Rule-Making Notices
Notice of Hearing
Agriculture, Trade and Consumer Protection
The State of Wisconsin Department of Agriculture, Trade and Consumer Protection (DATCP) announces that it will hold public hearings on a proposed rule to create Chapter ATCP 16, Wis. Adm. Code, relating to dog sellers and dog facility operators.
Hearing Information
DATCP will hold five public hearings at the times and places shown below. DATCP invites the public to attend the hearings and comment on the proposed rule.
Monday, September 20, 2010
5:00 p.m. - 7:00 p.m.
Dept. of Agriculture, Trade and Consumer Protection
2811 Agriculture Drive
First Floor – Room 106 (Boardroom)
Madison, WI 53718
Thursday, September 23, 2010
2:00 p.m. – 4:00 p.m.
Fox Valley Technical College
Room E130 A & B
1825 North Bluemound Dr.
Appleton, WI 54914
Monday September 27, 2010
6:00 p.m. – 8:00 p.m.
The Plaza Hotel and Suites
1202 West Clairemont Ave.
Crystal 1 Room
Eau Claire, WI 54701
Tuesday, September 28, 2010
2:00 p.m. - 4:00 p.m.
Wausau Public Library/Marathon County Public Library
Wausau Room
300 North First St.
Wausau, WI 54403
Thursday, September 30, 2010
6:00 p.m. – 8:00 p.m.
Havenwoods State Forest
Auditorium
6141 North Hopkins Street
Milwaukee, WI 53209
Hearing impaired persons may request an interpreter for these hearings. Please make reservations for a hearing interpreter by September 9, 2010, by writing to Melissa Mace, Division of Animal Health, P.O. Box 8911, Madison, WI 53708-8911, telephone (608) 224-4883. Alternatively, you may contact the DATCP TDD at (608) 224-5058. Handicap access is available at the hearings.
Submittal of Written Comments
Following the public hearings, the hearing record will remain open until Friday, October 8, 2010 for additional written comments. Comments may be sent to the Division of Animal Health at the address below, by email to Melissa.mace@wi.gov or online http://AdminRules. Wisconsin.gov/.
To provide comments or concerns relating to small business, please contact DATCP's small business regulatory coordinator Keeley Moll at the address above, by emailing to Keeley.Moll@wi.gov or by telephone at (608) 224-5039.
Copies of Proposed Rule
You may obtain a free copy of this rule by contacting the Wisconsin Department of Agriculture, Trade and Consumer Protection, Division of Animal Health, 2811 Agriculture Drive, P.O. Box 8911, Madison, WI 53708. You can also obtain a copy by calling (608) 224-4883 or emailing Melissa.mace@wi.gov. Copies will also be available at the hearings. To view the proposed rule online, go to: http://AdminRules.Wisconsin.gov/
Analysis Prepared by the Department of Agriculture, Trade and Consumer Protection
Rule summary
This rule implements s. 173.41, Stats., created by 2009 Wis. Act 90. Act 90 requires the Department of Agriculture, Trade and Consumer Protection (“DATCP") to license and regulate persons who do any of the following:
  Operate an “animal control facility." Under this rule, an “animal control facility" means a facility in this state, for the care of animals, which is operated under a contract with a county, town or municipality under s. 173.15(1), Stats.
  Operate an “animal shelter." Under this rule, an “animal shelter" means a facility in this state that is operated for the purpose of providing for and promoting the welfare, protection, and humane treatment of animals, that is used to shelter at least 25 dogs in a license year, and that is operated by a humane society, animal welfare society, animal rescue group, or other nonprofit group.
  Operate as a “dog breeder." Under this rule, a “dog breeder" means a person who in any license year sells at least 25 dogs, from more than 3 litters, which that person has bred and raised in this state.
  Operate a “dog breeding facility." Under this rule, a “dog breeding facility" means a place in this state where dogs are bred and raised and from which at least 25 dogs from more than 3 litters are sold in a license year.
  Operate as a “dog dealer." Under this rule, a “dog dealer" means any of the following persons, other than an “out-of-state dog dealer:"
  A person who in any license year sells in this state at least 25 dogs that the person owns but has not bred and raised.
