Difference between revisions of "Rulemaking Requirements from the Executive Office of the President"
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*Executive Order 13,777, [https://www.govinfo.gov/content/pkg/FR-2017-03-01/pdf/2017-04107.pdf Enforcing the Regulatory Reform Agenda], 82 Fed. Reg. 12,285 (Mar. 1, 2017).
*Executive Order 13,777, [https://www.govinfo.gov/content/pkg/FR-2017-03-01/pdf/2017-04107.pdf Enforcing the Regulatory Reform Agenda], 82 Fed. Reg. 12,285 (Mar. 1, 2017).
*Executive Order 13,783, [https://www.govinfo.gov/content/pkg/FR-2017-03-31/pdf/2017-06576.pdf Promoting Energy Independence and Economic Growth], 82 Fed. Reg. 16,093 (Mar. 31, 2017).
*Executive Order 13,783, [https://www.govinfo.gov/content/pkg/FR-2017-03-31/pdf/2017-06576.pdf Promoting Energy Independence and Economic Growth], 82 Fed. Reg. 16,093 (Mar. 31, 2017).
*Executive Order 13,924, [https://www.govinfo.gov/content/pkg/FR-2020-05-22/pdf/2020-11301.pdf Regulatory Relief to Support Economic Recovery], 85 Fed. Reg. 31,353 (May 22, 2020).
*Executive Order 13,924, [https://www.govinfo.gov/content/pkg/FR-2020-05-22/pdf/2020-11301.pdf Regulatory Relief to Support Economic Recovery], 85 Fed. Reg. 31,353 (May 22, 2020).
Revision as of 11:28, 2 February 2021
This section discusses the most significant presidential Executive Orders, Bulletins, and Memoranda, which pertain to the rulemaking process or federal regulation. Other executive orders and memoranda may be found in other sections, e.g., those relating to the Federal Advisory Committee Act.
- 1 Executive Orders
- 2 Table of Executive Order Requirements
- 3 Other White House Bulletins and Memoranda
- 4 Overview
- 5 Bibliography
- 5.1 Congressional Documents
- 5.2 OMB/OIRA Documents
- 5.3 ACUS Documents
- 5.4 CRS Documents
- 5.5 GAO Documents
- 5.6 Other Government Documents
- 5.7 Selected Books and Articles
- 5.8 Miscellaneous
- Executive Order 12,372, Intergovernmental Review of Federal Programs, 47 Fed. Reg. 30,959 (July 16, 1982).
- Executive Order 12,630, Governmental Actions and Interference with Constitutionally Protected Property Rights, 53 Fed. Reg. 8,859 (Mar. 18, 1988).
- Executive Order 12,866, Regulatory Planning and Review, 58 Fed. Reg. 51,735 ( Oct. 4, 1993).
- Executive Order 12,889, Implementation of the North American Free Trade Agreement, 58 Fed. Reg. 69,681 (Dec. 30, 1993).
- Executive Order 12,898, Federal Actions to Address Environmental Justice in Minority Populations and Low-Income Populations, 59 Fed. Reg. 7,629 (Feb. 16, 1994).
- Executive Order 12,988, Civil Justice Reform, 61 Fed. Reg. 4,729 (Feb. 7, 1996).
- Executive Order 13,045, Protection of Children from Environmental Health Risks and Safety Risks, 62 Fed. Reg. 19,885 (Apr. 23, 1997).
- Executive Order 13,132, Federalism, 64 Fed. Reg. 43,255 (Aug. 10, 1999).
- Executive Order 13,175, Consultation and Coordination with Indian Tribal Governments, 65 Fed. Reg. 67,249 (Nov. 9, 2000).
- Executive Order 13,211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use, 66 Fed. Reg. 28,355 (May 22, 2001).
- Executive Order 13,272, Proper Consideration of Small Entities in Agency Rulemaking, 67 Fed. Reg. 53,461 (Aug. 16, 2002).
- Executive Order 13,563, Improving Regulation and Regulatory Review, 76 Fed. Reg. 3,821 (Jan. 21, 2011) (supplementing and reaffirming Executive Order 12866).
- Executive Order 13,579, Regulation and Independent Regulatory Agencies, 76 Fed. Reg. 41,587 (July 14, 2011).
- Executive Order 13,609, Promoting International Regulatory Cooperation, 77 Fed. Reg. 26,413 (May 4, 2012).
- Executive Order 13,610, Identifying and Reducing Regulatory Burdens, 77 Fed. Reg. 28,469 (May 14, 2012).
- Executive Order 13,707, Using Behavioral Science Insights to Better Serve the American People, 80 Fed. Reg. 56,356 (Sept. 18, 2015).
- Executive Order 13,725, Steps to Increase Competition and Better Inform Consumers and Works to Support Continued Growth of the American Economy, 81 Fed. Reg. 23,417 (Apr. 20, 2016).
- Executive Order 13,771, Reducing Regulation and Controlling Regulatory Costs, 82 Fed. Reg. 9,339 (Feb. 3, 2017).
- Executive Order 13,777, Enforcing the Regulatory Reform Agenda, 82 Fed. Reg. 12,285 (Mar. 1, 2017).
- Executive Order 13,783, Promoting Energy Independence and Economic Growth, 82 Fed. Reg. 16,093 (Mar. 31, 2017).
- Executive Order 13,924, Regulatory Relief to Support Economic Recovery, 85 Fed. Reg. 31,353 (May 22, 2020).
Table of Executive Order Requirements
|Executive Order (EO)||Date and Administration of Issue||Action Items||Does the EO Contain a Statement Regarding Applicability to Independent Agencies?|
|EO 12630 - Governmental Actions and Interference with Constitutionally Protected Property Rights||1988 - Reagan||General Principles. Each agency “shall be guided by” the principles set forth in the EO when “formulating or implementing policies that have takings implications.”
Criteria. To the extent permitted by law, agencies are required to comply with a set of criteria before undertaking covered actions that include an assessment identifying the risk, establishing that safety is substantially advanced and that restrictions are not disproportionate to the overall risk, and estimating the cost to the government if the action is found to be a taking. In the event of an emergency, the analysis can be done later.
|EO 12866 - Regulatory Planning and Review||1993 - Clinton||See 12866 table||See 12866 table|
|EO 12889 - Implementation of the North American Free Trade Agreement||1993 - Clinton||Notice. Agencies subject to the APA must provide at least a 75-day comment period for “any proposed Federal technical regulation or any Federal sanitary or phytosanitary measure of general application.”
|EO 12898 - Federal Actions to Address Environmental Justice in Minority Populations and Low-Income Populations||1994 - Clinton||Strategies. Each agency is required to develop a strategy that “identifies and addresses disproportionately high and adverse human health or environmental effects of its programs, policies, and activities on minority populations and low-income populations” and identify, among other things, rules that should be revised to meet the objectives of the Order.
||Yes. See § 6–604 for relevant text: "Independent agencies are requested to comply with the provisions of this order."|
|EO 12988 - Civil Justice Reform||1996- Clinton||Within budgetary constraints and executive branch coordination requirements, agencies must review existing and new regulations to ensure they comply with specific requirements (e.g., “eliminate drafting errors and ambiguity” and “provide a clear legal standard for affected conduct rather than a general standard”) to improve regulatory drafting in order to reduce needless litigation. In conducting the reviews, agencies must “make every reasonable effort” to ensure that the rule meets specific objectives (e.g., specifies in clear language the preemptive or retroactive effect, if any). Agencies must determine that the rule meets the applicable standards or that it is unreasonable to meet one or more of those standards.||Yes. See § 6 for relevant text: "The term 'agency' shall be defined as that term is defined in section 105 of title 5, United States Code."|
|EO 13045 - Protection of Children from Environmental Health Risks and Safety Risks||1997 - Clinton||Policy. With respect to its rules, “to the extent permitted by law and appropriate, and consistent with the agency’s mission,” each agency must “address disproportionate risks to children that result from environmental health risks or safety risks.”
