producer or a delegate of one of those parties. The gas transporter shall be identified on form C-115 and shall be
responsible for creating and maintaining form C-111 as required under 19.15.7.21 NMAC’s provisions.
M. “Infill well” means an additional producing well on a GPU that serves as a companion well to an existing well on the GPU.
N. “Marginal GPU” means a proration unit that is incapable of producing or has not produced the non-marginal allowable based on
pool allocation factors. Marginal GPUs do not accrue over or underproduction.
O. “Non-marginal GPU” means a proration unit receiving an allowable based upon pool allocation factors. Non-marginal
proration units accrue over or underproduction.
P. “Overproduction” means the volume of gas produced on a GPU in a month greater than the assigned non-marginal allowable
(does not include gas used in maintaining the GPU’s wells’ producing ability). Overproduction accumulates month to month during the proration
period.
Q. “Prorated gas pool” means a gas pool in which, after notice and hearing, the division allocates production according to 19.15.21
19.15.21.8 ALLOCATION OF GAS PRODUCTION: When the division determines that allocation of gas production in a designated gas
pool is necessary to prevent waste the division, after notice and hearing, shall consider the nominations of purchasers from that gas pool and other
relevant data, fix the pool’s allowable production and allocate production among the gas wells in the pool delivering to a gas transportation facility
upon a reasonable basis and recognizing correlative rights. The division shall include in the pool’s proration schedule gas wells that the division
finds are being unreasonably discriminated against through denial of access to a gas transportation facility that is reasonably capable of handling
the type of gas the wells produce.
[19.15.21.8 NMAC - Rp, 19.15.8.601 NMAC, 12/1/08]
19.15.21.9 PRORATION PERIOD: The proration period shall be at least six months and the division shall make the pool allowable and
allocations of the pool allowable at least 30 days prior to each proration period.
[19.15.21.9 NMAC - Rp, 19.15.8.602 NMAC, 12/1/08]
19.15.21.10 ADJUSTMENT OF ALLOWABLES: When the actual market demand from an allocated gas pool during a proration period is
more than or less than the allowable the division set for the pool for the period, the division shall adjust the gas proration unit allowables for the
pool for the next proration period so that each gas proration unit has a reasonable opportunity to produce its fair share of the gas production from
the pool and so that correlative rights are protected.
[19.15.21.10 NMAC - Rp, 19.15.8.603 NMAC, 12/1/08]
19.15.21.11 GAS PRORATION UNITS: Before issuing a proration schedule for an allocated gas pool, the division after notice and hearing
shall fix the pool’s gas proration unit.
[19.15.21.11 NMAC - Rp, 19.15.8.604 NMAC, 12/1/08]
GPU that the operator may produce during each month of the ensuing allocation period, each GPUs’ current classification and other information as
is necessary to show the allowable production status of each GPU on the schedule. The division may issue supplemental proration schedules
during an allocation period as necessary to show changes in GPU classification, adjustments to allowables due to changes in market conditions or
to reflect other changes the division deems necessary.
(4) Proration of all gas wells within a pool. The division shall include in the proration schedule the gas wells, in the gas pools
19.15.21 NMAC regulates, delivering to a gas transporter, and shall include in the proration schedule wells that the division finds are being
unreasonably discriminated against through denial of access to a gas transportation facility, which are reasonably capable of handling the type of
gas the wells produce.
C. Allocation and granting of allowables.
(1) Filing of form C-102 and form C-104 required. The division shall not assign a GPU an allowable before receipt of form C-102
and the approval date of form C-104.
(2) How allowables are calculated. The total allowable to be allocated to each gas pool for each allocation period shall equal the
estimated market demand as the division determines, plus any adjustments the director deems necessary to equate the total pool allowable to the
estimated market demand. The director may make adjustments the director deems necessary to compensate for overproduction, underproduction
and other circumstances that may necessitate the adjustment to equate the pool allowable to the anticipated market demand. The director shall
establish estimated market demand for each pool from any information the director requires and can consist of nominations from purchasers,
transporters or other parties having knowledge of market demand for gas from the pools, actual past production figures, seasonal trends or any
other factors the director deems necessary to establish estimated market demand. The director is not required to use all the information requested
and can establish market demand by any method the director approves. The division shall assign a monthly allowable to each GPU entitled to an
allowable for the ensuing allocation period by allocating the pool allowable among all such GPUs in that pool according to the procedure set forth
in 19.15.21 NMAC. Should market conditions indicate a change is necessary, the director may adjust allowables up or down during the six-month
allocation period using a maximum of 10 percent as a guideline.
(3) Marginal GPU allowable. The monthly allowable the division assigns to each marginal GPU shall equal the marginal GPU’s
average monthly production from its latest classification period.
(4) Non-marginal GPU allowable. The division shall determine non-marginal GPU allowables in conformance with the applicable
special pool orders.
(a) In pools where acreage is the only proration factor, the division shall allocate the total non-marginal allowables to each
GPU in the proportion that each GPU acreage factor bears to the total acreage factor for all non-marginal GPUs.
(b) In pools where acreage and deliverability are proration factors:
(i) the division shall allocate a percentage as set forth in special pool orders of the non-marginal allowable to each GPU
in the proportion that each GPU’s AD factor bears to the total AD factor for all non-marginal GPU’s in the pool; and
(ii) the division shall allocate the remaining non-marginal allowable to non-marginal GPUs among each GPU in the
proportion that each GPU’s acreage factor bears to the total acreage factor for all non-marginal GPUs in the pool.
(5) New connects assignment of allowables. Allowables to newly completed gas wells shall commence, in pools where acreage is
the only proration factor, on the date of first delivery of gas to a gas transporter as demonstrated by an affidavit the transporter furnishes to the
appropriate division district office or the approval date of form C-102 and form C-104, whichever is later.
(6) Gas charged against GPU’s allowable. Except as provided in the special pool orders, the operator shall charge the volume of
produced gas sold or beneficially used other than lease fuel from each GPU against the GPU’s allowable; however, the operator shall not charge
the gas it uses in maintaining the well’s producing ability against the allowable.
(7) Change in acreage. If an operator requests to change the acreage assigned to a GPU, the operator shall file form C-102 with the
appropriate division district office. The revised allowable, as the division determines, assigned to the GPU shall be effective on the first day of the
month following the division’s receipt of the notification.
(8) Minimum allowables. After notice and hearing, the division may assign minimum allowables for prorated gas pools to avoid
waste, encourage efficient operations and to prevent wells’ premature abandonment. (See special pool orders for minimum allowable amount.) In
determining the volume of minimum allowable for a well with a standard proration unit, the division shall take into account economic and
engineering factors such as drilling and operating costs, anticipated revenues, taxes and any similar data that establish that the ultimate recovery of
hydrocarbons will increase from the pool because of the adoption of a minimum allowable for the pool. Once adopted, the division shall
proportionally adjust minimum allowable for wells with nonstandard proration units.
(9) Deliverability tests. In pools where acreage and deliverability are proration factors, an operator shall test wells on non-marginal
GPUs in accordance with division rules and the division shall use the test results in calculating deliverabilities for the succeeding proration period.
The operator shall test wells on GPUs reclassified to non-marginal within 90 days of the order and thereafter in accordance with the appropriate
testing schedule for the pool. Wells on marginal GPUs are exempt from deliverability testing.
D. Balancing of production.
(1) Underproduction. A non-marginal GPU that has an underproduced status as of the end of a gas proration period may carry the
underproduction forward in the next gas proration period and may produce the underproduction in addition to the allowable assigned during the
succeeding period. The division shall cancel an underproduction carried forward into a gas proration period and remaining unproduced at the end
of the gas proration period.
(2) Balancing underproduction. Production during any one month of a gas proration period greater than the allowable the division
assigned to a GPU for such a month shall be applied against the underproduction carried into such a period in determining the amount of allowable,
if any, to be canceled.
(3) Overproduction. A GPU that has an overproduced status as of the end of a gas proration period shall carry the overproduction
forward into the next gas proration period. The overproduction shall be made up by underproduction during the succeeding gas proration period.
The division shall shut-in a GPU that has not made up the overproduction carried into a gas proration period by the end of the period until the
overproduction is made up.
(a) Twelve-times overproduced, northwest. For the prorated gas pools of northwest New Mexico, if the division determines
that a GPU is overproduced in an amount exceeding 12 times its current year January allowable (or, in the case of a newly connected well, a
marginal well or a well recently reclassified as non-marginal, 12 times the January allowable assigned to a non-marginal GPU of similar acreage
and deliverability factors), it shall be shut in until its overproduction is less than 12 times its January allowable, as determined hereinabove.
(b) Six-times overproduced, southeast. For the prorated gas pools of southeast New Mexico, if the division determines that a
GPU is overproduced in an amount exceeding six times its current year January allowable (or, in the case of a newly connected well, a marginal
well or a well recently reclassified as non-marginal, six times the January allowable assigned to a non-marginal GPU of a similar acreage factor),
the division shall shut-in the GPU until its overproduction is less than six times its January allowable, as determined in Subsection C of 19.15.21
NMAC.
(4) Exception to shut in for overproduction. The director may permit a GPU that is subject to shut-in pursuant to Paragraph (3) of
Subsection D of 19.15.21.12 NMAC to produce up to 250 MCF of gas per month upon the operator’s proper showing to the director that complete
shut-in would cause undue hardship, provided however, the director may rescind permission for a GPU produced greater than the monthly rate the
director.
(5) Balancing overproduction. Allowable assigned to a GPU during a one month of a gas proration period greater than the
production for the same month shall be applied against the overproduction chargeable to the GPU in determining the overproduction that must be
made up pursuant to the provisions of Paragraph (3) of Subsection D of 19.15.21.12 NMAC above.
(6) Exception to balancing overproduction. The director may allow the operator to make up overproduction at a lesser rate than
permitted under Paragraph (3) of Subsection D of 19.15.21.12 NMAC upon the operator’s showing at public hearing that the lesser rate is
necessary to avoid material damage to the well.
(7) Hardship gas wells. If a GPU containing a hardship gas well is overproduced, the operator shall take the necessary steps to reduce
production in order to reduce the overproduction. An overproduction existing at the time of a well’s designation as a hardship gas well or accruing
to the GPU after the designation shall be carried forward until it is made up by underproduction. The division shall not permit a GPU containing a
hardship gas well, which GPU is overproduced, to produce at a rate higher than the minimum producing rate the division authorized.
(8) Moratorium on shut-ins. The director may grant a pool-wide moratorium of up to three months as to the shutting in of gas wells
in a pool during periods of high demand emergency upon the operator’s proper showing that the emergency exists, and that a significant number of
the wells in the pool are subject to shut-in pursuant to the provisions of Paragraph (3) of Subsection D of 19.15.21.12 NMAC. The director shall
not grant a moratorium beyond three months except after notice and hearing.
(9) The director may reinstate allowable to wells that suffered cancellation of allowable under Paragraph (1) of Subsection D of
19.15.21.12 NMAC or Paragraph (3) of Subsection E of 19.15.21.12 NMAC or loss of allowable due to reclassification of a well under Paragraph
(2) of Subsection E of 19.15.21.12 NMAC if the cancellation or loss of allowable was caused by non-access or limited access to the average
market demand in the pool rather than inability of the well to produce. Upon petition, with a showing of circumstances that prevented production
of the non-marginal allowable, and evidence that the well was capable of producing at allowable rates during the period for which reinstatement is
requested, the allowable may be reinstated in such amounts needed to avoid curtailment or shut-in of the well for excessive overproduction. The
division may approve the petition administratively or docket the petition for hearing within 30 days after receipt in the division’s Santa Fe office.
E. Classification of GPUs.
(1) Reclassification by the director. The director may reclassify a marginal or non-marginal GPU anytime the GPUs producing
ability justifies reclassification. The director may suspend the reclassification of GPUs on the director’s own initiative, or upon an affected interest
owner’s proper showing, if it appears that the suspension is necessary to permit underproduced GPUs, which would otherwise be reclassified, a
proper opportunity to make up the underproduction.
(2) Reclassification to marginal. The director may reclassify a non-marginal GPU as marginal in either of the following ways.
(a) After the production data is available for the last month of each classification period, the director may reclassify a GPU that
had an underproduced status at the beginning of the allocation period to marginal if its highest single month’s production during the classification
period is less than its average monthly allowable during the period. However, the operator of a GPU so classified, or other affected interest owner,
shall have 30 days after receipt of notification of marginal classification in which to submit satisfactory evidence to the division that the GPU is not
of marginal character and should not be so classified.
(b) The director may reclassify a GPU that is underproduced more than the overproduction limit as described in Paragraph (3)
of Subsection D of 19.15.21.12 NMAC as marginal.
(3) Cancellation of underproduction for marginal GPU. The division shall not permit a GPU that is classified as marginal to
accumulate underproduction, and shall cancel an underproduction accrued to a GPU before its classification as marginal.
(4) Reclassification to non-marginal. If, at the end of a classification period, a marginal GPU has produced more gas during the
proration period to that time than its shadow allowable for that same period, the division shall reclassify the GPU as a non-marginal GPU.
(5) Reinstatement of status. The division shall reinstate to a GPU reclassified to non-marginal under the provisions of Paragraph (4)
of Subsection E of 19.15.21.12 NMAC all underproduction that accrued or would have accrued as a non-marginal GPU from the current proration
period. The division may reinstate underproduction from the prior proration period after notice and hearing. Uncompensated-for overproduction
accruing to the GPU while marginal shall be chargeable upon reclassification to non-marginal.
F. Reporting of production - C-111 and C-115 reports. Transporters and operators shall create and maintain for division inspection
or file, as applicable, gas transportation and production reports pursuant to 19.15.7.21 NMAC and 19.15.7.24 NMAC provided that upon the
director’s approval as to the specific program to be used, a producer or transporter of gas may report metered production of gas on a chart-period
basis; provided the following provisions apply to each gas well:
(1) reports for a month shall include not less than 24 or more than 32 reported days;
(2) reported days may include as many as the last seven days of the previous month but no days of the succeeding month; and
(3) the total of the monthly reports for a year shall include not less than 360 or more than 368 reported days.
G. For purposes of Subsection F of 19.15.21.12 NMAC, the term “month” means “calendar month” for those reporting on a
calendar month basis, and means “reporting month” for those reporting on a chart-period basis according to the exception provided in Subsection
F of 19.15.21.12 NMAC.
[19.15.21.12 NMAC - Rp, 19.15.8.605 NMAC, 12/1/08]
19.15.21.13 TESTS AND TEST PROCEDURES FOR PRORATED POOLS IN NORTHWEST NEW MEXICO:
A. Type of tests required for wells completed in prorated gas pools.
(1) Reclassified GPUs. An operator of a well on a GPU that the director has reclassified as non-marginal shall conduct deliverability
tests on that well within 90 days of the order reclassifying it, unless there are current tests on file with the division or that order requires a new test.
A current test is a test that was conducted during the last test period for that pool or later.
(2) Non-marginal GPUs. Operators shall conduct deliverability tests on wells on non-marginal GPUs every five years. If the
division determines that a well’s test data and production data warrant more frequent testing of the well, the division may set up special testing
schedules for that well.
(3) Scheduling of tests.
(a) Notification of pools to be tested. By September 1 of each year the division’s Aztec district office shall notify operators of
non-marginal GPUs if their wells will be tested during the following test period.
(b) The operators shall file the results of all deliverability tests required with the Aztec district office within 90 days following
the completion of each test. Provided however, that a test completed between December 31 of the test year and March 10 of the following year is
due no later than March 31. The division shall not grant an extension of time for filing tests beyond March 31 except after notice and hearing.
(c) The operator’s failure to file a test within the above-prescribed times subjects the GPU to the loss of one day’s allowable
for each day the test is late.
(d) A well scheduled for testing during its test year may have the conditioning period, test flow period and part of the seven-
day shut-in period conducted in December of the previous year provided that, if the seven-day shut-in period immediately follows the test flow
period, the operator shall measure the seven-day shut-in pressure in January of the test year. The earliest date that a well can be scheduled for a
deliverability test is such that the test flow period would end on December 25 of the previous year.
(e) Downhole commingled wells are to be scheduled for tests on dates for the pool of the well’s lowermost prorated completion.
(f) In the event the division shuts-in a well for overproduction, the operator may produce the well for a period of time to secure
a test after written notification to the division. The operator shall use gas produced during this testing period in determining the well’s over/under
produced status.
(g) An operator may schedule a well for a deliverability retest upon notification to the Aztec district office at least 10 days
before the operator will commence the test. The retest shall be for substantial reason and is subject to the division’s approval. The operator shall
conduct a retest in conformance with the deliverability test procedures of 19.15.21.13 NMAC. The division may require the retesting of a well by
notification to the operator to schedule the retest. The operator shall identify these tests, as filed on form C-122-A, as “RETEST” in the remarks
column.
(4) Witnessing of tests. Any or all of the following may witness a deliverability test: a division representative, an offset operator, a
representative of the gas transportation facility connected to the well under test or a representative of the gas transportation facility taking gas from
an offset operator.
B. Procedure for testing.
(1) The test shall begin by producing a well in the normal operating manner into the pipeline through either the casing or tubing, but
not both, for a period of 14 consecutive days. This is known as the conditioning period. The operator shall not change the production valve and
choke settings during either the conditioning or flow periods, except during the first 10 days of the conditioning period when maximum production
would over-range the meter chart or location production equipment. The first 10 days of the conditioning period shall not have more than 48 hours
of cumulative interruptions of flow. The 11th to 14th days, inclusive of the conditioning period, shall have no interruptions of flow. An
interruption of flow that occurs as the well’s normal operation as stop-cock flow, intermittent flow or well blow down shall not be counted as shut-
in time in either the conditioning or flow period.
(2) The operator shall determine daily flowing rate from an average of seven or eight consecutive producing days, following a
minimum conditioning period of 14 consecutive days of production. This is known as the flow period.
(3) The operator shall measure instantaneous pressure by a deadweight gauge or other division-approved method during the seven-
day or eight-day flow period at the casinghead, tubinghead and orifice meter, and record it along with instantaneous meter-chart static pressure
reading.
(4) If a well is producing through a compressor that is located between the wellhead and the meter run, the operator shall report the
meter run pressure and the wellhead casing pressure and the wellhead tubing pressure on form C-122-A. Neither the suction pressure nor the
discharge pressure of the compressor is considered wellhead pressure. The operator shall enter a note in the remarks portion on form C-122-A
stating: “This well produced through a compressor”.
(5) When it is necessary to restrict the flow of gas between the wellhead and the orifice meter, the operator shall determine the ratio
of the downstream pressure, psi absolute, to the upstream pressure, psi absolute. When this ratio is 0.57 or less, the operator shall consider critical
flow conditions to exist across the restriction.
(6) When more than one restriction between the wellhead and the orifice meter causes the pressures to reflect critical flow between
the wellhead and the orifice meter, the operator shall measure the pressures across each of these restrictions to determine whether critical flow
exists at any restriction. When critical flow does not exist at any restriction, the operator shall report the pressures taken to disprove the critical
flow to the division on form C-122-A in item (n) of the form. When critical flow conditions exist, the operator shall measure the instantaneous
flowing pressures required in Paragraph (3) of Subsection B of 19.15.21.13 NMAC during the last 48 hours of the seven-day or eight-day flow
period.
(7) When critical flow exists between the wellhead and the orifice meter, the operator shall use the measured wellhead flowing
pressure of the string through which the well flowed during the test as P t when calculating the static wellhead working pressure (P w) using the
method established in Paragraph (9) of Subsection B of 19.15.21.13 NMAC
(8) When critical flow does not exist at any restriction, P t shall be the corrected average static pressure from the meter chart plus
friction loss from the wellhead to the orifice meter.