  A person, other than an auctioneer or auction company registered under ch. 480, Stats., who in any license year brokers or arranges the sale in this state of at least 25 dogs that are under that person's custody or legal control (but that the person does not own and has not bred or raised).
  An auctioneer or auction company registered under ch. 480, Stats., which operates one or more auctions in this state in which a combined total of 50 or more dogs are sold or offered for sale in any license year.
  Operate in this state as an “out-of-state dog dealer." Under this rule, an “out-of-state dog dealer" means a non-resident person who in any license year imports at least 25 dogs for sale in this state, regardless of whether the dogs were bred or raised by that person.
This rule spells out standards required of license holders, including standards related to the care, transportation and sale of dogs.
Statutes interpreted
Statutory authority
Explanation of statutory authority
DATCP has broad general authority, under s. 93.07 (1), Stats., to adopt rules interpreting laws under its jurisdiction. Under s. 173.41(14), Stats., DATCP is required to adopt rules implementing s. 173.41, Stats., DATCP also has relevant rulemaking authority under other statutes. DATCP has developed this rule in consultation with an advisory council, as required under s. 173.41 (14), Stats.
Related rules or statutes
Under s. 173.27, Stats., and ch. ATCP 15, DATCP has adopted standards for the training and certification of county and local humane officers. Under s. 93.07(11), Stats., DATCP provides veterinary consultation and other assistance to county and local humane officers. Under ch. ATCP 10, DATCP has adopted general rules related to animal health, animal imports, animal movement and disease control.
Standards incorporated by reference
This rule incorporates, by reference, humane euthanasia methods identified by the American Veterinary Medical Association in Appendix 1 to its Guidelines on Euthanasia (June 2007). DATCP will ask permission from the Attorney General and the Legislative Reference Bureau to incorporate this material by reference in this rule. Copies will be kept on file with DATCP and the Legislative Reference Bureau.
Plain language analysis
License required
Under this rule, a person who does any of the following must hold an annual license from DATCP, unless the person qualifies for a license exemption (see below):
  Operates an “animal control facility."
  Operates an “animal shelter."
  Operates as a “dog breeder."
  Operates a “dog breeding facility."
  Operates as a “dog dealer."
  Operates in this state as an “out-of-state dog dealer."
An annual license expires on September 30. A license holder must display a copy of the license at each animal control facility, animal shelter or dog breeding facility (if any) operated by the license holder. A license is not transferable between persons or facilities.
License exemptions
The following activities are exempt from licensing under this rule:
Veterinary activities.
A veterinarian licensed under ch. 453, Stats., is not required to hold a license under this rule for activities that the veterinarian conducts in the normal course of veterinary practice, within the scope of the veterinarian's license.
Agent care.
A person who, as contract agent for one or more license holders, keeps dogs owned or legally controlled by those license holders at a location owned or legally controlled by the agent is not required to be licensed under this rule if all of the following apply:
  The agent keeps no more than 24 dogs at any single location owned or controlled by the agent.
  The person keeps dogs for each license holder pursuant to a written agency contract with that license holder, subject to that holder's license.
  The agent agrees, in the agency contract, to meet the dog care standards in this rule and to permit reasonable DATCP inspection upon request.
  Each license holder keeps records including the agent's name and address, the address of each location at which the agent keeps dogs for the license holder, a copy of the agency contract, the number of dogs that the agent keeps for the license holder, and the identification and health records required under this rule for each dog kept by the agent.
One-time liquidation sale.
No license is required under this rule for a one-time liquidation sale of dogs that the seller owns and keeps at a location owned by the seller if all of the following apply:
  The seller gives DATCP written notice at least 30 days prior to the sale. The notice must include the starting date of the sale, the location of the sale, and the number of dogs that may be sold.
  All dogs at the sale location are offered for sale.
  No more than 30 dogs are offered for sale.
  The seller does not add dogs during the sale, or include in the sale any dogs that the seller does not own.
  The seller does not engage in any other activities for which a license is required, either during the license year in which the sale occurs or in the preceding or subsequent license year.