Analysis. For any substantive rulemaking action that “is likely to result in” an economically significant rule that concerns “an environmental health risk or safety risk that an agency has reason to believe may disproportionately affect children,” the agency must provide OMB/OIRA:
|Yes. See § 1–102 for relevant text: "Each independent regulatory agency is encouraged to participate in the implementatoin of this order and comply with its provisions."|
|EO 13132 - Federalism||1999 - Clinton||See 13132 table||See 13132 table|
|EO 13175 - Consultation and Coordination with Indian Tribal Governments||2000 - Clinton||See 13175 table||See 13175 table|
|EO 13211 - Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use||2001 - Bush||Statement of Energy Effects. Agencies are required to prepare and submit to OIRA a Statement of Energy Effects for significant energy actions, to the extent permitted by law.
||Yes. See § 4(b)(2) for relevant text: "'Agency' means any authority of the United States . . . other than those considered to be independent regulatory agencies . . . ."|
|EO 13272 - Proper Consideration of Small Entities in Agency Rulemaking||2002 - Bush||Advocacy Review. Agencies must “notify” Advocacy of draft rules that may have a significant economic impact on a substantial number of small entities when the draft rule is submitted to OIRA under EO 12866 or, if submission to OIRA is not required, “at a reasonable time prior to publication of the rule.” Advocacy is authorized to submit comments on the draft rule.
||Yes. See § 4 for relevant text: "Terms defined in section 601 of title 5 . . . including the term 'agency,' shall have the same meaning in this order."|
|EO 13563 - Improving Regulation and Regulatory Review||2011 - Obama||General Principles. This EO supplements and reaffirms EO 12866, stressing that, to the extent permitted by law, each agency must ensure that the benefits of its rulemaking actions justify their costs, tailor their regulations to impose the least burden, consider cumulative burdens, maximize net benefits, use performance objectives, and assess available alternatives.
||Yes. See § 7(a) for relevant text: "For purposes of this order, 'agency' shall have the meaning set forth in section 3(b) of [EO] 12866."|
|EO 13579 - Regulation and Independent Regulatory Agencies||2011 - Obama||Independent regulatory agencies should promote EO 13563's goal of protecting “public health, welfare, safety, and our environment while promoting economic growth, innovation, competitiveness, and job creation,” and should comply with the provisions of EO 13563. Independent regulatory agencies should conduct retrospective analyses of rules to determine if they are “outmoded, ineffective, insufficient, or excessively burdensome.” Each independent agency should publish their analyses online when possible, and should develop a plan within 120 days of the EO's issuance to periodically review its regulations to determine if any should be “modified, streamlined, expanded, or repealed.”||Yes. The EO is entirely geared toward independent agencies.|
|EO 13609 - Promoting International Regulatory Cooperation||2012 - Obama||Every agency must include in its Regulatory Plan under EO 12866 (if required to submit one) a summary of international regulatory cooperation activities. All agencies must also ensure that regulations with international impacts are designated as such in the Unified Agenda of Federal Regulatory and Deregulatory Actions (Unified Agenda), on regulations.gov, and on reginfo.gov. Additionally, agencies must consider reforming significant regulations that create “unnecessary differences” between U.S. and international regulatory systems. Agencies are also required to consider any regulatory approaches abroad that the U.S. has agreed to consider under a regulatory cooperation council work plan.||Yes. See § 4(a): "'Agency' means any authority of the United States that is an 'agency' . . . other than those considered to be independent regulatory agencies, as defined in 44 U.S.C. 3502(5)"; and § 5: "Independent reegulatory agencies are encouraged to comply with the provisions of this order" for relevant text.|
|EO 13610 - Identifying and Reducing Regulatory Burdens||2012 - Obama||Agencies are instructed to institutionalize regular reviews of their preivously issued significant regulations, and take additional steps to increase public participation in retrospective review of regulations. Agencies shall regularly (on the second Monday of January and July of each year) report on the status of their retrospective review efforts to OIRA. Reports should contain: progress on review, anticipated accomplishments, and proposed timelines. Agencies must make available to the public the final reports within three weeks from the date of submission of the draft report to OIRA.||Yes. See § 5(b) for relevant text: "'[A]gency means any authority of the United States that is an 'agency' . . . other than those considered to be independent regulatory agencies, as defined in 44 U.S.C. 3502(5)."|
|EO 13725 - Steps to Increase Competition and Better Inform Consumers and Workers to Support Continued Growth of the American Economy||2016 - Obama||Agencies must identify specific actions they can take to address “undue burdens” on competition, via pro-competitive rulemaking and regulations. Semiannual reports to the National Economic Council on actions meant to promote greater competition are also required.||Yes. See § 3(b) for relevant text: "Independent agencies are strongly encouraged to comply with the requirements of this order."|
|EO 13771 - Reducing Regulation and Controlling Regulatory Costs||2017 - Trump||Whenever an agency publicly proposes for notice and comment or otherwise promulgates a new regulation, it must identify at least two additional regulations to repeal, unless doing so would violate federal law, or the regulation relates to military, national security, foreign affairs, agency organization, management, or personnel matters. The cost of each new regulation must be fully offset by the repeal specified above, and the agency must provide an approximation of the total costs or savings associated with each new regulation or repealed regulation. All regulations must be included in the Unified Agenda, and during the federal budget process, the OMB Director must identify to agencies a total amount of incremental costs of regulations permitted for that fiscal year.||No|
|EO 13772 - Core Principles for Regulating the United States Financial System||2017 - Trump||Federal regulation of the United States financial system is governed by seven core principles: 1) increasing informed consumer choice; 2) avoiding “taxpayer-funded bailouts”; 3) performing more rigorous regulatory impact analysis that addresses systemic risk and market failures, such as moral hazard and information asymmetry; 4) enabling American competitiveness in domestic and foreign markets; 5) promoting American interests in international financial regulatory negotiations; 6) making regulation efficient and appropriately tailored; and 7) restoring public accountability within federal financial regulatory agencies. The Secretary of the Treasury must consult with the heads of the member agencies of the Financial Stability Oversight Council, and must report to the President periodically on the extent to which the federal financial system's regulatory framework promotes the Core Principles, and what actions have been taken, and are currently underway, to promote the Core Principles.||No|
|EO 13777 - Enforcing the Regulatory Reform Agenda||2017 - Trump||The head of every agency, within 60 days of this order's issuance, must designate an agency official as its Regulatory Reform Officer (RRO). The RRO is responsible for overseeing the agency's implementation of regulatory reform initiatives including EOs 12866, 13563, and 13771, and the RRO must report periodically to the agency head and agency leadership on the status of regulatory reform initiatives. Every agency must also create a Regulatory Reform Task Force responsible for consulting with stakeholders affected by regulations at all levels of government and the economy. Such consultation is intended to assist the agency in evaluating existing regulations and identifying regulations that can be repealed, replaced, or modified, based on whether they: inhibit job creation; are outdated or unnecessary; impose costs in excess of benefits; are inconsistent with regulatory reform initiatives; or derive from directives that have been rescinded or significantly modified.||No|
|EO 13783 - Promoting Energy Independence and Economic Growth||2017 - Trump||All agencies are required to immediately review all existing regulations, orders, guidance documents, policies, and other agency actions that “potentially burden the development or use of domestically produced energy resources,” especially oil, natural gas, coal, and nuclear energy. Agency actions mandated by law, necessary for the public interest, or are otherwise consistent with this order's policy statement (promoting clean and safe development of American energy resources while preserving federalism between the states and the federal government on regulatory issues) are exempt. Any agency action identified in this review must begin “as soon as practicable” to be wound down in compliance with APA procedures and EO 13771. Agencies should no longer base their cost-benefit analyses on previously-issued Technical Support Documents and Technical Updates of the Social Cost of Carbon issued from February 2010 through August 2016.||No|
|EO 13891 - Promoting the Rule of Law Through Improved Agency Guidance Documents||2019 - Trump||Definition of Guidance. “Guidance” means an agency statement intended to affect regulated parties’ behavior. It does not include notice-and-comment rules; procedural rules; military/foregin affairs rules; rules related to public property, loans, grants, and contracts; adjudications; internal guidance; and executive branch legal opinions.
||Yes. See § 2(a) for relevant text: "'Agency' has the meaning given in section 3(b) of [EO] 12866 (Regulatory Planning and Review), as amended."|
|EO 13892 - Promoting the Rule of Law Through Transparency and Fairness in Civil Administrative Enforcement and Adjudication||2019 - Trump||Guidance Documents. Guidance documents cannot impose new standards of conduct. Noncompliance with a standard of conduct announced solely in a guidance document is not a violation of law.
||Yes. See § 2(a) for relevant text: "'Agency' has the meaning given to 'Executive agency' in section 105 of title 5, United States Code, but excludes the Government Accountability Office."|
Other White House Bulletins and Memoranda
- Federal Participation in the Development and Use of Voluntary Standards and in Conformity Assessment Activities (1998).
