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{{#Wiki_filter:May 10, 2011 Mr. Mike Perito | {{#Wiki_filter:UNITED STATES | ||
NUCLEAR REGULATORY COMMISSION | |||
REGI ON I V | |||
612 EAST LAMAR BLVD, SUITE 400 | |||
ARLINGTON, TEXAS 76011-4125 | |||
May 10, 2011 | |||
Mr. Mike Perito | |||
Vice President Operations | |||
Entergy Operations, Inc. | |||
Grand Gulf Nuclear Station | |||
P.O. Box 756 | P.O. Box 756 | ||
Port Gibson, MS 39150 | |||
Subject: GRAND GULF NRC INTEGRATED INSPECTION REPORT NUMBER | |||
05000416/2011002 | |||
Dear Mr. Perito: | |||
On March 27, 2011, the U.S. Nuclear Regulatory Commission (NRC) completed an inspection | |||
at your Grand Gulf Nuclear Station. The enclosed integrated inspection report documents the | |||
inspection findings, which were discussed on April 14, 2011, with Mike Perito, Vice President | |||
Operations, and other members of your staff. | |||
The inspections examined activities conducted under your license as they relate to safety and | |||
compliance with the Commissions rules and regulations and with the conditions of your license. | |||
The inspectors reviewed selected procedures and records, observed activities, and interviewed | |||
personnel. | |||
Based on the results of this inspection, the NRC has determined that one Severity Level IV | |||
violation of NRC requirements occurred. The NRC has also identified five issues that were | |||
evaluated under the risk significance determination process as having very low safety | |||
significance (Green). The NRC has determined that four of these findings have violations | |||
associated with these issues. Additionally, one licensee-identified violation, which was | |||
determined to be of very low safety significance, is listed in this report. However, because of | |||
their very low safety significance and because they were entered into your corrective action | |||
program, the NRC is treating these findings as noncited violations, consistent with Section 2.3.2 | |||
of the NRC Enforcement Policy. | |||
If you contest the significance of the noncited violations, you should provide a response within | |||
30 days of the date of this inspection report, with the basis for your denial, to the U.S. Nuclear | |||
Regulatory Commission, ATTN: Document Control Desk, Washington, D.C. 20555-0001, with | |||
copies to the Regional Administrator, U.S. Nuclear Regulatory Commission, Region IV, | |||
612 E. Lamar Blvd, Suite 400, Arlington, Texas, 76011-4125; the Director, Office of | |||
Enforcement, U.S. Nuclear Regulatory Commission, Washington, D.C. 20555-0001; and the | |||
NRC Resident Inspector at the facility. In addition, if you disagree with the cross-cutting aspect | |||
assigned to any finding in this report, you should provide a response within 30 days of the date | |||
Entergy Operations, Inc. -2- | |||
of this inspection report, with the basis for your disagreement, to the Regional Administrator, | |||
Region IV, and the NRC | |||
1R07 Heat Sink Performance (71111.07) | 1R07 Heat Sink Performance (71111.07) | ||
a. Inspection Scope | |||
The inspectors reviewed licensee programs, verified performance against industry | |||
standards, and reviewed critical operating parameters and maintenance records for the | |||
Division 1 emergency diesel generator jacket water and lube oil heat exchangers. The | |||
inspectors verified that performance tests were satisfactorily conducted for heat | |||
Inspection Procedure | exchangers/heat sinks and reviewed for problems or errors; the licensee utilized the | ||
periodic maintenance method outlined in EPRI Report NP 7552, Heat Exchanger | |||
Performance Monitoring Guidelines; the licensee properly utilized biofouling controls; | |||
the licensees heat exchanger inspections adequately assessed the state of cleanliness | |||
of their tubes; and the heat exchanger was correctly categorized under 10 CFR 50.65, | |||
Requirements for Monitoring the Effectiveness of Maintenance at Nuclear Power | |||
Plants. Specific documents reviewed during this inspection are listed in the attachment. | |||
These activities constitute completion of one heat sink inspection sample as defined in | |||
Inspection Procedure 71111.07-05. | |||
b. Findings | |||
No findings were identified. | |||
1R11 Licensed Operator Requalification Program (71111.11) | 1R11 Licensed Operator Requalification Program (71111.11) | ||
a. Inspection Scope | |||
On January 31, 2011, the inspectors observed a crew of licensed operators in the plants | |||
simulator to verify that operator performance was adequate, evaluators were identifying | |||
and documenting crew performance problems and training was being conducted in | |||
accordance with licensee procedures. The inspectors evaluated the following areas: | |||
* Licensed operator performance | |||
* Crews clarity and formality of communications | |||
* Crews ability to take timely actions in the conservative direction | |||
* Crews prioritization, interpretation, and verification of annunciator alarms | |||
* Crews correct use and implementation of abnormal and emergency procedures | |||
- 11 - Enclosure | |||
* Control board manipulations | |||
* Oversight and direction from supervisors | |||
* Crews ability to identify and implement appropriate technical specification | |||
actions and emergency plan actions and notifications | |||
The inspectors compared the | The inspectors compared the crews performance in these areas to preestablished | ||
operator action expectations and successful critical task completion requirements. | |||
-operator requalification program sample as defined in Inspection Procedure | Specific documents reviewed during this inspection are listed in the attachment. | ||
These activities constitute completion of one quarterly licensed-operator requalification | |||
program sample as defined in Inspection Procedure 71111.11. | |||
b. Findings | |||
No findings were identified. | |||
1R12 Maintenance Effectiveness (71111.12) | |||
a. Inspection Scope | |||
The inspectors evaluated degraded performance issues involving the following risk | |||
significant systems: | |||
* Appendix R emergency lighting units (Z92) | |||
* Control room air conditioning (Z51) | |||
* Residual heat removal (E12) | |||
The inspectors reviewed events such as where ineffective equipment maintenance has | |||
resulted in valid or invalid automatic actuations of engineered safeguards systems and | |||
independently verified the licensee's actions to address system performance or condition | |||
problems in terms of the following: | |||
* Implementing appropriate work practices | |||
* Identifying and addressing common cause failures | |||
-(a)(2) | * Scoping of systems in accordance with 10 CFR 50.65(b) | ||
* Characterizing system reliability issues for performance | |||
The inspectors assessed performance issues with respect to the reliability, availability, and condition monitoring of the system. | * Charging unavailability for performance | ||
* Trending key parameters for condition monitoring | |||
- 12 - Enclosure | |||
* Ensuring proper classification in accordance with 10 CFR 50.65(a)(1) or -(a)(2) | |||
the inspectors determined that Section 6.3.1.1.1.e, | * Verifying appropriate performance criteria for structures, systems, and | ||
components classified as having an adequate demonstration of performance | |||
through preventive maintenance, as described in 10 CFR 50.65(a)(2), or as | |||
requiring the establishment of appropriate and adequate goals and corrective | |||
actions for systems classified as not having adequate performance, as described | |||
in 10 CFR 50.65(a)(1) | |||
The inspectors assessed performance issues with respect to the reliability, availability, | |||
and condition monitoring of the system. In addition, the inspectors verified maintenance | |||
effectiveness issues were entered into the corrective action program with the appropriate | |||
significance characterization. Specific documents reviewed during this inspection are | |||
listed in the attachment. | |||
These activities constitute completion of three quarterly maintenance effectiveness | |||
samples as defined in Inspection Procedure 71111.12-05. | |||
-1-01-3, | b. Findings | ||
.1 Failure to Update Available Low Pressure Cooling Injection Loops in the Updated Final | |||
the aforementioned statements in Section 6.3 did not appropriately reflect the available emergency core cooling equipment during shutdown cooling operations. | Safety Analysis Report | ||
Introduction. Inspectors identified a Severity Level IV, noncited violation for the | |||
licensees failure to update the final (updated) safety analysis report in accordance with | |||
10 CFR 50.71(e)(4). Specifically, the licensee failed to update Section 6.3, Emergency | |||
Core Cooling Systems, to appropriately reflect the available emergency core cooling | |||
shutdown cooling operations in Mode 3 was a performance deficiency. | equipment during shutdown cooling operations in Mode 3. | ||
Description. On February 28, 2011, while reviewing the updated final safety analysis | |||
violation. | report for a maintenance effectiveness inspection of the residual heat removal system, | ||
the inspectors determined that Section 6.3.1.1.1.e, Emergency Core Cooling Systems, | |||
to the above, licensing personnel failed to update the original revision of the final safety analysis report to reflect the actual number of low pressure coolant injection loops available for automatic initiation during shutdown cooling operations in Mode 3. | states, The ECCS is designed to satisfy all criteria specified in Section 6.3 for any | ||
Because the finding is of very low safety significance and has been entered into | normal mode of reactor operation. Additionally, Section 6.3.1.1.2.d states, In the event | ||
of a break in a pipe that is part of the reactor coolant pressure boundary, no single active | |||
component failure in the emergency core cooling system shall prevent automatic | |||
-02, "Failure to Update Available Low Pressure Coolant Injection Loops in the Updated Final Safety Analysis Report." | initiation and successful operation of less than the following combination of emergency | ||
core cooling system equipment: 1) Three low pressure coolant injection loops, the low | |||
. | pressure core spray and the automatic depressurization system (i.e., high pressure core | ||
spray failure); 2) Two low pressure coolant injection loops, the high pressure core spray | |||
and the automatic depressurization system (i.e., low pressure core spray diesel | |||
generator failure); and 3) One low pressure coolant injection loop, the low pressure core | |||
spray, the high pressure core spray and automatic depressurization system (i.e., low | |||
pressure coolant injection diesel generator failure). | |||
Procedure 03-1-01-3, Plant Shutdown, Revision 118, Section 6.14 states, When | |||
shutdown cooling is placed in service at less than 135 psig, then the associated | |||
containment spray and low pressure coolant injection systems may be considered | |||
- 13 - Enclosure | |||
, and once in June). | |||
operable if capable of being manually realigned and not otherwise inoperable. | |||
functional failure events or as a repeat functional failure). | Inspectors noted that because the residual heat removal system that provides shutdown | ||
the train was returned to service each time after corrective maintenance was performed and declared operable by operations. | cooling in Mode 3 is not available for automatic initiation (must be manually realigned) of | ||
declared inoperable due to multiple Freon leaks and was classified as another maintenance rule functional failure for the train. | low pressure coolant injection, in the event of a reactor coolant system pipe break, that | ||
the aforementioned statements in Section 6.3 did not appropriately reflect the available | |||
the expert panel concluded that, although the train B control room air conditioner | emergency core cooling equipment during shutdown cooling operations. In other words, | ||
the combinations of emergency core cooling equipment available for automatic initiation | |||
of effective corrective actions had been identified and implemented and additional corrective actions were not necessary; therefore, the subject system was allowed to | would include one less low pressure coolant injection loop. | ||
The licensee entered this issue into their corrective actions program as Condition Report | |||
CR-GGN-2011-01631. The licensee planned to take actions to update the updated final | |||
safety analysis report at the next scheduled revision. | |||
Analysis. The failure of licensing personnel to update the final safety analysis report to | |||
reflect the available low pressure coolant injection loops for automatic initiation during | |||
shutdown cooling operations in Mode 3 was a performance deficiency. This finding was | |||
evaluated using traditional enforcement because it had the potential for impacting the | |||
NRCs ability to perform its regulatory function. The inspectors used the NRC | |||
Enforcement Policy, dated September 30, 2010, to evaluate the significance of this | |||
violation. Consistent with the NRC Enforcement Policy, this finding was determined to | |||
be a Severity Level IV noncited violation. This finding had no crosscutting aspect as it | |||
was associated with a traditional enforcement violation. | |||
Enforcement. Title 10 CFR 50.71(e)(4) requires the final safety analysis report be | |||
updated, at intervals not exceeding 24 months, and states in part, the revisions must | |||
reflect all changes made in the facility or procedures described in the FSAR. Contrary | |||
to the above, licensing personnel failed to update the original revision of the final safety | |||
analysis report to reflect the actual number of low pressure coolant injection loops | |||
available for automatic initiation during shutdown cooling operations in Mode 3. | |||
Because the finding is of very low safety significance and has been entered into the | |||
corrective action program as Condition Report CR-GGN-2011-01631, this violation is | |||
being treated as a noncited violation consistent with the NRC Enforcement Policy: | |||
NCV 0500416/20011002-02, "Failure to Update Available Low Pressure Coolant | |||
Injection Loops in the Updated Final Safety Analysis Report." | |||
.2 Failure to Demonstrate Maintenance Effectiveness of Train B Control Room Air | |||
Conditioner | |||
Introduction. The inspectors identified a Green noncited violation of 10 CFR Part | |||
50.65(a)(2) for the failure to demonstrate that the performance of the train B control | |||
room air conditioner was being effectively controlled through the performance of | |||
appropriate preventive maintenance. | |||
Description. On March 2, 2011, the inspectors performed a maintenance effectiveness | |||
inspection of the control room air conditioning system. Inspectors determined that on | |||
February 3, 2010, the train B control room air conditioner compressor was replaced with | |||
a remanufactured compressor as part of annual preventative maintenance of the | |||
system. On March 27, 2010, the control room air conditioner compressor tripped on low | |||
- 14 - Enclosure | |||
usable oil pressure. The licensees investigation revealed that the compressor pencil | |||
strainer was approximately fifty percent covered with unidentified contaminants. Similar | |||
contaminants were identified on the oil sump strainer. The licensee concluded that the | |||
compressor had been installed with contaminants inside the lower half of the | |||
compressor, and subsequently replaced the remanufactured compressor on April 1, | |||
2010, with a newly rebuilt compressor. System engineering did not classify this event as | |||
a maintenance rule functional failure even though operations had declared the train | |||
inoperable and also stated in their operability determination that it could not meet its 30 | |||
day mission time. | |||
The train B control room air conditioner compressor subsequently either tripped or failed | |||
to properly cool the control room, due to low usable oil pressure, on three separate | |||
occasions (once in April, once May, and once in June). In response to the June failure, | |||
the licensee performed extensive maintenance on the train B control room air | |||
conditioner compressor, which included installing a five micron suction line filter in the | |||
system. Additionally, all three events were identified as maintenance rule functional | |||
failures attributed to foreign material fouling in the system, which would have resulted in | |||
the performance criteria being exceeded (less than or equal to two maintenance rule | |||
functional failure events or as a repeat functional failure). However, the sites | |||
maintenance rule coordinator informed the inspectors that the first two events in April | |||
and May were not counted toward the criteria because they were from the same cause | |||
as the June event and; therefore, they would all be counted as one failure even thought | |||
the train was returned to service each time after corrective maintenance was performed | |||
and declared operable by operations. Additionally, on June 22, 2010, the train was | |||
declared inoperable due to multiple Freon leaks and was classified as another | |||
maintenance rule functional failure for the train. On August 10, 2010, the licensee | |||
performed a Maintenance Rule (a)(1) evaluation for the subject system and, based on | |||
the presentation to the expert panel by system engineering, the panel only considered | |||
two events as maintenance rule functional failures. System engineering did not count | |||
the one failure in March or consider the two failures in April or May. The expert panel | |||
only considered the failures in June due to low oil pressure and Freon leaks. Therefore | |||
the expert panel concluded that, although the train B control room air conditioner system | |||
had exceeded its established performance criteria for functional failure events, a number | |||
of effective corrective actions had been identified and implemented and additional | |||
corrective actions were not necessary; therefore, the subject system was allowed to | |||
retain its (a)(2) status. | retain its (a)(2) status. | ||
The train B control room air conditioner compressor subsequently either tripped or failed | |||
to properly cool the control room, due to low usable oil pressure, on two separate | |||
occasions (once in September and once in October). The October trip of the subject | |||
system compressor occurred while the train A control room air conditioner | system compressor occurred while the train A control room air conditioner was out of | ||
service for routine maintenance. The compressor pencil strainer and sump strainer were | |||
again identified with contaminants on them. The licensee was required to make an | |||
eight-hour report to the NRC and submit a licensee event report due to both trains of | |||
control room air conditioner being inoperable. The licensees root cause analysis failed | |||
to identify that the train B control room air conditioner performance had not been | |||
demonstrated through the performance of appropriate preventative maintenance; nor did | |||
the root cause identify that the licensee failed to set goals and monitor the system as | |||
- 15 - Enclosure | |||
required by 10 CFR 50.65(a)(1). The train B control room air conditioner was ultimately | |||
- Initial Screening and Characterization of Findings, | moved into (a)(1) status on February 4, 2011, after the subject compressor again tripped | ||
because it did not result in a loss of system safety function since the train A control room air conditioner | due to low oil pressure on December 13, 2010. After this trip and upon further | ||
evaluation, the licensee performed an additional corrective action that installed an in line | |||
suction filter with smaller filtering diameter and larger surface area to remove foreign | |||
material from the system. They also modified the operator rounds to obtain daily | |||
readings of differential pressure across this new filter and through calculation, | |||
-significant decisions to address the multiple failures of the train B CRAC compressor | determined a differential pressure necessary for the filter to be changed out and the unit | ||
. [H.1(a)] Enforcement. | to be inspected for foreign materials. | ||
The licensee entered this issue into their corrective actions program as Condition Report | |||
was effectively controlled through the performance of appropriate preventative maintenance. | CR-GGN-2011-01623. From installation of the new inline suction filter to the conclusion | ||
Condition Report CR-GGN-2011-01623. | of the inspection period, no additional trips of train B control room air conditioning have | ||
program, this violation is being treated as a noncited violation consistent with the NRC Enforcement Policy: NCV 05000285/2011002 | occurred. | ||
-03, | Analysis. The inspectors determined that the failure to demonstrate that the | ||
performance of the train B control room air conditioner was being effectively controlled | |||
through the performance of appropriate preventive maintenance was a performance | |||
deficiency. The finding was more than minor because it was associated with the | |||
-significant and safety | equipment performance attribute of the Mitigating Systems Cornerstone and adversely | ||
affected the cornerstone objective to ensure the availability, reliability, and capability of | |||
systems that respond to initiating events to prevent undesirable consequences. | |||
Inspectors performed a Phase 1 screening, in accordance with Inspection Manual | |||
Chapter 0609, Attachment 4, Phase 1 - Initial Screening and Characterization of | |||
Findings, and determined that the finding was of very low safety significance (Green) | |||
