OPINION
Before TUTTLE,* KOELSCH and BROWNING, Circuit Judges.
BROWNING, Circuit Judge:
Kennecott Copper Corporation1 petitions for review of an order of the Environmental Protection Agency (EPA) rejecting a portion of the State of Nevada’s implementation plan under the Clean Air Act2 relating to control of sulfur dioxide (SO2), and substituting provisions formulated by EPA. The problem arises from a single source of SO2 emissions in Nevada — Kennecott’s copper smelter at McGill in White Pine County.3
EPA based its order upon an interpretation of the Clean Air Act which requires that national air quality standards be met by continuous emission limitations to the maximum extent possible, and that intermittent controls and dispersion systems by used only when continuous emission controls are not economically feasible. This court denied Kennecott’s request for a temporary injunction against enforcement of the substitute plan promulgated by EPA but expedited Kennecott’s appeal. We affirm EPA’s order.
I
Section 109 of the Clean Air Act, 42 U.S.C. § 1857c-4, requires EPA to promulgate national primary and second[1151]*1151ary air quality standards.4 Section 110 of the Act, 42 U.S.C. § 1857c-5, applicable to existing sources of pollutants such as Kennecott’s McGill smelter,5 provides that the states must devise plans to implement, maintain, and-enforce these national standards. EPA must approve state implementation plans if they are adopted after reasonable notice and hearing, and meet other specified requirements. EPA must disapprove any state plan that does not comply with the statute, and propose and adopt a plan of its own. 42 U.S.C. § 1857c-5(c)(1).
EPA approved the provisions of Nevada’s implementation plan relating to control strategy except those involving control of S02 at Kennecott’s McGill smelter, the sole stationary source of this pollutant in the Nevada Intrastate Air Quality Control Region.6 Nevada submitted an amended plan.7 EPA rejected the state’s amendments, and proposed,8 and eventually adopted,9 a plan of its own.
The amended Nevada plan provided for a 60 percent reduction of S02 emissions from the McGill smelter by installation of a plant to convert S02 to sulfuric acid. When weather conditions are so adverse that the 60 percent reduction in emissions resulting from operation of the acid plant would not be sufficient to maintain national air quality standards, the Nevada plan provided for reducing the level of production at the smelter.
EPA rejected the Nevada plan on the ground that an 86 percent reduction of S02 emissions from the McGill smelter was required to achieve air quality standards. EPA recognized that it was not presently economically feasible to install an acid plant or other constant emission control that would reduce S02 emission from the McGill smelter more than the 60 percent contemplated by the Nevada plan. The EPA plan therefore provided that, as an interim measure, Kennecott might use continuous emission reduction technology capable of reducing emissions by 60 percent, together with such other controls (including reducing production and use of a tall stack) as might be needed to maintain national air standards.10 However, EPA’s plan also provided that, until full compliance with national air quality standards is achieved entirely by means of continuous emission reduction,11 Kennecott must undertake a research program to improve continuous emission control technology,12 and must adopt such improved technology as it becomes available for use at the McGill smelter on an economically feasible basis.13
[1152]*1152Kennecott’s basic position is that EPA is not authorized to require continuous emission reduction techniques in preference to intermittent controls or other methods for dispersion, or dilution, of pollutants. Kennecott contends that EPA must approve a state implementation plan that provides for any combination of continuous emission controls and alternative control systems devised by the state, so long as the state plan will attain and maintain national air quality standards within the statutory time periods.
This view of the statute underlies Kennecott’s opposition to EPA’s requirement that Kennecott engage in research to develop and apply constant emission control technology.14 It is also the principal source of Kennecott’s objection to EPA’s determination that an 86 percent reduction in S02 emissions from the McGill smelter is required to meet national air quality standards. EPA’s calculation rests upon measurements made prior to the installation of a new 750-foot tall smokestack at McGill. Kennecott submitted data to EPA indicating that the new tall stack resulted in a 92 percent decrease in ground level S02 concentrations.15 EPA refused permanent credit for this reduction because, in EPA’s view, the statute requires usé of continuous emission reduction technology, as opposed to dispersion techniques, whenever economically feasible.16
[1153]*1153II
EPA bases the requirement of constant emission controls upon section 110(a)(2)(B) of the Clean Air Act, 42 U.S.C. § 1857c-5(a)(2)(B).17 This subsection provides that EPA shall approve a state implementation plan if “it includes emission limitations, schedules, and timetables for compliance with such limitations, and such other measures as may be necessary to insure attainment and maintenance of such primary or secondary standard, including, but not limited to, land-use and transportation controls; . ” (emphasis added).