- Plain Language in Government Writing (1998).
- Presidential Review of Agency Rulemaking by OIRA (2001).
- OMB’s Circular No. A-4, New Guidelines for the Conduct of Regulatory Analysis (2004).
- M-05-03, Final Information Quality Bulletin for Peer Review (2004).
- Final Bulletin for Agency Good Guidance Practices (2007).
- M-07-24, Updated Principles for Risk Analysis(2007).
- M-17-21, Guidance Implementing Executive Order 13771, Titled “Reducing Regulation and Controlling Regulatory Costs” (2017).
- M-17-23, Guidance on Regulatory Reform Accountability Under Executive Order 13777, titled “Enforcing the Regulatory Reform Agenda” (2017).
- M-17-24, Guidance for Section 2 of Executive Order 13783, titled “Promoting Energy Independence and Economic Growth” (2017).
- M-17-22, Comprehensive Plan for Reforming the Federal Government and Reducing the Federal Civilian Workforce (2017).
- M-19-14, Guidance on Compliance with the Congressional Review Act (2019).
- M-20-02, Guidance Implementing EO 13891, Titled "Promoting the Rule of Law Through Improved Agency Guidance Documents" (2019).
History of Presidential Oversight of Rulemaking and Regulation
Presidential oversight of regulation is not a recent innovation. It has been in effect, in one form or another, since 1971, and it accompanied a major expansion in the scope and complexity of federal regulation that occurred in the 1960s and 1970s when a number of important social and environmental regulatory statutes were enacted.
In June 1971, President Nixon established a “Quality of Life Review” program, under which all “significant” draft proposed and final rules were submitted to the Office of Management and Budget (OMB), which circulated them to other agencies for comment. Agencies were required to submit a summary of their proposals, a description of the alternatives that had been considered, and a cost comparison of alternatives. In practice, this program applied to rules pertaining to environmental quality, consumer protection, and occupational health and safety.
In 1974, President Ford issued an executive order requiring executive branch agencies to prepare an “inflation impact statement” for each “major” federal action. The order empowered the Director of OMB to administer the program, with authority to delegate functions to other agencies, including the Council on Wage and Price Stability (COWPS). Under the Inflation Impact Statement program, agencies were required to prepare an inflation impact statement (IIS) for “major” rules prior to publication of the notice of proposed rulemaking (NPRM), and then to forward a summary of the IIS to COWPS upon publication of the NPRM. COWPS would review the IIS and, in its discretion, offer informal criticism of the proposal or participate in the public proceedings on the rule.
President Carter continued presidential review of agency rules by means of Executive Order 12,044, Improving Government Regulations, issued in 1978. Under the order, executive agencies were required to: (1) publish semi-annual agendas, describing and giving the legal bases for, any “significant” regulations under development by the agency; (2) establish procedures to identify “significant” rules, to evaluate their need, and to have the agency head assure that the “least burdensome of the acceptable alternatives” was proposed; and (3) prepare a “regulatory analysis” that examined the cost-effectiveness of alternative regulatory approaches for “major rules.”
President Carter also established a Regulatory Analysis Review Group to review the regulatory analyses prepared for a limited number of proposed “major” rules and to submit comments on the proposed rules during the public comment period. He created another rulemaking review body, the Regulatory Council, which was charged with coordinating agency rulemaking to avoid duplication of effort or conflicting policy in regulation of any area. These efforts to coordinate agency rulemaking were challenged unsuccessfully in several lawsuits.
President Reagan acted quickly after taking office to increase control over executive branch rulemaking. On February 17, 1981, the President issued an executive order on federal regulations designed “to reduce the burdens of existing and future regulations, increase agency accountability for regulatory actions, provide for presidential oversight of the regulatory process, minimize duplication and conflict of regulations, and insure well-reasoned regulations.” The new Executive Order 12,291, Federal Regulation, replaced Executive Order 12,044, which President Reagan said had “proven ineffective.”
Executive Order 12,291 contained both substantive requirements and procedural steps to be followed in the development and promulgation of new rules. The Office of Information and Regulatory Affairs (OIRA) in OMB was given responsibility for implementing Executive Order 12,291. OMB’s rulemaking review function is supplemented by the powers it was given in the Paperwork Reduction Act of 1980, by which Congress statutorily established OIRA to, among other things, review and approve or disapprove agency “information collection requests.”
The Office of Legal Counsel in the U.S. Department of Justice issued an opinion supporting the validity of Executive Order 12,291. The opinion stated that the President’s authority to issue the order was based on his constitutional power to “take care that the laws be faithfully executed.” While concluding that any inquiry into Congressional intent in enacting specific rulemaking statutes “will usually support the legality of presidential supervision of rulemaking by Executive Branch agencies,” the opinion stated that presidential supervision of agency rulemaking “is more readily justified when it does not purport wholly to displace, but only to guide and limit, discretion which Congress had allocated to a particular subordinate official.”
Despite criticism of this new form of presidential review, President Reagan began his second term by expanding the program through Executive Order 12,498, Regulatory Planning Process, which established a “regulatory planning process” with the purpose of helping to “ensure that each major step in the process of rule development is consistent with Administration policy.”
According to OMB, the problem with regulatory review under Executive Order 12,291 was that such review “often came late in the regulatory process, after huge investments of agency time and resources, and often after agency staff commitments to constituents had made it extremely difficult to consider any legally acceptable, but previously ignored, regulatory alternative.” This resulted, OMB said, in the “bureaucracy often present[ing] agency heads with faits accompli.”
Executive Order 12,498’s regulatory planning process was designed to avoid this problem. Under this procedure, the head of each agency was required to determine at the beginning of the regulatory process whether a proposed regulatory venture was “consistent with the goals of the Administration.” At the beginning of the year, Agency heads were to develop a plan for managing the agency’s most significant regulatory actions. OMB then reviewed the plan for consistency with the administration’s program and published the coordinated agency plans in a government-wide document. This document, entitled “Regulatory Program of the United States Government,” governed more than 20 major rulemaking agencies and was published each year during the second Reagan term and the Bush administration to inform Congress and the public of the government’s regulatory plans.
President Reagan, in 1987 and 1988, issued three additional executive orders, dealing with federalism, interference with property rights (which is still in effect), and the family. OMB was given a role in ensuring coordination of regulatory policy in these areas. President Bush basically continued the program of presidential review of agency rulemaking established by President Reagan, although due to congressional opposition to OIRA actions, President Bush’s nominee to head OIRA was not confirmed. To counter this weakening of OIRA’s authority, President Bush created the Council on Competitiveness, headed by Vice President Quayle, and gave it authority to intervene in major agency rulemakings. Several of the Council’s interventions provoked intense criticisms leading up to the 1992 elections.