a winter storm, while a divisions 1 diesel generator and residual heat removal A were out for planned maintenance outage requiring the plant to enter orange risk. | because it did not result in a loss of system safety function since the train A control room | ||
air conditioner remained operable. This finding had a crosscutting aspect in the area of | |||
stoppage and evaluation of risk status for the site. | human performance associated with the decision making component because licensee | ||
personnel failed to make appropriate safety-significant or risk-significant decisions to | |||
-9, 2011, with an emergent issue with the division 1 diesel generator | address the multiple failures of the train B CRAC compressor. [H.1(a)] | ||
and a tornado watch issued for the area requiring the plant to enter yellow risk. | Enforcement. Title 10 CFR 50.65(a)(2), states, in part, that monitoring as specified in | ||
required the site to secure from half scram surveillances. | paragraph (a)(1) of this section is not required where it has been demonstrated that the | ||
performance or condition of a structure, system, or component is being effectively | |||
The inspectors selected these activities based on potential risk significance relative to the reactor safety cornerstones. | controlled through the performance of appropriate preventative maintenance, such that | ||
the structure, system, or component remains capable of performing its intended | |||
function. Contrary to the above, from March 2010 to February 2011, the licensee failed | |||
documents reviewed during this inspection are listed in the attachment. | to demonstrate that the performance of the train B control room air conditioning system | ||
was effectively controlled through the performance of appropriate preventative | |||
These activities constitute completion of five emergent work control inspection | maintenance. This finding was entered into the licensees corrective action program as | ||
Condition Report CR-GGN-2011-01623. Because this finding was determined to be of | |||
very low safety significance and was entered into the licensees corrective action | |||
program, this violation is being treated as a noncited violation consistent with the NRC | |||
Enforcement Policy: NCV 05000285/2011002-03, Failure to Demonstrate Maintenance | |||
Effectiveness of Train B Control Room Air Conditioner. | |||
- 16 - Enclosure | |||
1R13 Maintenance Risk Assessments and Emergent Work Control (71111.13) | |||
a. Inspection Scope | |||
The inspectors reviewed licensee personnel's evaluation and management of plant risk | |||
for the maintenance and emergent work activities affecting risk-significant and safety- | |||
related equipment listed below to verify that the appropriate risk assessments were | |||
performed prior to removing equipment for work: | |||
-lube prior to surveillance run | * On January 9, 2011, during an ice storm requiring the plant to enter a yellow risk | ||
condition and enter their off normal event procedure for severe weather. | |||
* On February 3, 2011, during an ice storm requiring the plant to enter a yellow risk | |||
condition and enter their off normal event procedure for severe weather. The | |||
weather required the site to cancel work and monitor their safety related standby | |||
service water system for icing conditions. | |||
inspectors also reviewed a sampling of corrective action documents to verify that the licensee was identifying and correcting any deficiencies associated with operability evaluations. | * On February 9, 2011, during a winter storm, while a divisions 1 diesel generator | ||
attachment. | and residual heat removal A were out for planned maintenance outage requiring | ||
the plant to enter orange risk. | |||
These activities constitute completion of six operability evaluations inspection samples as defined in Inspection | * On February 28, 2011, during the accidental unearthing of energized plant | ||
service water pump cables, no consequence to the plant but resulted in work | |||
stoppage and evaluation of risk status for the site. | |||
* On March 8-9, 2011, with an emergent issue with the division 1 diesel generator | |||
and a tornado watch issued for the area requiring the plant to enter yellow risk. | |||
: | The site entered their severe weather off normal procedure; this procedure | ||
required the site to secure from half scram surveillances. | |||
The inspectors selected these activities based on potential risk significance relative to | |||
the reactor safety cornerstones. As applicable for each activity, the inspectors verified | |||
that licensee personnel performed risk assessments as required by 10 CFR 50.65(a)(4) | |||
and that the assessments were accurate and complete. When licensee personnel | |||
performed emergent work, the inspectors verified that the licensee personnel promptly | |||
assessed and managed plant risk. The inspectors reviewed the scope of maintenance | |||
also verified that the installation and restoration were consistent with the modification documents and that | work, discussed the results of the assessment with the licensee's probabilistic risk | ||
analyst or shift technical advisor, and verified plant conditions were consistent with the | |||
These activities constitute completion of two | risk assessment. The inspectors also reviewed the technical specification requirements | ||
and inspected portions of redundant safety systems, when applicable, to verify risk | |||
analysis assumptions were valid and applicable requirements were met. Specific | |||
documents reviewed during this inspection are listed in the attachment. | |||
These activities constitute completion of five emergent work control inspection samples | |||
as defined in Inspection Procedure 71111.13-05. | |||
- 17 - Enclosure | |||
B after required maintenance | |||
b. Findings | |||
No findings were identified. | |||
1R15 Operability Evaluations (71111.15) | |||
a. Inspection Scope | |||
The inspectors reviewed the following issues: | |||
-F012 after corrective maintenance | * Division 3 high pressure core spray diesel generator outside air fan temperature | ||
switch fluctuating | |||
* Train A standby service water drift eliminator support base plate corrosion and | |||
missing brass bolts | |||
instrumentation was appropriate | * Train A standby service water valve P41-F299A flange degradation | ||
* Residual heat removal equipment area temperature high/inoperable due to | |||
The inspectors evaluated the activities against the technical specifications, the UFSAR , 10 CFR Part 50 requirements, licensee procedures, and various NRC generic | temperature switch | ||
communications to ensure that the test results adequately ensured that | * Site fire truck inoperable | ||
* Division 1 diesel generator auxiliary oil pump not obtaining procedural pressures | |||
importance to safety. | during pre-lube prior to surveillance run | ||
The inspectors selected these potential operability issues based on the risk significance | |||
of the associated components and systems. The inspectors evaluated the technical | |||
adequacy of the evaluations to ensure that technical specification operability was | |||
properly justified and the subject component or system remained available such that no | |||
unrecognized increase in risk occurred. The inspectors compared the operability and | |||
design criteria in the appropriate sections of the technical specifications and UFSAR to | |||
the licensee personnels evaluations to determine whether the components or systems | |||
were operable. Where compensatory measures were required to maintain operability, | |||
the inspectors determined whether the measures in place would function as intended | |||
and were properly controlled. The inspectors determined, where appropriate, | |||
compliance with bounding limitations associated with the evaluations. Additionally, the | |||
inspectors also reviewed a sampling of corrective action documents to verify that the | |||
licensee was identifying and correcting any deficiencies associated with operability | |||
evaluations. Specific documents reviewed during this inspection are listed in the | |||
attachment. | |||
These activities constitute completion of six operability evaluations inspection samples | |||
as defined in Inspection Procedure 71111.15-04 | |||
- 18 - Enclosure | |||
b. Findings | |||
No findings were identified. | |||
1R18 Plant Modifications (71111.18) | |||
a. Inspection Scope | |||
To verify that the safety functions of important safety systems were not degraded, the | |||
inspectors reviewed the following temporary modifications: | |||
* Temporary Modification for RWCU A/B Leak Detection (EC 22625 & EC 22635) | |||
* Temporary Modification to install bypass signals for B first stage Pressure | |||
Sensor (EC22768) | |||
The inspectors reviewed the temporary modifications and the associated safety- | |||
evaluation screening against the system design bases documentation, including the | |||
updated final safety analysis report and the technical specifications, and verified that the | |||
modification did not adversely affect the system operability/availability. The inspectors | |||
-21, 2011 , functional checks with reactor core isolation cooling valves at the remote shutdown panel | also verified that the installation and restoration were consistent with the modification | ||
documents and that configuration control was adequate. Additionally, the inspectors | |||
verified that the temporary modification was identified on control room drawings, | |||
appropriate tags were placed on the affected equipment, and licensee personnel | |||
evaluated the combined effects on mitigating systems and the integrity of radiological | |||
barriers. | |||
These activities constitute completion of two samples for temporary plant modifications | |||
as defined in Inspection Procedure 71111.18-05. | |||
b. Findings | |||
No findings were identified. | |||
1R19 Postmaintenance Testing (71111.19) | |||
a. Inspection Scope | |||
The inspectors reviewed the following postmaintenance activities to verify that | |||
-observed weakness with those identified by the licensee staff in order to evaluate the critique and | procedures and test activities were adequate to ensure system operability and functional | ||
to verify whether the licensee staff was properly identifying weaknesses and entering them into the corrective action program. | capability: | ||
* For standby liquid B after a maintenance outage | |||
* For reactor protection motor generator B after required maintenance | |||
These activities constitute completion of one sample as defined in Inspection Procedure 71114.06-05. | * For residual heat removal system A after a maintenance outage | ||
- 19 - Enclosure | |||
* For standby service water system A after a maintenance outage | |||
* For division 1 diesel generator after a maintenance outage | |||
* For high pressure core spray minimum flow valve 1E22-F012 after corrective | |||
maintenance | |||
The inspectors selected these activities based upon the structure, system, or | |||
component's ability to affect risk. The inspectors evaluated these activities for the | |||
following (as applicable): | |||
* The effect of testing on the plant had been adequately addressed; testing was | |||
adequate for the maintenance performed | |||
* Acceptance criteria were clear and demonstrated operational readiness; test | |||
instrumentation was appropriate | |||
The inspectors evaluated the activities against the technical specifications, the UFSAR, | |||
10 CFR Part 50 requirements, licensee procedures, and various NRC generic | |||
communications to ensure that the test results adequately ensured that the equipment | |||
met the licensing basis and design requirements. In addition, the inspectors reviewed | |||
corrective action documents associated with postmaintenance tests to determine | |||
whether the licensee was identifying problems and entering them in the corrective action | |||
program and that the problems were being corrected commensurate with their | |||
importance to safety. Specific documents reviewed during this inspection are listed in | |||
the attachment. | |||
These activities constitute completion of six postmaintenance testing inspection samples | |||
as defined in Inspection Procedure 71111.19-05. | |||
b. Findings | |||
No findings were identified. | |||
1R22 Surveillance Testing (71111.22) | |||
a. Inspection Scope | |||
The inspectors reviewed the UFSAR, procedure requirements, and technical | |||
specifications to ensure that the surveillance activities listed below demonstrated that the | |||
systems, structures, and/or components tested were capable of performing their | |||
intended safety functions. The inspectors either witnessed or reviewed test data to | |||
verify that the significant surveillance test attributes were adequate to address the | |||
following: | |||
* Preconditioning | |||
- 20 - Enclosure | |||
* Evaluation of testing impact on the plant | |||
* Acceptance criteria | |||
* Test equipment | |||
* Procedures | |||
* Test data | |||
* Testing frequency and method demonstrated technical specification operability | |||
* Test equipment removal | |||
* Restoration of plant systems | |||
* Updating of performance indicator data | |||
* Engineering evaluations, root causes, and bases for returning tested systems, | |||
structures, and components not meeting the test acceptance criteria were correct | |||
* Reference setting data | |||
* Annunciators and alarms setpoints | |||
The inspectors also verified that licensee personnel identified and implemented any | |||
needed corrective actions associated with the surveillance testing. | |||
* On January 7, 2011, reactor coolant system leakage detection surveillance | |||
* On February 4, 2011, inservice test of residual heat removal system B quarterly | |||
* On February 23, 2011, reactor coolant routine chemistry surveillance | |||
* On March 2, 2011, fuel handling area ventilation exhaust radiation monitor time | |||
response test | |||
* On March 10, 2011, division 1 diesel generator monthly surveillance | |||
* On March 18, 2011, division 3 diesel generator monthly surveillance | |||
* On March 20-21, 2011, functional checks with reactor core isolation cooling | |||
valves at the remote shutdown panel | |||
Specific documents reviewed during this inspection are listed in the attachment. | |||
- 21 - Enclosure | |||
These activities constitute completion of seven surveillance (one reactor coolant system | |||
leakage detection, one inservice test, and five routine tests) testing inspection samples | |||
as defined in Inspection Procedure 71111.22-05. | |||
b. Findings | |||
No findings were identified. | |||
Cornerstone: Emergency Preparedness | |||
1EP6 Drill Evaluation (71114.06) | |||
.1 Emergency Preparedness Drill Observation | |||
a. Inspection Scope | |||
The inspectors evaluated the conduct of a routine licensee emergency drill on March 3, | |||
2011, to identify any weaknesses and deficiencies in classification, notification, and | |||
protective action recommendation development activities. The inspectors observed | |||
emergency response operations in the simulator control room and emergency | |||
operations facility to determine whether the event classification, notifications, and | |||
protective action recommendations were performed in accordance with procedures. The | |||
inspectors also attended the licensee drill critique to compare any inspector-observed | |||
weakness with those identified by the licensee staff in order to evaluate the critique and | |||
to verify whether the licensee staff was properly identifying weaknesses and entering | |||
them into the corrective action program. As part of the inspection, the inspectors | |||
reviewed the drill package and other documents listed in the attachment. | |||
These activities constitute completion of one sample as defined in Inspection | |||
Procedure 71114.06-05. | |||
b. Findings | |||
No findings were identified. | |||
2. RADIATION SAFETY | |||
Cornerstone: Occupational and Public Radiation Safety | |||
2RS01 Radiological Hazard Assessment and Exposure Controls (71124.01) | |||
a. Inspection Scope | |||
This area was inspected to: (1) review and assess licensees performance in assessing | |||
the radiological hazards in the workplace associated with licensed activities and the | |||
implementation of appropriate radiation monitoring and exposure control measures for | |||
both individual and collective exposures, (2) verify the licensee is properly identifying | |||
and reporting Occupational Radiation Safety Cornerstone performance indicators, and | |||
- 22 - Enclosure | |||
(3) identify those performance deficiencies that were reportable as a performance | |||
indicator and which may have represented a substantial potential for overexposure of | |||
the worker. | |||
The inspectors used the requirements in 10 CFR Part 20, the technical specifications, | |||
and the licensees procedures required by technical specifications as criteria for | |||
determining compliance. During the inspection, the inspectors interviewed the radiation | |||
protection manager, radiation protection supervisors, and radiation workers. The | |||
inspectors performed walkdowns of various portions of the plant, performed independent | |||
radiation dose rate measurements and reviewed the following items: | |||
* Performance indicator events and associated documentation reported by the | |||
licensee in the Occupational Radiation Safety Cornerstone | |||
* The hazard assessment program, including a review of the licenses evaluations | |||
of changes in plant operations and radiological surveys to detect dose rates, | |||
airborne radioactivity, and surface contamination levels | |||
* Instructions and notices to workers, including labeling or marking containers of | |||
radioactive material, radiation work permits, actions for electronic dosimeter | |||
alarms, and changes to radiological conditions | |||
* Programs and processes for control of sealed sources and release of potentially | |||
contaminated material from the radiologically controlled area, including survey | |||
performance, instrument sensitivity, release criteria, procedural guidance, and | |||
sealed source accountability | |||
* Radiological hazards control and work coverage, including the adequacy of | |||
surveys, radiation protection job coverage, and contamination controls; the use of | |||
electronic dosimeters in high noise areas; dosimetry placement; airborne | |||
radioactivity monitoring; controls for highly activated or contaminated materials | |||
(non-fuel) stored within spent fuel and other storage pools; and posting and | |||
physical controls for high radiation areas and very high radiation areas | |||
* Radiation worker and radiation protection technician performance with respect to | |||
radiation protection work requirements | |||
* Audits, self-assessments, and corrective action documents related to radiological | |||
hazard assessment and exposure controls since the last inspection | |||
Specific documents reviewed during this inspection are listed in the attachment. | |||
These activities constitute completion of the one required sample as defined in | |||
Inspection Procedure 71124.01-05. | |||
b. Findings | |||
- 23 - Enclosure | |||
Introduction. The inspectors identified a Green, noncited violation of Technical | |||
Specification 5.7.2, resulting from the licensees failure to use a qualified radiation | |||
protection technician to provide direct continuous coverage of work in a locked high | |||
radiation area. | |||
Description. The inspectors reviewed Condition Report CR-GGN-2011-00655, which | |||
documented the identification by Cooper Nuclear Station that a contractor seeking | |||
employment as a radiation protection technician did not meet ANSI 18.1 requirements. | |||
The finding, documented February 2, 2011, was discussed with Entergy sites during a | |||
teleconference. Then, Grand Gulf Nuclear Station determined the individual had been | |||
employed as a radiation protection technician at Grand Gulf Nuclear Station during | |||
Refueling Outage 17, conducted in April and May 2010. In response, Grand Gulf | |||
Nuclear Station reviewed the radiation surveys performed by the individual (from April 15 | |||
through May 13, 2010), concluded the surveys contained data comparable with that | |||
documented in other surveys in the same areas under similar conditions, and closed the | |||
condition report on February 8, 2011. The inspectors reviewed the radiation survey | |||
records included in the condition report and noted something the licensee had not | |||
addressed. On April 27, 2010, the individual had provided job coverage for work in a | |||
locked high radiation area (an area with dose rates greater than 1000 mrem/hour). | |||
Survey GG-1004-0660 identified the work area as the 128-foot auxiliary pipe chase, | |||
above the reactor water cleanup pump rooms. Since the individual used by the licensee | |||
to provide job coverage and surveillance in a locked high radiation area was not a | |||
qualified radiation protection technician, the inspectors identified this as a performance | |||
deficiency. | |||
Analysis. The failure to use a qualified radiation protection technician to provide direct | |||
continuous coverage of work in a locked high radiation area is a performance deficiency. | |||
The finding was more than minor because it was associated with the Occupational | |||
Radiation Safety Cornerstone attribute (exposure control) of program and process and | |||
affected the cornerstone objective, in that, the failure to use qualified radiation protection | |||
technicians to provide job coverage in a high radiation area with dose rates in excess of | |||
1000 mrem/hr had the potential to increase personnel dose. Using the Occupational | |||
Radiation Safety Significance Determination Process, the inspectors determined the | |||
finding to have very low safety significance because: (1) it was not associated with | |||
ALARA planning or work controls, (2) there was no overexposure, (3) there was no | |||