Breeding, raising and selling dogs for research.
No license is required under this rule to breed, raise and sell dogs solely for purposes of scientific research if all of the following apply:
  The dogs are sold from the facility where they are bred and raised.
  The dogs are sold only to animal care facilities licensed or registered by the United States department agriculture (USDA), and are not resold to any other person.
  The facility at which the dogs are bred and raised complies with federal regulations under 9 CFR subchapter A (Animal Welfare).
Temporary dog market.
No license is required under this rule to operate a “temporary dog market" (a place where dog owners sell dogs from temporary booths or spaces that they rent from the market operator), provided that the market operator does all of the following:
  Gives DATCP prior written notice of the market. The notice must include the beginning and ending dates of the market, the market location, and the approximate number of sellers who may bring dogs to the market.
  Provides adequate facilities for, and takes reasonable steps to ensure, humane treatment of all dogs kept at the market.
  Arranges for a Wisconsin certified veterinarian to examine all dogs kept at the market on each day of market operations, if the market operates for more than 2 consecutive days.
  Obtains certain information from each person who brings dogs to the market, including the person's name and address; the person's dog seller license number (if any); the number of dogs that the person brings to the market; a description of each dog; the source of each dog (if the person has not owned the dog since its birth); documentation of rabies vaccination (if required); and documentation of legal import (if the dog was imported to this state). The market operator must keep the information for at least 5 years, and must make it available to DATCP for inspection and copying upon request.
  Allows DATCP to inspect the market during market hours.
Licensed activities and facilities
In some cases, a person may engage in more than one activity for which a license is required, or may operate more than one dog facility for which a license required. Under this rule, that person may obtain a single license document that covers all of those activities and facilities. However, the license document must identify each type of licensed activity and the location at which the the license holder keeps dogs pursuant to the license. License fees are based on the number of licensed facilities, or the number of dogs sold by the license holder, or both:
  If a person operates one or more “animal control facilities" or “animal shelters," the person must pay a separate license fee (flat amount) for each of those facilities.
  If a person operates one or more “dog breeding facilities," the person must pay a separate license fee for each of those facilities based on the number of dogs sold from that facility.
  If a person sells dogs from one or more locations other than an “animal control facility," “animal shelter" or “dog breeding facility," the person must pay license fees based on the person's combined annual dog sales from all of those locations.
A license holder may not keep dogs for any licensed purpose, either directly or through an agent, at any location other than the following:
  Locations identified in the license.
  Locations owned or legally controlled by contract agents who keep, for the license holder, dogs owned or legally controlled by the license holder. A license need not identify the license holder's agents or agent locations. However:
  The license application must disclose whether the license holder will use such agents.
  The license holder must keep records identifying each agent and agent location, a copy of each agent's contract with the license holder, the number of dogs (owned or legally controlled by the license holder) that are kept by each agent, and identification and health records related to those dogs.
  The license holder must make the records available to DATCP for inspection and copying upon request.
  A “temporary dog market" that is registered and operated according to this rule.
  An auction location at which dogs are temporarily kept for the purpose of sale at auction, other than an auction conducted by the license holder.
Applying for a license
A person must apply for a license on a form provided by DATCP. The form must include all of the following:
  The applicant's legal name and any trade names under which the applicant engages in licensed activities.
  The applicant's principal business address.
  The address of each location at which the applicant may keep dogs pursuant to the license.
  A statement indicating whether any dogs owned or legally controlled by the applicant will be kept by agents at locations owned or legally controlled by those agents. The agents and agent locations need not be identified in the license application (but other requirements apply).
  A statement indicating whether the applicant operates any “animal control facility," “animal shelter" or “dog breeding facility" and, if so, the type and address of each facility.
  An identification of each activity for which the applicant seeks a license.
  The total number of dogs that the applicant sold in this state during the preceding license year or, if the applicant did not sell any dogs in this state during the preceding license year, the total number of dogs that the applicant expects to sell in this state during the license year for which application is made. The applicant must report sales from all locations, including agent locations, but need not report sales from licensed “animal control facilities" or “animal shelters." If any sales are made from a “dog breeding facility," the application must indicate the number of sales made from that facility.