The Clinton Executive Order—Executive Order 12,866
With the election of President Clinton, one of his first actions was an attempt to reestablish some bipartisan consensus on rulemaking review. His nominee as OIRA Administrator was the first subcabinet nominee to be appointed. Following the example of the Reagan Administration, President Clinton then set out to redraft the extant Executive Order and produced Executive Order 12,866, Regulatory Planning and Review, on September 30, 1993. This Executive Order, which remains operative, carries over many of the principles of Executive Order 12,291 and Executive Order 12,498 and made some significant modifications that simplified the process, made it more selective, and introduced more transparency into the OMB/agency consultations. In drafting this Executive Order, the Clinton Administration followed many of the suggestions in ACUS Recommendation 88-9.
The Executive Order begins with a lengthy “Statement of Regulatory Philosophy and Principles,” which are quite similar to those in Executive Order 12,291 except that it specifies that measurement of costs and benefits should include both quantifiable and qualitative measures. As with previous Orders, Executive Order 12,866 retains the traditional (since 1978) level of $100 million annual effect on the economy for those major rules (now referred to as “economically significant” rules) that must be accompanied by cost-benefit assessments when forwarded to OIRA as proposed and final rules.
Executive Order 12,866 also retains the OIRA review process for other rules, although it only requires that “significant regulatory actions” be subject to review. This includes those $100 million rules plus others that have material adverse effects on “the economy, a sector of the economy, productivity, competition, jobs, the environment, public health or safety, or State, local, or tribal governments or communities.” It also includes rules that may materially alter the budgetary impact of benefit programs or the rights of recipients, that raise “novel legal or policy issues,” or are inconsistent or interfere with actions taken by another agency. The process established for identifying such “significant regulatory actions” relies on agency identification of them in the first instance, vetted by OIRA. Rules that are not so identified may be issued without OIRA review. This selectivity streamlined the review process considerably and made it possible to include, for the first time, a deadline (of 90 days, with one 30-day extension allowed) for completion of OIRA review. In the event of an unresolved dispute between OIRA and the agency, the Vice President is directed to make the decision (or recommend one to the President).
The review process set forth in the Executive Order made significant improvements in transparency. Following an ACUS recommendation closely, it provides that after the agency has concluded its rulemaking it should make available to the public all submissions to OIRA and identify all changes made in the rule, noting those made at the behest of OIRA. In addition, OIRA, for its part, must regularize the way it receives any outside communications concerning an agency rule that is subject to review. Only the Administrator or her designee may receive such communications. OIRA must forward any such communications to the agency within ten days, invite agency officials to any meetings held with outsiders, and maintain a public log of all such contacts. At the end of the proceeding OIRA must also make available all documents exchanged with the agency.
In place of the Reagan Executive Order 12,498 on regulatory planning, the Clinton Order establishes its own yearly planning mechanism. It continues the semiannual publication of the Unified Regulatory Agenda, which lists all proposed, pending, and completed regulatory and deregulatory actions. And it requires that the October Agenda contain each agency’s annual Regulatory Plans, which must be approved personally by the agency head. These plans must be forwarded to OIRA (and then on to affected agencies, the Vice President and a group of named high-level White House Advisors) by June 1 of each year. The plans are supposed to also include agency determinations on which existing rules are to be reviewed and reconsidered during the ensuing year and “preliminary estimates of the anticipated costs and benefits” of each rule planned for that calendar year. These actions do not represent any sharp break from the practices of previous administrations. However, Executive Order 12,866 is a departure in one regard—for the first time the independent regulatory agencies are specifically directed to comply with the planning and agenda provisions (though not with the rule-review process).
The Clinton Executive Order was generally well received by most observers of the regulatory scene. Its basic approach has remained fundamentally unchanged since its issuance, and OIRA has worked out a stable and workable relationship with the agencies in administering it. The once rather vibrant legal and policy debate over the pros and cons of presidential review has gradually evolved into a fairly broad agreement that it is legal and, if properly administered, is essential to effective executive branch management. Nevertheless, there has been some serious criticism of OIRA’s failure to meet the deadlines set in the Order.
President Clinton also issued a presidential directive on plain language and number of other executive orders that remain in effect concerning: environmental justice in minority populations and low-income populations (Executive Order 12,898), civil justice reform (Executive Order 12,988), protection of children from environmental risks (Executive Order 13,045), federalism (Executive Order 13,132), and consultation with Indian Tribal Governments (Executive Order 13,175).
President Bush continued the use of Executive Order 12,866, although he did make several significant changes. In 2002, he made some small changes in Executive Order 13,258, Amending Executive Order 12866 on Regulatory Planning and Review, basically removing the Vice President from the process. In January 2007, in Executive Order 13,422, Further Amendment to Executive Order 12866 on Regulatory Planning and Review, he made more fundamental changes. Most significantly he added a requirement that “significant guidance documents” also be reviewed by OIRA in a way similar to significant regulatory actions. He also required that agencies identify in writing specific “market failures” that necessitate a rulemaking, that agency Regulatory Policy Officers be presidential appointees, that these officers must approve the Regulatory Plan, that aggregate costs and benefits for all rules must be included in the Regulatory Plan, and that agencies consider whether to use “formal” (“on the record”) rulemaking for “complex determinations.” However, as mentioned below, President Obama, upon assuming office, revoked the Bush changes and reinstated the original Clinton order. However, by later memorandum, the requirement that significant guidance documents be reviewed by OIRA was reinstated.
OIRA did issue a memorandum in September 2001 putting its own stamp on the Executive Order 12,866 process. The memorandum describes the “general principles and procedures that will be applied by OMB in the implementation of Executive Order 12,866 and related statutory and executive authority.”
Significantly, during the Bush Administration, OIRA also announced several new initiatives in its review process. First, it made extensive use of its website to publish its guidelines and other information pertaining to its review process and specific rule reviews. This continues today. Second, it began the practice of issuing public “return letters” that send rules back to the agency for reconsideration, “review letters” that comment on aspects of a particular rule review, and “prompt letters,” which are sent on OMB’s initiative and contain suggestions for new or stronger regulations. While these letters are still posted on reginfo.gov, the Obama and the Trump Administrations have made little use of this practice.
More importantly, during the Bush Administration, OMB issued four far-reaching documents affecting the regulatory process that remain in effect today. In 2003 it issued a revised OMB Circular A-4, which provides guidance on the development of regulatory analyses. OMB also issued a more far-reaching and controversial Peer Review Bulletin in December 2004, which requires administrative agencies to conduct a peer review on all “influential regulatory information that the agency intends to disseminate.” Finally, in 2007, OMB issued an important new government-wide Bulletin on Good Guidance Practices. It also (along with the Office of Science and Technology Policy) issued a set of Updated Principles for Risk Analysis. In so doing it declined to finalize a Proposed Risk Assessment Bulletin that the two agencies had issued in January 2006, in favor of updating the Clinton Administration’s Principles issued in 1995. Finally, President Bush issued two other executive orders concerning regulations that remain in effect today: (1) analysis of adverse effects on energy supply, distribution, or use (Executive Order 13,211) and (2) proper consideration of small entities in agency rulemaking (Executive Order 13,272).
Developments in the Obama Administration
Shortly after taking office, President Obama revoked the Bush Amendments to Executive Order 12,866 and directed the Director of OMB, in consultation with regulatory agencies, to produce a set of recommendations for a new executive order on federal regulatory review within 100 days, followed by an unusual request for public comments on the same subject. Almost 200 public comments were received.
After about a year of internal consideration, the White House finally settled on its approach to OMB review—basically to reaffirm Executive Order 12,866—with Executive Order 13,563, Improving Regulation and Regulatory Review on January 18, 2011. In Section 1(b), the Order stated: “This order is supplemental to and reaffirms the principles, structures, and definitions governing contemporary regulatory review that were established in Executive Order 12866.”