substantial potential for an overexposure, and (4) the ability to assess dose was not | |||
compromised. The inspectors identified no cross-cutting aspect associated with this | |||
finding. | |||
Enforcement. Technical Specification 5.7.2, controls for high radiation areas with dose | |||
rates greater than 1000 mrem/hour, consists of all the controls for high radiation areas | |||
(Technical Specification 5.7.1) plus it requires doors to the area remain locked except | |||
during periods of access by personnel under an approved radiation work permit that | |||
shall specify the dose rate levels in the immediate work areas and the maximum | |||
allowable stay times for individuals in those areas. In lieu of the stay time specification | |||
for the radiation work permit, direct or remote continuous surveillance may be made by | |||
personnel qualified in radiation protection procedures to provide positive exposure | |||
- 24 - Enclosure | |||
control over the activities being performed within the area. Contrary to the above, during | |||
work in an area with dose rates greater than 1000 mrem/hour on April 27, 2010, in lieu of | |||
the stay time specification for the radiation work permit, direct or remote surveillance | |||
was not made by personnel qualified in radiation protection procedures to provide | |||
positive exposure control over the activities being performed within the area. Instead, an | |||
unqualified person was assigned to provide surveillance of a locked high radiation on | |||
April 27, 2010. The licensee initiated Condition Report CR-GGN-2011-01045 to | |||
document the fact that it failed to identify this performance deficiency as part of the | |||
review associated with the closure of Condition Report CR-GGN-2011-00655. | |||
Because the violation was of very low safety significance and it was entered into the | |||
licensees corrective action program, the violation is being treated as a noncited | |||
violation, consistent with the enforcement policy. NCV 05000416/2011002-04, Failure | |||
to Use a Qualified Radiation Protection Technician to Provide Direct Continuous | |||
Coverage of Work in a Locked High Radiation Area. | |||
2RS02 Occupational ALARA Planning and Controls (71124.02) | |||
a. Inspection Scope | a. Inspection Scope | ||
This area was inspected to assess performance with respect to maintaining occupational | |||
individual and collective radiation exposures as low as is reasonably achievable | |||
(ALARA). The inspectors used the requirements in 10 CFR Part 20, the technical | |||
specifications, and the licensees procedures required by technical specifications as | |||
criteria for determining compliance. During the inspection, the inspectors interviewed | |||
licensee personnel and reviewed the following items: | |||
* Site-specific ALARA procedures and collective exposure history, including the | |||
current 3-year rolling average, site-specific trends in collective exposures, and | |||
source-term measurements | |||
* ALARA work activity evaluations/postjob reviews, exposure estimates, and | |||
exposure mitigation requirements | |||
* The methodology for estimating work activity exposures, the intended dose | |||
outcome, the accuracy of dose rate and man-hour estimates, and intended | |||
versus actual work activity doses and the reasons for any inconsistencies | |||
* Records detailing the historical trends and current status of tracked plant source | |||
terms and contingency plans for expected changes in the source term due to | |||
changes in plant fuel performance issues or changes in plant primary chemistry | |||
* Radiation worker and radiation protection technician performance during work | |||
activities in radiation areas, airborne radioactivity areas, or high radiation areas | |||
* Audits, self-assessments, and corrective action documents related to ALARA | |||
planning and controls since the last inspection | |||
- 25 - Enclosure | |||
Specific documents reviewed during this inspection are listed in the attachment. | |||
These activities constitute completion of the one required sample as defined in | |||
Inspection Procedure 71124.02-05. | |||
b. Findings | |||
No findings were identified. | |||
4. OTHER ACTIVITIES | |||
4OA1 Performance Indicator Verification (71151) | |||
.1 Data Submission Issue | |||
a. Inspection Scope | |||
The inspectors performed a review of the performance indicator data submitted by the | |||
licensee for the fourth Quarter 2010 performance indicators for any obvious | |||
inconsistencies prior to its public release in accordance with Inspection Manual | |||
Chapter 0608, Performance Indicator Program. | |||
This review was performed as part of the inspectors normal plant status activities and, | |||
as such, did not constitute a separate inspection sample. | |||
b. Findings | |||
No findings were identified. | |||
.2 Unplanned Scrams per 7000 Critical Hours (IE01) | |||
a. Inspection Scope | |||
The inspectors sampled licensee submittals for the unplanned scrams per 7000 critical | |||
hours performance indicator for the period from the first quarter 2010 through the fourth | |||
quarter 2010. To determine the accuracy of the performance indicator data reported | |||
during those periods, the inspectors used definitions and guidance contained in NEI | |||
Document 99-02, Regulatory Assessment Performance Indicator Guideline, Revision 6. | |||
The inspectors reviewed the licensees operator narrative logs, condition reports, event | |||
reports, and NRC integrated inspection reports for the period of January 2010 through | |||
December 2010 to validate the accuracy of the submittals. The inspectors also reviewed | |||
the licensees condition report database to determine if any problems had been identified | |||
with the performance indicator data collected or transmitted for this indicator and none | |||
were identified. Specific documents reviewed are described in the attachment to this | |||
report. | |||
These activities constitute completion of one unplanned scrams per 7000 critical hours | |||
sample as defined in Inspection Procedure 71151-05. | |||
- 26 - Enclosure | |||
b. Findings | |||
No findings were identified. | |||
.3 Unplanned Scrams with Complications (IE02) | |||
a. Inspection Scope | |||
The inspectors sampled licensee submittals for the unplanned scrams with | |||
complications performance indicator for the period from first quarter 2010 through the | |||
fourth quarter 2010. To determine the accuracy of the performance indicator data | |||
reported during those periods, the inspectors used definitions and guidance contained in | |||
NEI Document 99-02, Regulatory Assessment Performance Indicator Guideline, | |||
Revision 6. The inspectors reviewed the licensees operator narrative logs, condition | |||
reports, event reports, and NRC integrated inspection reports for the period of January | |||
2010 through December 2010 to validate the accuracy of the submittals. The inspectors | |||
also reviewed the licensees condition report database to determine if any problems had | |||
been identified with the performance indicator data collected or transmitted for this | |||
indicator and none were identified. Specific documents reviewed are described in the | |||
attachment to this report. | |||
These activities constitute completion of one unplanned scrams with complications | |||
sample as defined in Inspection Procedure 71151-05. | |||
b. Findings | |||
No findings were identified. | |||
.4 Unplanned Power Changes per 7000 Critical Hours (IE03) | |||
a. Inspection Scope | |||
The inspectors sampled licensee submittals for the unplanned power changes per 7000 | |||
critical hours performance indicator for the period from first quarter 2010 through the | |||
fourth quarter 2010. To determine the accuracy of the performance indicator data | |||
reported during those periods, the inspectors used definitions and guidance contained in | |||
NEI Document 99-02, Regulatory Assessment Performance Indicator Guideline, | |||
Revision 6. The inspectors reviewed the licensees operator narrative logs, condition | |||
reports, event reports, and NRC integrated inspection reports for the period of January | |||
2010 through December 2010 to validate the accuracy of the submittals. The inspectors | |||
also reviewed the licensees condition report database to determine if any problems had | |||
been identified with the performance indicator data collected or transmitted for this | |||
indicator and none | |||
}} | }} |
Latest revision as of 23:52, 12 November 2019
ML111300462 | |
Person / Time | |
---|---|
Site: | Grand Gulf |
Issue date: | 05/10/2011 |
From: | Vincent Gaddy NRC/RGN-IV/DRP/RPB-C |
To: | Mike Perito Entergy Operations |
References | |
IR-11-002 | |
Download: ML111300462 (61) | |
See also: IR 05000416/2011002
Text
UNITED STATES
NUCLEAR REGULATORY COMMISSION
REGI ON I V
612 EAST LAMAR BLVD, SUITE 400
ARLINGTON, TEXAS 76011-4125
May 10, 2011
Mr. Mike Perito
Vice President Operations
Entergy Operations, Inc.
Grand Gulf Nuclear Station
P.O. Box 756
Port Gibson, MS 39150
Subject: GRAND GULF NRC INTEGRATED INSPECTION REPORT NUMBER
Dear Mr. Perito:
On March 27, 2011, the U.S. Nuclear Regulatory Commission (NRC) completed an inspection
at your Grand Gulf Nuclear Station. The enclosed integrated inspection report documents the
inspection findings, which were discussed on April 14, 2011, with Mike Perito, Vice President
Operations, and other members of your staff.
The inspections examined activities conducted under your license as they relate to safety and
compliance with the Commissions rules and regulations and with the conditions of your license.
The inspectors reviewed selected procedures and records, observed activities, and interviewed
personnel.
Based on the results of this inspection, the NRC has determined that one Severity Level IV
violation of NRC requirements occurred. The NRC has also identified five issues that were
evaluated under the risk significance determination process as having very low safety
significance (Green). The NRC has determined that four of these findings have violations
associated with these issues. Additionally, one licensee-identified violation, which was
determined to be of very low safety significance, is listed in this report. However, because of
their very low safety significance and because they were entered into your corrective action
program, the NRC is treating these findings as noncited violations, consistent with Section 2.3.2
of the NRC Enforcement Policy.
If you contest the significance of the noncited violations, you should provide a response within
30 days of the date of this inspection report, with the basis for your denial, to the U.S. Nuclear
Regulatory Commission, ATTN: Document Control Desk, Washington, D.C. 20555-0001, with
copies to the Regional Administrator, U.S. Nuclear Regulatory Commission, Region IV,
612 E. Lamar Blvd, Suite 400, Arlington, Texas, 76011-4125; the Director, Office of
Enforcement, U.S. Nuclear Regulatory Commission, Washington, D.C. 20555-0001; and the
NRC Resident Inspector at the facility. In addition, if you disagree with the cross-cutting aspect
assigned to any finding in this report, you should provide a response within 30 days of the date
Entergy Operations, Inc. -2-
of this inspection report, with the basis for your disagreement, to the Regional Administrator,
Region IV, and the NRC Resident Inspector at the facility.
In accordance with 10 CFR 2.390 of the NRC's "Rules of Practice," a copy of this letter, its
enclosures, and your response, if you choose to provide one, will be made available
electronically for public inspection in the NRC Public Document Room or from the NRC's
document system (ADAMS), accessible from the NRC Web site at http://www.nrc.gov/reading-
rm/adams.html. To the extent possible, your response should not include any personal privacy
or proprietary, information so that it can be made available to the Public without redaction.
Sincerely,
/RA/
Vincent Gaddy, Chief
Project Branch C
Division of Reactor Projects
Docket: 50-416
License: NPF-29
Enclosed: NRC Inspection Report 05000416/2011002
w/Attachment: Supplemental Information
Distribution via ListServe
Entergy Operations, Inc. -3-
Electronic distribution by RIV:
Regional Administrator (Elmo.Collins@nrc.gov)
Deputy Regional Administrator (Art.Howell@nrc.gov)
DRP Director (Kriss.Kennedy@nrc.gov)
DRP Deputy Director (Troy.Pruett@nrc.gov)
DRS Director (Anton.Vegel@nrc.gov)
Senior Resident Inspector (Rich.Smith@nrc.gov)
Branch Chief, DRP/C (Vincent.Gaddy@nrc.gov)
Senior Project Engineer, DRP/C (Bob.Hagar@nrc.gov)
Project Engineer, DRP/C (Rayomand.Kumana@nrc.gov)
GG Administrative Assistant (Alley.Farrell@nrc.gov)
Public Affairs Officer (Victor.Dricks@nrc.gov)
Public Affairs Officer (Lara.Uselding@nrc.gov)
Project Manager (Alan.Wang@nrc.gov)
Branch Chief, DRS/TSB (Michael.Hay@nrc.gov)
RITS Coordinator (Marisa.Herrera@nrc.gov)
Regional Counsel (Karla.Fuller@nrc.gov)
Congressional Affairs Officer (Jenny.Weil@nrc.gov)
RIV OEDO/ETA (Stephanie Bush-Goddard@nrc.gov)
OEMail Resource
ROP Reports
File located: R:\_REACTORS\_GG\GG 2011002 RP-RLS-vgg.docx
SUNSI Rev Compl. Yes No ADAMS Yes No Reviewer Initials VGG
Publicly Avail Yes No Sensitive Yes No Sens. Type Initials VGG
SRI:DRP/PBC SPE:DRP/PBC C:DRS/EB1 C:DRS/EB2
RLSmith BHagar TRFarnholtz NFOKeefe
/RA/RCHagar for /RA/ /RA/ /RA/
5/4/2011 5/4/2011 4/21/2011 4/15/2011
C:DRS/OB C:TSS C:DRS/PSB1 C:DRS/PSB2 C:ACES/SAC
MHaire MHay MPShannon GEWerner NTaylor
/RA/ /RA/ /RA/ /RA/ /RA/
4/15/2011 4/18/2011 4/18/2011 4/15/2011 4/18/2011
C:DRP/C
VGaddy
/RA/
5/10/11
OFFICIAL RECORD COPY T=Telephone E=E-mail F=Fax
U.S. NUCLEAR REGULATORY COMMISSION
REGION IV
Docket: 05000416
License: NPF-29
Report: 05000416/2011002
Licensee: Entergy Operations, Inc.
Facility: Grand Gulf Nuclear Station
Location: 7003 Baldhill Road
Port Gibson, MS 39150
Dates: January 21, 2011, through March 27, 2011
Inspectors: R. Smith, Senior Resident Inspector
M. Baquera, Resident Inspector, Palo Verde
A. Fairbanks, Reactor Inspector
C. Graves, Health Physicist
L. Ricketson, P.E., Senior Health Physicist
E. Uribe, Reactor Inspector
Approved By: Vincent Gaddy, Chief, Project Branch C
Division of Reactor Projects
-1- Enclosure
SUMMARY OF FINDINGS
IR 05000416/2011002; 1/1/2011 - 3/27/2011; Grand Gulf Nuclear Station, Integrated Resident
and Regional Report; Fire Protection, Maintenance Effectiveness, Radiological Hazard
Assessment and Exposure Controls, and Event Follow-Up.
The report covered a 3-month period of inspection by resident inspectors and an announced
baseline inspection by region-based inspectors. Five Green noncited violations of significance
were identified and one Green finding of significance was identified. The significance of most
findings is indicated by their color (Green, White, Yellow, or Red) using Inspection Manual
Chapter 0609, Significance Determination Process. The cross-cutting aspect is determined
using Inspection Manual Chapter 0310, Components Within the Cross Cutting Areas. Findings
for which the significance determination process does not apply may be Green or be assigned a
severity level after NRC management review. The NRC's program for overseeing the safe
operation of commercial nuclear power reactors is described in NUREG-1649, Reactor
Oversight Process, Revision 4, dated December 2006.
A. NRC-Identified Findings and Self-Revealing Findings
Cornerstone: Mitigating Systems
- SLIV. Inspectors identified a noncited violation of 10 CFR 50.71(e)(4), which
requires the final safety analysis report be updated, at intervals not exceeding 24
months, to reflect changes made in the facility or procedures described in the
final safety analysis report. Licensee personnel failed to update the original
revision of the final safety analysis report to reflect the actual number of low
pressure coolant injection loops available for automatic initiation during shutdown
cooling operations in Mode 3. The licensee plans to update the final safety
analysis report at the next scheduled revision. This finding was entered into the
licensees corrective action program as condition report CR-GGN-2011-01631.
The failure of licensing personnel to update the final safety analysis report to
reflect the available low pressure coolant injection loops for automatic initiation
during shutdown cooling operations in Mode 3 was a performance deficiency.
This finding was evaluated using traditional enforcement because it had the
potential for impacting the NRCs ability to perform its regulatory function. The
inspectors used the NRC Enforcement Policy, dated September 30, 2010, to
evaluate the significance of this violation. Consistent with the NRC Enforcement
Policy, this finding was determined to be a Severity Level IV noncited violation.
- Green. The inspectors identified a noncited violation of 10 CFR Part 50.65(a)(2)
for the licensees failure to demonstrate that the performance of the train B
control room air conditioner was being effectively controlled through the
performance of appropriate preventive maintenance. Engineering did not
properly evaluate maintenance rule functional failures resulting in the system
remaining in an a(2) status instead of an a(1) status. As corrective action, the
-2- Enclosure
train B control room air conditioner was moved into an a(1) status. The licensee
entered this issue into their corrective action program as Condition Report
The finding was more than minor because it was associated with the equipment
performance attribute of the Mitigating Systems Cornerstone and adversely
affected the cornerstone objective to ensure the availability, reliability, and
capability of systems that respond to initiating events to prevent undesirable
consequences. Inspectors performed a Phase 1 screening, in accordance with
Inspection Manual Chapter 0609, Attachment 4, Phase 1 - Initial Screening and
Characterization of Findings, and determined that the finding was of very low
safety significance (Green) because the maintenance rule aspect of the finding
did not cause an actual loss of safety function of the system nor did it cause a
component to be inoperable. As corrective action, the train B control room air
conditioner was moved into an (a)(1) status. This finding had a crosscutting
aspect in the area of human performance associated with the decision making
component because licensee personnel failed to make appropriate safety-
significant or risk-significant decisions to address the multiple failures of the train
B control room air conditioner compressor. H.1(a) (Section 1R12.b.2)
- Green. The inspectors reviewed a self-revealing noncited violation of 10 CFR
Part 50, Appendix B, Criterion XVI, Corrective Action, after the licensee failed to
determine the cause and prevent recurrence of a significant condition adverse to
quality associated with the train B control room air conditioner compressor
tripping due to low oil pressure. Specifically, on December 13, 2010, the train B
control room air conditioner compressor tripped on low oil pressure after the
licensee had performed a root cause analysis to identify the cause and prevent
recurrence of a similar compressor trip on October 14, 2010. As immediate
corrective action, the licensee installed an inline suction filter. No additional
failures have occurred since its installation. The finding was entered into the
licensees corrective action program as Condition Report CR-GGN-2010-07315.
This finding was more than minor because it was associated with the equipment
performance attribute of the Mitigating Systems Cornerstone and adversely
affected the cornerstone objective to ensure the availability, reliability, and
capability of systems that respond to initiating events to prevent undesirable
consequences. Using Inspection Manual Chapter 0609, "Significance
Determination Process," Phase 1 worksheets, the inspectors determined that a
Phase 2 analysis was required because the finding represented a loss of system
safety function. The plant-specific risk informed notebook does not include the
evaluation of risk caused by the loss of cooling to the main control room.
Therefore, the senior reactor analyst conducted a Phase 3 analysis. Based on
the bounding analysis, the analyst determined that the change in core damage
frequency result was 5.9 x 10-7. This noncited violation was therefore determined
to be of very low safety significance (Green). This finding had a crosscutting
aspect in the area of problem identification and resolution associated with the
corrective action program component because licensee personnel failed to
-3- Enclosure
thoroughly evaluate the multiple failures of the train B control room air conditioner
compressor. P.1(c) (Section 4OA3.1.b)
Cornerstone: Barrier Integrity
- Green. The inspectors identified a noncited violation of Facility Operating License
Condition 2.C(41), involving the failure to ensure that transient combustible were
not stored in the fire exclusion zone near the independent spent fuel storage
installation. The inspectors performed a quarterly fire protection inspection of
independent spent fuel storage installation and identified a large air conditioner
with combustible material covering it located in the fire exclusion zone that was
within 60 feet of the dry fuel storage pad. The inspectors determined through
interviews that the material had been placed there the previous day by the
maintenance department. As immediate corrective action the licensee removed
the combustible material from the area. The finding was entered into the
licensees corrective action program as Condition Report CR-GGN-2011-00455.
This finding was more than minor because it was associated human performance
attribute of the Barrier Integrity Cornerstone to provide reasonable assurance
that physical design barriers protect the public from radionuclide releases caused
by accidents or events. Using Manual Chapter 0609, Appendix F, Fire
Protection Significance Determination Process, the inspectors determined that
the finding impacted the fire prevention and administrative controls category.