  All license fees and surcharges required under this rule (see below).
  If the applicant applies to be licensed as an “out-of-state dog dealer," copies of all of the following:
  Any dog seller's license that the person is required to hold in the state from which that person operates in this state as an “out-of-state dog dealer."
  Any dog seller's license that the person is required to hold under federal law.
License fees and surcharges
An annual license application must include the following nonrefundable fees and surcharges, as applicable:
  A license fee of $125 for each “animal control facility."
  A license fee of $125 for each “animal shelter."
  For each “dog breeding facility," the following fee based on the number of dogs sold from that facility.
  $250 if the number is at least 25 but less than 50.
  $500 if the number is at least 50 but less than 100.
  $750 if the number is at least 100 but less than 250.
  $1,000 if the number is at least 250.
  The following license fee based on the number of dogs sold from any location other than from an “animal control facility," an “animal shelter" or a “dog breeding facility," except that this fee does not apply to an “out-of-state dog dealer:"
  $250 if the number is at least 25 but less than 50.
  $500 if the number is at least 50 but less than 100.
  $750 if the number is at least 100 but less than 250.
  $1,000 if the number is at least 250.
  A fee that is 150 percent of the above fee if the applicant is an “out-of-state dog dealer."
  A late renewal surcharge equal to 20% of all license fees required above if the applicant seeks to renew a license after that license has expired.
  A surcharge equal to the total of all license fees required above if DATCP finds that the applicant operated without a license in the prior license year, or falsified the prior year's license application to avoid fee payments.
  Any unpaid reinspection fee properly charged under this rule (see below).
Timely action on license application
DATCP must grant or deny a license application 30 business days after it receives a complete license application except that, if the applicant seeks authorization to keep dogs at a location not previously licensed, DATCP must grant or deny the license within 30 days after it inspects that location (DATCP must complete the inspection within 60 days after it receives a complete license application).
Issuing or withdrawing a license
DATCP may deny, suspend or revoke a license if the applicant or license holder fails to comply with applicable licensing requirements; is not fit, qualified or equipped to conduct the activity for which the license is required; has violated or failed to obey a relevant law, order, or regulation; or has misrepresented any information in a license application. DATCP may issue a license on a conditional basis, contingent on the license holder's compliance with specified conditions.
DATCP may summarily suspend a license, without prior notice or hearing, if DATCP finds any of the following:
  That the license holder has violated this rule, and that the violation imminently threatens the health, safety, or welfare of any dog.
  That the license holder has committed an act of animal cruelty in violation of ch. 951, Stats.
Whenever DATCP denies, suspends or revokes a license, DATCP must give written notice specifying its reasons and notifying the applicant or license holder of the right to request a hearing on DATCP's action. DATCP may reinstate a license if circumstances warrant reinstatement.
Inspecting licensed operations
DATCP may at any time, during reasonable hours, inspect any location at which a person engages in any activity for which a license is required under this rule. Before DATCP licenses an applicant to keep dogs at a location not previously licensed, DATCP must inspect that location. DATCP must also inspect each licensed location at least once in every 2 license years. The inspection must examine the operator's compliance with applicable requirements under this rule, including applicable requirements related to recordkeeping, dog health and standards of care.
Whenever DATCP inspects a location under this rule, DATCP must give the operator a copy of its inspection report. The facility operator must post a copy of the most recent inspection report in a prominent place at the inspected location, so that visitors to that location can easily notice and read it.
DATCP may require a license holder to pay a reinspection fee of $150 for each reinspection (other than a routine or regularly scheduled inspection) that DATCP makes to verify that rule violations noted in a previous inspection have been corrected. The reinspection fee is due upon written demand from DATCP, following the reinspection. An applicant for an annual license must include, in the license application, any unpaid reinspection fees.
Records kept by license holders
A license holder must keep all of the following records under this rule:
Dog records.
The following records related to each dog that comes under the license holder's custody or legal control, including any dog placed with a contract agent (see above):
  A description of the dog including the dog's breed or type, sex, date of birth or approximate age, color, and distinctive markings.