It did contain a few new mandates and points of emphasis. Most notably, agencies were urged (as appropriate and within legal constraints) to (1) consider “values that are difficult or impossible to quantify, including equity, human dignity, fairness, and distributive impacts”; (2) “afford the public a meaningful opportunity to comment through the Internet on any proposed regulation, with a comment period that should generally be at least 60 days”; (3) “provide, for both proposed and final rules, timely online access to the rulemaking docket on regulations.gov, including relevant scientific and technical findings, in an open format that can be easily searched and downloaded”; (4) for proposed rules, provide “an opportunity for public comment on all pertinent parts of the rulemaking docket, including relevant scientific and technical findings”; (5) seek public input from affected persons “[b]efore issuing a notice of proposed rulemaking”; (6) “identify and consider regulatory approaches that reduce burdens and maintain flexibility and freedom of choice”; (7) “promote retrospective analysis of rules that may be outmoded, ineffective, insufficient, or excessively burdensome, and to modify, streamline, expand, or repeal them in accordance with what has been learned”; and (8) “[w]ithin 120 days of the date of this order, . . . develop and submit to [OIRA] a preliminary plan” for periodically reviewing “its existing significant regulations to determine whether any such regulations should be modified, streamlined, expanded, or repealed so as to make the agency’s regulatory program more effective or less burdensome in achieving the regulatory objectives.”
The one action mandate in the new Executive Order was for agencies to develop plans for retrospective review of their existing regulations. On May 26, 2011, the OIRA Administrator announced the results of this effort. On July 11, 2011, President Obama issued Executive Order 13,579, Regulation and Independent Regulatory Agencies, which extended the terms of Executive Order 13,563 to independent regulatory agencies. On September 15, 2015, President Obama issued Executive Order 13,707, Using Behavioral Science Insights to Better Serve the American People. Noting the value of insights from behavioral science to improve the “effectiveness and efficiency of Government.”
Developments in the Trump Administration
Shortly after taking office, President Trump issued Executive Order 13,771, Reducing Regulation and Controlling Regulatory Costs, which requires agencies to identify at least two regulations to be repealed for every proposed or promulgated regulation. The cost of each new regulation must be fully offset by the repeal specified above, and the agency must provide an approximation of the total costs or savings associated with each new regulation or repealed regulation. All regulations must be included in the Unified Agenda, and during the federal budget process, the OMB Director must identify to agencies a total amount of incremental costs of regulations permitted for that fiscal year. The order directed the Director of OMB to provide agency heads with guidance addressing the processes for measuring regulatory costs, the costs of existing regulations, what qualifies as new and offsetting regulations, and situations that would require waivers of the order’s requirements. OIRA issued Guidance Implementing Executive Order 13771, Titled “Reducing Regulation and Controlling Regulatory Costs” to assist agencies in carrying out these requirements.
President Trump also issued Executive Order 13,777, Enforcing the Regulatory Reform Agenda. This order requires the head of each agency to designate an official as its Regulatory Reform Officer (RRO) who would implement initiatives and policies including Executive Order 13,771, Executive Order 12,866, and Section 6 of Executive Order 13,563 regarding retrospective review. All agencies must also form a Regulatory Reform Task Force made up of the RRO, the Regulatory Policy Officer, a representative from the central policy office, and three senior agency officials if the agency is listed in 31 U.S.C. § 901(b)(1) (the executive departments, EPA, and NASA), which “shall evaluate existing regulations . . . and make recommendations to the agency head regarding their repeal, replacement, or modification.” In making these determinations, the task forces should focus on regulations that (1) “eliminate jobs, or inhibit job creation;” (2) “are outdated, unnecessary, or ineffective;” (3) “impose costs that exceed benefits;” (4) “create serious inconsistency or otherwise interfere with regulatory initiatives and policies;” (5) “are inconsistent with the requirements of section 515 of the Treasury and General Government Appropriations Act, 2001, . . . in particular those regulations that rely in whole or in part on data, information, or methods that are not publicly available or that are insufficiently transparent to meet the standard for reproducibility; or” (6) “derive from or implement Executive Orders or other Presidential directives that have been subsequently rescinded or substantially modified.” The Executive Order also requires agency heads to prioritize regulations that the Regulatory Reform Task Force identifies as outdated, unnecessary, or ineffective when implementing regulatory offsets under Executive Order 13,771.
Finally, President Trump issued Executive Order 13,783, Promoting Energy Independence and Economic Growth, which directs agencies to review regulations that “potentially burden the development or use of domestically produced energy resources and appropriately suspend, revise, or rescind those that unduly burden the development of domestic energy resources.” This order also revoked Executive Order 13,653, Preparing the United States for the Impact of Climate Change, and memoranda under the Obama Administration related to climate change.
- Amending Executive Order 12866: Good Governance or Regulatory Usurpation?, Hearing Before Subcomm. on Commercial and Admin. Law, H. Comm. of the Judiciary, 110th Cong. (2007).
- How to Improve Regulatory Accounting: Costs, Benefits and Impacts of Federal Regulations, Hearing Before Subcomm. on Energy Policy, Nat. Res. and Regulatory Affairs, H. Comm. on Gov’t Reform, 108th Cong. (2004) (statement of John D. Graham, Administrator of OIRA).
- OIRA Insight, Reform, and Accountability Act, H.R. Rep. No. 115-19 (2017).
- Assessing the Obama Years: OIRA and Regulatory Impacts on Jobs, Wages and Economic Recovery, Hearing Before Subcomm. On Regulatory Reform, Commercial and Antitrust Law of the H. Comm. on the Judiciary, 114th Cong. (2016) (video).
- Challenges Facing OIRA in Ensuring Transparency and Effective Rulemaking, Hearing Before Subcomm. on Health Care, Benefits and Admin. Rules & Subcomm. on Gov’t Operations of the H. Comm. on Oversight and Gov’t Reform, 114th Cong. (2015) (video).
- Reducing Red Tape: The New OIRA Administrator’s Perspective, Hearing Before H. Comm. on Small Bus., 113th Cong. (2013).
Reports to Congress on the Costs and Benefits of Regulations
- Report to Congress on the Costs and Benefits of Federal Regulations (Sept. 30, 1997). Notice of availability of draft report and request for comments, 62 Fed. Reg. 39,352 (July 22, 1997).
- Report to Congress on the Costs and Benefits of Federal Regulations (January 1999). Notice of availability of draft report and request for comments, 63 Fed. Reg. 44,034 (Aug. 17, 1998), extended 63 Fed. Reg. 49,935 (Sept. 18, 1998).
- Report to Congress on the Costs and Benefits of Federal Regulations (June 2000). Notice of availability of draft report and request for comments, 65 Fed. Reg. 1296 (Jan. 7, 2000); extended 65 Fed. Reg. 4447 (Jan. 27, 2000) and 65 Fed. Reg. 7198 (Feb. 7, 2000).
- Making Sense of Regulation: 2001 Report to Congress on the Costs and Benefits of Regulations and Unfunded Mandates on State, Local, and Tribal Entities (December 2001). Notice of availability of draft report and request for comments, 66 Fed. Reg. 22,041 (May 2, 2001); extended 66 Fed. Reg. 34,963 (July 2, 2001).
- Stimulating Smarter Regulation: 2002 Report to Congress on the Costs and Benefits of Regulations and Unfunded Mandates on State, Local, and Tribal Entities (December 2002). Notice of availability of draft report and request for comments, 67 Fed. Reg. 15,014 (Mar. 28, 2002).
- Informing Regulatory Decisions: 2003 Report to Congress on the Costs and Benefits of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (September 2003). Notice of availability of draft report and request for comments, 68 Fed. Reg. 15,772 (Apr. 1, 2003).
- Progress in Regulatory Reform: 2004 Report to Congress on the Costs and Benefits of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (December 2004). Notice of availability of draft report and request for comments, 69 Fed. Reg. 7987 (Feb. 20, 2004).
- Validating Regulatory Analysis: 2005 Report to Congress on the Costs and Benefits of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (December 2005). Notice of availability of draft report and request for comments, 70 Fed. Reg. 14,735 (Mar. 23, 2005).
- 2006 Report to Congress on the Costs and Benefits of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (January 2007). Notice of availability of draft report and request for comments, 71 Fed. Reg. 19,213 (Apr. 13, 2006).