(9) The operator shall calculate the static wellhead working pressure (P w) of a well under test seven-day or eight-day average static
tubing pressure if the well is flowing through the casing; it shall be the calculated seven-day or eight-day average static casing pressure if the well
is flowing through the tubing. The operator shall calculate the static wellhead working pressure (P w) by applying the tables and procedures set out
in the Gas Well Testing Manual for Northwest New Mexico available from the division.
(10) To obtain the shut-in pressure of a well under test, the operator shall shut-in the well some time during the current testing season
for a period of seven to 14 consecutive days, which have been preceded by a minimum of seven days of uninterrupted production. The operator
shall measure the shut-in pressure on the seventh to 14th day of shut-in of the well with a deadweight gauge or other division-approved method.
The operator shall measure the seven-day shut-in pressure on both the tubing and the casing when communication exists between the two strings.
The operator shall use the higher of such pressures as P c in the deliverability calculation. When the division determines a shut-in pressure to be
abnormally low or the well can not be shut-in due to “HARDSHIP” classification, the operator shall determine the shut-in pressure to be used as
P c by one of the following methods:
(a) a division-designated value;
(b) an average shut-in pressure of all offset wells completed in the same zone; offset wells include the four side and four corner
wells, if available; or
(c) a calculated surface pressure based on a calculated bottom hole pressure; the operator shall make the calculations in
accordance with the examples in the “Gas Well Testing Manual for Northwest New Mexico”.
(11) The operator shall take all wellhead pressures, as well as the flowing meter pressure tests that are to be taken during the seven-
day or eight-day deliverability test period in Subsection B of 19.15.21.13 NMAC, with a deadweight gauge or other division-approved method.
The operator shall record and maintain the pressure readings and the date and time according to the chart in the operator’s records with the test
information.
(12) The operator shall change and arrange orifice meter charts to reflect upon a single chart the flow data for the gas from each well
for the full seven-day or eight-day deliverability test period; however, the division shall not void a test if the operator satisfactorily explains the
necessity for using test volumes through two chart periods. The operator shall make corrections for pressure base, measured flowing temperature,
specific gravity and supercompressibility, provided however, if the specific gravity of the gas from a well under test is not available, the operator
may assume an estimated specific gravity for the well, based upon that of gas from nearby wells, the specific gravity of which has been actually
determined by measurement.
(13) The purchasing company that integrates the flow charts shall determine the average flowing meter pressure for the seven-day or
eight-day flow period and the corrected integrated volume and furnish them to the operator or testing agency.
(14) The operator shall calculate the seven-day or eight-day flow period volume from the integrated readings as determined from the
flow period orifice meter chart. The operator shall divide volume calculated by the number of testing days on the chart to determine the average
daily rate of flow during the flow period. The flow period shall have a minimum of seven and a maximum of eight legibly recorded flowing days
to be acceptable for test purposes. The operator shall correct the volume used in this calculation to the division’s standard conditions of 15.025 psi
absolute pressure base, 60 degrees fahrenheit temperature base and 0.60 specific gravity base.
(15) The operator shall calculate the daily volume of flow, as determined from the flow period chart readings, by applying the basic
orifice meter formula or other acceptable industry standard practices.
Q = C' (hwP f). 5
Where:
Q = metered volume of flow MCFD @ 15.025 psi absolute, 60 degrees fahrenheit and 0.60 specific gravity.
C' = the 24-hour basic orifice meter flow factor corrected for flowing temperature, gravity and supercompressibility.
h w = daily average differential meter pressure from flow period chart.
P f = daily average flowing meter pressure from flow period chart.
(16) The basic orifice meter flow factors, flowing temperature factor and specific gravity factor shall be determined from the tables in
the manual.
(17) The operator shall use the daily flow period average corrected flowing meter pressure, psi gauge, to determine the
supercompressibility factor. The operator may obtain supercompressibility tables from the division.
(18) When the operator makes a supercompressibility correction for a gas containing either nitrogen or carbon dioxide in excess of
two percent, the operator shall determine the gas’ supercompressibility factors.
(19) The division may approve use of tables for calculating rates of flow from integrator readings that do not specifically conform to
the division’s manual for back-pressure testing of natural gas wells for determining the daily flow period rates of flow upon the operator’s
showing that the tables are appropriate and necessary.
(20) The operator shall correct the daily average integrated rate of flow for the seven-day or eight-day flow period for meter error by
multiplication by a correction factor. The operator shall determine the correction factor by dividing the square root of the deadweight flowing meter
pressure, psi absolute, by the square root of the chart flowing meter pressure, psi absolute.
(21) The operator shall calculate the deliverability of gas at the deliverability pressure of a well under test from the test data derived
from the required tests using the following deliverability formula:
(P c2 - P d 2 ) n
D = Q [(Pc2 - P w 2 )]
Where:
D = deliverability MCFD at the deliverability pressure, (P d ), (at standard conditions of 15.025 psi absolute, 60 degrees fahrenheit and 0.60 specific
gravity).
Q = daily flow rate in MCFD, at wellhead pressure (P w).
P c = seven-day shut-in wellhead pressure, psi absolute.
P d = deliverability pressure, psi absolute, as defined above.
P w = average static wellhead working pressure, as determined from seven-day or eight-day flow period, psi absolute, and calculated from tables in
the manual entitled Pressure Loss Due to Friction Tables for Northwest New Mexico.
n = average pool slope of back pressure curves as follows:
for pictured cliffs and shallower formations, 0.85; and
for formations deeper than pictured cliffs, 0.75.
(Note: Special orders for any specific pool or formation may supersede the above values. Check special pool orders if in doubt.)
(22) The value of the multiplier in the above formula (ratio factor after the application of the pool slope) by which Q is multiplied
shall not exceed a limiting value the division determines and announces periodically. The division shall make the determination after a study of the
test data of the pool obtained during the previous testing season.
(23) The operator shall test downhole commingled wells in the test year for the pool of the well’s lowermost prorated completion and
shall use pool slope (n) and the lowermost pool’s deliverability pressure. The operator shall use the total flow rate from the downhole commingled
well to calculate a value of deliverability. For each prorated gas zone of a downhole commingled well the operator shall file a form C-122-A.
Also, in the summary portion of that form all zones shall indicate the same data for line h, P c, Q, P w and P d . The value shown for deliverability
(D) is that percentage of the well’s total deliverability that is applicable to this zone. The operator shall place a note in the remarks column that
indicates the percentage of deliverability to be allocated to this zone of the well.
(24) The division shall consider a test prescribed in 19.15.21 NMAC acceptable if the average flow rate for the final seven-day or
eight-day deliverability test is not more than 10 percent in excess of any consecutive seven-day or eight-day average of the preceding two weeks.
The division may declare a deliverability test not meeting this requirement and require the operator to re-test the well.
(25) The operator shall make charts relative to deliverability tests or copies of the charts available to the division upon its request.
(26) Operators shall use only testing agencies, whether individuals, companies, pipeline companies or operators, that maintain a log
of all tests they have accomplished including all field test data. The operator shall maintain the data collected pursuant to tests Subsection B of
19.15.21.13 NMAC requires for a period of not less than two years plus the current test year.
(27) Forms C-122-A and C-122-B are adopted for use in the northwest New Mexico area in open form subject to modification by
the division as experience may indicate desirable or necessary.
(28) The operator shall conduct and report deliverability tests for gas wells in formations in accordance with 19.15.21.13 NMAC.
Provided, however, 19.15.21.13 NMAC is subject to a specific modification or change contained in special pool orders the division adopts for a
pool after notice and hearing.
C. Informational tests.
(1) One-point back pressure test. The operator may take a one-point back pressure test on newly completed wells before their
connection or reconnection to a gas transportation facility. This test is a required official test, but the operator may take the test for informational
purposes. When taken, the operator shall take and report this test as prescribed in Paragraph (2) of Subsection C of 19.15.21.13 NMAC.
(2) Test procedure.
(a) The operator shall accomplish this test after a minimum shut-in of seven days. The operator shall measure the shut-in
pressure with a deadweight gauge or other division-approved method.
(b) The flow rate shall be that rate in MCFD measured at the end of a three hour test flow period. The flow from the well shall
be for three hours through a positive choke, which has a 3/4 inch orifice.
(c) The operator shall install a two-inch nipple that provides a mechanical means of accurately measuring the pressure and
temperature of the flowing gas immediately upstream from the positive choke.
(d) The operator shall calculate the absolute open flow using the conventional back pressure formula as shown in the division’s
manual for back-pressure testing of natural gas wells.
(e) The operator shall report the observed data and flow calculations in duplicate on form C-122.
(f) Non-critical flow shall be considered to exist when the choke pressure is 13 psi gauge or less. When this condition exists
the operator shall measure the flow rate with a pitot tube and nipple as specified in the division’s manual for back-pressure testing of natural gas
wells or in the division’s manual of tables and procedure for pitot tests. The operator shall install the pitot test nipple immediately downstream
from the 3/4-inch positive choke.
(g) The operator shall test a well completed with two-inch nominal size tubing (1.995-inch internal diameter) or larger through
the tubing.
(3) The operator may conduct other tests for informational purposes prior to obtaining a pipeline connection for a newly completed
well upon receiving specific approval to conduct the other tests from the Aztec district office. The Aztec district office shall base approval of
these tests primarily upon the volume of gas to be vented.
[19.5.21.13 NMAC - Rp, 19.15.8.606 NMAC, 12/1/08]
History of Repealed Material: 19.15.8 NMAC, Gas Proration and Allocation (filed 04/08/2003) repealed 12/1/08.
NMAC History:
19.15.8 NMAC, Gas Proration and Allocation (filed 04/08/2003) was replaced by 19.15.21 NMAC, Gas Proration and Allocation, effective
12/1/08.
19.15.22.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.22.1 NMAC - N, 12/1/08]
19.15.22.2 SCOPE: 19.15.22 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.22.2 NMAC - N, 12/1/08]
19.15.22.3 STATUTORY AUTHORITY: 19.15.22 NMAC is adopted pursuant to NMSA 1978, Section 70-2-6, Section 70-2-11 and
Section 70-2-12.
[19.15.22.3 NMAC - N, 12/1/08]
19.15.22.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.22.5 NMAC - N, 12/1/08]
19.15.22.6 OBJECTIVE: To provide an application and approval process for hardship gas well classification.
[19.15.22.6 NMAC - N, 12/1/08]
History of Repealed Material: 19.15.6 NMAC, Natural Gas Production Operating Practice (filed 11/29/2001) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.6 NMAC, Natural Gas Production Operating Practice (Sections 408 - 412 (filed 11/29/2001) were replaced by
19.15.22 NMAC, Hardship Gas Wells, effective 12/1/08.
19.15.23.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.23.1 NMAC - N, 12/1/08]
19.15.23.2 SCOPE: 19.15.23 NMAC applies to persons engaged in the off-lease transport of oil or contaminants.
[19.15.23.2 NMAC - N, 12/1/08]
19.15.23.3 STATUTORY AUTHORITY: 19.15.23 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12, which authorizes the division to regulate the transport of oil or gas or their products through the use of
certificates of clearance or tenders.
[19.15.23.3 NMAC - N, 12/1/08]
19.15.23.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.23.5 NMAC - N, 12/1/08]
19.15.23.6 OBJECTIVE: To document the transport of oil or lease condensate or liquids that may contain oil, lease condensate, sediment
oil or miscellaneous hydrocarbons to verify the location from where they were removed.
[19.15.23.6 NMAC - N, 12/1/08]
application in accordance with 19.15.4.12 NMAC and have consented in writing, or the applicant furnishes proof that the parties were notified by
registered or certified mail of its intent to transport the production from one lease to another lease for storage prior to measurement, and after a
period of 20 days following receipt of the application, no party has filed objection to the application with the division; and
(6) if state, federal or tribal lands are involved, the operator has notified the state land office or the BLM, as applicable.
B. The division may set for hearing an application for approval of off-lease transportation or storage prior to measurement, in
which event notice of hearing shall be given, pursuant to 19.15.4.12 NMAC, to owners of working interests in the production to be transported off
lease prior to measurement, and to such other owners as the division may direct.
[19.15.23.9 NMAC - Rp, 19.15.5.303 NMAC, 12/1/08]
History of Repealed Material: 19.15.5 NMAC, Oil Production Operating Practices (filed 04/27/2000) and 19.15.10 NMAC, Oil Purchasing and
Transporting (filed 4/16/2003) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.5 NMAC, Oil Production Operating Practices (Section 303) (filed 04/27/2000) and 19.15.10 NMAC, Oil
Purchasing and Transporting (Section 804) (filed 4/16/2003) were replaced by 19.15.23 NMAC, Off Lease Transport of Crude Oil or
Contaminants, effective 12/1/08.
19.15.24.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.24.1 NMAC - Rp, 19.15 10.1 NMAC and 19.15.11.1 NMAC, 12/1/08]
19.15.24.2 SCOPE: 19.15.24 NMAC applies to those persons involved in the sale, purchase or transport of oil or gas.
[19.15.24.2 NMAC - Rp, 19.15.10.2 NMAC and 19.15.11.2 NMAC, 12/1/08]
19.15.24.3 STATUTORY AUTHORITY: 19.15.24 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11, Section 70-2-19 and Section 70-2-22, which authorizes the division to regulate the sale, purchase or acquisition, or the
transportation, refining, processing or handling of oil or gas produced in excess of the amount allowed by statute, rule or commission or division
order.
[19.15.24.3 NMAC - Rp, 19.15.10.3 NMAC and 19.15.11.3 NMAC, 12/1/08]
19.15.24.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.24.5 NMAC - Rp, 19.15.10.5 and 19.15.11.5 NMAC, 12/1/08]
19.15.24.8 GAS SALES BY LESS THAN ONE HUNDRED PERCENT OF THE OWNERS IN A WELL: When there are separate
owners in a well and where an owner’s gas is not being sold with the well’s current production, the owner may, if necessary to protect the owner’s
correlative rights, petition the division for a hearing seeking appropriate relief.
[19.15.24.8 NMAC - Rp, 19.15.6.414 NMAC, 12/1/08]
19.15.24.9 ILLEGAL SALE PROHIBITED: The sale, purchase or acquisition or the transporting, refining, processing or handling in any
other way of oil or of gas in whole or in part (or a gas product so produced) produced in excess of the amount a statute or a division rule or order
allows is prohibited.
[19.15.24.9 NMAC - Rp, 19.15.10.801 NMAC and 19.15.11.901 NMAC, 12/1/08]
History of Repealed Material: 19.15.6 NMAC, Natural Gas Production Operating Practice (filed 11/29/2001); 19.15.10 NMAC, Oil Purchasing
and Transporting (filed 4/16/2003) and 19.15.11 NMAC, Gas Purchasing and Transporting (filed 09/10/2003) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.6 NMAC, Natural Gas Production Operating Practice (Section 414) (filed 11/29/2001); 19.15.10 NMAC, Oil
Purchasing and Transporting (Sections 801 - 803) (filed 4/16/2003) and 19.15.11 NMAC, Gas Purchasing and Transporting (Sections 901 and 902)
(filed 09/10/2003) were all replaced by 19.15.24 NMAC, Illegal Sale and Ratable Take, effective 12/1/08.
19.15.25.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.25.1 NMAC - Rp, 19.15.4.1 NMAC, 12/1/08]
19.15.25.2 SCOPE: 19.15.25 NMAC applies to persons that operate oil or gas wells within New Mexico.
[19.15.25.2 NMAC - Rp, 19.15.4.2 NMAC, 12/1/08]
19.15.25.3 STATUTORY AUTHORITY: 19.15.25 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-12,
which authorizes the division to require dry or abandoned wells to be plugged so as to confine oil, gas or water in the strata in which they are found
and to prevent them from escaping into other strata.
[19.15.25.3 NMAC - Rp, 19.15.4.3 NMAC, 12/1/08]
19.15.25.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.25.5 NMAC - Rp, 19.15.4.5 NMAC, 12/1/08]
19.15.25.6 OBJECTIVE: To establish requirements for properly abandoning and plugging wells drilled for oil or gas or service wells
including seismic, core, exploration or injection wells or placing the wells in temporary abandonment in order to protect public health, fresh water
and the environment.
[19.15.25.6 NMAC - Rp, 19.15.4.6 NMAC, 12/1/08]
19.15.25.10 PLUGGING:
A. Before an operator abandons a well, the operator shall plug the well in a manner that permanently confines all oil, gas and water
in the separate strata in which they are originally found. The operator may accomplish this by using mud-laden fluid, cement and plugs singly or
in combination as approved by the division on the notice of intention to plug.
B. The operator shall mark the exact location of plugged and abandoned wells with a steel marker not less than four inches in
diameter set in cement and extending at least four feet above mean ground level. The operator name, lease name and well number and location,
including unit letter, section, township and range, shall be welded, stamped or otherwise permanently engraved into the marker’s metal. A person
shall not build permanent structures preventing access to the wellhead over a plugged and abandoned well without the division’s written approval.
A person shall not remove a plugged and abandonment marker without the division’s written approval.
C. The operator may use below-ground plugged and abandonment markers only with the division’s written approval when an
above-ground marker would interfere with agricultural endeavors. The below-ground marker shall have a steel plate welded onto the abandoned
well’s surface or conductor pipe and shall be at least three feet below the ground surface and of sufficient size so that all the information 19.15.16.8
NMAC requires can be stenciled into the steel or welded onto the steel plate’s surface. The division may require a re-survey of the well location.
D. As soon as practical, but no later than one year after the completion of plugging operations, the operator shall:
(1) level the location;
(3) remove deadmen and other junk; and
(4) take other measures necessary or required by the division to restore the location to a safe and clean condition.
E. The operator shall close all pits and below-grade tanks pursuant to 19.15.17 NMAC.
F. Upon completion of plugging and clean up restoration operations as required, the operator shall contact the appropriate division
district office to arrange for an inspection of the well and location.
[19.15.25.10 NMAC - Rp, 19.15.4.202 NMAC, 12/1/08]
19.15.25.12 APPROVED TEMPORARY ABANDONMENT: The division may place a well in approved temporary abandonment for a
period of up to five years. Prior to the expiration of an approved temporary abandonment the operator shall return the well to beneficial use under
a plan the division approves, permanently plug and abandon the well and restore and remediate the location or apply for a new approval to
temporarily abandon the well.
[19.15.25.12 NMAC - Rp, 19.15.4.203 NMAC, 12/1/08]
19.15.25.13 REQUEST FOR APPROVAL AND PERMIT FOR APPROVED TEMPORARY ABANDONMENT:
A. An operator seeking approval for approved temporary abandonment shall submit on form C-103 a notice of intent to seek
approved temporary abandonment for the well describing the proposed temporary abandonment procedure the operator will use. The operator
shall not commence work until the division has approved the request. The operator shall give 24 hours notice to the appropriate division district
office before beginning work.
B. The division shall not approve temporary abandonment until the operator furnishes evidence demonstrating that the well’s casing
and cementing are mechanically and physically sound and in such condition as to prevent:
(1) damage to the producing zone;
(2) migration of hydrocarbons or water;
(3) the contamination of fresh water or other natural resources; and
(4) the leakage of a substance at the surface.
C. The operator shall demonstrate both internal and external mechanical integrity pursuant to Subsection A of 19.15.25.14 NMAC.
D. Upon successful completion of the work on the temporarily abandoned well, the operator shall submit a request for approved
temporary abandonment to the appropriate division district office on form C-103 together with other information Subsection E of 19.15.7.14
NMAC requires.
E. The division shall specify the permit’s expiration date, which shall be not more than five years from the date of approval.
[19.15.25.13 NMAC - Rp, 19.15.4.203 NMAC, 12/1/08]
History of Repealed Material: 19.15.4 NMAC, Plugging and Abandonment of Wells (filed 11/29/2001) repealed 12/1/08.