  Any USDA official identification assigned to the dog, including any official identification tag, tattoo or microchip information.
  A statement that the dog was born under the license holder's custody or legal control, if that is the case.
  All of the following information if the dog was not born under the license holder's custody or legal control:
  The date on which the license holder acquired custody or legal control over the dog.
  The identity of the person from whom the license holder acquired custody or legal control of the dog, including all of the following:
  The person's name and address, including state of residence.
  The person's USDA animal care facility license or registration number, if any.
  All of the following information if the dog is no longer under the license holder's custody or legal control:
  The date on which the dog left the license holder's custody or legal control.
  The disposition of the dog.
  The identity of the person, if any, to whom the license holder delivered custody or legal control of the dog.
  A copy of any certificate of veterinary inspection that accompanied the dog when it entered or left the license holder's custody or legal control.
  Health records related to the dog, including vaccination, observation and treatment records, whether the health care was administered by the license holder or by a veterinarian.
  Breed registration records if any.
Dog behavior and socialization plan.
A copy of the license holder's written dog behavior and socialization plan, as required by this rule (see below).
Records related to agents keeping dogs for license holder.
The following records related to each agent who keeps one or more dogs for the license holder at a location owned or legally controlled by the agent (see above):
  The agent's name and address.
  A copy of the agent's contract with the license holder.
  The number of dogs placed with the agent.
  Dog identification and health records related to all dogs placed with the agent (see above).
The license holder must keep the above records in written or readily readable electronic form. The records must be kept at the license holder's principal place of business, except that records related to a licensed animal control facility, animal shelter or dog breeding facility must be kept at that facility. The license holder must keep the records for at least 5 years after they are made, and must make them available to DATCP for inspection and copying upon request.
Dog sales; certificate of veterinary inspection
Under this rule, whenever a license holder sells a dog in this state, the dog must be accompanied by a certificate of veterinary inspection. The certificate must be prepared and signed by a Wisconsin certified veterinarian, except that a certificate accompanying a dog imported into this state may be issued by a veterinarian who is accredited by USDA and the state of origin.
A certificate of veterinary inspection must be issued on a form provided by DATCP, USDA, or the state in which the certificate is issued. A certificate issued in this state must be issued on a form provided by DATCP. The certificate must include all of the following:
  The name and address of the person selling the dog.
  The number, breed, sex and age of the dog.
  Whether the dog is spayed, neutered or sexually intact.
  The dog's vaccination record. The vaccination record must identify each type of vaccination that the dog has received. For each type of vaccination, the record must include all of the following:
  The name of the vaccine manufacturer.
  The vaccine serial number and lot number.
  The date on which the vaccine was administered.
  The name of the person who administered the vaccine.
  Import information required under current rules if the certificate accompanies a dog imported into this state.
  If the dog is sold at public auction, documentation showing that the dog has tested negative on a brucellosis test conducted within 30 days prior to the auction sale.
  The following statement, or a substantially similar statement, that is based on at least a brief personal examination by the veterinarian making the statement:
  “I certify, as a veterinarian, that I have inspected the dogs identified on this certificate and that the dogs are not showing any sign of infectious, contagious or communicable disease, except as otherwise noted on this certificate. Vaccinations and test results are as indicated on this certificate. This certificate is not a warranty."
  The veterinarian's signature and the date of signature.
The veterinarian must sign the certificate within 10 days after the veterinarian completes the examination on which the certificate is based. The certificate is valid for 30 days after the date of examination. Copies must be provided to the following persons:
  The person buying the dog.
  The person selling the dog.
  The veterinarian who issues the certificate.
Age at which dogs may be sold
A license holder may not, in connection with the sale of a dog, transfer that dog to the physical custody of the buyer unless one of the following applies:
  The dog is at least 7 weeks old.
  The dog is accompanied by its dam.
  The DATCP approves the transfer in writing.
Dog care; general
A license holder (and the license holder's employees and agents) must comply with all of the following standards of care for dogs kept pursuant to the license:
Food and water.
  Each dog must be fed at least once a day, unless another schedule is needed to maintain or restore the dog's health.