EPA reads the phrase “as may be necessary” as modifying only “such other measures,” and not “emission limitations.” In EPA’s view, measures other than emission limitations are therefore permissible only if “necessary” to achieve applicable air quality standards; such “other measures” are not “necessary” if economically feasible emission limitation technology is available.
EPA supports its interpretation of section 1857c-5(a)(2)(B) by references to. the language and legislative history of the Clean Air Act Amendments of 1970. EPA relies upon the fact that an option to utilize intermittent controls or tall stacks carries the potential for evasion of the intent of Congress that emission limitations be included in implementation plans. EPA invokes the policy of nondegradation of the quality of the nations’s air, implied from the Act.18 EPA also draws support from the Supreme Court’s decision in Train v. Natural Resources Defense Council, Inc., 421 U.S. 60, 95 S.Ct.
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OPINION
Before TUTTLE,* KOELSCH and BROWNING, Circuit Judges.
BROWNING, Circuit Judge:
Kennecott Copper Corporation1 petitions for review of an order of the Environmental Protection Agency (EPA) rejecting a portion of the State of Nevada’s implementation plan under the Clean Air Act2 relating to control of sulfur dioxide (SO2), and substituting provisions formulated by EPA. The problem arises from a single source of SO2 emissions in Nevada — Kennecott’s copper smelter at McGill in White Pine County.3
EPA based its order upon an interpretation of the Clean Air Act which requires that national air quality standards be met by continuous emission limitations to the maximum extent possible, and that intermittent controls and dispersion systems by used only when continuous emission controls are not economically feasible. This court denied Kennecott’s request for a temporary injunction against enforcement of the substitute plan promulgated by EPA but expedited Kennecott’s appeal. We affirm EPA’s order.
I
Section 109 of the Clean Air Act, 42 U.S.C. § 1857c-4, requires EPA to promulgate national primary and second[1151]*1151ary air quality standards.4 Section 110 of the Act, 42 U.S.C. § 1857c-5, applicable to existing sources of pollutants such as Kennecott’s McGill smelter,5 provides that the states must devise plans to implement, maintain, and-enforce these national standards. EPA must approve state implementation plans if they are adopted after reasonable notice and hearing, and meet other specified requirements. EPA must disapprove any state plan that does not comply with the statute, and propose and adopt a plan of its own. 42 U.S.C. § 1857c-5(c)(1).
EPA approved the provisions of Nevada’s implementation plan relating to control strategy except those involving control of S02 at Kennecott’s McGill smelter, the sole stationary source of this pollutant in the Nevada Intrastate Air Quality Control Region.6 Nevada submitted an amended plan.7 EPA rejected the state’s amendments, and proposed,8 and eventually adopted,9 a plan of its own.
The amended Nevada plan provided for a 60 percent reduction of S02 emissions from the McGill smelter by installation of a plant to convert S02 to sulfuric acid. When weather conditions are so adverse that the 60 percent reduction in emissions resulting from operation of the acid plant would not be sufficient to maintain national air quality standards, the Nevada plan provided for reducing the level of production at the smelter.
EPA rejected the Nevada plan on the ground that an 86 percent reduction of S02 emissions from the McGill smelter was required to achieve air quality standards. EPA recognized that it was not presently economically feasible to install an acid plant or other constant emission control that would reduce S02 emission from the McGill smelter more than the 60 percent contemplated by the Nevada plan. The EPA plan therefore provided that, as an interim measure, Kennecott might use continuous emission reduction technology capable of reducing emissions by 60 percent, together with such other controls (including reducing production and use of a tall stack) as might be needed to maintain national air standards.10 However, EPA’s plan also provided that, until full compliance with national air quality standards is achieved entirely by means of continuous emission reduction,11 Kennecott must undertake a research program to improve continuous emission control technology,12 and must adopt such improved technology as it becomes available for use at the McGill smelter on an economically feasible basis.13
[1152]*1152Kennecott’s basic position is that EPA is not authorized to require continuous emission reduction techniques in preference to intermittent controls or other methods for dispersion, or dilution, of pollutants. Kennecott contends that EPA must approve a state implementation plan that provides for any combination of continuous emission controls and alternative control systems devised by the state, so long as the state plan will attain and maintain national air quality standards within the statutory time periods.
