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The Clean Air Act Handbook, published by the American Bar Association (1st ed., 1998 and 2nd ed., 2004) (book co-editor and chapter author)
"Residual Risk: The Next Step for Air Toxics Regulation," Trends 1 (May/June 2004).
"The Air Toxics Program at the Crossroads: From MACT to Residual Risk," 18 Natural Resources & Environment 57 (Winter 2004)
"Multi-Pollutant Legislation and Its (Surprising) Advocates," 4 ABA Climate Change and Sustainable Development Committee Newsletter (July 2001)
"Understanding the Clean Air Act Section 112 General Duty Clause" (co-author), 6 Environmental Law & Practice 26 (Winter 1999)
"The New Accidental Release Prevention Program Under the Clean Air Act" (co-author), 13 Natural Resources & Environment 424 (Fall 1998)
"Credible Evidence: Its Origins and How It Will Affect Business," EM 38 (May 1997)
"Proposed Reforms of New Source Review Under the Clean Air Act," 4 Environmental Law & Practice 4 (Sept./Oct. 1996)
Clean Air Operating Permits: A Practical Guide, published by Air & Waste Management Association (1995) (principal author)
"Capturing the Market's Power," 11 Environmental Forum 20 (Sept./Oct. 1994)
"EPA Enhanced Monitoring Proposal: Changing the Rules of the Game for Air Quality Emissions Monitoring," 3 Journal of Environmental Permitting 239 (Spring 1994)
"Proposed Chemical Release Emergency Plan Regulations Under the Clean Air Act," 1 Environmental Law and Practice 32 (March/April 1994)
The New Title III Air Toxics Program: A Practical Guide to Compliance with EPA's Hazardous Air Pollutant Rules, published by Air & Waste Management Association (1994)
"EPA Proposes Enhanced Monitoring Rules," 2 Shepard's Clean Air Act Reporter 165 (Jan. 1994)
"Maximizing Flexibility and Minimizing Costs in the Title V Permitting Process," in Thompson Publishing Group's Clean Air Permits. |