  The size and nutritional content of a dog's daily food ration must be based on dog's age, condition, size and weight.
  Dog food must be wholesome, uncontaminated and palatable. Dog food must be stored in a manner that keeps it wholesome, uncontaminated and palatable. Food storage containers must be clean.
  An adequate quantity of fresh water must be made available to each dog at all times, or as often each day as is necessary to keep the dog well-hydrated at all times. Water must be fluid, potable and uncontaminated.
  Food and water must be provided in durable containers, except that food may be provided in disposable containers if discarded after one use.
  Water containers, and non-disposable food containers and utensils, must be cleaned and sanitized as necessary to keep them in sanitary condition.
Animal health and veterinary care.
  Dogs must be handled as carefully as practicable, and in a manner that does not cause trauma, physical harm or unnecessary discomfort.
  A caretaker must perform daily body, mobility and behavior checks on each dog.
  A dog with a communicable disease must be separated from other susceptible animals.
  Dogs must be groomed as necessary to prevent abnormal matted hair and overgrown nails, and to allow freedom of movement and normal bodily functions.
  A veterinarian must examine each dog as often as necessary to ensure adequate health care.
  Sick, diseased or injured dogs must receive timely veterinary care or must be euthanized in a legal and humane manner.
  DATCP may, by written notice, require a license holder to submit a dog for veterinary examination if a DATCP inspection indicates that the dog is ill, injured or neglected.
Housing and transportation.
Dogs must be kept in facilities that comply with this rule (see below), and transported in compliance with this rule (see below).
Exercise.
Dogs must have reasonable daily exercise, based on the dog's breed, size, age and health condition. Dogs must have a daily access to a run or exercise area where they can achieve a running stride. Repetitive unsupervised physical activity, restrictive of other activities, must be avoided.
Dog grouping and separation.
  Dogs must be separated, as necessary, into compatible groups.
  Females in season (estrus) may not be kept in the same un-separated enclosure with males, except for breeding purposes.
  Dogs exhibiting potentially harmful aggressive behavior must be separated from other dogs.
  Puppies under 4 months old may not be kept in the same un-separated enclosure with adult dogs other than their dam or foster dam, unless under direct supervision.
  A dam in whelp must be separated from other dogs for at least one week prior to her expected whelping date.
Behavior and socialization.
  All dogs must have daily, full-body physical contact with other compatible dogs, except where such contact must be avoided for good cause.
  All dogs must have daily positive human contact, not limited to feeding time.
  All dogs must have play objects or other effective forms of inanimate enrichment in their primary enclosures, except where such objects or enrichment must be denied for good cause.
  Dogs in solitary primary enclosures must have daily visual enrichment, except where that enrichment must be denied for good cause.
  Dogs may not be deprived of contact, activity or enrichment for extended periods, except for good cause.
  A license holder must have a written plan for meeting these requirements, and must instruct employees and agents on the terms of that plan.
Dogs kept indoors
The following requirements apply to an indoor facility at which a person keeps dogs pursuant to a license under this rule:
Primary enclosures; general requirements.
A “primary enclosure" is an enclosed space where a dog spends the majority of its sleeping and resting time. A “primary enclosure" must meet the following general requirements, except that different requirements apply to specific kinds of primary enclosures described below:
  The area of the primary enclosure shall be at least equal to the sum of the following, where each dog's length is measured from the tip of the dog's nose to the base of the dog's tail:
  For the largest dog in the primary enclosure, the following area:
4.5 sq. ft. for a dog up to 10 inches long.
8 sq. ft. for a dog 11 to 16 inches long.
12 sq. ft. for a dog 17 to 22 inches long.
18 sq. ft. for a dog 23 to 26 inches long.
24 sq. ft. for a dog 26 to 30 inches long.
30 sq. ft. for a dog more than 30 inches long.
  For each additional dog in the primary enclosure, the following area:
3.375 sq. ft. for a dog up to 10 inches long.
6 sq. ft. for a dog 11 to 16 inches long.
9 sq. ft. for a dog 17 to 22 inches long.
13.5 sq. ft. for a dog 23 to 26 inches long.