This view of the statute underlies Kennecott’s opposition to EPA’s requirement that Kennecott engage in research to develop and apply constant emission control technology.14 It is also the principal source of Kennecott’s objection to EPA’s determination that an 86 percent reduction in S02 emissions from the McGill smelter is required to meet national air quality standards. EPA’s calculation rests upon measurements made prior to the installation of a new 750-foot tall smokestack at McGill. Kennecott submitted data to EPA indicating that the new tall stack resulted in a 92 percent decrease in ground level S02 concentrations.15 EPA refused permanent credit for this reduction because, in EPA’s view, the statute requires usé of continuous emission reduction technology, as opposed to dispersion techniques, whenever economically feasible.16
[1153]*1153II
EPA bases the requirement of constant emission controls upon section 110(a)(2)(B) of the Clean Air Act, 42 U.S.C. § 1857c-5(a)(2)(B).17 This subsection provides that EPA shall approve a state implementation plan if “it includes emission limitations, schedules, and timetables for compliance with such limitations, and such other measures as may be necessary to insure attainment and maintenance of such primary or secondary standard, including, but not limited to, land-use and transportation controls; . ” (emphasis added).
EPA reads the phrase “as may be necessary” as modifying only “such other measures,” and not “emission limitations.” In EPA’s view, measures other than emission limitations are therefore permissible only if “necessary” to achieve applicable air quality standards; such “other measures” are not “necessary” if economically feasible emission limitation technology is available.
EPA supports its interpretation of section 1857c-5(a)(2)(B) by references to. the language and legislative history of the Clean Air Act Amendments of 1970. EPA relies upon the fact that an option to utilize intermittent controls or tall stacks carries the potential for evasion of the intent of Congress that emission limitations be included in implementation plans. EPA invokes the policy of nondegradation of the quality of the nations’s air, implied from the Act.18 EPA also draws support from the Supreme Court’s decision in Train v. Natural Resources Defense Council, Inc., 421 U.S. 60, 95 S.Ct. 1470, 43 L.Ed.2d 731 (1975), and from the provisions and legislative history of the Energy Supply and Environmental Coordination Act of 1974.
The Courts of Appeals for the Fifth and Sixth Circuits have adopted the interpretation of section 1857c-5(a)(2)(B) urged by EPA. Natural Resources Defense Council, Inc. v. EPA, 489 F.2d 390 (5th Cir. 1974), reversed in part on other grounds sub nom., Train v. Natural Resources Defense Council, Inc., 421 U.S. 60, 95 S.Ct. 1470, 43 L.Ed.2d 731 (1975); Texas v. EPA, 499 F.2d 289, 311 (5th Cir. 1974); and Big Rivers Electric Corp. v. EPA, 523 F.2d 16 (6th Cir. 1975).
In Natural Resources Defense Council, the Fifth Circuit held that EPA may approve tall stack dispersion techniques in a state implementation plan “only (1) if it is demonstrated that emission limitation regulations included in the plan are sufficient standing alone, without the dispersion strategy, to attain the standards; or (2) if it is demonstrated that emission limitation sufficient to meet the standard is unachievable or infeasible, and that the state has adopted regulations which will attain the maximum degree of emission limitation [1154]*1154achievable.” 489 F.2d at 410 (emphasis in original).19 We agree, in general, with the Fifth Circuit’s analysis (489 F.2d at 403-09) of the history and contents of the Clean Air Act Amendments of 1970 leading to this conclusion.20
In Big Rivers Electric Corp., the Sixth Circuit extended the Fifth Circuit’s decision to intermittent emission control systems, holding that section 1857c-5(a)(2)(B) authorizes EPA to reject state plans providing for the use of intermittent emission control systems without a showing that constant emission controls are unavailable.21 The Sixth Circuit based its conclusion upon the Fifth Cir[1155]*1155cuit’s analysis of the Clean Air Act Amendments of 1970, and upon the Supreme Court’s discussion of section 1857c — 5(a)(2)(B) in Train v. Natural Resources Defense Council. Train parses section 1857c-5(a)(2)(B) as EPA’s interpretation suggests (421 U.S. at 67, 95 S.Ct. 1476), and adopts the position that a state plan must include provisions regulating the composition of substances emitted from a given source. 421 U.S. at 78, 95 S.Ct. at 1481. The Sixth Circuit noted that since composition means “kind and amount,” Train recognizes that a state plan must limit the amount of a pollutant. 523 F.2d at 21-22.