NMAC History:
19.15.4 NMAC, Plugging and Abandonment of Wells (filed 11/29/2001) was replaced by 19.15.25 NMAC, Plugging and Abandonment of Wells,
effective 12/1/08.
19.15.26.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.26.1 NMAC - Rp, 19.15.9.1 NMAC, 12/1/08]
19.15.26.2 SCOPE: 19.15.26 NMAC applies to persons engaged in secondary or other enhanced recovery of oil or gas, pressure
maintenance, salt water disposal and underground storage of oil or gas.
[19.15.26.2 NMAC - Rp, 19.15.9.2 NMAC, 12/1/08]
19.15.26.3 STATUTORY AUTHORITY: 19.15.26 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12, which authorizes the division to permit the injection of gas or other substances into a pool for repressuring,
cycling, pressure maintenance, secondary or other enhanced recovering operations; and to regulate the disposition of water produced or used in
connection with drilling for or producing oil or gas and to direct subsurface disposal of the water.
[19.15.26.3 NMAC - Rp, 19.15.9.3 NMAC, 12/1/08]
19.15.26.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.26.5 NMAC - Rp, 19.15.9.5 NMAC, 12/1/08]
19.15.26.6 OBJECTIVE: To regulate secondary or other enhanced recovery, pressure maintenance, salt water disposal and underground
storage to prevent waste, protect correlative rights and protect public health, fresh water and the environment.
[19.15.26.6 NMAC - Rp, 19.15.9.6 NMAC, 12/1/08]
19.15.26.7 DEFINITIONS:
A. “Affected person” means the division designated operator; in the absence of an operator, a lessee whose interest is evidence by a
written conveyance document either of record or known to the applicant as of the date the applicant files the application; or in the absence of an
operator or lessee, a mineral interest owner whose interest is evidenced by a written conveyance document either of record or known to the
applicant as of the date the applicant filed the application for permit to inject.
B. “Pressure maintenance project” means a project in which an operator injects fluids into the producing horizon in an effort to
build up or maintain the reservoir pressure in an area that has not reached the advanced or stripper state of depletion.
C. “Water flood project” means a project in which an operator injects water into a producing horizon in sufficient quantities and
under sufficient pressure to stimulate oil production from other wells in the area, and is limited to those areas in which the wells have reached an
advanced state of depletion and are regarded as what is commonly referred to as stripper wells.
[19.15.26.7 NMAC - Rp, 19.15.9.701 NMAC, 12/1/08]
(c) the formation name and depth with expected maximum injection rates and pressures; and
(d) a notation that interested parties shall file objections or requests for hearing with the division within 15 days.
(2) The division shall not approve an application for administrative approval until 15 days following the division’s receipt of form C-
108 complete with all attachments including evidence of mailing as required under Paragraph (2) of Subsection B of 19.15.26.8 NMAC and proof
of publication as required by Paragraph (1) of Subsection C of 19.15.26.8 NMAC.
(3) If the division does not receive an objection within the 15-day period, and a hearing is not otherwise required, the division may
approve the application administratively.
D. Hearings. If a written objection to an application for administrative approval of an injection well is filed within 15 days after
receipt of a complete application, if 19.15.26.8 NMAC requires a hearing or if the director deems a hearing advisable, the division shall set the
application for hearing and give notice of the hearing.
E. Water disposal wells.
(1) The director may grant an application for a water disposal well administratively, without hearing, only when the waters to be
disposed of are mineralized to such a degree as to be unfit for domestic, stock, irrigation or other general use and when the waters are to be
disposed of into a formation older than Triassic (Lea county only) and the division receives no objections pursuant to Subsection C of 19.15.26.8
NMAC.
(2) The division shall not permit disposal into zones containing waters having total dissolved solids concentrations of 10,000 mg/1 or
less except after public notice and hearing, provided that the division may, by order issued after public notice and hearing, establish exempted
aquifers for such zones where the division may administratively approve the injection.
(3) Notwithstanding the provisions of Paragraph (2) of Subsection E of 19.15.26.8 NMAC, the director may authorize disposal into
such zones administratively if the waters to be disposed of are of higher quality than the native water in the disposal zone.
F. Pressure maintenance projects.
(1) The division shall set applications for establishment of pressure maintenance projects for hearing. The division shall fix the
project area and the allowable formula for a pressure maintenance project on an individual basis after notice and hearing.
(2) The division may authorize an operator to expand a pressure maintenance project and place additional wells on injection after
hearing or administratively, subject to the notice requirements of Subsection B of 19.15.26.8 NMAC.
(3) The director may grant an exception to the hearing requirements of Subsection A of 19.15.26.8 NMAC for the conversion to
injection of additional wells within a project area provided that the wells are necessary to develop or maintain efficient pressure maintenance
within the project and provided that the division receives no objections pursuant to Subsection C of 19.15.26.8 NMAC.
(4) An established pressure maintenance project shall have only one designated operator. The division shall set an application for
exception for hearing.
G. Water flood projects.
(1) The division shall set applications for establishment of water flood projects for hearing.
(2) The project area of a water flood project shall comprise the proration units a given operator owns or operates upon which
injection wells are located plus proration units the same operator owns or operates that directly or diagonally offset the injection tracts and have
producing wells completed on them in the same formation; provided however, that the division may include in the project area additional proration
units not directly or diagonally offsetting an injection tract if, after notice and hearing, the operator establishes that the additional units have wells
completed on the unit that have experienced a substantial response to water injection.
(3) The allowable the division assigns to wells in a water flood project area shall equal the wells’ ability to produce and is not subject
to the depth bracket allowable for the pool or to the market demand percentage factor.
(4) Nothing in Subsection G of 19.15.26.8 NMAC shall prohibit the division’s assignment of special allowables to wells in buffer
zones after notice and hearing. The division may assign special allowables in the limited instances where it is established at a hearing that it is
imperative for the protection of correlative rights to do so.
(5) The division shall authorize the expansion of water flood projects and the placement of additional wells on injection after hearing
or administratively, subject to the notice requirements of Subsection B of 19.15.26.8 NMAC.
(6) The director may grant an exception to the hearing requirements of Subsection A of 19.15.26.8 NMAC for conversion to
injection of additional wells provided that the well is necessary to develop or maintain thorough and efficient water flood injection for an
authorized project and provided that the division does not receive an objection pursuant to Subsection C of 19.15.26.8 NMAC.
(7) An established water flood project shall have only one designated operator. The division shall set for hearing an application for
exception.
H. Storage wells.
(1) The director may grant administratively, without hearing, an application for the underground storage of liquefied petroleum gas or
liquid hydrocarbons in secure caverns within massive salt beds, and provided the applicant has complied with the notice provisions of Subsection
B of 19.15.26.8 NMAC and the division receives no objections pursuant to Subsection C of 19.15.26.8 NMAC.
(2) In addition to the filing requirements of Subsection B of 19.15.26.8 NMAC, the applicant for approval of a storage well under
Subsection H of 19.15.26.8 NMAC shall file the following:
(a) with the director, financial assurance in accordance with the provisions of 19.5.8 NMAC; and
(b) with the appropriate division district office:
(i) form C-101;
(ii) form C-102; and
(iii) form C-105.
19.15.26.9 CASING AND CEMENTING OF INJECTION WELLS: The operator of a well used for injection of gas, air, water or other
medium into a formation shall case the well with safe and adequate casing or tubing so as to prevent leakage, and set and cement the casing or
tubing to prevent the movement of formation or injected fluid from the injection zone into another zone or to the surface around the outside of a
casing string.
[19.15.26.9 NMAC - Rp, 19.15.9.702 NMAC, 12/1/08]
19.15.26.11 TESTING, MONITORING, STEP-RATE TESTS, NOTICE TO THE DIVISION, REQUESTS FOR PRESSURE
INCREASES:
A. Testing.
(1) Prior to commencement of injection and any time the operator pulls the tubing or reseats the packer, the operator shall test the
well to assure the integrity of the casing and the tubing and packer, if used, including pressure testing of the casing-tubing annulus to a minimum
of 300 psi for 30 minutes or such other pressure or time as the appropriate district supervisor may approve. The operator shall use a pressure
recorder and submit copies of the chart to the appropriate division district office within 30 days following the test date.
(2) At least once every five years thereafter, the operator shall test an injection well to assure its continued mechanical integrity.
Tests demonstrating continued mechanical integrity shall include the following:
(a) measurement of annular pressures in a well injecting at positive pressure under a packer or a balanced fluid seal;
(b) pressure testing of the casing-tubing annulus for a well injecting under vacuum conditions; or
(c) other tests that are demonstrably effective and that the division may approve for use.
(3) Notwithstanding the test procedures outlined in Paragraphs (1) and (2) of Subsection A of 19.15.26.11 NMAC, the division may
require the operator to conduct more comprehensive testing of the injection well when deemed advisable, including the use of tracer surveys, noise
logs, temperature logs or other test procedures or devices.
(4) In addition, the division may order that the operator conduct special tests prior to the expiration of five years if the division
believes conditions so warrant. The division shall consider a special test that demonstrates a well’s continued mechanical integrity the equivalent
of an initial test for test scheduling purposes, and the regular five-year testing schedule shall be applicable thereafter.
(5) The operator shall advise the division of the date and time any initial, five-year or special tests are to be commenced so the
division may witness the tests.
B. Monitoring. The operator shall equip an injection well so that the injection pressure and annular pressure may be determined at
the wellhead and the injected volume may be determined at least monthly.
C. Step-rate tests, notice to the division, requests for injection pressure limit increases.
(1) Whenever an operator conducts a step-rate test for the purpose of increasing an authorized injection or disposal well pressure
limit, the operator shall give notice of the date and time of the test in advance to the appropriate division district office.
(2) The operator shall submit copies of injection or disposal well pressure-limit increase applications and supporting documentation
to the division’s Santa Fe office and to the appropriate division district office.
[19.15.26.11 NMAC - Rp, 19.15.9.704 NMAC, 12/1/08]
the discontinuance.
(3) Before temporarily abandoning or plugging an injection well, the operator shall obtain approval from the appropriate division
district office in the same manner as when temporarily abandoning or plugging oil and gas wells or dry holes.
C. Abandonment of injection operations.
(1) Whenever there is a continuous one year period of non-injection into all wells in an injection or storage project or into a salt
water disposal well or special purpose injection well, the division shall consider the project or well abandoned, and the authority for injection shall
automatically terminate ipso facto.
(2) For good cause shown, the director may grant an administrative extension or extensions of injection authority as an exception to
Paragraph (1) of Subsection C of 19.15.26.12 NMAC, provided that any such extension may be granted only prior to the end of one year or
continuous non-injection, or during the term of a previously granted extension.
[19.15.26.12 NMAC - Rp, 19.15.9.705 NMAC, 12/1/08]
19.15.26.14 RECLASSIFICATION OF WELLS: The director may reclassify an injection well from a category defined in Subsection B of
19.15.26.8 NMAC to another category without notice and hearing upon the request and proper showing by the injection well’s operator.
[19.15.26.14 NMAC - Rp, 19.15.9.707 NMAC, 12/1/08]
History of Repealed Material: 19.15.9 NMAC, Secondary or Other Enhanced Recovery, Pressure Maintenance, Salt Water Disposal, and
Underground Storage (filed 11/13/2000) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.9 NMAC, Secondary or Other Enhanced Recovery, Pressure Maintenance, Salt Water Disposal, and
Underground Storage (Sections 1-6, 701 - 708) (filed 11/13/2000) were replaced by 19.15.26 NMAC, Injection, effective 12/1/08.
19.15.29.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.29.1 NMAC - N, 12/1/08]
19.15.29.2 SCOPE: 19.15.29 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.29.2 NMAC - N, 12/1/08]
19.15.29.3 STATUTORY AUTHORITY: 19.15.29 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.29.3 NMAC - N, 12/1/08]
19.15.29.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.29.5 NMAC - N, 12/1/08]
19.15.29.6 OBJECTIVE: To require persons who operate or control the release or the location of the release to report the unauthorized
release of oil, gases, produced water, condensate or oil field waste including regulated NORM, or other oil field related chemicals, contaminants or
mixtures of those chemicals or contaminants that occur during drilling, producing, storing, disposing, injecting, transporting, servicing or
processing and to establish reporting procedures.
[19.15.29.6 NMAC - N, 12/1/08]
19.15.29.7 DEFINITIONS:
A. “Major release” means:
(1) an unauthorized release of a volume, excluding gases, in excess of 25 barrels;
(2) an unauthorized release of a volume that:
(a) results in a fire;
(b) will reach a watercourse;
(c) may with reasonable probability endanger public health; or
(d) results in substantial damage to property or the environment;
(3) an unauthorized release of gases in excess of 500 MCF; or
(4) a release of a volume that may with reasonable probability be detrimental to water or exceed the standards in Subsections A and
B or C of 19.15.30.9 NMAC.
B. “Minor release” means an unauthorized release of a volume, greater than five barrels but not more than 25 barrels; or greater
than 50 MCF but less than 500 MCF of gases.
[19.15.29.7 NMAC - Rp, 19.15.3.116 NMAC, 12/1/08]
19.15.29.9 REPORTING REQUIREMENTS: The person operating or controlling either the release or the location of the release shall
provide notification of releases in 19.15.29.8 NMAC as follows.
A. The person shall report a major release by giving both immediate verbal notice and timely written notice pursuant to Subsections
A and B of 19.15.29.10 NMAC.
B. The person shall report a minor release by giving timely written notice pursuant to Subsection B of 19.15.29.10 NMAC.
[19.15.29.9 NMAC - Rp, 19.15.3.116 NMAC, 12/1/08]
within 24 hours of discovery to the division district office for the area within which the release takes place. In addition, the person shall provide
immediate verbal notification of a release of a volume that may with reasonable probability be detrimental to water or exceed the standards in
Subsections A and B or C of 19.15.30.9 NMAC to the division's environmental bureau chief. The notification shall provide the information
required on form C-141.
B. The person operating or controlling either the release or the location of the release shall provide timely written notification
within 15 days to the division district office for the area within which the release occurs by completing and filing form C-141. In addition, the
person shall provide timely written notification of a release of a volume that may with reasonable probability be detrimental to water or exceed the
standards in Subsections A and B or C of 19.15.30.9 NMAC to the division's environmental bureau chief within 15 days after the release is
discovered. The written notification shall verify the prior verbal notification and provide appropriate additions or corrections to the information
contained in the prior verbal notification.
[19.15.29.10 NMAC - Rp, 19.15.3.116 NMAC, 12/1/08]
19.15.29.11 CORRECTIVE ACTION: The responsible person shall complete division-approved corrective action for releases that
endanger public health or the environment. The responsible person shall address releases in accordance with a remediation plan submitted to and
approved by the division or with an abatement plan submitted in accordance with 19.15.30 NMAC.
[19.15.29.11 NMAC - Rp, 19.15.3.116 NMAC, 12/1/08]
History of Repealed Material: 19.15.3 NMAC, Drilling (filed 10/29/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.3 NMAC, Drilling (Section 116) (filed 10/29/2001) was replaced by 19.15.29 NMAC, Release Notification,
effective 12/1/08.
19.15.30.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.30.1 NMAC - N, 12/1/08]
19.15.30.2 SCOPE: 19.15.30 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.30.2 NMAC - N, 12/1/08]
19.15.30.3 STATUTORY AUTHORITY: 19.15.30 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Sections 70-2-6,
70-2-11 and 70-2-12.
[19.15.30.3 NMAC - N, 12/1/08]
19.15.30.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.30.5 NMAC - N, 12/1/08]
19.15.30.6 OBJECTIVE: To abate pollution of subsurface water so that ground water of the state that has a background concentration of
10,000 mg/l or less TDS is either remediated or protected for use as domestic, industrial and agricultural water supply, and to remediate or protect
those segments of surface waters that are gaining because of subsurface-water inflow for uses designated in the water quality standards for
interstate and intrastate surface waters in New Mexico, 20.6.4 NMAC; and abate surface-water pollution so that surface waters of the state are
remediated or protected for designated or attainable uses as defined in the water quality standards for interstate and intrastate surface waters in New
Mexico, 20.6.4 NMAC.
[19.15.30.6 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
19.15.30.10 MODIFICATION OF ABATEMENT STANDARDS: If applicable abatement standards are modified after the division
approves the abatement measures, the abatement standards that are in effect at the time that the division approved the abatement measures shall be
the abatement standards for the duration of the abatement action, unless the director determines that compliance with those standards may with
reasonable probability create a present or future hazard to public health or the environment. In an appeal of the director’s determination that
additional actions are necessary, the director shall have the burden of proof.
[19.15.30.10 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
B. In the event of a transfer of the ownership, control or possession of a facility for which an abatement plan is required or
approved, where the transferor is a responsible person, the transferee also shall be considered a responsible person for the abatement plan’s
duration, and may jointly share the responsibility to conduct the actions 19.15.30 NMAC requires with other responsible persons.
(1) The transferor shall notify the transferee in writing at least 30 days prior to the transfer that the division has required or approved
an abatement plan for the facility, and shall deliver or send by certified mail to the director a copy of the notification together with a certificate or
other proof that the transferee has received the notification.
(2) The transferor and transferee may agree to a designated responsible person who shall assume the responsibility to conduct the
actions 19.15.30 NMAC requires. The responsible persons shall notify the director in writing if a designated responsible person is agreed upon.
(3) If the director determines that the designated responsible person has failed to conduct the actions 19.15.30 NMAC requires, the
director shall notify all responsible persons of this failure in writing and allow them 30 days, or longer for good cause shown, to conduct the
required actions before setting a show cause hearing requiring those responsible persons to appear and show cause why they should not be ordered
to comply, a penalty should not be assessed, a civil action should not be commenced in district court or the division should not take other
appropriate action.
C. If the source of the water pollution to be abated is a facility that operated under a discharge plan, the director may require the
responsible person to submit a financial assurance plan that covers the estimated costs to conduct the actions the abatement plan requires. Such a
financial assurance plan shall be consistent with financial assurance requirements the division adopts.
[19.15.30.11 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
(1) descriptions of the site, including a site map, and of site history including the nature of the release that caused the water pollution,
and a summary of previous investigations;
(2) site investigation work plan that defines:
(a) site geology and hydrogeology; the vertical and horizontal extent and magnitude of vadose-zone and ground-water
contamination; subsurface hydraulic conductivity; transmissivity, storativity and rate and direction of contaminant migration; inventory of water
wells inside and within one mile from the perimeter of the three-dimensional body where the standards set forth in Subsection C of 19.15.30.9
NMAC are exceeded; and location and number of wells the pollution actually or potentially affects; and
(b) surface water hydrology, seasonal stream flow characteristics, ground water/surface water relationships, the vertical and
horizontal extent and magnitude of contamination and impacts to surface water and stream sediments; the magnitude of contamination and impacts
on surface water may be, in part, defined by conducting a biological assessment of fish, benthic macro invertebrates and other wildlife populations;
seasonal variations should be accounted for when conducting these assessments;
(3) monitoring program, including sampling stations and frequencies, for the abatement plan’s duration that may be modified, after
the director’s approval, as the responsible person creates additional sampling stations;
(4) quality assurance plan, consistent with the sampling and analytical techniques listed in Subsection B of 20.6.2.3107 NMAC and
with 20.6.4.14 NMAC of the water quality standards for interstate and intrastate surface waters in New Mexico, for all work to be conducted
pursuant to the abatement plan;
(5) a schedule for stage 1 abatement plan activities, including the submission of summary quarterly progress reports, and the
submission, for the director’s approval, of a detailed final site investigation report; and
(6) additional information that may be required to design and perform an adequate site investigation.