The inspectors assigned a low degradation rating due to the fact that the amount
of combustible material in the area was minimal. The inspectors concluded that
the finding was of very low safety significance (Green) due to the fact there were
no fire ignition sources in the area. The cause of this finding has a crosscutting
aspect in the area of human performance associated with the work practices
component because the licensee failed to effectively communicate expectations
regarding storage of combustible material near the dry fuel storage pad. H.4(b)
(Section 1R05.1.b)
- Green. The inspectors reviewed a self-revealing, Green finding of EN-DC-115,
Engineering Change Process, involving the failure to maintain adequate design
control measures associated with the installation of the mitigation monitoring
system. On November 8, 2010, a reactor coolant pressure boundary failure
occurred at the skid mounted Online Noble Chemical - Mitigation Monitoring
System pump inside primary containment. The positive displacement sample
pump ejected the pump piston from the housing, resulting in an approximate
7 gpm leak of reactor coolant. The steam leak resulted in a reactor recirculation
system flow control valve lockup (due to hydraulic power unit motor failure) and
approximately 15,000 square feet of contaminated area in the primary
containment structure. The licensee failed to ensure proper validation testing for
the pump prior to installation. Specifically, the licensee did not ensure that the
pump could withstand the operating pressures and temperatures of the system in
-4- Enclosure
which it was installed. The licensee removed the mitigation monitoring system
from service and isolated the skid from the reactor water cleanup system. This
finding was entered into the licensees corrective action program as Condition
Report CR-GGN-2010-07852.
The finding is more than minor because it affects the design control attribute of
the Barrier Integrity Cornerstone to provide reasonable assurance that physical
design barriers protect the public from radionuclide releases caused by accidents
or events. Therefore, using inspection Manual Chapter 0609, "Significance
Determination Process," Phase 1 Worksheet for LOCA initiators, the inspectors
concluded that the finding was of very low safety significance (Green) because
the failure of the mitigation monitoring system would not have exceeded technical
specifications limits for identified leakage in the reactor coolant system. This
finding has a crosscutting aspect in the work practices component of the human
performance area; because the licensee failed to adequately oversee the design
of the mitigation monitoring system such that nuclear safety is supported. H.4(c)
(Section 4OA3.2.b)
Cornerstone: Occupational Radiation Safety
- Green. The inspectors identified a noncited violation of Technical Specification 5.7.2, resulting from the licensees failure to use a qualified radiation protection
technician to provide direct continuous coverage of work in a locked high
radiation area. The finding was placed into the corrective action program as
Condition Report CR-GGN-2011-01045, and corrective action was being
evaluated.
The failure to use a qualified radiation protection technician to provide direct
continuous coverage of work in a locked high radiation area is a performance
deficiency. The finding was more than minor because it was associated with the
Occupational Radiation Safety Cornerstone attribute (exposure control) of
program and process and affected the cornerstone objective, in that, the failure
to use qualified radiation protection technicians to provide job coverage in a high
radiation area with dose rates in excess of 1000 mrem/hr had the potential to
increase personnel dose. Using the Occupational Radiation Safety Significance
Determination Process, the inspectors determined the finding to have very low
safety significance because: (1) it was not associated with ALARA planning or
work controls, (2) there was no overexposure, (3) there was no substantial
potential for an overexposure, and (4) the ability to assess dose was not
compromised. (Section 2RS01.b)
B. Licensee-Identified Violations
Violations of very low safety significance, which were identified by the licensee, have
been reviewed by the inspectors. Corrective actions taken or planned by the licensee
have been entered into the licensees corrective action program. These violations and
corrective action tracking numbers (condition report numbers) are listed in
Section 4OA7.
-5- Enclosure
REPORT DETAILS
Summary of Plant Status
Grand Gulf Nuclear Station began the inspection period at full rated thermal power. On January
9, 2011, operators reduced power to 68 percent for a planned control rod sequence exchange
and isolation of the moisture separator reheaters (MSRs) second stage steam to both the A
and B MSRs due to tube leaks in the A MSR. The plant was returned to 96 percent power on
January 10, 2011, which was maximum power level allowed with MSR second stage steam
isolated. On February 18, 2011, operators reduced power to 77 percent for monthly control rod
testing, turbine testing, and to remove B heater drain pump from service in an attempt to repair
a steam leak on the heater drain pump B discharge flange. The plant was returned to 96
percent power on February 19, 2011. On March 11, 2011, operators reduced power to 84
percent power for a planned control rod testing and to remove B heater drain pump from
service in another attempt to repair a steam leak on the heater drain pump B discharge flange.
The plant was returned to 96 percent power on March 12, 2011. On March 23, 2011, operators
reduced power to 93 percent power to remove the B heater drain pump from service again in
another attempt to repair a steam leak on the heater drain pump B pump discharge flange.
The plant was returned to 96 percent power on March 12, 2011. The plant remained at 96
percent power for the remainder of the inspection period.
1. REACTOR SAFETY
Cornerstones: Initiating Events, Mitigating Systems, Barrier Integrity, and
1R01 Adverse Weather Protection (71111.01)
.1 Readiness for Seasonal Extreme Weather Conditions
a. Inspection Scope
The inspectors performed a review of the adverse weather procedures for seasonal
extreme low temperatures. The inspectors verified that weather-related equipment
deficiencies identified during the previous year were corrected prior to the onset of
seasonal extremes, and evaluated the implementation of the adverse weather
preparation procedures and compensatory measures for the affected conditions before
the onset of, and during, the adverse weather conditions.
During the inspection, the inspectors focused on plant-specific design features and the
procedures used by plant personnel to mitigate or respond to adverse weather
conditions. Additionally, the inspectors reviewed the updated final safety analysis report
and performance requirements for systems selected for inspection and verified that
operator actions were appropriate as specified by plant-specific procedures. Specific
documents reviewed during this inspection are listed in the attachment. The inspectors
also reviewed corrective action program items to verify that plant personnel were
identifying adverse weather issues at an appropriate threshold and entering them into
-6- Enclosure
their corrective action program in accordance with station corrective action procedures.
The inspectors reviews focused specifically on the following plant systems:
- Standby service water
- Plant service water
- Fire water pumps and tanks
These activities constitute completion of one readiness for seasonal adverse weather
sample as defined in Inspection Procedure 71111.01-05.
b. Findings
No findings were identified.
.2 Readiness for Impending Adverse Weather Conditions
a. Inspection Scope
Since extreme cold conditions and icing were forecast in the vicinity of the facility for
January 9, 2011, the inspectors reviewed overall preparations/protection for the
expected weather conditions. On January 7, 2011, the inspectors inspected the standby
service water towers because their safety-related functions could be affected as a result
of the extreme cold and icing conditions forecast for the facility. The inspectors observed
space heater operation and weatherized enclosures to ensure operability of affected
systems. The inspectors reviewed licensee procedures and discussed potential
compensatory measures with control room personnel. The inspectors focused on plant
managements actions for implementing the stations procedures for ensuring adequate
personnel for safe plant operation and emergency response would be available.
Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of one readiness for impending adverse weather
condition sample as defined in Inspection Procedure 71111.01-05.
b. Findings
No findings were identified.
1R04 Equipment Alignments (71111.04)
.1 Partial Walkdown
a. Inspection Scope
The inspectors performed partial system walkdowns of the following risk-significant
systems:
- Division II standby service water system during Division I maintenance outage
-7- Enclosure
- Residual heat removal system B during residual heat removal system A
maintenance outage
- Residual heat removal system C during residual heat removal system A
maintenance outage
- Division II standby diesel generator system during Division I maintenance outage
- Standby liquid control system A during standby liquid control system B
maintenance outage
The inspectors selected these systems based on their risk significance relative to the
reactor safety cornerstones at the time they were inspected. The inspectors attempted
to identify any discrepancies that could affect the function of the system, and, therefore,
potentially increase risk. The inspectors reviewed applicable operating procedures,
system diagrams, UFSAR, technical specification requirements, administrative technical
specifications, outstanding work orders, condition reports, and the impact of ongoing
work activities on redundant trains of equipment in order to identify conditions that could
have rendered the systems incapable of performing their intended functions. The
inspectors also inspected accessible portions of the systems to verify system
components and support equipment were aligned correctly and operable. The
inspectors examined the material condition of the components and observed operating
parameters of equipment to verify that there were no obvious deficiencies. The
inspectors also verified that the licensee had properly identified and resolved equipment
alignment problems that could cause initiating events or impact the capability of
mitigating systems or barriers and entered them into the corrective action program with
the appropriate significance characterization. Specific documents reviewed during this
inspection are listed in the attachment.
These activities constitute completion of five partial system walkdown samples as
defined in Inspection Procedure 71111.04-05.
b. Findings
No findings were identified.
1R05 Fire Protection (71111.05)
Quarterly Fire Inspection Tours
a. Inspection Scope
The inspectors conducted fire protection walkdowns that were focused on availability,
accessibility, and the condition of firefighting equipment in the following risk-significant
plant areas:
- Division II diesel generator room (1D303)
-8- Enclosure
- Residual heat removal pump and heat exchanger rooms A (1A102 and 1A103)
- Residual heat removal pump and heat exchanger rooms B (1A105 and 1A106)
- Reactor Core Isolation Pump Room (1A104)
- Dry fuel storage pad area (Area 59 the Yard)
The inspectors reviewed areas to assess if licensee personnel had implemented a fire
protection program that adequately controlled combustibles and ignition sources within
the plant; effectively maintained fire detection and suppression capability; maintained
passive fire protection features in good material condition; and had implemented
adequate compensatory measures for out of service, degraded or inoperable fire
protection equipment, systems, or features, in accordance with the licensees fire plan.
The inspectors selected fire areas based on their overall contribution to internal fire risk
as documented in the plants Individual Plant Examination of External Events with later
additional insights, their potential to affect equipment that could initiate or mitigate a
plant transient, or their impact on the plants ability to respond to a security event. Using
the documents listed in the attachment, the inspectors verified that fire hoses and
extinguishers were in their designated locations and available for immediate use; that
fire detectors and sprinklers were unobstructed; that transient material loading was
within the analyzed limits; and fire doors, dampers, and penetration seals appeared to
be in satisfactory condition. The inspectors also verified that minor issues identified
during the inspection were entered into the licensees corrective action program.
Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of five quarterly fire-protection inspection samples
as defined in Inspection Procedure 71111.05-05.
b. Findings
Introduction. The inspectors identified a Green noncited violation of Facility Operating
License Condition 2.C(41), involving the failure to ensure that transient combustible were
not stored in the fire exclusion zone near the independent spent fuel storage installation.
Description. On January 24, 2011, the inspectors performed a quarterly fire protection
inspection of independent spent fuel storage installation. The inspectors identified a
large air conditioner with combustible material covering it located in the fire exclusion
zone that appeared to be within 60 feet of the dry fuel storage pad. The inspectors
brought this to the attention of the work center senior reactor operator. The work center
senior reactor operator contacted the site fire engineer, who walked down the fire
exclusion zone and determined that the combustible material covering the air conditioner
was within the 60 feet of the dry fuel storage pad, which is in violation of plant procedural
requirements. The inspectors determined through interviews that the material had been
placed there the day before by the maintenance department. The site had the air
conditioner and the covering material removed from the fire exclusion zone to restore
compliance.
The licensee documented this violation in Condition Report CR-GGN-2011-00455. Its
short-term corrective actions included removing the combustible material from the area.
-9- Enclosure
Analysis. The inspectors determined that the failure to follow fire protection procedures
developed for control of transient combustible material stored near the dry spent fuel
storage pad was a performance deficiency. This finding was more than minor because it
was associated human performance attribute of the Barrier Integrity Cornerstone to
provide reasonable assurance that physical design barriers protect the public from
radionuclide releases caused by accidents or events. Using Manual Chapter 0609,
Appendix F, Fire Protection Significance Determination Process, the inspectors
determined that the finding impacted the fire prevention and administrative controls
category. The inspectors assigned a low degradation rating due to the fact that the
amount of combustible material in the area was minimal. The inspectors concluded that
the finding was of very low safety significance (Green) due to the fact there were no fire
ignition sources in the area. The finding has a crosscutting aspect in the area of human
performance associated with the work practices component because the licensee failed
to effectively communicate expectations regarding storage of combustible material near
the dry fuel storage pad. H.4(b)
Enforcement. Grand Gulf Nuclear Station Facility Operating License Condition 2.C(41)
states, in part, that the plant shall implement and maintain in effect all provisions of the
Fire Protection Program as described in the UFSAR. UFSAR Section 9B,
Administrative Controls, section 9B.6.a, governs the handling and limits the use of
ordinary combustible materials in safety related areas. Fire area 59, defined as the yard,
contains the fire exclusion area next to the dry fuel storage pad and prohibits the storage
of any combustible material in this area. Contrary to this, on January 23, 2011, the
licensee stored combustible material inside the transient combustible exclusion zone
near the dry fuel storage pad. The licensee restored compliance by removing the
material from the area on January 25, 2011. Because the finding was of very low safety
significance (Green) and was documented in the licensees corrective action program as
CR-GGN-2011-0455, this finding is being treated as a noncited violation (NCV)
consistent with Section VI.A of the NRC Enforcement Policy:
NCV 05000416/2011002-01; Transient Combustible Stored in the Fire Exclusion Zone
Near the Independent Spent Fuel Storage Installation.
1R06 Flood Protection Measures (71111.06)
a. Inspection Scope
The inspectors reviewed the flooding analysis, and plant procedures to assess seasonal
susceptibilities involving internal flooding; reviewed the Updated Final Safety Analysis
Report and corrective action program to determine if licensee personnel identified and
corrected flooding problems; inspected underground bunkers/manholes to verify the
adequacy of sump pumps, level alarm circuits, cable splices subject to submergence,
and drainage for bunkers/manholes; subject to flooding that contain cables whose failure
could disable risk-significant equipment. The inspectors walked down the areas listed
below. Specific documents reviewed during this inspection are listed in the attachment.
- January 11, 2011, division 1 and 2 standby service water manholes
- 10 - Enclosure
These activities constitute completion of one bunker/manhole sample as defined in
Inspection Procedure 71111.06-05.
b. Findings
No findings were identified.
1R07 Heat Sink Performance (71111.07)
a. Inspection Scope
The inspectors reviewed licensee programs, verified performance against industry
standards, and reviewed critical operating parameters and maintenance records for the
Division 1 emergency diesel generator jacket water and lube oil heat exchangers. The
inspectors verified that performance tests were satisfactorily conducted for heat
exchangers/heat sinks and reviewed for problems or errors; the licensee utilized the
periodic maintenance method outlined in EPRI Report NP 7552, Heat Exchanger
Performance Monitoring Guidelines; the licensee properly utilized biofouling controls;
the licensees heat exchanger inspections adequately assessed the state of cleanliness
of their tubes; and the heat exchanger was correctly categorized under 10 CFR 50.65,
Requirements for Monitoring the Effectiveness of Maintenance at Nuclear Power
Plants. Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of one heat sink inspection sample as defined in
Inspection Procedure 71111.07-05.
b. Findings
No findings were identified.
1R11 Licensed Operator Requalification Program (71111.11)
a. Inspection Scope
On January 31, 2011, the inspectors observed a crew of licensed operators in the plants
simulator to verify that operator performance was adequate, evaluators were identifying
and documenting crew performance problems and training was being conducted in
accordance with licensee procedures. The inspectors evaluated the following areas:
- Licensed operator performance
- Crews clarity and formality of communications
- Crews ability to take timely actions in the conservative direction
- Crews prioritization, interpretation, and verification of annunciator alarms
- Crews correct use and implementation of abnormal and emergency procedures
- 11 - Enclosure
- Control board manipulations
- Oversight and direction from supervisors
- Crews ability to identify and implement appropriate technical specification
actions and emergency plan actions and notifications
The inspectors compared the crews performance in these areas to preestablished
operator action expectations and successful critical task completion requirements.
Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of one quarterly licensed-operator requalification
program sample as defined in Inspection Procedure 71111.11.
b. Findings
No findings were identified.
1R12 Maintenance Effectiveness (71111.12)
a. Inspection Scope
The inspectors evaluated degraded performance issues involving the following risk
significant systems:
- Appendix R emergency lighting units (Z92)
- Control room air conditioning (Z51)
- Residual heat removal (E12)
The inspectors reviewed events such as where ineffective equipment maintenance has
resulted in valid or invalid automatic actuations of engineered safeguards systems and
independently verified the licensee's actions to address system performance or condition
problems in terms of the following:
- Implementing appropriate work practices
- Identifying and addressing common cause failures
- Scoping of systems in accordance with 10 CFR 50.65(b)
- Characterizing system reliability issues for performance
- Charging unavailability for performance
- Trending key parameters for condition monitoring
- 12 - Enclosure
- Ensuring proper classification in accordance with 10 CFR 50.65(a)(1) or -(a)(2)
- Verifying appropriate performance criteria for structures, systems, and
components classified as having an adequate demonstration of performance
through preventive maintenance, as described in 10 CFR 50.65(a)(2), or as
requiring the establishment of appropriate and adequate goals and corrective
actions for systems classified as not having adequate performance, as described
The inspectors assessed performance issues with respect to the reliability, availability,
and condition monitoring of the system. In addition, the inspectors verified maintenance
effectiveness issues were entered into the corrective action program with the appropriate
significance characterization. Specific documents reviewed during this inspection are
listed in the attachment.
These activities constitute completion of three quarterly maintenance effectiveness
samples as defined in Inspection Procedure 71111.12-05.
b. Findings
.1 Failure to Update Available Low Pressure Cooling Injection Loops in the Updated Final
Safety Analysis Report
Introduction. Inspectors identified a Severity Level IV, noncited violation for the
licensees failure to update the final (updated) safety analysis report in accordance with
10 CFR 50.71(e)(4). Specifically, the licensee failed to update Section 6.3, Emergency
Core Cooling Systems, to appropriately reflect the available emergency core cooling
equipment during shutdown cooling operations in Mode 3.
Description. On February 28, 2011, while reviewing the updated final safety analysis
report for a maintenance effectiveness inspection of the residual heat removal system,
the inspectors determined that Section 6.3.1.1.1.e, Emergency Core Cooling Systems,
states, The ECCS is designed to satisfy all criteria specified in Section 6.3 for any
normal mode of reactor operation. Additionally, Section 6.3.1.1.2.d states, In the event
of a break in a pipe that is part of the reactor coolant pressure boundary, no single active
component failure in the emergency core cooling system shall prevent automatic
initiation and successful operation of less than the following combination of emergency
core cooling system equipment: 1) Three low pressure coolant injection loops, the low
pressure core spray and the automatic depressurization system (i.e., high pressure core
spray failure); 2) Two low pressure coolant injection loops, the high pressure core spray
and the automatic depressurization system (i.e., low pressure core spray diesel
generator failure); and 3) One low pressure coolant injection loop, the low pressure core
spray, the high pressure core spray and automatic depressurization system (i.e., low
pressure coolant injection diesel generator failure).
Procedure 03-1-01-3, Plant Shutdown, Revision 118, Section 6.14 states, When
shutdown cooling is placed in service at less than 135 psig, then the associated
containment spray and low pressure coolant injection systems may be considered
- 13 - Enclosure
operable if capable of being manually realigned and not otherwise inoperable.