- 2007 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (June 2008). Notice of availability of draft report and request for comments, 72 Fed. Reg. 11,061 (Mar. 12, 2007).
- 2008 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (January 2009). Notice of availability of draft report and request for comments, 73 Fed. Reg. 55,169 (Sept. 24, 2008).
- 2009 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (Jan. 27, 2010). Notice of availability of draft report and request for comments, 74 Fed. Reg. 48,101 (Sept. 21, 2009).
- 2010 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (July 2010). Notice of availability of draft report and request for comments, 75 Fed. Reg. 22,630 (Apr. 29, 2010).
- 2011 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (June 2011). Notice of availability of draft report and request for comments, 76 Fed. Reg. 18,260 (Apr. 1, 2011).
- 2012 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (April 2013). Notice of availability of draft report and request for comments, 77 Fed. Reg. 22,003 (Apr. 12, 2012).
- 2013 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (May 2014). Notice of availability of draft report and request for comments, 78 Fed. Reg. 29,780 (May. 21, 2013).
- 2014 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (June 15, 2015). Notice of availability of draft report and request for comments, 72 Fed. Reg. 37,776 (July 2, 2014).
- 2015 Report to Congress on the Benefits and Costs of Federal Regulations and Unfunded Mandates on State, Local, and Tribal Entities (Mar. 10, 2016).
- 2016 Draft Report to Congress on the Benefits and Costs of Federal Regulations and Agency Compliance with the Unfunded Mandates Reform Act (Dec. 23, 2016).
- 2017 Draft Report to Congress on the Benefits and Costs of Federal Regulations and Agency Compliance with the Unfunded Mandates Reform Act (Feb. 23, 2018).
Other OMB Documents
- Regulatory Program of the United States Government (1987-1988) (and through 1990-91).
- Report on Executive Order No. 12,866, 59 Fed. Reg. 24,276 (May 10, 1994).
- More Benefits Fewer Burdens—Creating a Regulatory System that Works For the American People, A Report to the President on the Third Anniversary of Executive Order 12,866 (1996).
- 88-9 Presidential Review of Agency Rulemaking
- 93-4 Improving the Environment for Agency Rulemaking
- 95-3 Review of Existing Agency Regulations
- 2011-6 International Regulatory Cooperation
- 2012-5 Improving Coordination of Related Agency Responsibilities
- 2013-2 Benefit-Cost Analysis at Independent Regulatory Agencies
- 2014-5 Retrospective Review of Agency Rules
- 2015-1 Promoting Accuracy and Transparency in the Unified Agenda
- 2017-3 Plain Language in Regulatory Drafting
- 2017-6 Learning from Regulatory Experience
- 2018-1 Paperwork Reduction Act Efficiencies
- Maeve P. Carey, RL32240, The Federal Rulemaking Process: An Overview (June 17, 2013).
- Maeve P. Carey, R41974, Cost-Benefit and Other Analysis Requirements in the Rulemaking Process (Dec. 9, 2014).
- Vivian S. Chu & Daniel T. Shedd, R42720, Presidential Review of Independent Regulatory Commission Rulemaking: Legal Issues (Sept. 10, 2012).
- Vivian S. Chu & Daniel T. Shedd, RS20846, Executive Orders: Issuance, Modification, and Revocation (Apr. 6, 2014).
- Curtis Copeland, RL33862, Changes to the OMB Regulatory Review Process by Executive Order 13422 (Jan. 3, 2008).
- Curtis Copeland, RL32397, Federal Rulemaking: The Role of the Office of Information and Regulatory Affairs (June 9, 2009).
- GAO/RCED84-62, Cost-Benefit Analysis Can Be Useful in Assessing Environmental Regulations, Despite Limitations (1984).
- T-GGD-99-93, Federalism: Implementation of Executive Order 12612 in the Rulemaking Process (1999).
- GAO/T-GGD-99-131, Federalism: Previous Initiatives Have Had Little Effect on Agency Rulemaking (1999).
- GAO/ GGD-99-59, Regulatory Accounting: Analysis of OMB’s Reports on the Costs and Benefits of Federal Regulation (1999).
- GAO/GGD-94-28, Regulatory Burden: Recent Studies, Industry Issues, and Agency Initiatives (1993).
- GAO/GGD-97-2, Regulatory Burden: Measurement Challenges and Concerns Raised by Selected Companies (1996).
- GAO/RCED-98-142, Regulatory Reform: Agencies Could Improve Development, Documentation, and Clarity of Regulatory Economic Analysis (1998).
- GAO/GGD-98-31, Regulatory Reform: Changes Made to Agencies’ Rules Are Not Always Clearly Documented (1998).
- GAO/ PEMD-95-18BR, Regulatory Reform: Information on Costs, Cost-Effectiveness, and Mandated Deadlines for Regulations (1995).
- GAO-03-1015, Regulatory Takings: Implementation of Executive Order on Government Actions Affecting Private Property Use (2003).
- GAO-03-929, Rulemaking: OMB’s Role in Reviews of Agencies’ Draft Rules and the Transparency of Those Reviews (2003).
- GAO-05-289, Environmental Justice: EPA Should Devote More Attention to Environmental Justice When Developing Clean Air Rules (2005).
- GAO-09-205, Federal Rulemaking: Improvements Needed to Monitoring and Evaluation of Rules Development as Well as to the Transparency of OMB Regulatory Reviews (2009).
- GAO-13-588, International Regulatory Cooperation: Agency Efforts Could Benefit from Increased Collaboration and Interagency Guidance (2013).
- GAO-14-423T, Federal Rulemaking: Regulatory Review Processes Could Be Enhanced (2014).
- GAO-14-268, Reexamining Regulations: Agencies Often Made Regulatory Changes, but Could Strengthen Linkages to Performance Goals (2014).
- GAO-14-519, Environmental Regulation: EPA Should Improve Adherence to Guidance for Selected Elements of Regulatory Impact Analyses (2014).
- GAO-14-714, Federal Rulemaking: Agencies Included Key Elements of Cost-Benefit Analysis, but Explanations of Regulations’ Significance Could Be More Transparent (2014).
- GAO-15-368, Regulatory Guidance Processes: Selected Departments Could Strengthen Internal Control and Dissemination Practices (2015).
- GAO-15-718, Federal User Fees: Key Considerations for Designing and Implementing Regulatory Fees (2015).
- GAO-16-720, Regulatory Guidance Processes: Treasury and OMB Need to Reevaluate Long-standing Exemptions of Tax Regulations and Guidance (2016).
- GAO-18-22, Federal Regulations: Key Considerations for Agency Design and Enforcement Decisions (2017).
- GAO-18-183, Federal Rulemaking: OMB Should Work with Agencies to Improve Congressional Review Act Compliance During and at the End of Presidents’ Terms (2018).
Other Government Documents
- Office of Legal Counsel, Op. on Additional Procedures Concerning OIRA Reviews Under Executive Order Nos. 12,291 and 12,498.
- Office of Legal Counsel, Memorandum from Larry L. Simms, Acting Assistant Attorney General, Proposed Executive Order Entitled “Federal Regulation,” 5 Op. O.L.C. 59 (1981).
- Council on Envtl. Quality, Environmental Justice Guidance Under the National Environmental Policy Act (Dec. 10, 1997).
- Envtl. Protection Agency, The Benefits and Costs of the Clean Air Act, 1970-1990—Draft Report for Congress (April 1997).
- Nat’l Inst. of Standards & Tech., U.S. Dep’t of Commerce, Tenth Annual Report on Federal Agency Use of Voluntary Consensus Standards and Conformity Assessment (2007).
- Office of the Vice President, Creating a Government That Works Better and Costs Less, Improving Regulatory Systems, National Performance Review (1993).
- Statement #18, Improving the Timeliness of OIRA Regulatory Review, 78 Fed. Reg. 76,275 (Dec. 17, 2013).
Selected Books and Articles
- OIRA Thirtieth Anniversary Conference, 63 Admin. L. Rev. (special ed.) (2011).