18 sq. ft. for a dog 26 to 30 inches long.
22.5 sq. ft. for a dog more than 30 inches long.
  The height of the primary enclosure must be at least 12 inches taller than the tallest dog in the enclosure.
  Each dog kept in the primary enclosure must have access, for at least 30 minutes each day, to a run or exercise area that is large enough for the dog's size and temperament (considering the number of dogs that may use the run or exercise area at any given time), and large enough so that the dog can achieve a running stride.
Single-dog enclosure with separate run or exercise area.
The general requirements above do not apply to a primary enclosure for one dog if the enclosure is part of a facility that has a separate run or exercise area for the dog's daily indoor or outdoor use and if all of the following apply:
  The run or exercise area is large enough for the dog's size and temperament (considering the number of dogs that may use the run or exercise area at any given time), and is large enough for the dog to achieve a running stride.
  The dog spends at least 120 minutes per day in the run or exercise area.
  The dog spends no more than 12 hours at a time in the primary enclosure, without access to the run or exercise area.
  The primary enclosure is long enough to accommodate the entire length of dog's head and body, measured from the tip of the dog's nose to the base of the dog's tail.
  The primary enclosure is tall enough for the dog to stand normally and comfortably, and large enough for the dog to turn around and lie down.
Whelping enclosure.
A primary enclosure for a single whelping dam and her puppies must comply with all of the following requirements, rather than the general requirements above:
  The enclosure must have a solid floor and be of an appropriate type for the breed.
  The enclosure must be tall enough for the dam to stand normally and comfortably.
  The enclosure must be large enough for the dam to lie down in a stretched out position, so that all puppies can simultaneously nurse.
  The enclosure must be large enough for the number and temperament of the puppies.
  The enclosure must be designed so that the dam can be away from puppies.
Nursery enclosure.
An primary enclosure for puppies between the age of weaning and the age of 4 months must comply with the following requirements, rather than the general requirements above:
  The enclosure must be large enough to allow all of the puppies to turn around, stand up, lie down, and exercise normal postural movements.
  The enclosure must be large enough to encourage socialization and exercise.
Floors and interior surfaces of indoor primary enclosures.
The following standards apply to all indoor primary enclosures:
  Dirt floors are prohibited.
  A floor, other than a floor in a whelping enclosure, may be constructed of metal wire mesh. Metal wire mesh floors must comply with all of the following requirements:
  The wire must be vinyl-coated.
  The wire must be of an adequate gauge to prevent sagging under the weight of the dog or dogs kept in the enclosure, and to prevent injury to the dogs' feet.
  The mesh openings must be small enough to prevent the feet of the smallest dog kept in the enclosure from passing through or becoming entangled in the mesh.
  Floors and other interior surfaces must be constructed and maintained to keep dogs safe from injury, clean and dry. Surfaces must be regularly cleaned and sanitized.
Stacking primary enclosures.
No indoor primary enclosure may stacked on top of any other indoor primary enclosure unless the stacking arrangement complies with all of the following:
  The floor of the top enclosure must be no higher than 52 inches from the floor of the room in which the enclosures are stacked.
  The stacking arrangement must provide for safe dog handling, adequate ventilation and temperature control, easy cleaning and sanitization, and easy inspection of all stacked enclosures.
  Each stacked enclosure must have ventilated sides and a solid floor that can be easily cleaned and sanitized.
  The stacked enclosures must be stable when filled to maximum capacity with dogs.
  No dog in any of the stacked enclosures may be exposed to any excreta, urine, dirt or debris falling from a higher enclosure.
Lighting, temperature and ventilation.
Indoor facilities in which primary enclosures are located must meet all of the following requirements:
  The facility must have well-distributed natural or artificial light that is adequate for proper care, maintenance and inspection of the facility and of all dogs kept in the facility. All areas in which dogs are kept must have a diurnal lighting cycle.
  The facility must have adequate heating and cooling facilities, and must be heated and cooled as necessary to keep temperatures within appropriate limits, based on the dog breeds kept at the facility and the ability of those breeds to acclimate to temperature variation. Dogs must be protected from heat, cold and humidity that may be injurious to their health.