Inspectors noted that because the residual heat removal system that provides shutdown
cooling in Mode 3 is not available for automatic initiation (must be manually realigned) of
low pressure coolant injection, in the event of a reactor coolant system pipe break, that
the aforementioned statements in Section 6.3 did not appropriately reflect the available
emergency core cooling equipment during shutdown cooling operations. In other words,
the combinations of emergency core cooling equipment available for automatic initiation
would include one less low pressure coolant injection loop.
The licensee entered this issue into their corrective actions program as Condition Report
CR-GGN-2011-01631. The licensee planned to take actions to update the updated final
safety analysis report at the next scheduled revision.
Analysis. The failure of licensing personnel to update the final safety analysis report to
reflect the available low pressure coolant injection loops for automatic initiation during
shutdown cooling operations in Mode 3 was a performance deficiency. This finding was
evaluated using traditional enforcement because it had the potential for impacting the
NRCs ability to perform its regulatory function. The inspectors used the NRC
Enforcement Policy, dated September 30, 2010, to evaluate the significance of this
violation. Consistent with the NRC Enforcement Policy, this finding was determined to
be a Severity Level IV noncited violation. This finding had no crosscutting aspect as it
was associated with a traditional enforcement violation.
Enforcement. Title 10 CFR 50.71(e)(4) requires the final safety analysis report be
updated, at intervals not exceeding 24 months, and states in part, the revisions must
reflect all changes made in the facility or procedures described in the FSAR. Contrary
to the above, licensing personnel failed to update the original revision of the final safety
analysis report to reflect the actual number of low pressure coolant injection loops
available for automatic initiation during shutdown cooling operations in Mode 3.
Because the finding is of very low safety significance and has been entered into the
corrective action program as Condition Report CR-GGN-2011-01631, this violation is
being treated as a noncited violation consistent with the NRC Enforcement Policy:
NCV 0500416/20011002-02, "Failure to Update Available Low Pressure Coolant
Injection Loops in the Updated Final Safety Analysis Report."
.2 Failure to Demonstrate Maintenance Effectiveness of Train B Control Room Air
Conditioner
Introduction. The inspectors identified a Green noncited violation of 10 CFR Part
50.65(a)(2) for the failure to demonstrate that the performance of the train B control
room air conditioner was being effectively controlled through the performance of
appropriate preventive maintenance.
Description. On March 2, 2011, the inspectors performed a maintenance effectiveness
inspection of the control room air conditioning system. Inspectors determined that on
February 3, 2010, the train B control room air conditioner compressor was replaced with
a remanufactured compressor as part of annual preventative maintenance of the
system. On March 27, 2010, the control room air conditioner compressor tripped on low
- 14 - Enclosure
usable oil pressure. The licensees investigation revealed that the compressor pencil
strainer was approximately fifty percent covered with unidentified contaminants. Similar
contaminants were identified on the oil sump strainer. The licensee concluded that the
compressor had been installed with contaminants inside the lower half of the
compressor, and subsequently replaced the remanufactured compressor on April 1,
2010, with a newly rebuilt compressor. System engineering did not classify this event as
a maintenance rule functional failure even though operations had declared the train
inoperable and also stated in their operability determination that it could not meet its 30
day mission time.
The train B control room air conditioner compressor subsequently either tripped or failed
to properly cool the control room, due to low usable oil pressure, on three separate
occasions (once in April, once May, and once in June). In response to the June failure,
the licensee performed extensive maintenance on the train B control room air
conditioner compressor, which included installing a five micron suction line filter in the
system. Additionally, all three events were identified as maintenance rule functional
failures attributed to foreign material fouling in the system, which would have resulted in
the performance criteria being exceeded (less than or equal to two maintenance rule
functional failure events or as a repeat functional failure). However, the sites
maintenance rule coordinator informed the inspectors that the first two events in April
and May were not counted toward the criteria because they were from the same cause
as the June event and; therefore, they would all be counted as one failure even thought
the train was returned to service each time after corrective maintenance was performed
and declared operable by operations. Additionally, on June 22, 2010, the train was
declared inoperable due to multiple Freon leaks and was classified as another
maintenance rule functional failure for the train. On August 10, 2010, the licensee
performed a Maintenance Rule (a)(1) evaluation for the subject system and, based on
the presentation to the expert panel by system engineering, the panel only considered
two events as maintenance rule functional failures. System engineering did not count
the one failure in March or consider the two failures in April or May. The expert panel
only considered the failures in June due to low oil pressure and Freon leaks. Therefore
the expert panel concluded that, although the train B control room air conditioner system
had exceeded its established performance criteria for functional failure events, a number
of effective corrective actions had been identified and implemented and additional
corrective actions were not necessary; therefore, the subject system was allowed to
retain its (a)(2) status.
The train B control room air conditioner compressor subsequently either tripped or failed
to properly cool the control room, due to low usable oil pressure, on two separate
occasions (once in September and once in October). The October trip of the subject
system compressor occurred while the train A control room air conditioner was out of
service for routine maintenance. The compressor pencil strainer and sump strainer were
again identified with contaminants on them. The licensee was required to make an
eight-hour report to the NRC and submit a licensee event report due to both trains of
control room air conditioner being inoperable. The licensees root cause analysis failed
to identify that the train B control room air conditioner performance had not been
demonstrated through the performance of appropriate preventative maintenance; nor did
the root cause identify that the licensee failed to set goals and monitor the system as
- 15 - Enclosure
required by 10 CFR 50.65(a)(1). The train B control room air conditioner was ultimately
moved into (a)(1) status on February 4, 2011, after the subject compressor again tripped
due to low oil pressure on December 13, 2010. After this trip and upon further
evaluation, the licensee performed an additional corrective action that installed an in line
suction filter with smaller filtering diameter and larger surface area to remove foreign
material from the system. They also modified the operator rounds to obtain daily
readings of differential pressure across this new filter and through calculation,
determined a differential pressure necessary for the filter to be changed out and the unit
to be inspected for foreign materials.
The licensee entered this issue into their corrective actions program as Condition Report
CR-GGN-2011-01623. From installation of the new inline suction filter to the conclusion
of the inspection period, no additional trips of train B control room air conditioning have
occurred.
Analysis. The inspectors determined that the failure to demonstrate that the
performance of the train B control room air conditioner was being effectively controlled
through the performance of appropriate preventive maintenance was a performance
deficiency. The finding was more than minor because it was associated with the
equipment performance attribute of the Mitigating Systems Cornerstone and adversely
affected the cornerstone objective to ensure the availability, reliability, and capability of
systems that respond to initiating events to prevent undesirable consequences.
Inspectors performed a Phase 1 screening, in accordance with Inspection Manual
Chapter 0609, Attachment 4, Phase 1 - Initial Screening and Characterization of
Findings, and determined that the finding was of very low safety significance (Green)
because it did not result in a loss of system safety function since the train A control room
air conditioner remained operable. This finding had a crosscutting aspect in the area of
human performance associated with the decision making component because licensee
personnel failed to make appropriate safety-significant or risk-significant decisions to
address the multiple failures of the train B CRAC compressor. H.1(a)
Enforcement. Title 10 CFR 50.65(a)(2), states, in part, that monitoring as specified in
paragraph (a)(1) of this section is not required where it has been demonstrated that the
performance or condition of a structure, system, or component is being effectively
controlled through the performance of appropriate preventative maintenance, such that
the structure, system, or component remains capable of performing its intended
function. Contrary to the above, from March 2010 to February 2011, the licensee failed
to demonstrate that the performance of the train B control room air conditioning system
was effectively controlled through the performance of appropriate preventative
maintenance. This finding was entered into the licensees corrective action program as
Condition Report CR-GGN-2011-01623. Because this finding was determined to be of
very low safety significance and was entered into the licensees corrective action
program, this violation is being treated as a noncited violation consistent with the NRC
Enforcement Policy: NCV 05000285/2011002-03, Failure to Demonstrate Maintenance
Effectiveness of Train B Control Room Air Conditioner.
- 16 - Enclosure
1R13 Maintenance Risk Assessments and Emergent Work Control (71111.13)
a. Inspection Scope
The inspectors reviewed licensee personnel's evaluation and management of plant risk
for the maintenance and emergent work activities affecting risk-significant and safety-
related equipment listed below to verify that the appropriate risk assessments were
performed prior to removing equipment for work:
- On January 9, 2011, during an ice storm requiring the plant to enter a yellow risk
condition and enter their off normal event procedure for severe weather.
- On February 3, 2011, during an ice storm requiring the plant to enter a yellow risk
condition and enter their off normal event procedure for severe weather. The
weather required the site to cancel work and monitor their safety related standby
service water system for icing conditions.
- On February 9, 2011, during a winter storm, while a divisions 1 diesel generator
and residual heat removal A were out for planned maintenance outage requiring
the plant to enter orange risk.
- On February 28, 2011, during the accidental unearthing of energized plant
service water pump cables, no consequence to the plant but resulted in work
stoppage and evaluation of risk status for the site.
- On March 8-9, 2011, with an emergent issue with the division 1 diesel generator
and a tornado watch issued for the area requiring the plant to enter yellow risk.
The site entered their severe weather off normal procedure; this procedure
required the site to secure from half scram surveillances.
The inspectors selected these activities based on potential risk significance relative to
the reactor safety cornerstones. As applicable for each activity, the inspectors verified
that licensee personnel performed risk assessments as required by 10 CFR 50.65(a)(4)
and that the assessments were accurate and complete. When licensee personnel
performed emergent work, the inspectors verified that the licensee personnel promptly
assessed and managed plant risk. The inspectors reviewed the scope of maintenance
work, discussed the results of the assessment with the licensee's probabilistic risk
analyst or shift technical advisor, and verified plant conditions were consistent with the
risk assessment. The inspectors also reviewed the technical specification requirements
and inspected portions of redundant safety systems, when applicable, to verify risk
analysis assumptions were valid and applicable requirements were met. Specific
documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of five emergent work control inspection samples
as defined in Inspection Procedure 71111.13-05.
- 17 - Enclosure
b. Findings
No findings were identified.
1R15 Operability Evaluations (71111.15)
a. Inspection Scope
The inspectors reviewed the following issues:
- Division 3 high pressure core spray diesel generator outside air fan temperature
switch fluctuating
- Train A standby service water drift eliminator support base plate corrosion and
missing brass bolts
- Train A standby service water valve P41-F299A flange degradation
- Residual heat removal equipment area temperature high/inoperable due to
temperature switch
- Site fire truck inoperable
- Division 1 diesel generator auxiliary oil pump not obtaining procedural pressures
during pre-lube prior to surveillance run
The inspectors selected these potential operability issues based on the risk significance
of the associated components and systems. The inspectors evaluated the technical
adequacy of the evaluations to ensure that technical specification operability was
properly justified and the subject component or system remained available such that no
unrecognized increase in risk occurred. The inspectors compared the operability and
design criteria in the appropriate sections of the technical specifications and UFSAR to
the licensee personnels evaluations to determine whether the components or systems
were operable. Where compensatory measures were required to maintain operability,
the inspectors determined whether the measures in place would function as intended
and were properly controlled. The inspectors determined, where appropriate,
compliance with bounding limitations associated with the evaluations. Additionally, the
inspectors also reviewed a sampling of corrective action documents to verify that the
licensee was identifying and correcting any deficiencies associated with operability
evaluations. Specific documents reviewed during this inspection are listed in the
attachment.
These activities constitute completion of six operability evaluations inspection samples
as defined in Inspection Procedure 71111.15-04
- 18 - Enclosure
b. Findings
No findings were identified.
1R18 Plant Modifications (71111.18)
a. Inspection Scope
To verify that the safety functions of important safety systems were not degraded, the
inspectors reviewed the following temporary modifications:
- Temporary Modification for RWCU A/B Leak Detection (EC 22625 & EC 22635)
- Temporary Modification to install bypass signals for B first stage Pressure
Sensor (EC22768)
The inspectors reviewed the temporary modifications and the associated safety-
evaluation screening against the system design bases documentation, including the
updated final safety analysis report and the technical specifications, and verified that the
modification did not adversely affect the system operability/availability. The inspectors
also verified that the installation and restoration were consistent with the modification
documents and that configuration control was adequate. Additionally, the inspectors
verified that the temporary modification was identified on control room drawings,
appropriate tags were placed on the affected equipment, and licensee personnel
evaluated the combined effects on mitigating systems and the integrity of radiological
barriers.
These activities constitute completion of two samples for temporary plant modifications
as defined in Inspection Procedure 71111.18-05.
b. Findings
No findings were identified.
1R19 Postmaintenance Testing (71111.19)
a. Inspection Scope
The inspectors reviewed the following postmaintenance activities to verify that
procedures and test activities were adequate to ensure system operability and functional
capability:
- For standby liquid B after a maintenance outage
- For reactor protection motor generator B after required maintenance
- For residual heat removal system A after a maintenance outage
- 19 - Enclosure
- For standby service water system A after a maintenance outage
- For division 1 diesel generator after a maintenance outage
- For high pressure core spray minimum flow valve 1E22-F012 after corrective
maintenance
The inspectors selected these activities based upon the structure, system, or
component's ability to affect risk. The inspectors evaluated these activities for the
following (as applicable):
- The effect of testing on the plant had been adequately addressed; testing was
adequate for the maintenance performed
- Acceptance criteria were clear and demonstrated operational readiness; test
instrumentation was appropriate
The inspectors evaluated the activities against the technical specifications, the UFSAR,
10 CFR Part 50 requirements, licensee procedures, and various NRC generic
communications to ensure that the test results adequately ensured that the equipment
met the licensing basis and design requirements. In addition, the inspectors reviewed
corrective action documents associated with postmaintenance tests to determine
whether the licensee was identifying problems and entering them in the corrective action
program and that the problems were being corrected commensurate with their
importance to safety. Specific documents reviewed during this inspection are listed in
the attachment.
These activities constitute completion of six postmaintenance testing inspection samples
as defined in Inspection Procedure 71111.19-05.
b. Findings
No findings were identified.
1R22 Surveillance Testing (71111.22)
a. Inspection Scope
The inspectors reviewed the UFSAR, procedure requirements, and technical
specifications to ensure that the surveillance activities listed below demonstrated that the
systems, structures, and/or components tested were capable of performing their
intended safety functions. The inspectors either witnessed or reviewed test data to
verify that the significant surveillance test attributes were adequate to address the
following:
- Preconditioning
- 20 - Enclosure
- Evaluation of testing impact on the plant
- Acceptance criteria
- Test equipment
- Procedures
- Test data
- Testing frequency and method demonstrated technical specification operability
- Test equipment removal
- Restoration of plant systems
- Updating of performance indicator data
- Engineering evaluations, root causes, and bases for returning tested systems,
structures, and components not meeting the test acceptance criteria were correct
- Reference setting data
- Annunciators and alarms setpoints
The inspectors also verified that licensee personnel identified and implemented any
needed corrective actions associated with the surveillance testing.
- On January 7, 2011, reactor coolant system leakage detection surveillance
- On February 4, 2011, inservice test of residual heat removal system B quarterly
- On February 23, 2011, reactor coolant routine chemistry surveillance
- On March 2, 2011, fuel handling area ventilation exhaust radiation monitor time
response test
- On March 10, 2011, division 1 diesel generator monthly surveillance
- On March 18, 2011, division 3 diesel generator monthly surveillance
- On March 20-21, 2011, functional checks with reactor core isolation cooling
valves at the remote shutdown panel
Specific documents reviewed during this inspection are listed in the attachment.
- 21 - Enclosure
These activities constitute completion of seven surveillance (one reactor coolant system
leakage detection, one inservice test, and five routine tests) testing inspection samples
as defined in Inspection Procedure 71111.22-05.
b. Findings
No findings were identified.
Cornerstone: Emergency Preparedness
1EP6 Drill Evaluation (71114.06)
.1 Emergency Preparedness Drill Observation
a. Inspection Scope
The inspectors evaluated the conduct of a routine licensee emergency drill on March 3,
2011, to identify any weaknesses and deficiencies in classification, notification, and
protective action recommendation development activities. The inspectors observed
emergency response operations in the simulator control room and emergency
operations facility to determine whether the event classification, notifications, and
protective action recommendations were performed in accordance with procedures. The
inspectors also attended the licensee drill critique to compare any inspector-observed
weakness with those identified by the licensee staff in order to evaluate the critique and
to verify whether the licensee staff was properly identifying weaknesses and entering
them into the corrective action program. As part of the inspection, the inspectors
reviewed the drill package and other documents listed in the attachment.
These activities constitute completion of one sample as defined in Inspection
Procedure 71114.06-05.
b. Findings
No findings were identified.
2. RADIATION SAFETY
Cornerstone: Occupational and Public Radiation Safety
2RS01 Radiological Hazard Assessment and Exposure Controls (71124.01)
a. Inspection Scope
This area was inspected to: (1) review and assess licensees performance in assessing
the radiological hazards in the workplace associated with licensed activities and the
implementation of appropriate radiation monitoring and exposure control measures for
both individual and collective exposures, (2) verify the licensee is properly identifying
and reporting Occupational Radiation Safety Cornerstone performance indicators, and
- 22 - Enclosure
(3) identify those performance deficiencies that were reportable as a performance
indicator and which may have represented a substantial potential for overexposure of
the worker.
The inspectors used the requirements in 10 CFR Part 20, the technical specifications,
and the licensees procedures required by technical specifications as criteria for
determining compliance. During the inspection, the inspectors interviewed the radiation
protection manager, radiation protection supervisors, and radiation workers. The
inspectors performed walkdowns of various portions of the plant, performed independent
radiation dose rate measurements and reviewed the following items:
- Performance indicator events and associated documentation reported by the
licensee in the Occupational Radiation Safety Cornerstone
- The hazard assessment program, including a review of the licenses evaluations
of changes in plant operations and radiological surveys to detect dose rates,
airborne radioactivity, and surface contamination levels
- Instructions and notices to workers, including labeling or marking containers of
radioactive material, radiation work permits, actions for electronic dosimeter
alarms, and changes to radiological conditions
- Programs and processes for control of sealed sources and release of potentially
contaminated material from the radiologically controlled area, including survey
performance, instrument sensitivity, release criteria, procedural guidance, and
sealed source accountability
- Radiological hazards control and work coverage, including the adequacy of
surveys, radiation protection job coverage, and contamination controls; the use of
electronic dosimeters in high noise areas; dosimetry placement; airborne
radioactivity monitoring; controls for highly activated or contaminated materials
(non-fuel) stored within spent fuel and other storage pools; and posting and
physical controls for high radiation areas and very high radiation areas
- Radiation worker and radiation protection technician performance with respect to
radiation protection work requirements
- Audits, self-assessments, and corrective action documents related to radiological
hazard assessment and exposure controls since the last inspection
Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of the one required sample as defined in
Inspection Procedure 71124.01-05.
b. Findings
- 23 - Enclosure
Introduction. The inspectors identified a Green, noncited violation of Technical Specification 5.7.2, resulting from the licensees failure to use a qualified radiation
protection technician to provide direct continuous coverage of work in a locked high
radiation area.