We agree with the Sixth Circuit that Train adds significant support to EPA’s interpretation of section 1857c-5(a) (2)(B) as expressing a preference for emission limitations.22 Intermittent control systems (such as those restricting production, or utilizing less polluting fuels, during periods of adverse weather) do limit the amount of pollutant emitted while such controls are being applied. However, the reliability and enforceability of such controls is questionable; they may not be implemented when they are in fact needed.23 Moreover, there is no assurance that temporary reductions in emissions resulting from such controls will not be balanced, or even exceeded, by an increase in the amount of pollutant emitted when weather conditions improve and production is increased to make up for prior losses, or more polluting fuels are again used. Thus, intermittent controls, like tall stacks, may only disperse the pollutant rather than reduce it. Tall smokestacks disperse a pollutant through greater quantities of air; intermittent control systems disperse pollutant peaks through longer periods of time. Neither assures a reduction in the quantity of the pollutant eventually emitted.24 Under section 1857c-5(a)(2)(B), EPA may require that assurance. • We therefore agree with the Sixth Circuit that EPA acted within its authority in refusing to accept intermittent controls as adequate compliance with the statute.
Kennecott presses one argument, based upon the 1970 amendments, not addressed by either circuit. Section 1857c-5(a)(2)(B) is applicable to existing [1156]*1156sources of pollutants; section 1857c-6(b)(1)(B) governs new sources. Congress intended the standard applicable to the latter to be the more stringent. Kennecott argues that EPA’s interpretation of section 1857c-5(a)(2)(B) would make the new source and existing source standards the same. Kennecott is mistaken. The new source standard requires “the degree of emission limitation achievable through the application of the best system of emission reduction” without regard to air quality standards. 42 U.S.C. § 1857c-6(a)(l). In contrast, existing sources, under EPA’s view of section 1857c-5(a)(2)(B), need only reduce emissions to the extent necessary to comply with air quality standards. Moreover, existing sources, as opposed to new sources, need adopt only such systems of emission reduction as are economically feasible, so long as interim compliance with air quality standards may be achieved by “other measures.” These differences are real. The record discloses that technology capable of reducing S02 emissions by 80 percent is available and is now installed at two Kennecott smelters. Such technology has not been required at McGill only because the required investment would be uneconomic at that smelter. See note 13.
Ill
Congress again amended the Clean Air Act in 1974. The Energy Supply and Environmental Coordination Act of 1974 added a new section 119 to the Act, 42 U.S.C. § 1857c-10. The provisions of this amendment assume that section 1857c-5(a)(2)(B) has the meaning attributed to it by the Fifth and Sixth Circuits and by EPA. The legislative history adds further significant support to this interpretation.
The 1974 Amendments were a response to the 1973 oil embargo and resulting energy crisis. They provide, among other things, for temporary suspension of emission limitations where fuels necessary to compliance become unavailable, or a plant burning oil or gas converts to coal.
A predecessor to the 1974 Amendments was adopted during the first session of the 93d Congress, but was vetoed.25 The legislative history of the aborted statute throws light on the proper construction of section 1857c-5(a)(2)(B). As it passed the House, the statute contained a provision (originating in the so-called Murphy Amendments) implying that the Clean Air Act did not require emission limitations, and permitting the permanent use of intermittent controls at certain emission sources.26
[1157]*1157This provision did not survive the Conference Committee. As adopted, the Conference substitute permitted use of alternative or intermittent controls only by pollution sources that converted to combustion of coal, and then only under such conditions as “would require incremental steps toward compliance by utilization of low sulfur coal or coal by-products, or by continuous emission reduction systems.”27 The 1973 legislation assumed the correctness of EPA’s construction of section 1857c-5(a)(2)(B).