D. Stage 2 abatement plan.
(1) A responsible person shall submit a stage 2 abatement plan proposal to the director for approval within 60 days, or up to 120 days
for good cause shown, after the director’s approval of the final site investigation report prepared pursuant to stage 1 of the abatement plan. The
responsible person may submit a stage 1 and 2 abatement plan proposal together. Stage 2 of the abatement plan’s purpose is to select and design, if
necessary, an abatement option that, when implemented, results in attainment of the abatement standards and requirements set forth in 19.15.30.9
NMAC, including post-closure maintenance activities.
(2) Stage 2 of the abatement plan should include, at a minimum, the following information:
(a) a brief description of the current situation at the site;
(b) development and assessment of abatement options;
(c) a description, justification and design, if necessary, of the preferred abatement option;
(d) modification, if necessary, of the monitoring program the director approved pursuant to stage 1 of the abatement plan,
including the designation of pre- and post-abatement-completion sampling stations and sampling frequencies to be used to demonstrate compliance
with the standards and requirements set forth in 19.15.30.9 NMAC;
(e) site maintenance activities, if needed, the responsible person proposes to perform after abatement activities terminate;
(f) a schedule for the duration of abatement activities, including the submission of summary quarterly progress reports;
(g) a public notification proposal designed to satisfy the requirements of Subsections B and C of 19.15.30.15 NMAC; and
(h) additional information that may be reasonably required to select, describe, justify and design an effective abatement option.
[19.15.30.13 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
within the required time, or if the responsible person does not in the modified document make a good faith effort to cure the deficiencies the
director specified.
E. Provided that the responsible person meets the other requirements of 19.15.30 NMAC and provided further that stage 2 of the
abatement plan, if implemented, shall result in the standards and requirements set forth in 19.15.30.9 NMAC being met within a schedule that is
reasonable given the site’s particular circumstances, the director shall approve the plan.
[19.15.30.16 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
19.15.30.17 INVESTIGATION AND ABATEMENT: A responsible person who receives the division’s approval for stage 1 or stage 2 of
an abatement plan shall conduct investigation, abatement, monitoring and reporting activities in compliance with 19.15.30 NMAC and according
to the terms and schedules contained in the approved abatement plans.
[19.15.30.17 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
19.15.30.20 DISPUTE RESOLUTION: In the event of a technical dispute regarding the requirements of 19.15.29 NMAC, 19.15.30.9
NMAC, 19.15.30.12 NMAC, 19.15.30.13 NMAC, 19.15.30.18 NMAC or 19.15.30.19 NMAC, including notices of deficiency, the responsible
person may notify the director by certified mail that a dispute has arisen, and the responsible person desires to invoke the dispute resolution
provisions of 19.15.30.20 NMAC provided that the responsible person shall send the notification within 30 days after the responsible person
receives the director’s decision that causes the dispute. Upon the notification, the deadlines affected by the technical dispute shall be extended for a
30 day negotiation period, or for a maximum of 60 days if approved by the director for good cause shown. During this negotiation period, the
director or the director’s designee and the responsible person shall meet at least once. A mutually agreed upon third part may facilitate the
meeting, but the third party shall assume no power or authority granted or delegated to the director by the Oil and Gas Act or by the division or
commission. If the dispute remains unresolved after the negotiation period, the director’s decision shall be final.
[19.15.30.20 NMAC - Rp, 19.15.1.19 NMAC, 12/1/08]
History of Repealed Material: 19.15.1 NMAC, General Provisions and Definitions (filed 04/27/2001) repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.1 NMAC, General Provisions and Definitions (Section 19) (filed 04/27/2001) was replaced by 19.15.30 NMAC,
Remediation, effective 12/1/08.
19.15.34.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.34.1 NMAC - N, 12/1/08]
19.15.34.2 SCOPE: 19.15.34 NMAC applies to persons engaged in transporting produced water, drilling fluids or other oil liquid oil field
waste or having them transported or in disposing of produced water or oil field waste within New Mexico.
[19.15.34.2 NMAC - N, 12/1/08]
19.15.34.3 STATUTORY AUTHORITY: 19.15.34 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-12,
which authorizes the division to regulate the disposition of water produced or used in connection with the drilling for or producing of oil or gas and
to direct surface or subsurface disposal of the water.
[19.15.34.3 NMAC - N, 12/1/08]
19.15.34.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.34.5 NMAC - N, 12/1/08]
19.15.34.6 OBJECTIVE: To establish procedures by which persons may transport produced water, drilling fluids and other liquid oil field
waste and dispose of produced water or other oil field waste.
[19.15.34.6 NMAC - N, 12/1/08]
19.15.34.8 TRANSPORTATION OF PRODUCED WATER, DRILLING FLUIDS AND OTHER LIQUID OIL FIELD WASTE:
A. A person shall not transport produced water, drilling fluids or other liquid oil field waste, including drilling fluids and residual
liquids in oil field equipment, except for small samples removed for analysis, by motor vehicle from a lease, central tank battery or other facility
without an approved form C-133, authorization to move liquid waste. The transporter shall maintain a photocopy of the approved form C-133 in
the transporting vehicle.
B. A person may apply for authorization to move produced water, drilling fluids or other liquid oil field waste by filing a complete
form C-133 with the division’s Santa Fe office. Authorization is granted upon the division’s approval of form C-133.
C. An owner or operator shall not permit produced water, drilling fluids or other liquid oil field waste to be removed from its leases
or field facilities, except for small samples removed for analysis, by motor vehicle except by a person possessing an approved form C-133. The
division shall post a list of currently approved form C-133s, authorization to move liquid waste, on its website. The list of form C-133s posted on
the division’s website on the first business day of each month shall be deemed notice of valid form C-133s for the remainder of that month.
[19.15.34.8 NMAC - Rp, 19.15.2.51 NMAC, 12/1/08]
19.15.34.9 DENIAL OF A FORM C-133: The division may deny approval of a form C-133 if:
A. the applicant is a corporation or limited liability company, and is not registered with the public regulation commission to do
business in New Mexico;
B. the applicant is a limited partnership, and is not registered with the New Mexico secretary of state to do business in New Mexico;
C. the applicant does not possess a carrier permit under the single state registration system the public regulation commission
administers, if it is required to have such a permit under applicable statutes or rules; or
D. the applicant or an officer, director or partner in the applicant, or a person with an interest in the applicant exceeding 25 percent,
is or was within the past five years an officer, director, partner or person with an interest exceeding 25 percent in another entity that possesses or
has possessed an approved form C-133 that has been cancelled or suspended, has a history of violating division rules or other state or federal
environmental laws; is subject to a commission or division order, issued after notice and hearing, finding such entity to be in violation of an order
requiring corrective action; or has a penalty assessment for violation of division or commission rules or orders that is unpaid more than 70 days
after issuance of the order assessing the penalty.
[19.15.34.9 NMAC - Rp, 19.15.2.51 NMAC, 12/1/08]
19.15.34.11 DISPOSITION OF PRODUCED WATER AND OTHER OIL FIELD WASTE: Except as authorized by 19.15.30 NMAC,
19.15.17 NMAC, 19.15.36 NMAC, 19.15.29 NMAC or 19.15.26.8 NMAC, persons, including transporters, shall not dispose of produced water or
other oil field waste:
(1) on or below the surface of the ground; in a pit; or in a pond, lake, depression or watercourse;
(2) in another place or in a manner that may constitute a hazard to fresh water, public health, safety or the environment; or
(3) in a permitted pit or registered or permitted surface waste management facility without the permission of the owner or operator of
the pit or facility.
[19.15.34.11 NMAC - Rp, 19.15.2.52 NMAC, 12/1/08]
19.15.34.12 METHODS FOR DISPOSAL OF PRODUCED WATER: Persons disposing of produced water shall use one of the following
disposition methods:
A. disposition in a manner that does not constitute a hazard to fresh water, public health, safety or the environment; delivery to a
permitted salt water disposal well or facility, secondary recovery or pressure maintenance injection facility, surface waste management facility or
permanent pit permitted pursuant to 19.15.17 NMAC; or to a drill site for use in drilling fluid; or
B. use in accordance with a division-issued use permit or other division authorization.
[19.15.34.12 NMAC - Rp, 19.15.2.52 NMAC, 12/1/08]
19.15.34.13 METHODS FOR DISPOSAL OF OTHER OIL FIELD WASTE: Persons shall dispose of other oil field waste by transfer to
an appropriate permitted or registered surface waste management facility or injection facility or applied to a division-authorized beneficial use.
Persons may transport recovered drilling fluids to other drill sites for reuse provided that such fluids are transported and stored in a manner that
does not constitute a hazard to fresh water, public health, safety or the environment.
[19.15.34.13 NMAC - Rp, 19.15.2.52 NMAC, 12/1/08]
History of Repealed Material: 19.15.2 NMAC, General Operating Practices, Wastes Arising from Exploration and Production (filed 04/21/2004)
repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.2 NMAC, General Operating Practices, Wastes Arising from Exploration and Production (Sections 51 and 52)
(filed 01/24/2007) were replaced by 19.15.34 NMAC, Produced Water, effective 12/1/08.
19.15.35.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.35.1 NMAC - Rp, 19.15.9.1 NMAC, 12/1/08]
19.15.35.2 SCOPE: 19.15.35 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.35.2 NMAC - Rp, 19.15.9.2 NMAC, 12/1/08]
19.15.35.3 STATUTORY AUTHORITY: 19.15.35 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12, which authorizes the division to regulate the disposition of non-domestic waste resulting from the
exploration, development, production or storage of oil or gas; from the oil field service industry; the transportation of oil or gas; the treatment of
gas; or the refinement of oil.
[19.15.35.3 NMAC - Rp, 19.15.9.3 NMAC, 12/1/08]
19.15.35.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.35.5 NMAC - Rp, 19.15.9.5 NMAC, 12/1/08]
19.15.35.6 OBJECTIVE: To establish procedures for the disposal of certain non-domestic waste at solid waste facilities permitted by the
New Mexico environment department and for the disposal of regulated NORM associated with the oil and gas industry.
[19.15.35.6 NMAC - Rp, 19.15.9.6 NMAC, 12/1/08]
19.15.35.7 DEFINITIONS:
A. “Discharge plan” means a plan the operator submits and the division approves pursuant to NMSA 1978, Section 70-2-12(B)(22)
and WQCC rules.
B. “EPA clean” means the cleanliness standards established by the EPA in 40 C.F.R. section 261.7(b).
C. “NESHAP” means the National Emission Standards for Hazardous Air Pollutants of the EPA, 40 C.F.R. Part 61.
D. “Solid waste facility” means a facility permitted or authorized as a solid waste facility by the New Mexico environment
department pursuant to the Solid Waste Act, NMSA 1978, Sections 74-9-1 et seq. and New Mexico environmental improvement board rules to
accept industrial solid waste or other special waste.
E. “TCLP” means the testing protocol established by the EPA in 40 C.F.R. Part 261, entitled "Toxicity Characteristic Leaching
Procedure" or an alternative hazardous constituent analysis the division has approved.
F. “Waste” means non-domestic waste resulting from the exploration, development, production or storage of oil or gas pursuant to
NMSA 1978, Section 70-2-12(B)(21) and non-domestic waste arising from the oil field service industry, and certain non-domestic waste arising
from the transportation, treatment or refinement of oil or gas pursuant to NMSA 1978, Section 70-2-12(B)(22).
[19.15.35.7 NMAC - Rp, 19.15.9.712 NMAC, 12/1/08]
C. The following provisions apply to the types of waste described below as specified.
(1) The person disposing of the waste does not have to test the following waste before disposal:
(a) barrels, drums, five-gallon buckets or one-gallon containers so long as they are empty and EPA-clean;
(b) uncontaminated brush and vegetation arising from clearing operations;
(c) uncontaminated concrete;
(d) uncontaminated construction debris;
(e) non-friable asbestos and asbestos contaminated waste material, so long as the disposal complies with applicable federal
regulations and state rules for non-friable asbestos materials and so long as the facility operator removes the asbestos from steel pipes and boilers
and, if applicable, recycles the steel;
(f) detergent buckets, so long as the buckets are completely empty;
(g) fiberglass tanks so long as the tank is empty, cut up or shredded and EPA clean;
(h) grease buckets, so long as empty and EPA clean;
(i) uncontaminated ferrous sulfate or elemental sulfur so long as recovery and sale as a raw material is not possible;
(j) metal plate and metal cable;
(k) office trash;
(l) paper and paper bags, so long as the paper bags are empty;
(m) plastic pit liners, so long as the person cleans them well;
(n) soiled rags or gloves, which if wet pass the paint filter test prior to disposal; or
(o) uncontaminated wood pallets.
(2) The person disposing of the waste shall test the following wastes for the substances indicated prior to disposal:
(a) activated alumina for TPH and BTEX;
(b) activated carbon for TPH and BTEX;
(c) amine filters, which the facility operator air-dries for at least 48 hours before testing, for BTEX;
(d) friable asbestos and asbestos-contaminated waste material, which the facility operator removes asbestos from steel pipes
and boilers and, if applicable, recycles the steel before disposal, where the disposal otherwise complies with applicable federal regulations and state
rules for friable asbestos materials pursuant to NESHAP;
(e) cooling tower filters, which the facility operator drains and then air-dries for at least 48 hours before testing, for
TCLP/chromium;
(f) dehydration filter media, which the facility operator drains and then air-dries for at least 48 hours before testing, for TPH
and BTEX;
(g) gas condensate filters, which the facility operator drains and then air-dries for at least 48 hours before testing, for BTEX;
(h) glycol filters, which the facility operator drains and then air-dries for at least 48 hours before testing, for BTEX;
(i) iron sponge, which the facility operator oxidizes completely, for ignitability testing;
(j) junked pipes, valves and metal pipe for NORM;
(k) molecular sieves, which the facility operator cools in a non-hydrocarbon inert atmosphere and hydrates in ambient air for at
least 24 hours before testing, for TPH and BTEX;
(l) pipe scale and other deposits removed from pipeline and equipment for TPH, TCLP/metals and NORM;
(m) produced water filters, which the facility operator drains and then air-dries for at least 48 hours before testing, for
corrosivity;
(n) sandblasting sand for TCLP/metals or, if the division requires, TCLP/total metals; or
(o) waste oil filters, which the facility operator drains thoroughly of oil at least 24 hours before testing and recycles the oil and
metal parts, for TCLP/metals.
(3) A person may dispose of the following wastes on a case-by-case basis with the division’s approval:
(a) sulfur contaminated soil;
(b) catalysts;
(c) contaminated soil other than petroleum contaminated soil;
(d) petroleum contaminated soil in the event of a director-declared emergency;
(e) contaminated concrete;
(f) demolition debris not otherwise specified in 19.15.35.8 NMAC;
(g) unused dry chemicals; in addition to testing the division requires, the person applying for division approval shall forward a
copy of the material safety data sheet to the division and the solid waste facility on each chemical proposed for disposal;
(h) contaminated ferrous sulfate or elemental sulfur;
(i) unused pipe dope;
(j) support balls;
(k) tower packing materials;
(l) contaminated wood pallets;
(m) partial sacks of unused drilling mud; in addition to testing the division requires, the person applying for division approval
shall forward a copy of the material safety data sheet to division and the solid waste facility at which the it will dispose of the partial sacks; or
(n) other wastes as applicable.
D. Testing.
(1) The person applying for division approval to dispose of waste in a solid waste facility shall conduct testing required by 19.15.35.8
NMAC according to the Test Methods for Evaluating Solid Waste, EPA No. SW-846 and shall direct questions concerning the standards or a
particular testing facility to the division.
(2) The testing facility shall conduct testing according to the test method listed:
(a) TPH: EPA method 418.1 or 8015 (DRO and GRO only) or an alternative, division-approved hydrocarbon analysis;
(b) TCLP: EPA Method 1311 or an alternative hazardous constituent analysis approved by the division;
(c) paint filter test: EPA Method 9095A;
(d) ignitability test: EPA Method 1030;
(e) corrosivity: EPA Method 1110;
(f) reactivity: test procedures and standards the division establishes on a case-by-case basis; and
(g) NORM. 20.3.14 NMAC.
(3) To be eligible for disposal pursuant to 19.15.35.8 NMAC, the concentration of substances the testing facility identifies during
testing shall not exceed the following limits:
(a) benzene: 9.99 mg/kg;
(b) BTEX: 499.99 mg/kg (sum of all);
(c) TPH: 1000 mg/kg;
(d) hazardous air pollutants: the standards set forth in NESHAP; and
(e) TCLP:
(i) arsenic: 5 mg/l,
(ii) barium: 100 mg/l,
(iii) cadmium: 1 mg/l,
(iv) chromium: 5 mg/l,
(v) lead: 5 mg/l,
(vi) mercury: 0.2 mg/l,
(vii) selenium: 1 mg/l, and
(viii) silver: 5 mg/l.
[19.15.35.8 NMAC - Rp, 19.15.9.712 NMAC, 12/1/08]
19.15.35.9 DISPOSAL OF REGULATED NORM: A person disposing of regulated NORM, as defined at 19.15.2.7 NMAC, is subject to
19.15.35.9 NMAC through 19.15.35.14 NMAC and to New Mexico environmental improvement board rule, 20.3.14 NMAC.
[19.15.35.9 NMAC - Rp, 19.15.9.714 NMAC, 12/1/08]
A. The division shall consider proposals for the disposal of regulated NORM in commercial or centralized surface waste
management facilities, provided the applicant performs the disposal in a manner that protects the environment, public health and fresh waters.
Division approval is contingent on the applicant obtaining a permit in accordance with 19.15.36 NMAC for the facility and complying with
additional requirements specifically related to regulated NORM disposal as described in Subsections B through D of 19.15.35.11 NMAC.
B. The division shall set requests for permission to receive and dispose of regulated NORM in commercial or centralized surface
waste management facilities for hearing in order for the facility’s operator to obtain or modify a permit in accordance with 19.15.36 NMAC. The
division shall consider a request to dispose of regulated NORM at a facility previously permitted under 19.15.36 NMAC a major modification to
that facility. The facility’s operator shall submit a hearing request to the division that contains the following at a minimum:
(1) complete plans for the facility, including the sources of regulated NORM, radiation survey readings, quantities of regulated
NORM to be disposed and monitoring proposals;
(2) a copy of this permit for the facility, if the division has issued one;
(3) proof of public notice of the application as required by 19.15.36 NMAC; and
(4) evidence of issuance of a specific license pursuant to 20.3.14 NMAC, a license pursuant to 20.3.13 NMAC and other
authorizations required by law.
C. The division shall establish operating procedures that are protective of the environment, public health and fresh waters in its
order.
D. A person desiring to dispose of regulated NORM in an approved commercial or centralized surface waste management facility
shall furnish regulated NORM information to the facility’s operator sufficient for the operator to submit form C-138 for division approval. The
facility operator shall receive division approval prior to receiving the regulated NORM at the disposal facility.
[19.15.35.11 NMAC - Rp, 19.15.9.714 NMAC, 12/1/08]
19.15.35.13 INJECTION:
A. The division shall consider an operator’s proposal for injecting regulated NORM into injection wells provided the operator will
perform the injection in a manner that protects the environment, public health and fresh waters and complies with division rules pertaining to
injection. Division approval is contingent on the applicant meeting the requirements in Subsection B of 19.15.35.13 NMAC at a minimum.
B. An applicant wishing to dispose of regulated NORM in a disposal well shall comply with the following requirements.
(1) An application submitted to the division for permission to dispose of a regulated NORM in an existing or newly permitted
disposal well shall contain the following information at a minimum:
(a) a completed form C-108 with proof of required notification and a statement that regulated NORM will be injected;
(b) a description of regulated NORM to be disposed including its source, radiation levels and quantity; and
(c) a description of the process used on the material to improve injectivity.
(2) An operator shall comply with the following requirements when disposing of regulated NORM in a disposal well.