- ABA Section of Admin. Law & Regulatory Practice, Report: Improving the Administrative Process: A Report to the President-Elect of the United (2016), 69 Admin. L. Rev. 205 (2017).
- Rebecca Adams, Regulating the Rule-Makers: John Graham at OIRA, CQ Weekly 520 (Feb. 23, 2002).
- Joseph E. Aldy, Learning from Experience: An Assessment of the Retrospective Reviews of Agency Rules and the Evidence for Improving the Design and Implementation of Regulatory Policy (Nov. 17, 2014) (report to ACUS).
- Robert A. Anthony, Executive Order, OMB Bulletin Focus on Guidances, 32 Admin. L. & Reg. News 10, Spring 2007.
- William D. Araiza, Judicial and Legislative Checks on Ex Parte OMB Influence Over Rulemaking, 54 Admin. L. Rev. 611 (2002).
- Donald R. Arbuckle, Obscure But Powerful: Who Are Those Guys?, 63 Admin. L. Rev. 131 (special ed.) (2011).
- Nicholas Bagley & Richard L. Revesz, Centralized Oversight of the Regulatory State, 106 Colum. L. Rev. 1260 (2006).
- Stephen J. Balla, Jennifer M. Deets, & Forrest Maltzman, Outside Communications and OIRA Review of Agency Regulations, 63 Admin. L. Rev. 149 (special ed.) (2011).
- Rachel Bayefsky, Note, Dignity as a Value in Agency Cost-Benefit Analysis, 123 Yale L.J. 1732 (2014).
- Josh Blackman, Presidential Maladministration, 2018 U. Ill. L. Rev. 397 (2018).
- James F. Blumstein, Regulatory Review by the Executive Office of the President: An Overview and Policy Analysis of Current Issues, 51 Duke L. J. 851 (2001).
- Alexander Bolton, Rachel Augustine Potter, & Sharece Thrower, Organizational Capacity, Regulatory Review, and the Limits of Political Control, 32 J. L. Econ. & Org. 242 (2016).
- Lisa Schultz Bressman & Michael P. Vandenbergh, Inside the Administrative State: A Critical Look at the Practice of Presidential Control, 105 Mich. L. Rev. 47 (2006).
- Lisa Schultz Bressman & Michael P. Vandenbergh, Legitimacy, Selectivity, and the Disunitary Executive: A Reply to Sally Katzen, 105 Mich. L. Rev. 1511 (2007).
- Harold H. Bruff, Presidential Management of Agency Rulemaking, 57 Geo. Wash. L. Rev. 533 (1989).
- Reeve T. Bull, Building a Framework for Governance: Retrospective Review and Rulemaking Petitions, 67 Admin. L. Rev. 265 (2015).
- Ming H. Chen, Administrator-in-Chief: The President and Executive Action in Immigration Law, 69 Admin. L. Rev. 347 (2017).
- John C. Coates IV, Cost-Benefit Analysis of Financial Regulation: Case Studies and Implications, 124 Yale L.J. 882 (2015).
- Cary Coglianese, Moving Forward with Regulatory Lookback, 30 Yale J. on Reg. Online 57 (2013).
- Cary Coglianese, The Emptiness of Decisional Limits: Reconceiving Presidential Control of the Administrative State, 69 Admin. L. Rev. 43 (2017).
- Cary Coglianese, Improving Regulatory Analysis at Independent Agencies, 67 Am. U. L. Rev. 733 (2018).
- Daniel Cole, Law, Politics, and Cost-Benefit Analysis, 64 Ala. L. Rev. 55 (2012).
- John Conyers, Jr., Henry C. Johnson, Jr., & David N. Cicilline, The Dangers of Legislating Based on Mythology: The Serious Risks Presented by the Anti-Regulatory Agenda of the 115th Congress and the Trump Administration, 54 Harv. J. on Legis. 365 (2017).
- Curtis W. Copeland, Economic Analysis and Independent Regulatory Agencies (Apr. 30, 2013) (report to ACUS).
- Curtis W. Copeland, Length of Rule Reviews by the Office of Information and Regulatory Affairs (Oct. 7, 2013) (report to ACUS).
- Curtis Copeland, The Role of the Office of Information and Regulatory Affairs in Federal Rulemaking, 33 Fordham Urb. L.J. 1257 (2006).
- Curtis W. Copeland, The Unified Agenda: Proposals for Reform (Apr. 13, 2015) (report to ACUS).
- Robin Kundis Craig, The Bush Administration’s Use and Abuse of Rulemaking. Part I: The Rise of OIRA, 28 Admin. & Reg. L. News 8 (Summer 2003).
- Stephen Croley, White House Review of Agency Rulemaking: An Empirical Investigation, 70 U. Chi. L. Rev. 821 (2003).
- Nestor M. Davidson &. Ethan J. Lieb, Regleprudence—At OIRA and Beyond, 103 Geo. L.J. 259 (2015).
- Christopher C. DeMuth & Douglas H. Ginsburg, White House Review of Agency Rulemaking, 99 Harv. L. Rev. 1075 (1986).
- Christopher DeMuth, OIRA at Thirty, 63 Admin. L. Rev. 15 (special ed.) (2011).
- Caroline DeWitt, Comment, The Council on Competitiveness: Undermining the Administrative Procedure Act with Regulatory Review, 6 Admin. L. J. Am. U. 759 (1993).
- Susan E. Dudley, Observations on OIRA’s Thirtieth Anniversary, 63 Admin. L. Rev. 113 (special ed.) (2011).
- Susan E. Dudley, Improving Regulatory Accountability: Lessons From the Past and Prospects for the Future, 65 Case W. Res. L. Rev. 1027 (2015).
- E. Donald Elliott, TQM’ing OMB: Or Why Regulatory Review Under Executive Order 12,291 Works Poorly and What President Clinton Should Do About It, 57 Law & Contemp. Probs. 167 (1994).
- Blake Emerson & Cheryl Blake, Plain Language in Regulatory Drafting (Dec. 8, 2017) (report to ACUS).
- Jaclyn L. Falk, Comment, The Behind Closed Door Policy: Executive Influence in the Environmental Protection Agency’s Informal Rulemaking, 47 U.S.F. L. Rev. 593 (2013).
- Cynthia R. Farina, Undoing the New Deal Through the New Presidentialism, 22 Harv. J. L. & Pub. Pol’y 227 (1998).
- Scott Farrow, Improving Regulatory Performance: Does Executive Office Oversight Matter? (2001).
- Arthur Fraas, Observations on OIRA’s Policies and Procedures, 63 Admin. L. Rev. (special ed.) 79 (2011).
- Arthur Fraas & Randall Lutter, On the Economic Analysis of Regulations at Independent Regulatory Commissions, 63 Admin. L. Rev. 213 (special ed.) (2011).
- Jody Freeman & Jim Rossi, Improving Coordination of Related Agency Responsibilities (May 30, 2012) (report to ACUS).
- William Funk “Agency Oversight by the Political Branches,” ch. 11 in Section on Administrative Law and Regulatory Practice, A Guide to Judicial and Political Review of Federal Agencies 259-304 (2d ed. Michael E. Herz, Richard Murphy & Kathryn Watts eds., 2015).
- Margaret Gilhooley, Executive Oversight of Administrative Rulemaking: Disclosing the Impact, 25 Ind. L. Rev. 299 (1991).
- John D. Graham & Cory R. Liu, Regulatory and Quasi-Regulatory Activity Without OMB and Cost-Benefit Review, 37 Harv. J.L. & Pub. Pol’y 425 (2014).
- John D. Graham, Paul R. Noe & Elizabeth L. Branch, Managing the Regulatory State: The Experience of the Bush Administration, 33 Fordham Urb. L. J. 953 (2006).
- Wendy L. Gramm, Regulatory Review Issues, October 1985–February 1988, 63 Admin. L. Rev. 27 (special ed.) (2011).
- Abner S. Greene, Checks and Balances in an Era of Presidential Lawmaking, 61 U. Chi. L. Rev. 123 (1994).