The same pattern was repeated with respect to the bill adopted in the next session of the 93d Congress and signed by the President — again Congress assumed that the Clean Air Act is to be construed as requiring the use of continuous emission reduction systems if available, and. again Congress rejected an affirmative effort to modify the statute to alter this construction. In March, 1974, Russell E. Train, Administrator of EPA, transmitted a proposed bill to the Speaker of the House of Representatives which, in pertinent part, was the same in substance as the statute eventually adopted.28 Mr. Train also transmitted two proposals advanced by other agencies of the Executive branch which, he wrote, “I do not support.” One of these proposals would have rejected the nondegradation policy, collaterally relevant here.29 The other, directly relevant, [1158]*1158would have amended section 1857c — 5 expressly to bar the interpretation of subsection (a)(2)(B) adopted by the Fifth and Sixth Circuits and EPA, and to require the interpretation urged by Kennecott. The proposed bill would have added a new subsection to section 1857c-5 providing that nothing in that section was to be construed “to preclude use of alternative or intermittent control measures” which are reliable and enforceable and “will permit attainment and maintenance of the national ambient air quality standards.”30
Mr. Train described the Administration’s proposed bill as a victory over the two proposals favored by other executive agencies, which, he said, would “significantly weaken the Clean Air Act.” He pointed out that these two proposals were submitted to Congress by the Administration only as issues to be considered, not as recommended changes. He noted that the proposal regarding intermittent controls, rejected by the Administration, was intended “to allow the use of intermittent control strategies as a permanent method for achieving compliance with stationary source emission standards.” Mr. Train reaffirmed EPA’s contrary position, stating, “As in the past, EPA will contend that the intermittent controls can be used only as an expedient, temporary control measure"31
EPA’s position prevailed in Congress as it had within the Executive branch. The 1974 Amendments did not include the proposal approving general permanent use of intermittent controls to achieve national air quality standards,32 or the proposal rejecting the policy of nondegradation. Intermittent controls were allowed only in carefully limited situations, and then only temporarily. Plants converting from oil or natural gas to coal might obtain an extension of compliance dates but only on condition that they enter into binding contracts for a long term supply of coal that would enable them to meet emission requirements, or contract for continuous emission reduction systems necessary to enable them to achieve the required degree of emission reduction. EPA was empowered to impose such “interim requirements” as were “reasonable and practicable,” but the required degree of emission reduction was to be achieved no later than a date certain set by the statute. 42 U.S.C. § 1857c — 10(c)(2)(B) & (C). The required degree of emission limitation was fixed by reference to the state implementation plan applicable to the particular plant, but no one suggested that the statutory scheme might be frustrated because such a plan might seek to attain air quality standards by means other than emission reduction. On the contrary, Congress clearly understood that existing law required that air quality standards be achieved by emission reduction, and that other control measures were to be employed only temporarily.
Thus, in the course of presenting the Conference Report on the 1974 Amend[1159]*1159ments to the Senate, Senator Muskie, Chairman of the Subcommittee on Environmental Pollution and manager of the bill in the Senate, pointed out that “intermittent control strategies are permitted as an interim measure applicable to coal conversion” if EPA determined they were enforceable.33 After expressing his personal doubt as to the enforceability of intermittent controls, Senator Muskie said:
It is these doubts that lead me to underscore the fact that no one should view limited application of enforceable strategies related to this legislation as a precedent for future legislation or as a reinterpretation of the requirements of the existing law which bar the application of intermittent control strategies as a substitute for emission limitations.34
These legislative materials offer convincing evidence that the 93d Congress interpreted the 1970 Amendments to the Clean Air Act to require that air quality standards must be met by continuous emission reduction controls so far as pos[1160]*1160sible.35 The 1974 Amendments confirm this reading of the earlier statute by strong implication. In these circumstances, the rule that “[s]ubsequent legislation declaring the intent of an earlier statute is entitled to significant weight” is appropriately applied. NLRB v. Bell Aerospace Co., 416 U.S. 267, 275, 94 S.Ct. 1757, 40 L.Ed.2d 134 (1974); see Red Lion Broadcasting Co. v. FCC, 395 U.S. 367, 381, 89 S.Ct. 1794, 23 L.Ed.2d 371 (1969); South Terminal Corp. v. EPA, 504 F.2d 646, 669-70 (1st Cir. 1974); cf. Rath Packing Co. v. Becker, 530 F.2d 1295, 1312 (9th Cir. 1975).
IV
Kennecott spent $4,000,000 to implement the Nevada plan, but suspended further construction on the $30,000,000 project pending completion of this review proceeding. Kennecott states that the McGill smelter will only support the expenditures required by the Nevada plan, and that the smelter must close if Kennecott is required, in addition, to conduct research to devise new constant control technology which would be economically feasible at McGill.
EPA’s plan requires the same immediate capital outlay as the Nevada plan with which Kennecott has said it can comply. Contrary to Kennecott’s contention, EPA’s plan would not expose Kennecott to the risk that it would be required to make further capital investments for the installation of uneconomic continuous emission control systems in the future. As EPA has undertaken to assure Kennecott (see note 13), under EPA’s interpretation of section 1857c-5(a)(2)(B), EPA could not compel Kennecott to install additional emission reduction systems at McGill unless it were economically feasible for Kennecott to do so.
The order of the Environmental Protection Agency is sustained.