(a) The operator may only inject regulated NORM from the operator’s operations.
(b) Each time the operator injects regulated NORM into the disposal well, the operator shall submit a form C-103 to the
division and the appropriate division district office. The operator shall submit the completed form C-103 five working days following the
injection, which contains the following information: source of regulated NORM, NORM radiation level, quantity of material injected, description
of any process the operator used on the material to improve injectivity, the injection pressure while injecting and dates of injection.
(c) The operator shall report mechanical failures to the appropriate division district office within 24 hours of the failure. The
operator shall submit a description of the failure and immediate measures the operator took in response to the failure no later than 15 days
following the failure. The operator shall notify the appropriate division district office of proposed repair plans. The operator shall receive division
approval of repair plans prior to commencing work and provide notice of commencement to the appropriate division district office so that the
division may witness or inspect repairs. The operator shall monitor well repairs to ensure regulated NORM does not escape the well bore or is
completely contained in the repair operations.
(d) At the time of the disposal well’s abandonment, the operator shall squeeze the injection interval that the operator used for
regulated NORM injection with cement or locate a cement plug directly above the injection interval. Cement in either case shall contain red iron
oxide.
(e) The injection zone shall be at a depth of at least 100 feet below the lower most known underground drinking water zone.
C. Injection in EOR injection wells. The division shall consider issuing a permit for the disposal of regulated NORM into injection
wells within an approved EOR project only after notice and hearing and upon the applicant’s minimum demonstration that:
(1) the injection will not reduce the project’s efficiency or otherwise cause a reduction in the ultimate recovery of hydrocarbons from
the project;
(2) the injection will not cause an increase in the radiation level of regulated NORM produced from the EOR interval in an producing
well located either within or offsetting the project area; and
(3) the operations will conform to provisions of Subsection B of 19.15.35.13 NMAC.
D. Injection above fracture pressure.
(1) The division shall consider issuing a permit for the disposal of regulated NORM in a disposal well above fracture pressure only
after notice and hearing and upon receiving the following minimum information from the applicant:
(a) a completed form C-108 clearly stating that disposal of regulated NORM at or above fracture pressure is proposed;
(b) information required under Subsection B of 19.15.35.13 NMAC above;
(c) model results predicting the fracture propagation including the expected height, extension, direction and any other evidence
sufficient to demonstrate that the fracture will not extend beyond the injection interval or into the confining zones; the application shall include the
procedure, the anticipated pressures and the type and pressure rating of equipment that the operator will use; the division may consider the current
or potential utilization of zones immediately above and below the zone of interest in the acceptance or rejection of model predictions; and
(d) a contingency plan of the procedures, including containment plans that the operator will employ if a mechanical failure
occurs.
(2) The operator shall comply with the following requirements when disposing of regulated NORM in a disposal well above fracture
pressure.
(a) The operator shall notify the appropriate division district office 24 hours prior to commencing injection.
(b) Upon completion of the injection, the operator shall squeeze the disposal interval with cement or locate a cement plug
directly above the injection interval. In either case the cement in either case shall contain red iron oxide. The operator shall submit a completed
form C-103 to the division and the appropriate division district office within five working days of the injection. If the operator desires to return the
well to injection below fracture pressure, the operator shall include those plans in the application.
E. Injection in commercial disposal facilities. The division shall consider issuing a permit for the commercial disposal of regulated
NORM by injection only after notice and hearing, and provided the applicant has obtained a specific license pursuant to 20.3.14 NMAC and
pursuant to 20.3.13 NMAC. In addition to obtaining these licenses the operator shall also comply with Subparagraph (a) of Paragraph 2 of
Subsection B of 19.15.35.13 NMAC.
[19.15.35.13 NMAC - Rp, 19.15.9.714 NMAC, 12/1/08]
History of Repealed Material: 19.15.9 NMAC, Secondary or Other Enhanced Recovery, Pressure Maintenance, Salt Water Disposal, and
Underground Storage (filed 11/13/2000) repealed 12/1/08.
NMAC History:
Those applicable portions of 19.15.9 NMAC, Secondary or Other Enhanced Recovery, Pressure Maintenance, Salt Water Disposal, and
Underground Storage (Sections 712 and 714) (filed 11/13/2000) were replaced by 19.15.35 NMAC, Waste Disposal, effective 12/1/08.
19.15.36.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.36.1 NMAC - N, 2/14/2007; A, 12/1/08]
19.15.36.2 SCOPE: 19.15.36 NMAC applies to persons or entities that own or operate surface waste management facilities as defined in
Subsection S of 19.15.1.7 NMAC.
[19.15.36.2 NMAC - N, 2/14/2007; A, 12/1/08]
19.15.36.3 STATUTORY AUTHORITY: 19.15.36 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12, which grants the division jurisdiction and authority over the disposition of wastes resulting from oil and gas
operations.
[19.15.36.3 NMAC - N, 2/14/2007; A, 12/1/08]
19.15.36.5 EFFECTIVE DATE: February 14, 2007, unless a later date is cited at the end of a section.
[19.15.36.5 NMAC - N, 2/14/2007; A, 12/1/08]
19.15.36.6 OBJECTIVE: To regulate the disposal of oil field waste and the construction, operation and closure of surface waste
management facilities.
[19.15.36.6 NMAC - N, 2/14/2007]
19.15.36.7 DEFINITIONS:
A. Definitions relating to types of surface waste management facilities.
(1) “Centralized facility” means a surface waste management facility:
(a) that is used exclusively by one generator subject to New Mexico’s Oil and Gas Conservation Tax Act, NMSA 1978,
Section 7-30-1, as amended;
(b) where the generator or operator does not receive compensation for oil field waste management at that facility; and
(c) receives exclusively oil field wastes that are generated from production units or leases the generator, or an affiliate of the
generator, operates (for this provision’s purposes, an affiliate of a generator is a person who controls, is controlled by or is under common control
with the generator).
(2) “Commercial facility” means a surface waste management facility that is not a centralized facility.
(3) “Landfarm” means a discrete area of land designated and used for the remediation of petroleum hydrocarbon-contaminated soils
and drill cuttings.
(4) “Landfill” means a discrete area of land or an excavation designed for permanent disposal of exempt or non-hazardous waste.
(5) “Small landfarm” means a centralized landfarm of two acres or less that has a total capacity of 2000 cubic yards or less in a
single lift of eight inches or less, remains active for a maximum of three years from the date of its registration and that receives only petroleum
hydrocarbon-contaminated soils (excluding drill cuttings) that are exempt or non-hazardous waste.
B. Other definitions.
(1) “Active portion” means that part of a surface waste management facility that has received or is receiving oil field waste and has
not been closed.
(2) “Cell” means a confined area engineered for the disposal or treatment of oil field waste.
(3) “Composite liner” means a liner that may consist of multiple layers of geosynthetics and low-permeability soils. The different
layers of a composite liner may have different material properties and may be applied at different stages of landfill liner installation.
(4) “Geosynthetic” means the general classification of synthetic materials used in geotechnical applications, including the following
classifications:
(a) “geocomposite” means a manufactured material using geotextiles, geogrids or geomembranes, or combinations thereof, in a
laminated or composite form;
(b) “geogrid” means a deformed or non-deformed, netlike polymeric material used to provide reinforcement to soil slopes;
(c) “geomembrane” means an impermeable polymeric sheet material that is impervious to liquid and gas as long as it maintains
its integrity, and is used as an integral part of an engineered structure designed to limit the movement of liquid or gas in a system;
(d) “geonet” means a type of geogrid that allows planar flow of liquids and serves as a drainage system;
(e) “geosynthetic clay liner (GCL)” means a relatively thin layer of processed clay (typically bentonite) that is either bonded to
a geomembrane or fixed between two sheets of geotextile; and
(f) “geotextile” means a sheet material that is less impervious to liquid than a geomembrane but more resistant to penetration
damage, and is used as part of an engineered structure or system to serve as a filter to prevent the movement of soil fines into a drainage system, to
provide planar flow for drainage, to serve as a cushion to protect geomembranes or to provide structural support.
(5) “Leachate” means the liquid that has passed through or emerged from oil field waste and contains soluble, suspended or miscible
materials.
(6) “Landfarm cell” means a bermed area of 10 acres or less within a landfarm.
(7) “Landfarm lift” means an accumulation of soil or drill cuttings predominately contaminated by petroleum hydrocarbons that is
placed into a landfarm cell for treatment.
(8) “Lower explosive limit” means the lowest percent by volume of a mixture of explosive gases in air that will propagate a flame at
77 degrees fahrenheit and atmospheric pressure.
(9) “Major modification” means a modification of a surface waste management facility that involves an increase in the land area that
the permitted surface waste management facility occupies; a change in the design capacity or nature of the permitted oil field waste stream; addition
of a new treatment process; an exception to, waiver of or change to a numerical standard provided in 19.15.36 NMAC; or other modification that
the division determines is sufficiently substantial that public notice and public participation in the application process are appropriate.
(10) “Minor modification” means a modification of a surface waste management facility that is not a major modification.
(11) “Operator” means the operator of a surface waste management facility.
(12) “Poor foundation conditions” are features that indicate that a natural or human-induced event may result in inadequate
foundational support for a surface waste management facility’s structural components.
(13) “Run-off” means rainwater, leachate or other liquid that drains over land from any part of a surface waste management facility.
(14) “Structural components of a landfill” are liners, leachate collection and removal systems, final covers, run-on/run-off systems
and other components used in a landfill’s construction or operation that are necessary for protection of fresh water, public health, safety or the
environment.
[19.15.36.7 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007; A, 12/1/08]
(14) a best management practice plan to ensure protection of fresh water, public health, safety and the environment;
(15) geological/hydrological data including:
(a) a map showing names and location of streams, springs or other watercourses, and water wells within one mile of the site;
(b) laboratory analyses, performed by an independent commercial laboratory, for major cations and anions; BTEX; RCRA
metals; and TDS of ground water samples of the shallowest fresh water aquifer beneath the proposed site;
(c) depth to, formation name, type and thickness of the shallowest fresh water aquifer;
(d) soil types beneath the proposed surface waste management facility, including a lithologic description of soil and rock
members from ground surface down to the top of the shallowest fresh water aquifer;
(e) geologic cross-sections;
(f) potentiometric maps for the shallowest fresh water aquifer; and
(g) porosity, permeability, conductivity, compaction ratios and swelling characteristics for the sediments on which the
contaminated soils will be placed;
(16) certification by the applicant that information submitted in the application is true, accurate and complete to the best of the
applicant’s knowledge, after reasonable inquiry; and
(17) other information that the division may require to demonstrate that the surface waste management facility’s operation will not
adversely impact fresh water, public health, safety or the environment and that the surface waste management facility will comply with division
rules and orders.
D. Application requirements for minor modifications. An existing surface waste management facility applying for a minor
modification shall file a form C-137 with the environmental bureau in the division’s Santa Fe office describing the proposed change and
identifying information that has changed from its last C-137 filing.
E. Determination that an application is administratively complete. Upon receipt of an application for a surface waste management
facility permit or modification or renewal of an existing surface waste management facility permit, the division shall review the application for
administrative completeness. To be deemed administratively complete, the application shall provide information required by Subsection C or D (as
applicable) of 19.15.36.8 NMAC. The division shall notify the applicant in writing when it deems the application administratively complete. If the
division determines that the application is not administratively complete, the division shall notify the applicant of the deficiencies in writing within
30 days after the application’s receipt and state what additional information is necessary.
[19.15.36.8 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007; A, 12/1/08]
19.15.36.9 NOTICE REQUIREMENTS FOR NEW SURFACE WASTE MANAGEMENT FACILITIES, MAJOR
MODIFICATIONS OR RENEWALS AND ISSUANCE OF A TENTATIVE DECISION:
A. Upon receipt of notification of the division’s determination that the application is administratively complete, the applicant for a
new surface waste management facility permit, permit renewal or major modification shall give written notice of the application, by certified mail,
return receipt requested, to the surface owners of record within one-half mile of the surface waste management facility, the county commission of
the county where the surface waste management facility site is located, the appropriate city officials if the surface waste management facility site is
within city limits or within one-half mile of the city limits, and affected federal, tribal or pueblo governmental agencies. The notice shall contain
the information in Paragraphs (1) through (4) of Subsection F of 19.15.36.9 NMAC. The division may extend the distance requirements for notice
if the division determines that the proposed surface waste management facility has the potential to adversely impact fresh water, public health,
safety or the environment at a distance greater than one-half mile. The applicant shall furnish proof that it has given the required notices.
B. The division shall distribute notice of its determination that an application for a new surface waste management facility or for a
renewal or major modification of an existing surface waste management facility is administratively complete to persons who have requested
notification of division and commission hearing dockets within 30 days following the date that the division determines the application to be
administratively complete.
C. A person wishing to comment on an application prior to the division’s preliminary consideration of the application may file
comments within 30 days, or as extended by the director, after the later of the date when the applicant mails the notice required by Subsection A of
19.15.36.9 NMAC or the date when the division distributes the notice provided in Subsection B of 19.5.36.9 NMAC.
D. Within 60 days after the end of the public comment period provided in Subsection C of 19.15.36.9 NMAC, the division shall
issue a tentative decision concerning the application, renewal or modification, including proposed conditions for approval or reasons for
disapproval, as applicable. The division shall mail notice of the tentative decision, together with a copy of the decision, by certified mail, return
receipt requested, to the applicant and shall post notice on the division’s website, together with a copy of the tentative decision.
E. Within 30 days after receiving the division’s tentative decision, the applicant shall provide notice of the tentative decision by:
(1) publishing a display ad in English and Spanish, in a form approved by the division, in a newspaper of general circulation in this
state and in a newspaper of general circulation in the county where the surface waste management facility is or will be located; the display ad shall
be at least three inches by four inches and shall not be published in the newspaper’s legal or classified sections;
(2) mailing notice by first class mail or e-mail to persons, as identified to the applicant by the division, who have requested
notification of applications generally, or of the particular application, including persons who have filed comments on the particular application
during the initial public comment period, and who have included in such comments a legible return address or e-mail address; and
(3) mailing notice by first class or e-mail to affected local, state, federal or tribal governmental agencies, as determined and identified
to the applicant by the division.
F. This notice issued pursuant to Subsection E of 19.15.36.9 NMAC shall include:
(1) the applicant’s name and address;
(2) the surface waste management facility’s location, including a street address if available, and sufficient information to locate the
surface waste management facility with reference to surrounding roads and landmarks;
(3) a brief description of the proposed surface waste management facility;
(4) the depth to, and TDS concentration of, the ground water in the shallowest aquifer beneath the surface waste management facility
site;
(5) a statement that the division’s tentative decision is available on the division’s website, or, upon request, from the division clerk,
including the division clerk’s name, address and telephone number;
(6) a description of alternatives, exceptions or waivers that may be under consideration in accordance with Subsection G of
19.15.36.18 NMAC or 19.15.36.19 NMAC;
(7) a statement of the comment period and of the procedures for requesting a hearing on the application; and
(8) a brief statement of the procedures the division shall follow in making a final decision.
[19.15.36.9 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007]
event of forfeiture pursuant to Subsection C of 19.15.36.18 NMAC, the division may, at any time and from time to time, direct payment of all or
part of the balance of such account (excluding interest accrued on the account) to itself or its designee for the surface waste management facility’s
closure.
F. Replacement of financial assurance.
(1) The division may allow an operator to replace existing forms of financial assurance with other forms of financial assurance that
provide equivalent coverage.
(2) The division shall not release existing financial assurance until the operator has submitted, and the division has approved, an
acceptable replacement.
G. Review of adequacy of financial assurance. The division may at any time not less than five years after initial acceptance of
financial assurance for a commercial facility, or whenever the operator applies for a major modification of the commercial facility’s permit, initiate
a review of such financial assurance’s adequacy. Additionally, whenever the division determines that a landfarm operator has not achieved the
closure standards specified in Paragraph (3) of Subsection G of 19.15.36.15 NMAC, the division may review the adequacy of the landfarm
operator’s financial assurance, without regard to the date of its last review. Upon determination, after notice to the operator and an opportunity for
a hearing, that the financial assurance is not adequate to cover the reasonable and probable cost of a commercial facility’s closure and post closure
monitoring, the division may require the operator to furnish additional financial assurance sufficient to cover such reasonable and probable cost,
provided that the financial assurance required of a commercial facility permitted prior to the effective date of 19.15.36 NMAC shall not exceed
$250,000 except in the event of a major modification of the commercial facility. If such a commercial facility applies for a major modification, the
division shall determine the applicable financial assurance requirement based on the total estimated closure and post closure cost of the commercial
facility as modified, without regard to the $250,000 limit.
[19.15.36.11 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007]
C. Additional requirements. The division may impose conditions or requirements, in addition to the operational requirements set
forth in 19.15.36 NMAC, that it determines are necessary and proper for the protection of fresh water, public health, safety or the environment.
The division shall incorporate such additional conditions or requirements into the surface waste management facility permit.
D. Revocation, suspension or modification of a permit. The division may revoke, suspend or impose additional operating
conditions or limitations on a surface waste management facility permit at any time, for good cause, after notice to the operator and an opportunity
for a hearing. The division may suspend a surface waste management facility permit or impose additional conditions or limitations in an
emergency to forestall an imminent threat to fresh water, public health, safety or the environment, subject to the provisions of NMSA 1978,
Section 70-2-23, as amended. If the division initiates a major modification it shall provide notice in accordance with 19.15.36.9 NMAC.
Suspension of a surface waste management facility permit may be for a fixed period of time or until the operator remedies the violation or potential
violation. If the division suspends a surface waste management facility’s permit, the surface waste management facility shall not accept oil field
waste during the suspension period.
E. Transfer of a permit. The operator shall not transfer a permit without the division’s prior written approval. A request for
transfer of a permit shall identify officers, directors and owners of 25 percent or greater in the transferee. Unless the director otherwise orders,
public notice or hearing are not required for the transfer request’s approval. If the division denies the transfer request, it shall notify the operator
and the proposed transferee of the denial by certified mail, return receipt requested, and either the operator or the proposed transferee may request a
hearing with 10 days after receipt of the notice. Until the division approves the transfer and the required financial assurance is in place, the division
shall not release the transferor’s financial assurance.
[19.15.36.12 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007; A, 12/1/08]
19.15.36.13 SITING AND OPERATIONAL REQUIREMENTS APPLICABLE TO ALL PERMITTED SURFACE WASTE
MANAGEMENT FACILITIES: Except as otherwise provided in 19.15.36 NMAC.
A. Depth to ground water.
(1) No landfill shall be located where ground water is less than 100 feet below the lowest elevation of the design depth at which the
operator will place oil field waste.
(2) No landfarm that accepts soil or drill cuttings with a chloride concentration that exceeds 500 mg/kg shall be located where ground
water is less than 100 feet below the lowest elevation at which the operator will place oil field waste. See Subsection A of 19.15.36.15 NMAC for
oil field waste acceptance criteria.
(3) No landfarm that accepts soil or drill cuttings with a chloride concentration that is 500 mg/kg or less shall be located where
ground water is less than 50 feet below the lowest elevation at which the operator will place oil field waste.
(4) No small landfarm shall be located where ground water is less than 50 feet below the lowest elevation at which the operator will
place oil field waste.
(5) No other surface waste management facility shall be located where ground water is less than 50 feet below the lowest elevation at
which the operator will place oil field waste.
B. No surface waste management facility shall be located:
(1) within 200 feet of a watercourse, lakebed, sinkhole or playa lake;
(2) within an existing wellhead protection area or 100-year floodplain;
(3) within, or within 500 feet of, a wetland;
(4) within the area overlying a subsurface mine;
(5) within 500 feet from the nearest permanent residence, school, hospital, institution or church in existence at the time of initial
application; or
(6) within an unstable area, unless the operator demonstrates that engineering measures have been incorporated into the surface waste
management facility design to ensure that the surface waste management facility’s integrity will not be compromised.