- Robert W. Greene, Improving U.S. Financial Regulation Through OIRA Review & Robust Regulatory Analysis Standards, 14 Rutgers J.L. & Pub. Pol’y 89 (2016).
- Sarah Grimmer, Note, Public Controversy Over Peer Review, 57 Admin. L. Rev. 275 (2005).
- Zachary J. Gubler, Regulatory Experimentation (Nov. 17, 2017) (report to ACUS).
- Hiba Hafiz, Economic Analysis of Labor Regulation, 2017 Wis. L. Rev. 1115 (2017).
- Robert W. Hahn, Risks, Costs, and Lives Saved: Getting Better Results From Regulation, (Oxford Univ. Press & AEI Press, 1996).
- Robert W. Hahn & John A. Hird, The Costs and Benefits of Regulation: Review and Synthesis, 8 Yale J. on Reg. 233 (1991).
- Lisa Heinzerling, Statutory Interpretation in the Era of OIRA, 33 Fordham Urb. L. J. 1097 (2006).
- Lisa Heinzerling, Inside EPA: A Former Insider’s Reflections on the Relationship Between the Obama EPA and the Obama White House, 31 Pace Envtl. L. Rev. 325 (2014).
- Thomas D. Hopkins, The Evolution of OIRA Oversight—CWPS to OIRA, 63 Admin. L. Rev. 71 (special ed.) (2011).
- Elena Kagan, Presidential Administration, 114 Harv. L. Rev. 2245 (2001).
- Sally Katzen, A Reality Check on an Empirical Study: Comments on “Inside the Administrative State,” 105 Mich. L. Rev. 1497 (2007).
- Sally Katzen, OIRA at Thirty: Reflections and Recommendations, 63 Admin. L. Rev. 103 (special ed.) (2011).
- Cornelius M. Kerwin & Scott R. Furlong, Rulemaking: How Government Agencies Write Law and Make Policy (CQ Press, 4th ed. 2011).
- Peter Ketcham-Colwill, Presidential Influence Over Agency Rulemaking Through Regulatory Review, 82 Geo. Wash. L. Rev. 1622 (2014).
- Robert E. Litan & William D. Nordhaus, Reforming Federal Regulation (Yale Univ. Press, 1983).
- Michael A. Livermore, Cost-Benefit Analysis and Agency Independence, 81 U. Chi. L. Rev. 609 (2014).
- Michael A. Livermore & Richard L. Revesz, Regulatory Review, Capture, and Agency Inaction, 101 Geo. L.J. 1337 (2013)
- Jeffrey S. Lubbers, A Guide to Federal Agency Rulemaking (ABA Section of Admin. Law & Regulatory Practice, 5th ed. 2012).
- Jeffrey S. Lubbers, OMB to Require Peer Review for Regulatory Science Documents, 29 Admin. L. & Reg. News 3, Fall 2003.
- Maureen Mahon, Note, Proceed With Caution: The Implications of the OMB Peer Review Guidelines on Precautionary Legislation, 84 Wash. U. L. Rev. 461 (2006).
- Jonathan S. Masur & Eric A. Posner, Unquantified Benefits and the Problem of Regulation Under Uncertainty, 102 Cornell L. Rev. 87 (2016).
- Randolph J. May, OMB’s Peer Review Proposal—Swamped by Science?, 29 Admin. & Reg. L. News 4, Spring 2004.
- Michael McCarthy, International Regulatory Cooperation, 20 Years Later: Updating ACUS Recommendation 91-1 (Oct. 19, 2011) (report to ACUS).
- Thomas O. McGarity, Presidential Control of Regulatory Agency Decisionmaking, 36 Am. U. L. Rev. 443 (1987).
- Thomas O. McGarity, Administrative Law as Blood Sport: Policy Erosion in a Highly Partisan Age, 61 Duke L.J. 1671 (2012).
- Patrick A. McLaughlin & Jerry Ellig, Does OIRA Review Improve the Quality of Regulatory Impact Analysis? Evidence from the Final Year of the Bush II Administration, 63 Admin. L. Rev. 179 (special ed.) (2011).
- Emily Hammond Meazell, Presidential Control, Expertise, and the Deference Dilemma, 61 Duke L.J. 1763 (2012).
- Nina A. Mendelson, Disclosing “Political” Oversight of Agency Decision Making, 108 Mich. L. Rev. 1127 (2010).
- Nina Mendelson, Another Word on the President’s Statutory Authority over Agency Action, 79 Fordham L. Rev. 2455 (2011).
- Nina A. Mendelson & Jonathan B. Wiener, Responding to Agency Avoidance of OIRA, 37 Harv. J.L. & Pub. Pol’y 447 (2014).
- Gillian E. Metzger & Kevin M. Stack, Internal Administrative Law, 115 Mich. L. Rev. 1239 (2017).
- James C. Miller III, The Early Days of Reagan Regulatory Relief and Suggestions for OIRA’s Future, 63 Admin. L. Rev. 93 (special ed.) (2011).
- Alan B. Morrison, OMB Interference with Agency Rulemaking: The Wrong Way to Write a Regulation, 99 Harv. L. Rev. 1059 (1986).
- William A. Niskanen, Clinton Regulation Will Be “Rational”: Interview with Sally Katzen, the New OIRA Administrator, Regulation Magazine No. 3, at 36 (1993).
- Lars Noah, Peer Review and Regulatory Reform, 30 Envtl. L. Rep. (Envtl. L. Inst.) 10,606 (2000).
- Paul Noe, Analyzing the Destruction of Human Capital by Regulations, 63 Admin. L. Rev. 203 (special ed.) (2011).
- Note, Regulatory Analyses and Judicial Review of Informal Rulemaking, 91 Yale L. J. 739 (1982).
- Note, OIRA Avoidance, 124 Harv. L. Rev. 994 (2011).
- Note, The Inflation Impact Statement Program: An Assessment of the First Two Years, 26 Am. U. L. Rev. 1138 (1977).
- Jennifer Nou, Agency Self-Insulation Under Presidential Review, 126 Harv. L. Rev. 1755 (2013).
- Jennifer Nou & Edward H. Stiglitz, Strategic Rulemaking Disclosure, 89 S. Cal. L. Rev. 733 (2016).
- Anne Joseph O’Connell, Political Cycles of Rulemaking: An Empirical Portrait of the Modern Administrative State, 94 Va. L. Rev. 889 (2008).
- Erik D. Olson, The Quiet Shift of Power: Office of Management & Budget Supervision of Environmental Protection Agency Rulemaking Under Executive Order 12,291, 4 Va. J. Nat. Resources L. 1 (1984).
- Eloise Pasachoff, The President’s Budget as a Source of Agency Policy Control, 125 Yale L.J. 2182 (2016).
- Robert V. Percival, Presidential Management of the Administrative State: The Not-So-Unitary Executive, 51 Duke L. J. 963 (2001).
- Robert V. Percival, Who’s in Charge? Does the President Have Directive Authority Over Agency Regulatory Decisions?, 79 Fordham L. Rev. 2487 (2011).
- Richard J. Pierce, Jr., The Regulatory Budget Debate, 19 N.Y.U. J. Legis. & Pub. Pol’y 249 (2016).
- Eric A. Posner & E. Glen Weyl, Cost-Benefit Analysis of Financial Regulations: A Response to Criticisms, 124 Yale L.J. Forum 246 (2015).
- Robert L. Rabin, Federal Regulation in Historical Perspective, 38 Stan L. Rev. 1189 (1986).
- Richard L. Revesz, Cost-Benefit Analysis and the Structure of the Administrative State: The Case of Financial Services Regulation, 34 Yale J. On Reg. 545 (2017).
- Richard L. Revesz, Quantifying Regulatory Benefits, 102 Cal. L. Rev. 1423 (2014).
- Richard L. Revesz & Michael A. Livermore, Retaking Rationality: How Cost-Benefit Analysis Can Better Protect the Environment and Our Health (Oxford Univ. Press 2008).
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