Description. The inspectors reviewed Condition Report CR-GGN-2011-00655, which
documented the identification by Cooper Nuclear Station that a contractor seeking
employment as a radiation protection technician did not meet ANSI 18.1 requirements.
The finding, documented February 2, 2011, was discussed with Entergy sites during a
teleconference. Then, Grand Gulf Nuclear Station determined the individual had been
employed as a radiation protection technician at Grand Gulf Nuclear Station during
Refueling Outage 17, conducted in April and May 2010. In response, Grand Gulf
Nuclear Station reviewed the radiation surveys performed by the individual (from April 15
through May 13, 2010), concluded the surveys contained data comparable with that
documented in other surveys in the same areas under similar conditions, and closed the
condition report on February 8, 2011. The inspectors reviewed the radiation survey
records included in the condition report and noted something the licensee had not
addressed. On April 27, 2010, the individual had provided job coverage for work in a
locked high radiation area (an area with dose rates greater than 1000 mrem/hour).
Survey GG-1004-0660 identified the work area as the 128-foot auxiliary pipe chase,
above the reactor water cleanup pump rooms. Since the individual used by the licensee
to provide job coverage and surveillance in a locked high radiation area was not a
qualified radiation protection technician, the inspectors identified this as a performance
deficiency.
Analysis. The failure to use a qualified radiation protection technician to provide direct
continuous coverage of work in a locked high radiation area is a performance deficiency.
The finding was more than minor because it was associated with the Occupational
Radiation Safety Cornerstone attribute (exposure control) of program and process and
affected the cornerstone objective, in that, the failure to use qualified radiation protection
technicians to provide job coverage in a high radiation area with dose rates in excess of
1000 mrem/hr had the potential to increase personnel dose. Using the Occupational
Radiation Safety Significance Determination Process, the inspectors determined the
finding to have very low safety significance because: (1) it was not associated with
ALARA planning or work controls, (2) there was no overexposure, (3) there was no
substantial potential for an overexposure, and (4) the ability to assess dose was not
compromised. The inspectors identified no cross-cutting aspect associated with this
finding.
Enforcement. Technical Specification 5.7.2, controls for high radiation areas with dose
rates greater than 1000 mrem/hour, consists of all the controls for high radiation areas
(Technical Specification 5.7.1) plus it requires doors to the area remain locked except
during periods of access by personnel under an approved radiation work permit that
shall specify the dose rate levels in the immediate work areas and the maximum
allowable stay times for individuals in those areas. In lieu of the stay time specification
for the radiation work permit, direct or remote continuous surveillance may be made by
personnel qualified in radiation protection procedures to provide positive exposure
- 24 - Enclosure
control over the activities being performed within the area. Contrary to the above, during
work in an area with dose rates greater than 1000 mrem/hour on April 27, 2010, in lieu of
the stay time specification for the radiation work permit, direct or remote surveillance
was not made by personnel qualified in radiation protection procedures to provide
positive exposure control over the activities being performed within the area. Instead, an
unqualified person was assigned to provide surveillance of a locked high radiation on
April 27, 2010. The licensee initiated Condition Report CR-GGN-2011-01045 to
document the fact that it failed to identify this performance deficiency as part of the
review associated with the closure of Condition Report CR-GGN-2011-00655.
Because the violation was of very low safety significance and it was entered into the
licensees corrective action program, the violation is being treated as a noncited
violation, consistent with the enforcement policy. NCV 05000416/2011002-04, Failure
to Use a Qualified Radiation Protection Technician to Provide Direct Continuous
Coverage of Work in a Locked High Radiation Area.
2RS02 Occupational ALARA Planning and Controls (71124.02)
a. Inspection Scope
This area was inspected to assess performance with respect to maintaining occupational
individual and collective radiation exposures as low as is reasonably achievable
(ALARA). The inspectors used the requirements in 10 CFR Part 20, the technical
specifications, and the licensees procedures required by technical specifications as
criteria for determining compliance. During the inspection, the inspectors interviewed
licensee personnel and reviewed the following items:
- Site-specific ALARA procedures and collective exposure history, including the
current 3-year rolling average, site-specific trends in collective exposures, and
source-term measurements
- ALARA work activity evaluations/postjob reviews, exposure estimates, and
exposure mitigation requirements
- The methodology for estimating work activity exposures, the intended dose
outcome, the accuracy of dose rate and man-hour estimates, and intended
versus actual work activity doses and the reasons for any inconsistencies
- Records detailing the historical trends and current status of tracked plant source
terms and contingency plans for expected changes in the source term due to
changes in plant fuel performance issues or changes in plant primary chemistry
- Radiation worker and radiation protection technician performance during work
activities in radiation areas, airborne radioactivity areas, or high radiation areas
- Audits, self-assessments, and corrective action documents related to ALARA
planning and controls since the last inspection
- 25 - Enclosure
Specific documents reviewed during this inspection are listed in the attachment.
These activities constitute completion of the one required sample as defined in
Inspection Procedure 71124.02-05.
b. Findings
No findings were identified.
4. OTHER ACTIVITIES
4OA1 Performance Indicator Verification (71151)
.1 Data Submission Issue
a. Inspection Scope
The inspectors performed a review of the performance indicator data submitted by the
licensee for the fourth Quarter 2010 performance indicators for any obvious
inconsistencies prior to its public release in accordance with Inspection Manual
Chapter 0608, Performance Indicator Program.
This review was performed as part of the inspectors normal plant status activities and,
as such, did not constitute a separate inspection sample.
b. Findings
No findings were identified.
.2 Unplanned Scrams per 7000 Critical Hours (IE01)
a. Inspection Scope
The inspectors sampled licensee submittals for the unplanned scrams per 7000 critical
hours performance indicator for the period from the first quarter 2010 through the fourth
quarter 2010. To determine the accuracy of the performance indicator data reported
during those periods, the inspectors used definitions and guidance contained in NEI
Document 99-02, Regulatory Assessment Performance Indicator Guideline, Revision 6.
The inspectors reviewed the licensees operator narrative logs, condition reports, event
reports, and NRC integrated inspection reports for the period of January 2010 through
December 2010 to validate the accuracy of the submittals. The inspectors also reviewed
the licensees condition report database to determine if any problems had been identified
with the performance indicator data collected or transmitted for this indicator and none
were identified. Specific documents reviewed are described in the attachment to this
report.
These activities constitute completion of one unplanned scrams per 7000 critical hours
sample as defined in Inspection Procedure 71151-05.
- 26 - Enclosure
b. Findings
No findings were identified.
.3 Unplanned Scrams with Complications (IE02)
a. Inspection Scope
The inspectors sampled licensee submittals for the unplanned scrams with
complications performance indicator for the period from first quarter 2010 through the
fourth quarter 2010. To determine the accuracy of the performance indicator data
reported during those periods, the inspectors used definitions and guidance contained in
NEI Document 99-02, Regulatory Assessment Performance Indicator Guideline,
Revision 6. The inspectors reviewed the licensees operator narrative logs, condition
reports, event reports, and NRC integrated inspection reports for the period of January
2010 through December 2010 to validate the accuracy of the submittals. The inspectors
also reviewed the licensees condition report database to determine if any problems had
been identified with the performance indicator data collected or transmitted for this
indicator and none were identified. Specific documents reviewed are described in the
attachment to this report.
These activities constitute completion of one unplanned scrams with complications
sample as defined in Inspection Procedure 71151-05.
b. Findings
No findings were identified.
.4 Unplanned Power Changes per 7000 Critical Hours (IE03)
a. Inspection Scope
The inspectors sampled licensee submittals for the unplanned power changes per 7000
critical hours performance indicator for the period from first quarter 2010 through the
fourth quarter 2010. To determine the accuracy of the performance indicator data
reported during those periods, the inspectors used definitions and guidance contained in
NEI Document 99-02, Regulatory Assessment Performance Indicator Guideline,
Revision 6. The inspectors reviewed the licensees operator narrative logs, condition
reports, event reports, and NRC integrated inspection reports for the period of January
2010 through December 2010 to validate the accuracy of the submittals. The inspectors
also reviewed the licensees condition report database to determine if any problems had
been identified with the performance indicator data collected or transmitted for this
indicator and none were identified. Specific documents reviewed are described in the
attachment to this report.
These activities constitute completion of one unplanned transients per 7000 critical
hours sample as defined in Inspection Procedure 71151-05.
- 27 - Enclosure
b. Findings
No findings were identified.
.5 Occupational Exposure Control Effectiveness (OR01)
a. Inspection Scope
The inspectors reviewed performance indicator data for the second quarter of 2010
through the fourth quarter of 2010. The objective of the inspection was to determine the
accuracy and completeness of the performance indicator data reported during these
periods. The inspectors used the definitions and clarifying notes contained in NEI
Document 99-02, Regulatory Assessment Performance Indicator Guideline, Revision 6,
as criteria for determining whether the licensee was in compliance.
The inspectors reviewed corrective action program records associated with high
radiation area (greater than 1 rem/hr) and very high radiation area non-conformances.
The inspectors reviewed radiological, controlled area exit transactions greater than
100 mrem. The inspectors also conducted walkdowns of high radiation areas (greater
than 1 rem/hr) and very high radiation area entrances to determine the adequacy of the
controls of these areas.
These activities constitute completion of the occupational exposure control effectiveness
sample as defined in Inspection Procedure 71151-05.
b. Findings
No findings were identified.
.6 Radiological Effluent Technical Specifications/Offsite Dose Calculation Manual
Radiological Effluent Occurrences (PR01)
a. Inspection Scope
The inspectors reviewed performance indicator data for the second quarter of 2010
through the fourth quarter of 2010. The objective of the inspection was to determine the
accuracy and completeness of the performance indicator data reported during these
periods. The inspectors used the definitions and clarifying notes contained in NEI
Document 99-02, Regulatory Assessment Performance Indicator Guideline, Revision 6,
as criteria for determining whether the licensee was in compliance.
The inspectors reviewed the licensees corrective action program records and selected
individual annual or special reports to identify potential occurrences such as
unmonitored, uncontrolled, or improperly calculated effluent releases that may have
impacted offsite dose.
- 28 - Enclosure
These activities constitute completion of the radiological effluent technical
specifications/offsite dose calculation manual radiological effluent occurrences sample
as defined in Inspection Procedure 71151-05.
b. Findings
No findings were identified.
4OA2 Identification and Resolution of Problems (71152)
Cornerstones: Initiating Events, Mitigating Systems, Barrier Integrity, Emergency
Preparedness, Public Radiation Safety, Occupational Radiation Safety, and
.1 Routine Review of Identification and Resolution of Problems
a. Inspection Scope
As part of the various baseline inspection procedures discussed in previous sections of
this report, the inspectors routinely reviewed issues during baseline inspection activities
and plant status reviews to verify that they were being entered into the licensees
corrective action program at an appropriate threshold, that adequate attention was being
given to timely corrective actions, and that adverse trends were identified and
addressed. The inspectors reviewed attributes that included the complete and accurate
identification of the problem; the timely correction, commensurate with the safety
significance; the evaluation and disposition of performance issues, generic implications,
common causes, contributing factors, root causes, extent of condition reviews, and
previous occurrences reviews; and the classification, prioritization, focus, and timeliness
of corrective actions. Minor issues entered into the licensees corrective action program
because of the inspectors observations are included in the attached list of documents
reviewed.
These routine reviews for the identification and resolution of problems did not constitute
any additional inspection samples. Instead, by procedure, they were considered an
integral part of the inspections performed during the quarter and documented in
Section 1 of this report.
b. Findings
No findings were identified.
.2 Daily Corrective Action Program Reviews
a. Inspection Scope
In order to assist with the identification of repetitive equipment failures and specific
human performance issues for follow-up, the inspectors performed a daily screening of
- 29 - Enclosure
items entered into the licensees corrective action program. The inspectors
accomplished this through review of the stations daily corrective action documents.
The inspectors performed these daily reviews as part of their daily plant status
monitoring activities and, as such, did not constitute any separate inspection samples.
b. Findings
No findings were identified.
.3 Selected Issue Follow-up Inspection
a. Inspection Scope
During a review of items entered in the licensees corrective action program, the
inspectors recognized CR-GGN- 2009-05879 a corrective action item documenting
temperature switches for safety related ventilation system. The inspectors reviewed that
item as described in Inspection Procedure 71152.02 to verify, in part, licensee evaluation
and disposition of operability and reportability issues; consideration of extent of condition
and cause, generic implications, common cause, and previous occurrences;
classification and prioritization of the problems resolution commensurate with the safety
significance; and identification of corrective actions that were appropriately focused to
correct the problem.
These activities constitute completion of one in-depth problem identification and
resolution sample as defined in Inspection Procedure 71152-05.
b. Findings
No findings were identified.
4OA3 Event Follow-up (71153)
.1 (Closed) LER 05000416/2010-002-00, Control Room Air Conditioning Inoperability -
Loss of Both Trains
a. Inspection Scope
On October 14, 2010, while operating at approximately 100 percent power, the train B
control room air conditioner subsystem tripped on low oil pressure while the train A
control room air conditioner subsystem was out of service for maintenance. The control
room temperature increased and actions were taken to maintain control room
temperatures below the technical specification limit of 90 degrees Fahrenheit. The two
control room air conditioning subsystems were inoperable for 64 hours7.407407e-4 days <br />0.0178 hours <br />1.058201e-4 weeks <br />2.4352e-5 months <br /> and 24 minutes
until the train A control room air conditioner was declared operable.
The three possible failure mechanisms that the licensee identified in their root cause
evaluation were 1) the intermittent failure of the low oil differential pressure switch, 2) the
- 30 - Enclosure
intermittent failure of one or more loading/unloading mechanisms, and 3) one or more of
the temperature control valves were in an open condition or in a more than desired open
position. The licensee also identified a contributing cause of failure to exclude foreign
material during maintenance activities on the train B control room air conditioner.
Inspectors reviewed the circumstances surrounding the event, the licensees response
to the event, and the licensees corrective actions to preclude repetition. Documents
reviewed as part of this inspection are listed in the attachment. The enforcement
aspects of this finding are discussed in this section and in Section 1R12. This LER is
closed.
b. Findings
Introduction. The inspectors reviewed a self-revealing, Green noncited violation of 10
CFR Part 50, Appendix B, Criterion XVI, Corrective Action, after the licensee failed to
determine the cause and prevent recurrence of a significant condition adverse to quality
associated with the train B control room air conditioner compressor tripping due to low oil
pressure.
Description. On October 14, 2010, the train B control room air conditioner subsystem
tripped on low oil pressure while the train A control room air conditioner subsystem was
out of service for maintenance. The control room temperature increased, and actions
were taken to maintain control room temperatures below the technical specification limit
of 90 degrees Fahrenheit. The licensee determined that the event (i.e., one subsystem
inoperable and unavailable for maintenance while the other subsystem was inoperable
due to a trip) was reportable to the NRC. The two control room air conditioning
subsystems were inoperable for 64 hours7.407407e-4 days <br />0.0178 hours <br />1.058201e-4 weeks <br />2.4352e-5 months <br /> and 24 minutes until the train A control room
air conditioner was declared operable. This was a significant condition because it
rendered technical specification required equipment inoperable.
The licensees corrective actions to address the event involved performing a root cause
evaluation. The licensee concluded that the three possible failure mechanisms were 1)
an intermittent failure of low oil differential pressure switch, 2) an intermittent failure of
one or more loading/unloading mechanisms, and 3) failure of one or more thermal
expansion valves. The licensee also concluded that a contributing cause of the event
was the failure to exclude foreign material during maintenance activities of the system.
The licensee addressed each of the possible root causes, as well as the contributing
cause, since a single root cause could not be determined. The corrective action for the
three probable root causes included 1) ensuring that only original differential pressure
switches are used (or a suitable equivalent) for replacement; 2) revising planned
maintenance tasks to included instructions for the loader/unloader disassembly,
inspection and reassembly; 3) revising tasks for compressor A and B rebuilds; and 4)
revising compressor preventative maintenance tasks to record the degree of superheat
for each thermal expansion valve.
Despite the corrective actions implemented by the licensee, the train B control room air
conditioner compressor again tripped on December 13, 2010, due to low oil pressure.
After this trip and upon further evaluation, the licensee performed an additional
corrective action that installed an inline suction filter with smaller filtering diameter and
- 31 - Enclosure
larger surface area to remove foreign material from the system. The licensee also
modified the operator rounds to obtain daily readings of differential pressure across this
new filter and through calculation, determined a differential pressure necessary to
change the filter. The condition report that documented the December 13th event was
closed to the corrective actions associated with the October 14th compressor trip and the
new corrective action associated with the newly installed in line suction filter.
The licensee entered this event into their corrective actions program as condition report
CR-GGN-2010-07315. Since the use of the new inline suction filter, they have not had
any additional trips of the control room air conditioning B. The April 2011 inspection
showed that the filter had reduced foreign material on the compressor suction strainer by
40 percent from the March 2011 inspection. Also in May 2011, the licensee plans to
boroscope the evaporation section of the air conditioner to search for any other foreign
material.
Analysis. The inspectors determined that the failure to take corrective actions to prevent
recurrence of the train B control room air conditioner compressor tripping due to low oil
pressure was a performance deficiency. This finding was more than minor because it
was associated with the equipment performance attribute of the Mitigating Systems
Cornerstone and adversely affected the cornerstone objective to ensure the availability,
reliability, and capability of systems that respond to initiating events to prevent
undesirable consequences. Using Inspection Manual Chapter 0609, "Significance
Determination Process," Phase 1 worksheets, the inspectors determined that a Phase 2
estimate was required because the finding represented a loss of system safety function.
The plant-specific risk informed notebook does not include the evaluation of risk caused
by the loss of cooling to the main control room. Therefore, the senior reactor analyst
conducted a Phase 3 analysis.
The analyst noted that understanding the risk affect of control room chillers required a
review of the following items:
- Loss of offsite power frequency (LOOP): Several alternative methods of cooling
control room equipment are available provided offsite power is available.
Therefore, the dominant risk impact of essential chillers is during a loss of offsite
power. The loss of offsite power frequency documented in the plant-specific
SPAR model is 3.59 x 10-2/year.
- Loss of the opposite train probability (PCH-A): The performance deficiency only
affected Train B CRAC. Therefore, the Train A would still be available to cool the
main control room. The generic failure probability for a single train of safety-
related equipment is approximately 3 x 10-2/demand.
- Exposure Period (EXP): Although the Train B CRAC system was placed in
service without correcting the failure mechanism on November 1, 2010, the
chiller continued to be utilized and run for much of the time until failure on
December 13, 2010. The analyst noted that the chiller ran from November 12
until it failed on December 13, 2010. Therefore, the time that the chiller was
actually unavailable to perform its 24-hour risk significant mission time was
- 32 - Enclosure
about 48 hours5.555556e-4 days <br />0.0133 hours <br />7.936508e-5 weeks <br />1.8264e-5 months <br /> (the last 24 hours2.777778e-4 days <br />0.00667 hours <br />3.968254e-5 weeks <br />9.132e-6 months <br /> of its run and the 24 hours2.777778e-4 days <br />0.00667 hours <br />3.968254e-5 weeks <br />9.132e-6 months <br /> it took to repair).