C. No surface waste management facility shall exceed 500 acres.
D. The operator shall not accept oil field wastes transported by motor vehicle at the surface waste management facility unless the
transporter has a form C-133, authorization to move liquid waste, approved by the division.
E. The operator shall not place oil field waste containing free liquids in a landfill or landfarm cell. The operator shall use the paint
filter test, as prescribed by the EPA (EPA SW-846, method 9095) to determine conformance of the oil field waste to this criterion.
F. Surface waste management facilities shall accept only exempt or non-hazardous waste, except as provided in Paragraph (3) of
Subsection F of 19.15.36.13 NMAC. The operator shall not accept hazardous waste at a surface waste management facility. The operator shall
not accept wastes containing NORM at a surface waste management facility except as provided in 19.15.35 NMAC. The operator shall require the
following documentation for accepting oil field wastes, and both the operator and the generator shall maintain and make the documentation
available for division inspection.
(1) Exempt oil field wastes. The operator shall require a certification on form C-138, signed by the generator or the generator’s
authorized agent, that represents and warrants that the oil field wastes are generated from oil and gas exploration and production operations, are
exempt waste and are not mixed with non-exempt waste. The operator shall have the option to accept such certifications on a monthly, weekly or
per load basis. The operator shall maintain and shall make the certificates available for the division’s inspection.
(2) Non-exempt, non-hazardous, oil field wastes. The operator shall require a form C-138, oil field waste document, signed by the
generator or its authorized agent. This form shall be accompanied by acceptable documentation to determine that the oil field waste is non-
hazardous.
(3) Emergency non-oil field wastes. The operator may accept non-hazardous, non-oil field wastes in an emergency if ordered by the
department of public safety. The operator shall complete a form C-138, oil field waste document, describing the waste, and maintain the same,
accompanied by the department of public safety order, subject to division inspection.
G. The operator of a commercial facility shall maintain records reflecting the generator, the location of origin, the location of
disposal within the commercial facility, the volume and type of oil field waste, the date of disposal and the hauling company for each load or
category of oil field waste accepted at the commercial facility. The operator shall maintain such records for a period of not less than five years
after the commercial facility’s closure, subject to division inspection.
H. Disposal at a commercial facility shall occur only when an attendant is on duty unless loads can be monitored or otherwise
isolated for inspection before disposal. The surface waste management facility shall be secured to prevent unauthorized disposal.
I. To protect migratory birds, tanks exceeding eight feet in diameter, and exposed pits and ponds shall be screened, netted or
covered. Upon the operator’s written application, the division may grant an exception to screening, netting or covering upon the operator’s
showing that an alternative method will protect migratory birds or that the surface waste management facility is not hazardous to migratory birds.
Surface waste management facilities shall be fenced in a manner approved by the division.
J. Surface waste management facilities shall have a sign, readable from a distance of 50 feet and containing the operator’s name;
surface waste management facility permit or order number; surface waste management facility location by unit letter, section, township and range;
and emergency telephone numbers.
K. The operators shall comply with the spill reporting and corrective action provisions of 19.15.30 NMAC or 19.15.29 NMAC.
L. Each operator shall have an inspection and maintenance plan that includes the following:
(1) monthly inspection of leak detection sumps including sampling if fluids are present with analyses of fluid samples furnished to
the division; and maintenance of records of inspection dates, the inspector and the leak detection system’s status;
(2) semi-annual inspection and sampling of monitoring wells as required, with analyses of ground water furnished to the division;
and maintenance of records of inspection dates, the inspector and ground water monitoring wells’ status; and
(3) inspections of the berms and the outside walls of pond levees quarterly and after a major rainfall or windstorm, and maintenance
of berms in such a manner as to prevent erosion.
M. Each operator shall have a plan to control run-on water onto the site and run-off water from the site, such that:
(1) the run-on and run-off control system shall prevent flow onto the surface waste management facility’s active portion during the
peak discharge from a 25-year storm; and
(2) run-off from the surface waste management facility’s active portion shall not be allowed to discharge a pollutant to the waters of
the state or United States that violates state water quality standards.
N. Contingency plan. Each operator shall have a contingency plan. The operator shall provide the division’s environmental bureau
with a copy of an amendment to the contingency plan, including amendments required by Paragraph (8) of Subsection N of 19.15.36.13 NMAC;
and promptly notify the division’s environmental bureau of changes in the emergency coordinator or in the emergency coordinator’s contact
information. The contingency plan shall be designed to minimize hazards to fresh water, public health, safety or the environment from fires,
explosions or an unplanned sudden or non-sudden release of contaminants or oil field waste to air, soil, surface water or ground water. The
operator shall carry out the plan’s provisions immediately whenever there is a fire, explosion or release of contaminants or oil field waste
constituents that could threaten fresh water, public health, safety or the environment; provided that the emergency coordinator may deviate from
the plan as necessary in an emergency situation. The contingency plan for emergencies shall:
(1) describe the actions surface waste management facility personnel shall take in response to fires, explosions or releases to air, soil,
surface water or ground water of contaminants or oil field waste containing constituents that could threaten fresh water, public health, safety or the
environment;
(2) describe arrangements with local police departments, fire departments, hospitals, contractors and state and local emergency
response teams to coordinate emergency services;
(3) list the emergency coordinator’s name; address; and office, home and mobile phone numbers (where more than one person is
listed, one shall be named as the primary emergency coordinator);
(4) include a list, which shall be kept current, of emergency equipment at the surface waste management facility, such as fire
extinguishing systems, spill control equipment, communications and alarm systems and decontamination equipment, containing a physical
description of each item on the list and a brief outline of its capabilities;
(5) include an evacuation plan for surface waste management facility personnel that describes signals to be used to begin evacuation,
evacuation routes and alternate evacuation routes in cases where fire or releases of wastes could block the primary routes;
(6) include an evaluation of expected contaminants, expected media contaminated and procedures for investigation, containment and
correction or remediation;
(7) list where copies of the contingency plan will be kept, which shall include the surface waste management facility; local police
departments, fire departments and hospitals; and state and local emergency response teams;
(8) indicate when the contingency plan will be amended, which shall be within five working days whenever:
(a) the surface waste management facility permit is revised or modified;
(b) the plan fails in an emergency;
(c) the surface waste management facility changes design, construction, operation, maintenance or other circumstances in a way
that increases the potential for fires, explosions or releases of oil field waste constituents that could threaten fresh water, public health, safety or the
environment or change the response necessary in an emergency;
(d) the list of emergency coordinators or their contact information changes; or
(e) the list of emergency equipment changes;
(9) describe how the emergency coordinator or the coordinator’s designee, whenever there is an imminent or actual emergency
situation, will immediately;
(a) activate internal surface waste management facility alarms or communication systems, where applicable, to notify surface
waste management facility personnel; and
(b) notify appropriate state and local agencies with designated response roles if their assistance is needed;
(10) describe how the emergency coordinator, whenever there is a release, fire or explosion, will immediately identify the character,
exact source, amount and extent of released materials (the emergency coordinator may do this by observation or review of surface waste
management facility records or manifests, and, if necessary, by chemical analysis) and describe how the emergency coordinator will concurrently
assess possible hazards to fresh water, public health, safety or the environment that may result from the release, fire or explosion (this assessment
shall consider both the direct and indirect hazard of the release, fire or explosion);
(11) describe how, if the surface waste management facility stops operations in response to fire, explosion or release, the emergency
coordinator will monitor for leaks, pressure buildup, gas generation or rupture in valves, pipes or the equipment, wherever this is appropriate;
(12) describe how the emergency coordinator, immediately after an emergency, will provide for treating, storing or disposing of
recovered oil field waste, or other material that results from a release, fire or explosion at a surface waste management facility;
(13) describe how the emergency coordinator will ensure that no oil field waste, which may be incompatible with the released
material, is treated, stored or disposed of until cleanup procedures are complete; and
(14) provide that the emergency coordinator may amend the plan during an emergency as necessary to protect fresh water, public
health, safety or the environment.
O. Gas safety management plan. Each operator of a surface waste management facility that includes a landfill shall have a gas
safety management plan that describes in detail procedures and methods that will be used to prevent landfill-generated gases from interfering or
conflicting with the landfill’s operation and protect fresh water, public health, safety and the environment. The plan shall address anticipated
amounts and types of gases that may be generated, an air monitoring plan that includes the vadose zone and measuring, sampling, analyzing,
handling, control and processing methods. The plan shall also include final post closure monitoring and control options.
P. Training program. Each operator shall conduct an annual training program for key personnel that includes general operations,
permit conditions, emergencies proper sampling methods and identification of exempt and non-exempt waste and hazardous waste. The operator
shall maintain records of such training, subject to division inspection, for five years.
[19.15.36.13 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007; A, 12/1/08]
viewing at the New Mexico state records center and archives and may not be reproduced, in full or in part. A copy of this publication may be
obtained from ASTM International, www.astm.org.) with a hydraulic conductivity of 1 x 10-7 cm/sec or less. In areas where no ground water is
present, the operator may propose an alternative base layer design, subject to division approval.
(2) The lower geomembrane liner shall consist of a 30-mil flexible PVC or 60-mil HDPE liner, or an equivalent liner approved by
the division.
(3) The operator shall place the leak detection system, which shall consist of two feet of compacted soil with a saturated hydraulic
conductivity of 1 x 10-5 cm/sec or greater, between the lower and upper geomembrane liners. The leak detection system shall consist of a drainage
and collection system placed no more than six inches above the lower geomembrane liner in depressions and sloped so as to facilitate the earliest
possible leak detection at designated collection points. Drainage piping shall be designed to withstand chemical attack from oil field waste and
leachate and structural loading and other stresses and disturbances from overlying oil field waste, cover materials, equipment operation, expansion
or contraction, and to facilitate clean-out maintenance. The material placed between the pipes and laterals shall be sufficiently permeable to allow
the transport of fluids to the drainage pipe. The slope of the landfill sub-grade and drainage pipes and laterals shall be at least two percent grade;
i.e., two feet of vertical drop per 100 horizontal feet. The piping collection network shall be comprised of solid and perforated pipe having a
minimum diameter of four inches and a minimum wall thickness of schedule 80. The operator shall seal a solid drainage pipe to convey collected
liquids to a corrosion-proof sump or sumps located outside the landfill’s perimeter for observation, storage, treatment or disposal. The operator
may install alternative designs as approved by the division.
(4) The operator shall place the upper geomembrane liner, which shall consist of a 30-mil flexible PVC or 60-mil HDPE liner, or an
equivalent liner approved by the division, over the leak detection system.
(5) The operator shall place the leachate collection and removal system, which shall consist of at least two feet of compacted soil
with a saturated hydraulic conductivity of 1 x 10-2 cm/sec or greater, over the upper geomembrane liner to facilitate drainage. The leachate
collection and removal system shall consist of a drainage and collection and removal system placed no more than six inches above the upper
geomembrane liner in depressions and sloped so as to facilitate the maximum leachate collection. Piping shall be designed to withstand chemical
attack from oil field waste or leachate and structural loading and other stresses and disturbances from overlying oil field waste, cover materials,
equipment operation, expansion or contraction and to facilitate clean-out maintenance. The material placed between the pipes and laterals shall be
sufficiently permeable to allow the transport of fluids to the drainage pipe. The slope of the upper geomembrane liner and drainage lines and
laterals shall be at least two percent grade; i.e., two feet of vertical drop per 100 horizontal feet. The piping collection network shall be comprised
of solid and perforated pipe having a minimum diameter of four inches and a minimum wall thickness of schedule 80. The operator shall seal a
solid drainage pipe to convey collected fluids outside the landfill’s perimeter for storage, treatment and disposal. The operator may install
alternative designs as approved by the division.
(6) The operator shall place the leachate collection and removal system protection layer, which shall consist of a soil layer at least
one foot thick with a saturated hydraulic conductivity of 1 x 10-2 cm/sec or greater, over the leachate collection and removal system.
(7) The operator shall place oil field waste over the leachate collection and removal system protective layer.
(8) The top landfill cover design shall consist of the following layers (top to bottom): a soil erosion layer composed of at least 12
inches of fertile topsoil re-vegetated in accordance with the post closure provisions of Subparagraph (b) of Paragraph (2) of Subsection D of
19.15.36.18 NMAC; a protection or frost protection layer composed of 12 to 30 inches of native soil; a drainage layer composed of at least 12
inches of sand or gravel with a saturated hydraulic conductivity of 1 x 10-2 cm/sec or greater and a minimum bottom slope of four percent, a
hydraulic barrier-layer-geomembrane (minimum of a 30-mil flexible PVC or 60-mil HDPE liner, or an equivalent liner approved by the division);
and a gas vent or foundation layer composed of at least 12 inches of sand or gravel above oil field waste with soils compacted to the minimum 80
percent Standard Proctor Density. The operator shall install the top landfill cover within one year of achieving the final landfill cell waste
elevation. The operator shall ensure that the final landfill design elevation of the working face of the oil field waste is achieved in a timely manner
with the date recorded in a field construction log. The operator shall also record the date of top landfill cover installation to document the timely
installation of top landfill covers. The operator shall provide a minimum of three working days notice to the division in advance of the top landfill
cover’s installation to allow the division to witness the top landfill cover’s installation.
(9) Alternatively, the operator may propose a performance-based landfill design system using geosynthetics or geocomposites,
including geogrids, geonets, geosynthetic clay liners, composite liner systems, etc., when supported by EPA’s “hydrologic evaluation of landfill
performance” (HELP) model or other division-approved model. The operator shall design the landfill to prevent the “bathtub effect”. The bathtub
effect occurs when a more permeable cover is placed over a less permeable bottom liner or natural subsoil.
(10) External piping, e.g., leachate collection, leak detection and sump removal systems shall be designed for installation of a
sidewall riser pipe. Pipes shall not penetrate the liner with the exception of gas vent or collection wells where the operator shall install a flexible
clamped pipe riser through the top landfill cover liner that will accommodate oil field waste settling and will prevent tears.
D. Liner specifications and requirements.
(1) General requirements.
(a) Geomembrane liner specifications. Geomembrane liners shall consist of a 30-mil flexible PVC or 60-mil HDPE liner, or an
equivalent liner approved by the division. Geomembrane liners shall have a hydraulic conductivity no greater than 1 x 10-9 cm/sec. Geomembrane
liners shall be composed of impervious, geosynthetic material that is resistant to petroleum hydrocarbons, salts and acidic and alkaline solutions.
Liners shall also be resistant to ultraviolet light, or the operator shall make provisions to protect the material from sunlight. Liner compatibility
shall comply with EPA SW-846 method 9090A.
(b) Liners shall be able to withstand projected loading stresses, settling and disturbances from overlying oil field waste, cover
materials and equipment operations.
(c) The operator shall construct liners with a minimum of two percent slope to promote positive drainage and to facilitate
leachate collection and leak detection.
(2) Additional requirements for geomembranes.
(a) Geomembranes shall be compatible with the oil field waste to be disposed. Geomembranes shall be resistant to chemical
attack from the oil field waste or leachate. The operator shall demonstrate this by means of the manufacturer’s test reports, laboratory analyses or
other division-approved method.
(b) Geosynthetic material the operator installs on a slope greater than 25 percent shall be designed to withstand the calculated
tensile forces acting upon the material. The design shall consider the maximum friction angle of the geosynthetic with regard to a soil-geosynthetic
or geosynthetic-geosynthetic interface and shall ensure that overall slope stability is maintained.
(c) The operator shall thermally seal (hot wedge) field seams in geosynthetic material with a double track weld to create an air
pocket for non-destructive air channel testing. In areas where double-track welding cannot be achieved, the operator may propose alternative
thermal seaming methods. A stabilized air pressure of 35psi, plus or minus one percent, shall be maintained for at least five minutes. The operator
shall overlap liners four to six inches before seaming, and shall orient seams parallel to the line of maximum slope; i.e., oriented along, not across,
the slope. The operator shall minimize the number of field seams in corners and irregularly shaped areas. The operator shall use factory seams
whenever possible. The operator shall not install horizontal seams within five feet of the slope’s toe. Qualified personnel shall perform all field
seaming.
E. Requirements for the soil component of composite liners.
(1) The operator shall place and compact the base layer to 90 percent standard proctor density on a prepared sub-grade.
(2) The soil surface upon which the operator installs a geosynthetic shall be free of stones greater than one half inch in any
dimension, organic matter, local irregularities, protrusions, loose soil and abrupt changes in grade that could damage the geosynthetic.
(3) The operator shall compact a clay soil component of a composite liner to a minimum of 90 percent standard proctor density,
which shall have, unless otherwise approved by the division, a plasticity index greater than 10 percent, a liquid limit between 25 and 50 percent, a
portion of material passing the no. 200 sieve (0.074 mm and less fraction) greater than 40 percent by weight; and a clay content greater than 18
percent by weight.
F. The leachate collection and removal system protective layer and the soil component of the leak detection system shall consist of
soil materials that shall be free of organic matter, shall have a portion of material passing the no. 200 sieve no greater than five percent by weight
and shall have a uniformity coefficient (Cu) less than 6, where Cu is defined as D60/D10. Geosynthetic materials or geocomposites including
geonets and geotextiles, if used as components of the leachate collection and removal or leak detection system, shall have a hydraulic conductivity,
transmissivity and chemical and physical qualities that oil field waste placement, equipment operation or leachate generation will not adversely
affect. These geosynthetics or geocomposites, if used in conjunction with the soil protective cover for liners, shall have a hydraulic conductivity
designed to ensure that the liner’s hydraulic head never exceeds one foot.
G. Landfill gas control systems. If the gas safety management plan or requirements of other federal, state or local agencies require
the installation of a gas control system at a landfill, the operator shall submit a plan for division approval, which shall include the following:
(1) the system’s design, indicating the location and design of vents, barriers, collection piping and manifolds and other control
measures that the operator will install (gas vent or collection wells shall incorporate a clamped and seamed pipe riser design through the top cover
liner);
(2) if gas recovery is proposed, the design of the proposed gas recovery system and the system’s major on-site components, including
storage, transportation, processing, treatment or disposal measures required in the management of generated gases, condensates or other residues;
(3) if gas processing is proposed, a processing plan designed in a manner that does not interfere or conflict with the activities on the
site or required control measures or create or cause danger to persons or property;
(4) if gas disposal is proposed, a disposal plan designed:
(a) in a manner that does not interfere or conflict with the activities on the site or with required control measures;
(b) so as not to create or cause danger to persons or property; and
(c) with active forced ventilation, using vents located at least one foot above the landfill surface at each gas vent’s location;
(5) physical and chemical characterization of condensates or residues that are generated and a plan for their disposal;
(6) means that the operator will implement to prevent gas’ generation and lateral migration such that
(a) the concentration of the gases the landfill generates does not exceed 25 percent of the lower explosive limit for gases in
surface waste management facility structures (excluding gas control or recovery system components); and
(b) the concentration of gases does not exceed the lower explosive limit for gases at the surface waste management facility
boundary; and
(7) a routine gas monitoring program providing for monitoring at least quarterly; the specific type and frequency of monitoring to be
determined based on the following:
(a) soil conditions;
(b) the hydrogeologic and hydraulic conditions surrounding the surface waste management facility; and
(c) the location of surface waste management facility structures and property lines.
H. Landfill gas response. If gas levels exceed the limits specified in Paragraph (6) of Subsection G of 19.15.36.14 NMAC, the
operator shall:
(1) immediately take all necessary steps to ensure protection of fresh water, public health, safety and the environment and notify the
division;
(2) within seven days of detection, record gas levels detected and a description of the steps taken to protect fresh water, public health,
(4) Record keeping. The operator shall maintain a copy of the monitoring reports in a form readily accessible for division inspection.
(5) Release response. If vadose zone sampling results show that the concentrations of TPH, BTEX or chlorides exceed the higher of
the PQL or the background soil concentrations, then the operator shall notify the division’s environmental bureau of the exceedance, and shall
immediately collect and analyze a minimum of four randomly selected, independent samples for TPH, BTEX, chlorides and the constituents listed
in Subsections A and B of 20.6.2.3103 NMAC. The operator shall submit the results of the re-sampling event and a response action plan for the
division’s approval within 45 days of the initial notification. The response action plan shall address changes in the landfarm’s operation to prevent
further contamination and, if necessary, a plan for remediating existing contamination.
F. Treatment zone closure performance standards. After the operator has filled a landfarm cell to the maximum thickness of two
feet or approximately 3000 cubic yards per acre, the operator shall continue treatment until the contaminated soil has been remediated to the higher
of the background concentrations or the following closure performance standards. The operator shall demonstrate compliance with the closure
performance standards by collecting and analyzing a minimum of one composite soil sample, consisting of four discrete samples.
(1) Benzene, as determined by EPA SW-846 method 8021B or 8260B, shall not exceed 0.2 mg/kg.
(2) Total BTEX, as determined by EPA SW-846 method 8021B or 8260B, shall not exceed 50 mg/kg.
(3) The GRO and DRO combined fractions, as determined by EPA SW-846 method 8015M, shall not exceed 500 mg/kg. TPH, as
determined by EPA method 418.1 or other EPA method approved by the division, shall not exceed 2500 mg/kg.
(4) Chlorides, as determined by EPA method 300.1, shall not exceed 500 mg/kg if the landfarm is located where ground water is less
than 100 feet but at least 50 feet below the lowest elevation at which the operator will place oil field waste or 1000 mg/kg if the landfarm is located
where ground water is 100 feet or more below the lowest elevation at which the operator will place oil field waste.
(5) The concentration of constituents listed in Subsections A and B of 20.6.2.3103 NMAC shall be determined by EPA SW-846
methods 6010B or 6020 or other methods approved by the division. If the concentration of those constituents exceed the PQL or background
concentration, the operator shall either perform a site specific risk assessment using EPA approved methods and shall propose closure standards
based upon individual site conditions that protect fresh water, public health, safety and the environment, which shall be subject to division approval
or remove pursuant to Paragraph (2) of Subsection G of 19.15.36.15 NMAC.
G. Disposition of treated soils.
(1) If the operator achieves the closure performance standards specified in Subsection F of 19.15.36.15 NMAC, then the operator
may either leave the treated soils in place, or, with prior division approval, dispose or reuse of the treated soils in an alternative manner.
(2) If the operator cannot achieve the closure performance standards specified in Subsection F of 19.15.36.15 NMAC within five
years or as extended by the division, then the operator shall remove contaminated soils from the landfarm cell and properly dispose of it at a
division-permitted landfill, or reuse or recycle it in a manner approved by the division.
(3) If the operator cannot achieve the closure performance standards specified in Subsection F of 19.15.36.15 NMAC within five
years or as extended by the division, then the division may review the adequacy of the operator’s financial assurance, as provided in Subsection G
of 19.15.36.11 NMAC. In that event, the division may require the operator to modify its financial assurance to provide for the appropriate
disposition of contaminated soil in a manner acceptable to the division.
(4) The operator may request approval of an alternative soil closure standard from the division, provided that the operator shall give
division-approved public notice of an application for alternative soil closure standards in the manner provided in 19.15.36.9 NMAC. The division
may grant the request administratively if no person files an objection thereto within 30 days after publication of notice; otherwise the division shall
set the matter for hearing.
H. Environmentally acceptable bioremediation endpoint approach.
(1) A landfarm operator may use an environmentally acceptable bioremediation endpoint approach to landfarm management in lieu
of compliance with the requirements of Paragraph (3) of Subsection F of 19.15.36.15 NMAC. The bioremediation endpoint occurs when TPH, as
determined by EPA method 418.1 or other EPA method approved by the division, is reduced to a minimal concentration as a result of
bioremediation and is dependent upon the bioavailability of residual hydrocarbons. An environmentally acceptable bioremediation endpoint occurs
when the TPH concentration has been reduced by at least 80 percent by a combination of physical, biological and chemical processes and the rate of
change in the reduction in the TPH concentration is negligible. The environmentally acceptable bioremediation endpoint in soil is determined
statistically by the operator’s demonstration that the rate of change in the reduction of TPH concentration is negligible.
(2) In addition to the requirements specified in Subsection C of 19.15.36.8 NMAC, an operator who plans to use an environmentally
acceptable bioremediation endpoint approach shall submit for the division’s review and approval a detailed landfarm operation plan for those
landfarm cells exclusively dedicated to the use of the environmentally acceptable bioremediation endpoint approach. At a minimum, the operations
plan shall include detailed information on the native soils, procedures to characterize each lift of contaminated soil, operating procedures and
management procedures that the operator shall follow.
(3) In addition to other operational requirements specified in 19.15.36.15 NMAC, the operator using an environmentally acceptable
bioremediation endpoint approach shall comply with the following.
(a) Native soil information required. The operator shall submit detailed information on the soil conditions present for each of
its landfarm cells immediately prior to the application of the petroleum hydrocarbon-contaminated soils, including: treatment cell size, soil
porosity, soil bulk density, soil pH, moisture content, field capacity, organic matter concentration, soil structure, SAR, EC, soil composition, soil
temperature, soil nutrient (C:N:P) (calcium, nitrogen and phosphate) concentrations and oxygen content.
(b) Characterization of contaminated soil. The operator shall submit a description of the procedures that it will follow to
characterize each lift of contaminated soil or drill cuttings, prior to treating each lift of contaminated soil or drill cuttings, for petroleum
hydrocarbon loading factor, TPH, BTEX, chlorides, constituents listed in Subsections A and B of 20.6.2.3103 NMAC, contaminated soil moisture,
contaminated soil pH and API gravity of the petroleum hydrocarbons.
(c) Operating procedures. The operator shall submit a description of the procedures, including a schedule, that it shall follow to
properly monitor and amend each lift of contaminated soil in order to maximize bioremediation, including tilling procedures and schedule;
procedures to limit petroleum hydrocarbon loading to less than five percent; procedures to maintain pH between six and eight; procedures to
monitor and apply proper nutrients; procedures to monitor, apply and maintain moisture to 60 to 80 percent of field capacity; and procedures to
monitor TPH concentrations.
(d) Management procedures. The operator shall submit a description of the management procedures that it shall follow to
properly schedule landfarming operations, including modifications during cold weather, record keeping, sampling and analysis, statistical
procedures, routine reporting, determination and reporting of achievement of the environmentally acceptable bioremediation endpoint and closure
and post-closure plans.
[19.15.36.15 NMAC - N, 2/14/2007; A, 12/1/08]
19.15.36.16 SMALL LANDFARMS: Small landfarms as defined in Paragraph (5) of Subsection A of 19.15.36.7 NMAC are exempt from
19.15.36 NMAC except for the requirements specified in 19.15.36.16 NMAC.
A. General requirements.
(1) Registration. Prior to establishment of a new small landfarm, the operator shall file a form C-137 EZ, small landfarm
registration, with the environmental bureau in the division’s Santa Fe office. If the operator is not the surface estate owner at the proposed site, the
operator shall furnish with its form C-137 EZ its certification it has a written agreement with the surface estate owner authorizing the site’s use for
the proposed small landfarm. The division shall issue the operator a registration number no more than 30 days from receipt of the properly
completed form.
(2) Limitation. The operator shall operate only one active small landfarm per governmental section at any time. No small landfarm
shall be located more than one mile from the operator’s nearest oil or gas well or other production facility.
B. General operating procedures. The operator shall:
(1) comply with the siting requirements of Subsections A and B of 19.15.36.13 NMAC;
(2) accept only exempt or non-hazardous wastes consisting of soils (excluding drill cuttings) generated as a result of accidental
releases from production operations, that are predominantly contaminated by petroleum hydrocarbons, do not contain free liquids, would pass the
paint filter test and where testing shows chloride concentrations are 500 mg/kg or below;
(3) berm the landfarm to prevent rainwater run-on and run-off; and
(4) post a sign at the site readable from a distance of 50 feet and listing the operator’s name; small landfarm registration number;
location by unit letter, section, township and range; expiration date; and an emergency contact telephone number.
C. Oil field waste management standards. The operator shall spread and disk contaminated soils in a single eight inch or less lift
within 72 hours of receipt. The operator shall conduct treatment zone monitoring to ensure that the TPH concentration, as determined by EPA SW-
846 method 8015M or EPA method 418.1 or other EPA method approved by the division, does not exceed 2500 mg/kg and that the chloride
concentration, as determined by EPA method 300.1, does not exceed 500 mg/kg. The operator shall treat soils by disking at least once a month and
by watering and adding bioremediation enhancing materials when needed.
D. Record-keeping requirements. The operator shall maintain records reflecting the generator, the location of origin, the volume
and type of oil field waste, the date of acceptance and the hauling company for each load of oil field waste received. The division shall post on its
website each small landfarm’s location, operator and registration date. In addition, the operator shall maintain records of the small landfarm’s
remediation activities in a form readily accessible for division inspection. The operator shall maintain all records for five years following the small
landfarm’s closure.
E. Small landfarm closure.
(1) Closure performance standards and disposition of soils. If the operator achieves the closure performance standards specified
below, then the operator may return the soil to the original generation site, leave the treated soil in place at the small landfarm or, with prior
division approval, dispose or reuse the treated soil in an alternative manner. If the operator cannot achieve the closure performance standards
within three years from the registration date, then the operator shall remove contaminated soil from the landfarm and properly dispose of it at a
permitted landfill, unless the division authorizes a specific alternative disposition. The following standards shall apply:
(a) benzene, as determined by EPA SW-846 method 8021 B or 8260B, shall not exceed 0.2 mg/kg;
(b) Total BTEX, as determined by EPA SW-846 method 8021 B or 8260B, shall not exceed 50 mg/kg;
(c) TPH, as determined by EPA SW-846 method 418.1 or other EPA method approved by the division, shall not exceed 2500
mg/kg; the GRO and DRO combined fraction, as determined by EPA SW-846 method 8015M, shall not exceed 500 mg/kg; and
(d) chlorides, as determined by EPA method 300.1, shall not exceed 500 mg/kg.
(2) Closure requirements. The operator shall:
(a) re-vegetate soils remediated to the closure performance standards if left in place in accordance with Paragraph (6) of
Subsection A of 19.15.36.18 NMAC;
(b) remove landfarmed soils that have not or cannot be remediated to the closure performance standards within three years to a
division-approved surface waste management facility, and re-vegetate the cell filled in with native soil to the standards in Paragraph (6) of
Subsection A of 19.15.36.18 NMAC;
(c) if the operator returns remediated soils to the original site, or with division permission, recycles them, re-vegetate the cell
filled in with native soil to the standards in Paragraph (6) of Subsection A of 19.15.36.18 NMAC;
(d) remove berms on the small landfarm and buildings, fences, roads and equipment; and
(e) clean up the site and collect one vadose zone soil sample from three to five feet below the middle of the treatment zone, or
in an area where liquids may have collected due to rainfall events; the vadose zone soil sample shall be collected and analyzed using the methods
specified above for TPH, BTEX and chlorides.
F. Final report. The operator shall submit a final closure report on a form C-137 EZ, together with photographs of the closed site,
to the environmental bureau in the division’s Santa Fe office. The division, after notice to the operator and an opportunity for a hearing if
requested, may require additional information, investigation or clean up activities.
[19.15.36.16 NMAC - N, 2/14/2007; A, 12/1/08]
(2) After the applicable post closure care period has expired, the division shall release the remainder of the financial assurance if the
monitoring wells show no contamination and the re-vegetation in accordance with Paragraph (6) of Subsection A of 19.15.36.18 NMAC is
successful. If monitoring wells or other monitoring or leak detection systems reveal contamination during the surface waste management facility’s
operation or in the applicable post closure care period following the surface waste management facility’s closure the division shall not release the
financial assurance until the contamination is remediated in accordance with 19.15.30 NMAC and 19.15.29 NMAC, as applicable.
(3) In any event, the division shall not finally release the financial assurance until it determines that the operator has successfully re-
vegetated the site in accordance with Paragraph (6) of Subsection A of 19.15.36.18 NMAC, or, if the division has approved an alternative site use
plan, until the landowner has obtained the necessary regulatory approvals and begun implementation of the use.
C. Surface waste management facility closure initiated by the division. Forfeiture of financial assurance.
(1) For good cause, the division may, after notice to the operator and an opportunity for a hearing, order immediate cessation of a
surface waste management facility’s operation when it appears that cessation is necessary to protect fresh water, public health, safety or the
environment, or to assure compliance with statutes or division rules and orders. The division may order closure without notice and an opportunity
for hearing in the event of an emergency, subject to NMSA 1978, Section 70-2-23, as amended.
(2) If the operator refuses or is unable to conduct operations at a surface waste management facility in a manner that protects fresh
water, public health, safety and the environment; refuses or is unable to conduct or complete an approved closure plan; is in material breach of the
terms and conditions of its surface waste management facility permit; or the operator defaults on the conditions under which the division accepted
the surface waste management facility’s financial assurance; or if disposal operations have ceased and there has been no significant activity at the
surface waste management facility for six months the division may take the following actions to forfeit all or part of the financial assurance:
(a) send written notice by certified mail, return receipt requested, to the operator and the surety, if any, informing them of the
decision to close the surface waste management facility and to forfeit the financial assurance, including the reasons for the forfeiture and the
amount to be forfeited, and notifying the operator and surety that a hearing request or other response shall be made within 10 days of receipt of the
notice; and
(b) advise the operator and surety of the conditions under which they may avoid the forfeiture; such conditions may include but
are not limited to an agreement by the operator or another party to perform closure and post closure operations in accordance with the surface
waste management facility permit conditions, the closure plan (including modifications or additional requirements imposed by the division) and
division rules, and satisfactory demonstration that the operator or other party has the ability to perform such agreement.
(3) The division may allow a surety to perform closure if the surety can demonstrate an ability to timely complete the closure and
post closure in accordance with the approved plan.
(4) If the operator and the surety do not respond to a notice of proposed forfeiture within the time provided, or fail to satisfy the
specified conditions for non-forfeiture, the division shall proceed, after hearing if the operator or surety has timely requested a hearing, to declare
the financial assurance’s forfeiture. The division may then proceed to collect the forfeited amount and use the funds to complete the closure, or, at
the division's election, to close the surface waste management facility and collect the forfeited amount as reimbursement.
(a) The division shall deposit amounts collected as a result of forfeiture of financial assurance in the oil and gas reclamation
fund.
(b) In the event the amount forfeited and collected is insufficient for closure, the operator shall be liable for the deficiency. The
division may complete or authorize completion of closure and post closure and may recover from the operator reasonably incurred costs of closure
and forfeiture in excess of the amount collected pursuant to the forfeiture.
(c) In the event the amount collected pursuant to the forfeiture was more than the amount necessary to complete closure,
including remediation costs, and forfeiture costs, the division shall return the excess to the operator or surety, as applicable, reserving such amount
as may be reasonably necessary for post closure monitoring and re-vegetation in accordance with Paragraph (6) of Subsection A of 19.15.36.18
NMAC. The division shall return excess of the amount retained over the actual cost of post closure monitoring and re-vegetation to the operator or
surety at the later of the conclusion of the applicable post closure period or when the site re-vegetation in accordance with Paragraph (6) of
Subsection A of 19.15.36.18 NMAC is successful.
(5) If the operator abandons the surface waste management facility or cannot fulfill the conditions and obligations of the surface
waste management facility permit or division rules, the state of New Mexico, its agencies, officers, employees, agents, contractors and other entities
designated by the state shall have all rights of entry into, over and upon the surface waste management facility property, including all necessary and
convenient rights of ingress and egress with all materials and equipment to conduct operation, termination and closure of the surface waste
management facility, including but not limited to the temporary storage of equipment and materials, the right to borrow or dispose of materials and
all other rights necessary for the surface waste management facility’s operation, termination and closure in accordance with the surface waste
management facility permit and to conduct post closure monitoring.
D. Surface waste management facility and cell closure and post closure standards. The following minimum standards shall apply to
closure and post closure of the installations indicated, whether the entire surface waste management facility is being closed or only a part of the
surface waste management facility.
(1) Oil treating plant closure. The operator shall ensure that:
(a) tanks and equipment used for oil treatment are cleaned and oil field waste is disposed of at a division-approved surface
waste management facility (the operator shall reuse, recycle or remove tanks and equipment from the site within 90 days of closure);
(b) the site is sampled, in accordance with the procedures specified in chapter nine of EPA publication SW-846, test methods
for evaluating solid waste, physical/chemical methods, for TPH, BTEX, major cations and anions and RCRA metals, in accordance with a gridded
plat of the site containing at least four equal sections that the division has approved; and
(c) sample results are submitted to the environmental bureau in the division's Santa Fe office.
19.15.36.20 TRANSITIONAL PROVISIONS: Existing permitted facilities. Surface waste management facilities in operation prior to the
effective date of 19.15.36 NMAC pursuant to division permits or orders may continue to operate in accordance with such permits or orders, subject
to the following provisions.
A. Existing surface waste management facilities shall comply with the operational, waste acceptance and closure requirements
provided in 19.15.36 NMAC, except as otherwise specifically provided in the applicable permit or order, or in a specific waiver, exception or
agreement that the division has granted in writing to the particular surface waste management facility.
B. Major modification of an existing surface waste management facility and a new landfarm cells constructed at an existing surface
waste management facility shall comply with the requirements provided in 19.15.36 NMAC.
C. The division shall process an application for a surface waste management facility permit filed prior to May 18, 2006 in
accordance with 19.15.9.711 NMAC, and an application filed after May 18, 2006 in accordance with 19.15.36 NMAC.
[19.15.36.20 NMAC - Rp, 19.15.9.711 NMAC, 2/14/2007]
Other History:
Rule 711, Applicable to Surface Waste Management Facilities Only (filed 12-18-95) renumbered and reformatted into that portion of 19 NMAC
15.I, effective 02-01-1996.
19 NMAC 15.I, Secondary or Other Enhanced Recovery, Pressure Maintenance, Salt Water Disposal, and Underground Storage (filed 01-18-96)
was renumbered, reformatted and amended to 19.15.9 NMAC, effective 11-30-2000.
Section 711 of 19.15.9 NMAC was renumbered to and replaced by 19.15.36 NMAC, Surface Waste Management Facilities, effective 2/14/2007.
19.15.37.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.37.1 NMAC - Rp, 19.15.12.1 NMAC, 12/1/08]
19.15.37.2 SCOPE: 19.15.37 NMAC applies to persons engaged in refining oil; operating gasoline, cycling or other plants where gasoline,
butane, propane, condensate, kerosene, oil or other liquid products are extracted from gas; or processing carbon dioxide gas into liquid or solid
form within New Mexico.
[19.15.37.2 NMAC - Rp, 19.15.12.2 NMAC, 12/1/08]
19.15.37.3 STATUTORY AUTHORITY: 19.15.37 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.37.3 NMAC - Rp, 19.15.12.3 NMAC, 12/1/08]
19.15.37.5 EFFECTIVE DATE: December 1, 2008, unless a later dated is cited at the end of a section.
[19.15.37.5 NMAC - Rp, 19.15.12.5 NMAC, 12/1/08]
19.15.37.6 OBJECTIVE: To regulate the refining of oil; the operation of gasoline, cycling or other plants where gasoline, butane, propane,
condensate, kerosene, oil or other liquid products are extracted from gas; or the processing of carbon dioxide gas.