This gave an exposure time of 2 days.
- Conditional Core Damage Probability (CCDP): In the worst case failure of
control room air conditioning would result in main control room abandonment.
The generic CCDP for shutting the reactor down from outside the main control
room is approximately 0.1.
The analyst determined that a bounding assessment of the change in core damage
frequency (CDF), can be calculated as follows:
CDF = LOOP * PCH-A * EXP * CCDP
= 3.59 x 10-2/year * 3 x 10-2/demand * 2 days/365 days/year * 0.1
= 5.9 x 10-7
Based on the above bounding analysis, the analyst determined that the change in core
damage frequency result was 5.9 x 10-7. This noncited violation was therefore
determined to be of very low safety significance (Green). This finding had a crosscutting
aspect in the area of problem identification and resolution associated with the corrective
action program component because licensee personnel failed to thoroughly evaluate the
multiple failures of the train B control room air conditioner compressor. P.1(c)
Enforcement. Title 10 CFR Part 50, Appendix B, Criterion XVI, Corrective Action,
states, in part, that in the case of a significant condition adverse to quality, measures
shall assure that the cause of the condition is determined and corrective action taken to
preclude repetition. Contrary to the above, plant personnel did not implement corrective
actions to preclude repetition of a significant condition adverse to quality associated with
the tripping of the train B control room air conditioning compressor due to low oil
pressure. Specifically, on December 13, 2010, the train B control room air conditioner
compressor tripped due to low oil pressure after the licensee had a performed a root
cause analysis to identify the cause and prevent recurrence of the compressor tripping
due to low oil pressure. Because the finding was of very low safety significance and has
been entered into the corrective action program as Condition Report CR-GGN-2010-
07315, this violation is being treated as a noncited violation, consistent with the NRC
Enforcement Policy. NCV 05000416/2011002-05, Failure to Prevent Recurrence of
Control Room Air Conditioner Compressor Tripping Due to Low Oil Pressure.
.2 Steam Leak in the Containment
a. Inspection Scope
On November 8, 2010, the inspectors responded to the control room to observe operator
response to a steam leak in containment. The newly installed mitigation monitoring
system positive displacement pump ejected the cylinder causing an approximate seven
gallons per minute reactor coolant leak. The inspectors observed operator actions,
control room briefs and overall plant response to the event. The inspectors also
- 33 - Enclosure
observed control room indications used to identify abnormal conditions in the
containment building. Documents reviewed for this inspection are listed in the
attachment.
b. Findings
Introduction. The inspectors reviewed a self-revealing, Green finding of EN-DC-115,
Engineering Change Process, involving the failure to maintain adequate design control
measures associated with the installation of the mitigation monitoring system.
Description. On November 8, 2010, at approximately 5:30 am, a reactor coolant
pressure boundary failure occurred at the skid mounted Online Noble Chemical -
Mitigation Monitoring System pump inside primary containment. The positive
displacement sample pump ejected the pump piston from the housing resulting in an
approximate 7 gpm leak of reactor coolant. The leak was not detected for approximately
4.5 hours5.787037e-5 days <br />0.00139 hours <br />8.267196e-6 weeks <br />1.9025e-6 months <br />, resulting in the release of approximately 2,000 gallons of reactor coolant
which flashed directly to steam. The steam leak resulted in a reactor recirculation system
flow control valve lockup (due to HPU motor failure) and approximately 15,000 square
feet of contaminated area in the primary containment structure.
The inspectors reviewed the mitigation monitoring system modification documentation
and found that the design documentation did not appropriately address the design
requirements for the installation of the mitigation monitoring system pump. The licensee
failed to ensure proper validation testing for the pump prior to installation in the plant.
Specifically, they did not ensure that the pump would be able to withstand the system
operating pressures and temperatures in which it was installed. They failed to validate
the design, which had a single point vulnerability, that resulted in the piston injecting
from the pump and caused the leakage and contamination of the containment. In
addition, the inspectors reviewed the root cause analysis of the event and found that the
licensee failed to apply the appropriate oversight of the engineering vendor due to
weaknesses in the procedure EN-DC-114, "Vendor Quality Management/Oversight."
The licensee entered this event into their corrective actions program as condition report
CR-GGN-2010-07852. The licensee has currently removed the mitigation monitoring
system pump from the plant, and isolated the mitigation monitoring system skid from the
reactor water cleanup system. They are evaluating the design to make appropriate
changes to ensure a repeat of this event will not occur.
Analysis. The failure to implement adequate design control measures for modifications
to the plant, which impacted the reactor coolant pressure boundary, is a performance
deficiency. Specifically procedure EN-DC-115, Engineering Change Process, step
5.1[1], requires during the engineering change development a choice of new technology
or application is an error precursor which will need to have defensive functions built into
the design, testing and maintenance, including developing in-house expertise. Contrary
to this, the engineering change package that implemented this design change failed to
ensure proper validation testing was performed prior to installation in the plant. The
finding is more than minor because it affects the design control attribute of the Barrier
Integrity Cornerstone to provide reasonable assurance that physical design barriers
- 34 - Enclosure
protect the public from radionuclide releases caused by accidents or events. Therefore,
using inspection Manual Chapter 0609, "Significance Determination Process," Phase 1
Worksheet for LOCA initiators, the inspectors concluded that the finding was of very low
safety significance (Green) because the failure of the mitigation monitoring system would
not have exceeded technical specifications limits for identified leakage in the reactor
coolant system. This finding has a crosscutting aspect in the area of human
performance associated with the work practices component because the licensee failed
to adequately oversee the design of the mitigation monitor system such that nuclear
safety is supported. H.4(c)
Enforcement. No violation of regulatory requirements occurred. This finding was
entered into the licensees corrective action program as CR-GGN-2010-07852, and is
identified as: FIN 05000416/2011002-06, Inadequate Design Control for the Mitigation
Monitoring System Modification.
4OA5 Other Activities
1. (Closed) Temporary Instruction (TI) 2515/179, Verification of Licensee Responses to
NRC Requirement for Inventories of Materials Tracked in the National Source Tracking
System Pursuant to Title 10, Code of Federal Regulations, Part 20.2207 (10 CFR
20.2207)
a. Inspection Scope
An NRC inspection was performed to confirm that the licensee has reported their initial
inventories of sealed sources pursuant to 10 CFR 20.2207 and to verify that the National
Source Tracking System database correctly reflects the Category 1 and 2 sealed
sources in custody of the licensee. Inspectors interviewed personnel and performed the
following:
- Reviewed the licensees source inventory
- Verified the presence of any Category 1 or 2 sources
- Reviewed procedures for and evaluated the effectiveness of storage and handling
of sources
- Reviewed documents involving transactions of sources
- Reviewed adequacy of licensee maintenance, posting, and labeling of nationally
tracked sources
b. Findings
While comparing the National Source Tracking System database information, the
Licensees information submittal, and original source certificates, the inspector noted
that the licensee erroneously reported information for one of the four sources meeting
the reporting criteria. The licensee used original leak test data and submitted the wrong
- 35 - Enclosure
serial number and activity date for the source. The licensee reviewed all relevant data
and submitted corrected documents within the five business days allowed by
10 CFR 20.2207(g). This finding was considered as an administrative error and of minor
safety significance.
4OA6 Meetings
Exit Meeting Summary
On February 18, 2011, the inspectors presented the results of the radiation safety inspections to
Mr. J. Browning, General Plant Manager, and other members of the licensee staff. The licensee
acknowledged the issues presented. The inspectors asked the licensee whether any materials
examined during the inspection should be considered proprietary. No proprietary information
was identified.
On April 14, 2011, the inspectors presented the inspection results to M. Perito, Site Vice-
President Operations and other members of the licensee staff. The licensee acknowledged the
issues presented. The inspector asked the licensee whether any materials examined during the
inspection should be considered proprietary. No proprietary information was identified.
4OA7 Licensee-Identified Violations
The following violations of very low safety significance (Green) were identified by the licensee
and are violations of NRC requirements which meet the criteria of Section 2.3.2 of the NRC
Enforcement Policy for being dispositioned as noncited violations.
.1 Technical Requirements Manual (TRM) section 6.2.1 requires that fire detection
instrumentation for each fire detection zone shall be operable and if the required
detection system is inoperable an hourly fire watch must be established. Contrary to
this, on February 9, 2011 the licensee identified that fire detection instrumentation for fire
zone 2-12 had been left in the non-audible alarm for the main control room on the fire
computer when the limiting condition for operations was cleared on December 8, 2010
when zone was returned to operable status. The control room supervisor on February 9,
2011, discovered this condition when entering a fire-limiting condition for operation for
the division 1 diesel generator room to allow welding. The licensee determined that it
had been in non-audible status from December 8, 2010, through February 9, 2011. This
issue was documented in the licensees corrective action program in condition report
CR-GGN-2011-00851. The senior reactor analyst from region IV performed a bounding
evaluation of the change in risk caused by this condition. According to the Grand Gulf
Updated Final Safety Analysis Report, Fire Zone 2-12 only contains Division I
equipment. A fire that consumed the equipment in the area could not result in a loss of
offsite power or other unplanned transient. Given the ignition frequency of the area, the
60-day exposure period, and the conditional core damage probability with the loss of the
Division I emergency diesel generator, the analyst calculated that the change in risk was
significantly less than 1E-6. Therefore, this finding was of very low safety significance
(Green).
- 36 - Enclosure
- 37 - Enclosure
SUPPLEMENTAL INFORMATION
KEY POINTS OF CONTACT
Licensee Personnel
R. Benson, Manager (Acting), Radiation Protection
J. Browning, General Plant Manager
D. Coulter, Senior Licensing Specialist
H Farris, Assistant Operation Manager
K. Higgenbotham, Planning and Scheduling Manager
J. Houston, Maintenance Manager
R. Jackson, Licensing
C. Lewis, Manager, Emergency Preparedness
C. Perino, Licensing Manager
M. Perito, Site Vice President of Operations
M. Richey, Director, Nuclear Safety Assurance
F. Rosser, Supervisor, Dosimetry
R. Sumrall, Superintendant, Operations Training
R. Sylvan, Supervisor, Radiation Protection
T. Trichell, Radiation Protection Manager
D. Wiles, Engineering Director
R. Wilson, Manager, Quality Assurance
E. Wright, Supervisor, Radiation Protection
NRC Personnel
R. Smith, Senior Resident Inspector
A-1 Attachment
LIST OF ITEMS OPENED, CLOSED, AND DISCUSSED
Opened and Closed
Transient Combustible Stored in the Fire Exclusion Zone Near the
Independent Spent Fuel Storage Installation (Section 1R05)
Failure to Update Available Low Pressure Coolant Injection Loops05000416/2011002-02 NCV
in the Updated Final Safety Analysis Report (Section 1R12)
Failure to Demonstrate Maintenance Effectiveness of Train B
Control Room Air Conditioner(Section 1R12)
Failure to Use a Qualified Radiation Protection Technician to
05000416/2011002-04 NCV Provide Direct Continuous Coverage of Work in a Locked High
Radiation Area (Section 2RS01)
Failure to Prevent Recurrence of Control Room Air Conditioner
Compressor Tripping Due to Low Oil Pressure (Section 4OA3)
Inadequate Design Control for the Mitigation Monitoring System
Modification (Section 4OA3)
Closed
Verification of Licensee Responses to NRC Requirement for
Inventories of Materials Tracked in the National Source Tracking
TI 2515/179 TI
System Pursuant to Title 10, Code of Federal Regulations,
Part 20.2207 (10 CFR 20.2207) (Section 4OA5)
05000416/2010-002-00 LER Control Room Air Conditioning Inoperability - Loss of Both Trains
(Section 4OA3)
A-2 Attachment
LIST OF DOCUMENTS REVIEWED
Section 1RO1: Adverse Weather Protection
PROCEDURE
NUMBER TITLE REVISION
ENS-EP-302 Severe Weather Response 11
05-1-02-VI-2 Hurricanes, Tornados, and Severe Weather 113
04-1-01-P41-1 Standby Service Water System 133
04-1-01-N71-1 Circulating Water System 72
04-1-03-A30-1 Cold Weather Protection 20
OTHER
NUMBER TITLE DATE
SSW Pump Discharge Temperatures January 6-10,
2011
WORK ORDER
Section 1RO4: Equipment Alignment
PROCEDURE
NUMBER TITLE REVISION
07-1-34-C41- Standby Liquid Control Pump 10
C001-1
04-1-01-C41-1 Standby Liquid Control System 119
04-1-01-P75-1 Standby Diesel Generator System 88
04-1-01-P41-1 Standby Service Water System 133
04-1-01-E12-1 System Operating Instructions Residual Heat Removal 137
System
04-1-01-E12-1 Residual Heat Removal B 137
04-1-01-E12-1 Residual Heat Removal C 137
A-3 Attachment
PROCEDURE
NUMBER TITLE REVISION
04-1-01-E12-1 Residual Heat Removal B Attachment IB 137
04-1-01-E12-1 Residual Heat Removal B Attachment IIIB 137
04-1-01-E12-1 Residual Heat Removal C Attachment IC 137
04-1-01-E12-1 Residual Heat Removal B Attachment VB 137
04-1-01-E12-1 Residual Heat Removal (Interface Valves) Attachment IIE 137
04-1-01-P41-1 Standby Service Water System Attachment IIB 133
04-1-01-P41-1 Standby Service Water System Attachment IIIB 113
OTHER
NUMBER TITLE DATE
11-4568 Scaffolding Evaluation Request February 15,
2001
CALCULATION
NUMBER TITLE DATE
9645 Diesel Generator Building Walls August 2,
1976
C-C400 SSW CT and Basin (Pump-House) Tornado and No May 28, 1976
C-0-100 Diesel Generator Bldg. Walls Tornado Wind Load W August 2,
1976
WORK ORDER
WO 52256371 WO 00260559 WO 00259801
Section 1RO5: Fire Protection
PROCEDURE
NUMBER TITLE REVISION
Fire Pre-Plan DG-03 Division II Diesel Generator Room 3
Fire Pre-Plan A-02 RHR A Pump Room 1A103 1
A-4 Attachment
PROCEDURE
NUMBER TITLE REVISION
Fire Pre-Plan A-03 RCIC Pump Room 1A104 1
Fire Pre-Plan A-04 RHR B Pump Room 1A105 1
9A.5.2.2 Safe Shutdown Equipment
Appendix 9B Fire Protection Program
CONDITION REPORT
CR-GGN-2011-00862 CR-GGN-2011-01939 CR-GGN-2011-00851
CR-GGN-2011-00455
Section 1RO6: Flood Protection Measures
PROCEDURE
NUMBER TITLE REVISION /
DATE
EN-OP-104 Operability Determination Process Immediate Determination 4
For Degraded of Nonconforming Conditions
OTHER
NUMBER TITLE DATE
Russell Daniel Oil Co. Inc. Delivery Date Schedule February 10,
2011
CONDITION REPORT
CR-GGN-2011-00198 CR-GGN-2011-00562 CR-GGN-2011-00654
WORK ORDER
WO 52281566 WO 52210679 03 WO 52210679 02
WO 52210679 01 WO 00041743 WO 52210679
A-5 Attachment
ENGINEERING CHANGE
EC No. 24971 EC No. 24904 EC No. 24972
Section 1R07:
PROCEDURE
NUMBER TITLE REVISION
08-S-03-10 Chemistry Procedure-Closed Loops 48
OTHER
NUMBER TITLE DATE