[19.15.37.6 NMAC - Rp, 19.15.12.6 NMAC, 12/1/08]
19.15.37.8 REFINERY REPORTS: Each oil refiner shall furnish to the division for each calendar month a completed form C-113
containing the information and data the form requires, respecting oil and products involved in the refiner's operations during each month. The oil
refiner shall complete and file the form C-113 with the division for each month according to instructions on the form, on or before the 15th day of
the next succeeding month.
[19.15.37.8 NMAC - Rp, 19.15.12.1001 NMAC, 12/1/08]
19.15.37.9 GASOLINE PLANT REPORTS: An operator of a gasoline plant, cycling plant or other plant at which gasoline, butane,
propane, condensate, kerosene, oil or other liquid products are extracted from gas shall maintain for the division’s inspection for each calendar
month a completed form C-111 containing the information indicated on the form respecting gas and products involved in each plant’s operation
during each month. 19.15.37.9 NMAC also applies to plants processing carbon dioxide gas into liquid or solid form.
[19.15.37.9 NMAC - Rp, 19.15.12.1002 NMAC, 12/1/08]
History of Repealed Material: 19.15.12 NMAC, Refining (filed 10/01/2003) repealed 12/1/08.
NMAC History:
19.15.12 NMAC, Refining (filed 10/01/2003) was replaced by 19.15.37 NMAC, Refining, effective 12/1/08.
19.15.39.1 ISSUING AGENCY: Energy, Minerals and Natural Resources Department, Oil Conservation Division.
[19.15.39.1 NMAC - N, 12/1/08]
19.15.39.2 SCOPE: 19.15.39 NMAC applies to persons engaged in oil and gas development and production within New Mexico.
[19.15.39.2 NMAC - N, 12/1/08]
19.15.39.3 STATUTORY AUTHORITY: 19.15.39 NMAC is adopted pursuant to the Oil and Gas Act, NMSA 1978, Section 70-2-6,
Section 70-2-11 and Section 70-2-12.
[19.15.39.3 NMAC - N, 12/1/08]
19.15.39.5 EFFECTIVE DATE: December 1, 2008, unless a later date is cited at the end of a section.
[19.15.39.5 NMAC - N, 12/1/08]
19.15.39.6 OBJECTIVE: To regulate oil and gas operations in areas of particular environmental sensitivity in order to provide appropriate
protection for fresh water, public health and the environment in those areas.
[19.15.39.6 NMAC - N, 12/1/08]
19.15.39.8 SPECIAL PROVISIONS FOR SELECTED AREAS OF SIERRA AND OTERO COUNTIES:
A. The selected areas comprise:
(1) all of Sierra county except the area west of range 8 west NMPM and north of township 18 south, NMPM; and
(2) all of Otero county except the area included in the following townships and ranges:
(a) township 11 south, range 9 1/2 east and range 10 east NMPM;
(b) township 12 south, range 10 east and ranges 13 east through 16 east, NMPM;
(c) township 13 south, ranges 11 east through 16 east, NMPM;
(d) township 14 south, ranges 11 east through 16 east, NMPM;
(e) township 15 south, ranges 11 east through 16 east, NMPM;
(f) township 16 south, ranges 11 east through 15 east, NMPM;
(g) township 17 south, range 11 east (surveyed) and ranges 12 east through 15 east, NMPM;
(h) township 18 south, ranges 11 east through 15 east, NMPM;
(i) township 20 1/2 south, range 20 east, NMPM;
(j) township 21 south, range 19 east and range 20 east, NMPM; and
(k) township 22 south, range 20 east, NMPM; and also excepting also the un-surveyed area bounded as follows:
(i) beginning at the most northerly northeast corner of Otero county, said point lying in the west line of range 13 east
(surveyed);
(ii) thence west along the north boundary line of Otero county to the point of intersection of such line with the east line of
range 10 east NMPM (surveyed);
(iii) thence south along the east line of range 10 east NMPM (surveyed) to the southeast corner of township 11 south,
range 10 east NMPM (surveyed);
(iv) thence west along the south line of township 11 south, range 10 east NMPM (surveyed) to the more southerly
northeast corner of township 12 south, range 10 east NMPM (surveyed);
(v) thence south along the east line of range 10 east NMPM (surveyed) to the inward corner of township 13 south, range
10 east NMPM (surveyed) (said inward corner formed by the east line running south from the more northerly northeast corner and the north line
running west from the more southerly northeast corner of said township and range);
(vi) thence east along the north line of township 13 south NMPM (surveyed) to the southwest corner of township 12 south,
range 13 east, NMPM (surveyed);
(vii) thence north along the west line of range 13 east, NMPM (surveyed) to the point of beginning.
B. The division shall not issue permits under 19.15.17 NMAC for pits located in the selected areas.
C. Produced water injection wells located in the selected areas are subject to the following requirements in addition to those set out
in 19.15.25 NMAC and 19.15.34 NMAC.
(1) The division shall issue permits under 19.15.26.8 NMAC only after notice and hearing.
(2) The radius of the area of review shall be the greater of:
(a) one-half mile; or
(b) one and one-third times the radius of the zone of endangering influence, as calculated under EPA regulation 40 C.F.R.
section 146.6(a) or by other method acceptable to the division; but in no case shall the radius of the area of review exceed one and one-third miles.
(3) The operator shall demonstrate fresh water aquifers’ vertical extent prior to using a new or existing well for injection.
(4) The operator shall isolate fresh water aquifers throughout their vertical extent with at least two cemented casing strings. In
addition,
(a) existing wells converted to injection shall have continuous, adequate cement from casing shoe to surface on the smallest
diameter casing, and
(b) wells drilled for the purpose of injection shall have cement circulated continuously to surface on all casing strings, except
the smallest diameter casing shall have cement to at least 100 feet above the casing shoe of the next larger diameter casing.
(5) The operator shall run cement bond logs acceptable to the division after each casing string is cemented, and file the logs with the
appropriate division district office. For existing wells the casing and cementing program shall comply with 19.15.26.9 NMAC.
(6) The operator shall construct produced water transportation lines of corrosion-resistant materials acceptable to the division, and
pressure test the water transportation lines to one and one-half times the maximum operating pressure prior to operation, and annually thereafter.
(7) The operator shall place tanks on impermeable pads and surround the tanks with lined berms or other impermeable secondary
containment device having a capacity at least equal to one and one-third times the capacity of the largest tank, or, if the tanks are interconnected, of
all interconnected tanks.
(8) The operator shall record injection pressures and volumes daily or in a manner acceptable to the division, and make the record
available to the division upon request.
(9) The operator shall perform mechanical integrity tests as described in Paragraph (2) of Subsection A of 19.15.26.11 NMAC
annually, shall advise the appropriate division district office of the date and time the operator is commencing a mechanical integrity test so that the
division may witness the test and shall file the pressure chart with the appropriate division district office.
[19.15.39.8 NMAC - Rp, 19.15.1.21 NMAC, 12/1/08]
19.15.39.9 SPECIAL PROVISIONS FOR SANTA FE COUNTY AND THE GALISTEO BASIN:
A. Applicability. The operator shall obtain division approval for an exploration and development plan prior to drilling, re-entering
or deepening a well located in the Galisteo basin, and shall operate the wells covered by the exploration and development plan in accordance with
the exploration and development plan’s requirements until the exploration and development plan is specifically replaced by a special pool order.
Approval of an exploration and development plan does not relieve an operator from its responsibility to obtain any permit required pursuant to the
Oil and Gas Act for its activities conducted under the exploration and development plan. The operator shall renew an approved exploration and
development plan every five years. The Galisteo basin includes:
(1) the surveyed portions of the following sections in Sandoval county:
(a) township 15 north, range 5 east, sections 13 and 25;
(b) township 15 north, range 6 east, sections 10 through 30 and 32 through 36;
(c) township 14 north, range 6 east, sections 1 through 4, 9 through 15, 22 through 26 and 35 and 36;
(d) township 13 north, range 6 east, sections 1 and 2;
(2) the surveyed portions of the following sections in San Miguel county:
(a) township 15 north, range 12 east, sections 19 and 29 through 32;
(b) township 14 north, range 12 east, sections 4 through 10, 13 through 24, and 27 through 33;
(c) township 13 north, range 12 east, sections 4 through 9 and 16 through 21;
(3) the surveyed portions of the following sections in Santa Fe county:
(a) township 17 north, range 10 east, sections 35 and 36;
(b) township 17 north, range 11 east, sections 30 through 32;
(c) township 16 north, range 9 east, sections 26, 34 and 35;
(d) township 16 north, range 10 east, sections 1, 2, 10 through 17, 20 through 28 and 33 through 36;
(e) township 16 north, range 11 east, sections 5 through 8, 16 through 21 and 28 through 33;
(f) township 15 north, range 7 east, sections 7 through 9 and 14 through 36;
(g) township 15 north, range 8 east, sections 19 and 22 through 26;
(h) township 15 north, range 9 east, sections 2 through 4, 7 through 10, 14 through 23 and 25 through 36;
(i) township 15 north, range 10 east, sections 1 through 3, 11 through 13, 24, 25, 30 through 32 and 36;
(j) township 15 north, range 11 east, sections 3 through 36;
(k) township 14 north, range 7 east, sections 1 through 19, 21 through 24, 30 and 31;
(l) township 14 north, range 8 east, sections 1 through 10, 12 through 30 and 36;
(m) township 14 north, range 9 east, all sections;
(n) township 14 north, range 10 east, sections 1, 2 5 through 24, 29 and 30;
(o) township 14 north, range 11 east, sections 1 through 28 and 33 through 36;
(p) township 13 north, range 7 east, sections 6 and 7;
(q) township 13 north, range 8 east, sections 1, 12 through 14, 23 through 26, 35 and 36;
otherwise be required by 19.15.39.9 NMAC. The operator shall comply with the terms of the special pool order and obtain any permits required
for its operations required by law.
(4) A well drilled outside the horizontal limits of the pool designated by the special pool order shall not be classified as a
development well for the pool designated by the special pool order pursuant to 19.15.15.8 NMAC and is subject to the requirements of 19.15.39.9
NMAC.
(5) An operator applying for approval to replace the exploration and development plan with a special pool order shall file two copies
of the application with the division’s Santa Fe office and file a copy of the application with the appropriate division district office or offices. The
application shall:
(a) describe provisions to be included in the special pool order to protect fresh water and to protect human health and the
environment;
(b) update the information provided pursuant to Subsection B of 19.15.39.9 NMAC; and
(c) provide a proposed legal notice complying with Subsection F of 19.15.39.9 NMAC.
F. Legal notice. Legal notice of an application for a proposed exploration and development plan or an application to amend, renew
or replace an existing exploration and development plan shall be written in English and Spanish and shall include:
(1) the operator’s name, address and telephone number, and an e-mail address and facsimile number if available;
(2) a legal and a common description of the area that the exploration and development plan covers;
(3) in the case of an application for an exploration or development plan, a summary of the proposed plan including the number and
location of proposed exploratory and development wells and related facilities;
(4) in the case of an application to amend an existing exploration and development plan, a summary of the existing exploration and
development plan and a summary of the proposed amendment;
(5) in the case of an application to renew an existing exploration and development plan, a summary of the existing exploration and
development plan;
(6) in the case of an application to replace an existing exploration and development plan, a summary of the provisions to be included
in the special pool order to protect fresh water and protect human health and the environment;
(7) instructions for viewing the application on the division’s website or at the appropriate division district office or offices;
(8) instructions for filing written public comments on the application with the division clerk in the division’s Santa Fe office;
(9) if the application has been set for hearing, the date, time and location of the public hearing; and
(10) instructions for being placed on a division contact list to receive notice of future applications and legal notices related to the
exploration and development plan.
G. Application completeness.
(1) Within 60 days of receiving an application for an exploration and development plan or an application to amend, renew or replace
an existing exploration and development plan, the division shall notify the operator in writing of its determination on whether the application is
complete. An application is complete if it contains all the information required by 19.15.39.9 NMAC.
(2) If the division determines that the application is complete, the division shall:
(a) notify the operator in writing that the application is complete;
(b) provide the operator with an approved legal notice;
(c) provide the operator with a copy of the current contact list of individuals and entities requesting notice of actions related to
the exploration and development plan;
(d) distribute notice of the application with its next division or commission docket;
(e) post the approved legal notice and the application on the division’s website, with information that is confidential under
NMSA 1978, Section 18-6-11.1 redacted from the application; and
(f) provide a copy of the complete application to the state historic preservation officer with a request for review and comment.
(3) If the division determines that the application is not complete, the division’s written notification to the operator shall identify the
deficiencies.
(4) The operator may re-submit an application to correct deficiencies, correct errors or add information. The division’s receipt of a
re-submittal triggers a new 30 day period for the division to notify the operator of the division’s determination on completeness.
H. Public notice. Within 20 days of receiving an approved legal notice and the division’s determination that an application is
complete, the operator shall:
(1) publish the approved legal notice in English and Spanish in a display advertisement in a newspaper of general circulation in the
affected county or counties;
(2) mail the approved notice by certified mail, return receipt requested, to:
(a) holders of mineral interests in the area covered by the exploration and development plan and the area within one half mile
of the boundary of the exploration and development plan if they have not already agreed to participate in the exploration and development plan;
(b) surface interest owners in the area covered by the exploration and development plan and the area within one half mile of the
boundary of the exploration and development plan;
(c) the governor, chairperson or president of each tribe, pueblo and nation located in or partially located in New Mexico;
(d) the governments of counties and municipalities located within or partially located within the area covered by the exploration
and development plan or the area within one half mile of the boundary of the exploration and development plan;
(e) the state historic preservation officer; and
(f) the department of game and fish; and
(3) mail the approved notice of hearing by first class mail or transmit the notice of hearing by electronic mail to those individuals and
entities on the division’s contact list for the exploration and development plan.
I. Public hearings.
(1) The division shall set all applications for approval of exploration and development plans for public hearing, with the public
hearing to be set no sooner than 60 days after the operator serves public notice.
(2) The division may hold a public hearing on an application to amend, renew or replace an existing exploration and development
plan. The division may approve the amendment, renewal or replacement administratively unless the director determines that the amendment,
renewal or replacement is sufficiently substantial that public notice and public participation are appropriate.
(3) If the division acts administratively to deny an application to amend, renew or replace an existing exploration and development
plan, or acts administratively to approve an amendment, renewal or replacement of an existing exploration and development plan with conditions
or terms, the operator may, within 30 days of receipt of the administrative order, file an application for hearing on the application. The division
shall set the application for public hearing.
(4) If the division sets for public hearing an application to amend, renew or replace an existing exploration or development plan, the
operator shall submit to the division’s Santa Fe office for approval a notice of hearing containing the information required by Subsection F of
19.15.39.9 NMAC and, at least 30 days prior to the hearing date:
(a) publish the approved notice of hearing in a newspaper of general circulation in the county or counties in the area that the
exploration and development plan covers and within one half mile of the boundary of the area that the exploration and development plan covers;
(b) mail the approved notice of hearing by to those persons and entities entitled to public notice under Paragraph (2) of
Subsection H of 19.15.39.9 NMAC; and
(c) mail the approved notice of hearing by first class mail or transmit the notice of hearing by electronic mail to those
individuals and entities on the division’s contact list for the exploration and development plan.
J. Plan approvals, conditions, denials, amendments, revocations, renewals, transfers and replacements.
(1) The division may approve an exploration and development plan for a period not to exceed five years. The division may renew an
exploration and development plan for additional periods not to exceed five years.
(2) The division may approve an application for an exploration and development plan or an application to amend, renew or replace
an existing exploration and development plan if the operator proves that:
(a) the operator is in compliance with Subsection A of 19.15.5.9 NMAC;
(b) the application provides the information required by 19.15.39.9 NMAC;
(c) the operator has provided the notice required by 19.15.39.9 NMAC; and
(d) approval of the application will prevent waste, protect correlative rights, protect fresh water and protect human health and
the environment.
(3) The division may impose conditions on its approval of an application for an exploration and development plan or an amendment
or renewal of an exploration and development plan if the division determines that the conditions are necessary to prevent waste, protect correlative
rights, protect fresh water and protect human health or the environment.
(4) The division may include provisions in a special pool order that replaces an exploration and development plan if the division
determines that the provisions are necessary to prevent waste, protect correlative rights, protect fresh water or protect human health and the
environment.
(5) After notice to the operator and hearing, the division may revoke approval of an exploration and development plan and require
wells that the exploration and development plan covers to be shut-in if the operator is out of compliance with the exploration and development
plan or is out of compliance with Subsection A of 19.15.5.9 NMAC.
(6) If an exploration and development plan expires and the operator has not filed an application to renew the exploration and
development plan, the operator shall shut-in the wells that the exploration and development plan covers. If the operator has filed an application to
renew the exploration and development plan prior to its expiration, the operator may continue to operate wells that the exploration and
development plan covers until a final order is issued on the application for renewal.
(7) The exploration and development plan shall remain in effect until revoked, amended or replaced pursuant to 19.15.39.9 NMAC.
(8) In the event another operator becomes operator of record of wells subject to the exploration and development plan, the new
operator shall be bound by the terms of the applicable approved exploration and development plan or special pool order.
(9) Approval of an exploration and development plan or an application to amend, renew or replace an exploration and development
plan does not relieve an operator of responsibility for complying with any other applicable federal, state or local statutes, rules or regulations or
ordinances.
[19.15.39.9 NMAC - N, 7/16/09]
19.15.39.10 ADDITIONAL REQUIREMENTS FOR APPLICATIONS TO DRILL, RE-ENTER OR DEEPEN WELLS SUBJECT
TO AN EXPLORATION AND DEVELOPMENT PLAN:
A. An application for permit to drill, re-enter or deepen a well that requires an exploration and development plan pursuant to
19.15.39.9 NMAC shall include the following in addition to meeting the requirements set out in 19.15.14 NMAC:
(1) a permit application pursuant to 19.15.17 NMAC;
(2) global positioning system coordinates to the sixth decimal point to identify the location of a well to be drilled in an un-surveyed
area; and
(3) any additional information required by the operator’s approved exploration and development plan.
B. Unless otherwise specified in an approved exploration and development plan, a permit to drill, re-enter or deepen a well that
requires an exploration and development plan shall be subject to the following conditions:
(1) the operator shall drill the well using a closed loop system that uses above ground steel tanks for the management of drilling or
workover fluids without using below-grade tanks or pits;
(2) the operator shall not use the on-site closure methods identified in Subsection F of 19.15.17.13 NMAC;
(3) the operator shall run logs from total depth to surface that will determine porosity and water saturation;
(4) a mud-logger shall be on site during drilling from surface to total depth and shall submit the logs and a written report daily to the
supervisor of the appropriate district office;
(5) the operator shall isolate all fresh water zones and aquifers throughout their vertical extent with at least two cemented casing
strings;
(6) the operator shall circulate cement to surface on all casing strings, except that the smallest diameter casing shall have cement to at
least 100 feet above the casing shoe of the next larger diameter casing;
(7) the operator shall run cement bond logs acceptable to the division after each casing string is cemented and file the logs with the
appropriate district office; and
(8) the operator of a well awaiting gas pipeline connection shall place that well on approved temporary abandonment status, setting a
drillable bridge plug above any open perforations.
[19.15.39.10 NMAC - N, 7/16/09]
History of Repealed Material: 19.15.1 NMAC, General Provisions and Definitions (filed 04/27/2001) repealed 12/1/08 repealed 12/1/08.
NMAC History:
That applicable portion of 19.15.1 NMAC, General Provisions and Definitions (Section 21) (filed 07/22/2004) was replaced by 19.15.39 NMAC,
Special Rules, effective 12/1/08.