CCE 2006-0002 Commitment Change Evaluation Form
Letter Response to Generic Letter 89-13; Service Water System January 29,
Problems Affecting Safety-Related Equipment 1990
WORK ORDER
WO 00178965 01 WO 00178965 02 WO 00178965 03
Section 1R11: Licensed Operator Requalification Program
OTHER
NUMBER TITLE REVISION /
DATE
GSMS-LOR- LOR Training-Double Recirculation Pump Trip/ATWS January 18,
WEX03 2011
Rev 17
Turnover and Simulator Differences 2011 Cycle 1 Simulator 1
Training
Per Control Room Walkdown, Modifications to TREX Load January 7,
2011
Letter Emergency Preparedness January 31, 2011 Simulator Drill February 1,
Performance Indicators 2011
A-6 Attachment
Section 1R12: Maintenance Effectiveness
PROCEDURE
NUMBER TITLE REVISION /
DATE
EN-FP-S-001- Engineering Standard-Appendix R Emergency Lighting Units January 10,
Multi 2011
07-S-12-143 Big Beam Emergency Light Inspection, Battery Capacity 2
Verification, and Functional Test
EN-DC-203 Maintenance Rule Program 1
EN-DC-206 Maintenance Rule (a)(1) Process 1
EN-DC-207 Maintenance Rule Periodic Assessment 1
NMM EN-LI-118 Root Cause Evaluation Report Attachment IV (54 of 54) 12
EN-DC-205 Maintenance Rule Monitoring 2
GG UFSAR Table 7.5-1 Safety-Related Display
Instrumentation
GG UFSAR Table 7.5-2 Post-Accident Monitoring
Instrumentation
GG UFSAR 6.3 Emergency Core Cooling Systems 0
03-1-01-3 Integrated Operating Instructions Plant Shutdown 118
OTHER
NUMBER TITLE REVISION /
DATE
Emergency Lighting - GGNS Discussion of Recent Activities
Maintenance Rule Expert Panel June 22, 2010 Meeting
Minutes
Maintenance Rule Expert Panel August 10, 2010 Meeting
Minutes
Entergy Nuclear-GGNS Maintenance Rule Program Basis 0
Document, Control Room and Emergency Lighting (Z92)
System
Z92 Maintenance Rule Database Control Room and Emergency
Lighting
TM M348X.8001 Midtron 3200 Battery Conductance Tester
A-7 Attachment
OTHER
NUMBER TITLE REVISION /
DATE
VMA97/0181 Emergency Lights
Maintenance Rule Database Information - Main Control March 21,
Room Air Conditioning (Z51) System 2009 to
December
23, 2010
Maintenance Rule Database Z51 Control Room HVAC
System
EC No.: 27856 Engineering Evaluation 0
Maintenance Rule Program (a)(1) Evaluation and Action Plan
Main Control Room Air Conditioning (Z51) System
Agenda for Maintenance Rule Expert Panel Meeting February 4,
2010
RHR Heat Exchanger SSW Flow Indication (a)(1) Status
Maintenance Rule Database E12 RHR System
Maintenance Rule Program (a)(1) Evaluation for the Residual
Heat Removal (E12/RHR) System CR-GGN-2009-0754 CA
No. 002
Maintenance Rule (a)(1) Evaluation Standby Service Water
(P41) System (GR-GGN-2010-00305)
Agenda Items from Maintenance Rule Expert Panel Meeting June 24,
2010
Agenda Items from Maintenance Rule Expert Panel Meeting June 22,
2010
CONDITION REPORT
CR-GGN -2009-05330 CR-GGN -2010-00381 CR-GGN -2010-04575
CR-GGN -2010-04585 CR-GGN -2010-06346 CR-GGN -2011-00481
CR-GGN -2011-00521 CR-GGN -2011-01212 CR-GGN-2011-01650
CR-GGN-2010-01984 CR-GGN-2011-11505 CR-GGN-2011-01308
CR-GGN-2010-07315 CR-GGN-2009-00842 CR-GGN-2009-00754
GR-GGN-2009-01729 CR-GGN-2009-02477 CR-GGN-2009-03394
CR-GGN-2009-02947 CR-GGN-2009-02848 CR-GGN-2009-03292
CR-GGN-2009-03574 CR-GGN-2009-03592 CR-GGN-2009-04219
A-8 Attachment
CR-GGN-2010-01031 CR-GGN-2009-04048 CR-GGN-2009-05930
CR-GGN-2009-05215 CR-GGN-2009-05932 CR-GGN-2009-05472
CR-GGN-2009-06066 CR-GGN-2009-04733 CR-GGN-2010-00036
CR-GGN-2010-01329 CR-GGN-2011-00789 CR-GGN-2010-07351
CR-GGN-2010-04009 CR-GGN-2010-05892 CR-GGN-2011-00791
CR-GGN-2011-00820 CR-GGN-2011-00985 CR-GGN-2009-01204
CR-GGN-2010-00684 CR-GGN-2010-05290 CR-GGN-2010-01585
CR-GGN-2010-00800 CR-GGN-2010-01474 CR-GGN-2010-01337
CR-GGN-2009-05508 CR-GGN-2010-01320 CR-GGN-2010-01345
CR-GGN-2009-05731 CR-GGN-2009-06174 CR-GGN-2010-02797
CR-GGN-2010-02200 CR-GGN-2010-03655 CR-GGN-2010-04629
CR-GGN-2010-02990 CR-GGN-2010-03241 CR-GGN-2009-00350
CR-GGN-2009-00426 CR-GGN-2009-00846 CR-GGN-2009-01518
CR-GGN-2010-02805 CR-GGN-2010-04015 CR-GGN-2010-03333
CR-GGN-2010-04625 CR-GGN-2010-04255 CR-GGN-2009-05527
CR-GGN-2010-02974 CR-GGN-2010-06137 CR-GGN-2010-05208
CR-GGN-2010-05330 CR-GGN-2010-04686 CR-GGN-2010-04963
CR-GGN-2010-05572 CR-GGN-2010-03650 CR-GGN-2010-06978
CR-GGN-2010-06148 CR-GGN-2010-06150 CR-GGN-2010-05328
CR-GGN-2010-06142 CR-GGN-2011-00403 CR-GGN-2011-00749
CR-GGN-2011-00819 CR-GGN-2011-00850 CR-GGN-2010-06895
CR-GGN-2010-06918 CR-GGN-2011-01212 CR-GGN-2010-05147
WORK ORDER
WO 52255810 WO 52223396 WO 52271013 01
Section 1R13: Maintenance Risk Assessment and Emergent Work Controls
PROCEDURE
NUMBER TITLE REVISION
EN-WM-101 On-line Work Management Process 7
EN-WM-100 Work Request Generation, Screening and Classification 5
EN-WM-101 On-line Work Management Process 8
EN-WM-101 On Line Emergent Work Addition/Deletion Approval Form for 7
the Week of March 7, 2011
A-9 Attachment
PROCEDURE
NUMBER TITLE REVISION
EN-WM-101 On Line Emergent Work Addition/Deletion Approval Form for 7
the Week of February 28, 2011
WORK ORDER
WO52290462 WO52290463 WO52290464
WO70346 WO52291451 WO52291458
WO52291454 WO52291456 WO52291689
WO52291690 WO261213 WO52284287
WO52269835 WO52290236 WO52290463
WO52290464 WO52291844 WO52291454
WO52291456 WO261601 WO250966-02
WO237429 WO256910-01 WO52290639
WO52287735 WO52290638 WO52287736
WO52276935 WO260417 WO260212-02
WO260212-01 WO00219198 WO260529-07
WO52204865 WO260503 WO52243284
WO260529-07 WO52204865 WO52199495
WO255787-01,02,03,04 WO52249417 WO52271012
WO200935-02 WO00257063 WO224859
WO261706 WO255360-08 WO263130
WO261181-01 and 02 WO262143 WO234988-04
WO234992-04 WO52250110-03 WO234985-04
WO259003-05 WO259005-05 WO259007-05
WO112951-08 WO52270042 WO52259286
WO52275616 WO52288663 WO52290468
WO52270252 WO52291424 WO52270250
WO52291423 WO235034 WO52288844
WO51563342 WO160041 WO52290473
WO52281103
A-10 Attachment
Section 1R15: Operability Evaluations
PROCEDURE
NUMBER TITLE REVISION
EN-OP-104 Operability Determination Process 4
CALCULATION
NUMBER TITLE REVISION
PDS0170B SSW Basin A Relief Valve 2
DRAWING
NUMBER TITLE REVISION
FSK-M-KC187- Design Change Drawing SSW Basin A and B 8
Design Change Drawing Reinforced Concrete Distribution 8
Support System Tower Elevation 157-8
OTHER
NUMBER TITLE REVISION /
DATE
2007-029 LBDCR Initiation
Grand Gulf Nuclear Station, Unity 1 - Conforming License July 18, 2007
Amendment to Incorporate the Mitigation Strategies Required
by Section B.5.b of the Commission Order EA - 02 - 026
GNRO- Supplementary Response Regarding Implementation Details June 7, 2007
2007/00037 for the Phase 2 and 3 Mitigation Strategies Grand Gulf
Nuclear Station
NEI 06-12 B.5.b Phase 2 & 3 Submittal Guideline Rev 2
December
2006
Attachment 9.2 Immediate Determination for Degraded of Nonconforming
Conditions CR-GGN-2011-01512
A-11 Attachment
OTHER
NUMBER TITLE REVISION /
DATE
Attachment 9.5 Operability Evaluation CR-GGN-2011-00155
NUS Switch Status
CONDITION REPORT
CR-GGN-2011-01173 CR-GGN-2011-00765 CR-GGN-2011-00155
CR-GGN-2011-00766 CR-GGN-2011-00799 CR-GGN-2011-01512
CR-GGN-2009-06838 CR-GGN-2011-01349 CR-GGN-2011-04701
CR-GGN-2011-00369 CR-GGN-2011-00643 CR-GGN-2011-00647
CR-GGN-2011-00665 CR-GGN-2011-00666 CR-GGN-2011-00667
CR-GGN-2011-00668 CR-GGN-2011-00669 CR-GGN-2011-00670
CR-GGN-2011-00671
Section 1R18: Plant Modifications
PROCEDURE
NUMBER TITLE REVISION
EN-DC-136 Temporary Modifications 5
EN-LI-102 Corrective Action Process 16
DRAWING
NUMBER TITLE REVISION
E-1187-007 E31 Leak Detection System RWCU Flow Circuit Computer 7
Input
E1165014 Schematic Design Rod Control and Information System Rod 13
Position Information and SCRAM Time Test
E1173028 Schematic Design Reactor Protection System Testability 6
M1051A Main and Reheat System 33
OTHER
NUMBER TITLE
06-OP-1000-D-0001 Log Data
A-12 Attachment
OTHER
NUMBER TITLE
CR-GGN-2009- CR Periodic Review (initial at 6 months/follow by annual)
02198 CA 26 and/or Long Tem CA Classification Form
CONDITION REPORT
CR-GGN-2009-02198 CR-GGN-2010-04451 CR-GGN-2011-01231
WORK ORDER
WO00238932 WO00238928 WO00193921
WO00193920 WO002239736-01 WO002239736-02
WO002239736-03
ENGINEERING CHANGE
Section 1R19: Postmaintenance Testing
PROCEDURE
NUMBER TITLE REVISION /
DATE
06-OP-1E12-Q- LPCI/RHR Subsystem A MOV Functional Test 112
0005
06-OP-1E12-Q- LPCI/RHR Subsystem A Quarterly Functional Test 121
0023
06-0P-1E12- LPCI/RHR System B MOV Functional Test 111
0006
06-OP-1P41-Q- Standby Service Water Loop A Valve AND Pump Operability 119
0004 Test
04-1-03-P75-1 Div 1 Diesel Generator Unexcited Run 7
06-OP-1P75-M- Data Sheet III Standby Diesel Generator 11 Functional Test February 12,
001 2011
07-S-12-40 General Cleaning and Inspection of Rotating Electrical 2
Equipment
07-S-12-146 General Maintenance Instruction Motor Off Line Diagnostic 1
A-13 Attachment
PROCEDURE
NUMBER TITLE REVISION /
DATE
Data Acquisition
07-S-12-55 Insulation Resistance Testing 10
06-IC-1E22-Q- HPCS System Flow Rate - Low (Bypass) Functional Test 104
0004
OTHER
NUMBER TITLE DATE
RPS Motor GEN B - MCE Stator February 2,
2011
HPCS Min Flow Valve Position March 18,
2011
DRAWING
NUMBER TITLE DATE
BRKR No. 52- IC71SOOIOB
142229
BRKR No. 52- IC7IS003B (Local C71-S003B)
142229
BRKR No. 52- IC7IS003D (Local C71-S003D)
142229
Timeline for Events leading to NRC Notification Call on March 18,
HPCS 2011
CONDITION REPORT
WORK ORDER
WO52311451 WO52311569 WO52285575
WO00251847 WO52224645 WO52223715
WO00262318 WO00259110-01 WO00259110-03
WO00237650-01 WO00237650-04 WO00237650-05
WO00237650-06 WO52304041 WO00270205-01
A-14 Attachment
Section 1R22: Surveillance Testing
PROCEDURE
NUMBER TITLE REVISION
06-CH-1B21-O- Reactor Coolant Routine Chemistry-Sample February 23, 106
0002 2011
06-CH-1B21-O- Reactor Coolant Routine Chemistry-Sample February 18, 106
0002 2011
06-CH-1B21-O- Plant Operations Manual-Reactor Coolant Routine Chemistry 106
0002
06-CH-1B21-W- Reactor Coolant Dose Equivalent Iodine 104
0008
06-OP-1C61-R- Functional Checks with E51 Valves 109
0002
06-OP-1P75-M- Standby Diesel Generator Functional Test 132
0001
06-IC-1D17-R- Fuel Handling Area Ventilation Exhaust High High Radiation 102
0010 Electronics Time Response Test
04-1-01-P81-1 High Pressure Core Spray Diesel Generator 67
06-OP-1P81-M- HPCS Diesel Generator 13 Functional Test 123
0002
EN-OP-109 Conduct of Operations 2
OTHER
NUMBER TITLE DATE
Drywell Unidentified Leakage Rate vs. A Recirc Seal Delta June 2010-
T January 2011
CONDITION REPORT
CR-GGN-2011-01932 CR-GGN-2011-01868
WORK ORDER
WO52271012 WO52289870 WO52288401
WO52261837 WO52307262 WO00270146-01
A-15 Attachment
Section 1EP6: Drill Evaluation
OTHER
NUMBER TITLE DATE
Emergency Facility Log March 3, 2011
Repair and Corrective Action Table March 3, 2011
Emergency Notification Form 1-7 for EP Drill March 3, 2011
GGNS 2011 1st Quarter ERO Training Drill
CONDITION REPORT
CR-GGN-2011-01481 CR-GGN-2011-01486 CR-GGN-2011-01495
CR-GGN-2011-01499 CR-GGN-2011-01510 CR-GGN-2011-01519
CR-GGN-2011-01520 CR-GGN-2011-01522
Section 2RS01: Radiological Hazard Assessment and Exposure Controls
PROCEDURES
NUMBER TITLE REVISION
EN-RP-100 Radiation Worker Expectations 6
EN-RP-101 Access Control for Radiologically Controlled Areas 5
EN-RP-102 Radiological Control 2
EN-RP-106 Radiological Survey Documentation 2
01-S-08-1 Administration of the GGNS Radiation Protection Program 105
01-S-08-6 Radioactive Source Control 113
08-S-02-50 Radiological Surveys and Surveillances 116
AUDITS, SELF-ASSESSMENTS, AND SURVEILLANCES
NUMBER TITLE DATE
LO-GLO-2010-93 Pre-NRC Rad Hazard Assessment and Exposure December 16, 2010
Controls Assessment
CONDITION REPORTS
CR-GGN-2011-00183 CR-GGN-2011-00551 CR-GGN-2011-00655 CR-GGN-2011-00926
A-16 Attachment
RADIOLOGICAL SURVEY
NUMBER TITLE DATE
GG-1102-0146 Routine Daily Surveys February 15, 2011
GG-1012-0083 208 CTMT Entire Elevation December 7, 2010
GG-1102-0152 208 CTMT Entire Elevation February 15, 2011
GG-1012-0118 119 AB RHR A Room December 9, 2010
GG-1012-0086 119 AB RHR A Room February 7, 2011
GG-1011-0254 119 AB RHR B Room November 30, 2010
GG-1101-0156 119 AB RHR B Room January 16, 2011
GG-1011-0064 93 Aux RHR C & ADHR Hx Rooms November 6, 2010
GG-1102-0044 93 Aux RHR C & ADHR Hx Rooms February 3, 2011
GG-1011-0018 119 Aux Piping Penetration & Valve Room November 2, 2010
GG-1102-0041 119 Aux Piping Penetration & Valve Room February 3, 2011
GG-1011-0063 93 Aux HPCS Pump Room November 6, 2010
GG-1102-0042 93 Aux HPCS Pump Room February 3, 2011
RADIATION WORK PERMITS
NUMBER TITLE
20101005 Tours and Inspections into all areas
20111054 Locked High Radiation Area Entries for Plant/System Investigations, Valve
Manipulations, Tagouts, and Misc. Activities
20111058 Maintenance in HRA /HCA & Above
Section 2RS02: Occupational ALARA Planning and Controls
PROCEDURES
NUMBER TITLE REVISION
EN-RP-105 Radiological Work Permits 9
AUDITS, SELF-ASSESSMENTS, AND SURVEILLANCES
NUMBER TITLE DATE
LO # LO-GLO- Pre-NRC Inspection for ALARA Planning and Controls- November 9, 2010
2010-00094 Assessment
CONDITION REPORTS
A-17 Attachment
CR-GGN-2011-00425 CR-GGN-2011-00425 CR-GGN-2010-06335
RADIATION WORK PERMIT PACKAGES
NUMBER TITLE
2010-1402 Refuel Floor High Water Activities
2010-1403 Reactor Disassemble/Reassemble
2010-1508 Under Vessel Activities
2010-1530 B Recirc Pump Replacement
2010-1534 B21F011B Stem Replacement
Section 4OA1: Performance Indicator Verification
PROCEDURE
NUMBER TITLE REVISION
st
EN-LI-114 1 Quarter 2010 Unplanned Scrams per 7,000 Critical 4
Hours
EN-LI-114 2nd Quarter 2010 Unplanned Scrams per 7,000 Critical 4
Hours
EN-LI-114 3rd Quarter 2010 Unplanned Scrams per 7,000 Critical 4
Hours
EN-LI-114 4th Quarter 2010 Unplanned Scrams per 7,000 Critical 4
Hours
EN-LI-114 1st Quarter 2010 Unplanned Scrams with Complications 4
EN-LI-114 2nd Quarter 2010 Unplanned Scrams with Complications 4
EN-LI-114 3rd Quarter 2010 Unplanned Scrams with Complications 4
EN-LI-114 4th Quarter 2010 Unplanned Scrams with Complications 4
EN-LI-114 1st Quarter 2010 Unplanned Power Changes per 7,000 4
Critical Hours
EN-LI-114 2nd Quarter 2010 Unplanned Power Changes per 7,000 4
Critical Hours
EN-LI-114 3rd Quarter 2010 Unplanned Power Changes per 7,000 4
Critical Hours
EN-LI-114 4th Quarter 2010 Unplanned Power Changes per 7,000 4
Critical Hours
A-18 Attachment
OTHER
NUMBER TITLE
January 2010 Core Thermal Power
February 2010 Core Thermal Power
March 2010 Core Thermal Power
April 2010 Core Thermal Power
May 2010 Core Thermal Power
June 2010 Core Thermal Power
July 2010 Core Thermal Power
August 2010 Core Thermal Power
September 2010 Core Thermal Power
October 2010 Core Thermal Power
November 2010 Core Thermal Power
December 2010 Core Thermal Power
Section 4OA2: Identification and Resolution of Problems
OTHER
NUMBER TITLE DATE
GGNS Position on Riley Temperature Switch Replacement
Maintenance Rule Program Functional Failures-Riley
Temperature Switches
NUS Switch Status February 2,
2011
Riley History Discussion by Lee Eaton
Riley History Presentation to 2009 PInR
CONDITION REPORT
A-19 Attachment
Section 4OA3: Event Follow-Up
PROCEDURE
NUMBER TITLE REVISION
EN-DC-167 Classification of Structures, Systems, and Components 3
EN-HU-103 Human Performance Error Reviews for CR-GGN-2010-7877 4
EN-DC-115 Engineering Change Process 11
DRAWINGS
NUMBER TITLE REVISION
M-1127A Piping and Instrumentation Diagram Noblechem Monitoring 0
System
M-1081B Control Rod Drive Hydraulic System 28
M-1078A Reactor Recirculation System Unit 1 33
M-1079 Reactor Water Clean-up System Unit 1 46
M-1069A Process Sampling System Unit 1 24
OTHER
NUMBER TITLE DATE
Root Cause Evaluation Report-Control Room Air Conditioner October 16,
B Trip (Event Date 10-14-2010) 2010
GNRO- LER 2010-002-00Control Room Air Conditioning December
2010/00077 13, 2010
Root Cause Evaluation Report Mitigation Monitor Durability November 8,
Monitor Pump Failure 2010
MMS Skid Piping/Component Design Basis
Compliance with NRC Regulatory Guide 1.26
CONDITION REPORT
CR-GGN-2010-07315 CR-GGN-2010-08580 CR-GGN-2010-07852
ENGINEERING CHANGE
A-20 Attachment
Section 4OA5 Temporary Instruction 2515/179
PROCEDURES
NUMBER TITLE REVISION
EN-RP-143 Source Control 7
MISCELLANEOUS DOCUMENTS
TITLE DATE
National Source Tracking System Annual Inventory Reconciliation Report 2010
National Source Tracking System Annual Inventory Reconciliation Report 2011
Section 4OA7: Licensee-Identified Violations
CONDITION REPORT
A-21 Attachment