  The facility must be adequately ventilated with fresh or filtered air to maintain the health and comfort of all dogs and to minimize odors, drafts, ammonia levels and moisture condensation. The facility must provide an exchange of air between indoor areas where dogs are kept and the outdoors.
Cleaning and sanitization.
  Excreta must be removed from primary enclosures and other dog holding areas at least daily, and more often as necessary for the health and comfort of all dogs.
  Primary enclosures and other dog holding areas must be cleaned with an appropriate detergent, then rinsed and sanitized with an appropriate sanitizer, as often as necessary to be free of accumulated dirt, debris and disease hazards.
  A primary enclosure must be cleaned and sanitized before any new dog is placed in the enclosure.
  Dogs must be removed from primary enclosures and other dog holding areas before those enclosures or areas are cleaned and sanitized. Dogs may not be returned to a cleaned or sanitized enclosure or area until the enclosure or area is dry.
  All dog bedding shall be maintained in a clean, dry condition.
Dogs kept outdoors
The following requirements apply to an outdoor facility at which a person keeps dogs pursuant to a license under this rule:
Dogs must be capable of staying outdoors.
A dog kept in an outdoor primary enclosure shall be all of the following:
  Readily able to tolerate the outdoor temperatures and conditions to which the dog may be exposed in that enclosure, considering the dog's breed, age, health and physical condition.
  Acclimated to the outdoor temperatures and temperature variations that may occur in that enclosure.
Outdoor primary enclosure; minimum area.
The area of an outdoor primary enclosure (not counting the area of any dog shelter in the primary enclosure) shall be at least equal to the sum of the following, where each dog's length is measured from the tip of the dog's nose to the base of the dog's tail:
  For the largest dog in the primary enclosure, the following area:
  4.5 sq. ft. for a dog up to 10 inches long.
  8 sq. ft. for a dog 11 to 16 inches long.
  12 sq. ft. for a dog 17 to 22 inches long.
  18 sq. ft. for a dog 23 to 26 inches long.
  24 sq. ft. for a dog 26 to 30 inches long.
  30 sq. ft. for a dog more than 30 inches long.
  For each additional dog in the primary enclosure, the following area:
  3.375 sq. ft. for a dog up to 10 inches long.
  6 sq. ft. for a dog 11 to 16 inches long.
  9 sq. ft. for a dog 17 to 22 inches long.
  13.5 sq. ft. for a dog 23 to 26 inches long.
  18 sq. ft. for a dog 26 to 30 inches long.
  22.5 sq. ft. for a dog more than 30 inches long.
Shelter, shade and windbreak.
An outdoor primary enclosure shall include all of the following:
  A dog shelter (see below) that is accessible by all dogs kept in the primary enclosure.
  A shaded area, other than the dog shelter, which is adequate to shade all dogs in the primary enclosure from direct sunlight during all sunlight hours, without crowding.
  A windbreak, other than the dog shelter, which is adequate to shelter all dogs in the primary enclosure from wind.
Dog shelter.
A dog shelter, provided for dogs kept in an outdoor primary enclosure, shall be all of the following:
  Made of a durable material, have 4 sides, a roof, and a flat solid floor.
  Be big enough to accommodate all dogs kept in the primary enclosure without crowding. The roof of the shelter shall be at least 12 inches higher than the standing height of the tallest dog that may use the shelter.
  Be constructed and maintained to do all of the following:
  Prevent injury to dogs that use it.
  Allow all dogs using it to retain or dissipate enough body heat for health and comfort.
  Allow all dogs using it to remain dry and clean.
  Give all dogs using it reasonable protection from predators.
Outdoor primary enclosure; construction.
An outdoor primary enclosure shall be constructed and maintained to prevent dogs from escaping from the enclosure. If any portion of the primary enclosure is covered by a roof or overhead screen, the roof or screen must be at least 12 inches higher than the standing height of the tallest dog in the primary enclosure.
Outdoor tethering; general.
A dog may not be tethered outdoors unless all of the following apply.
  The dog is of a breed for which tethering is considered reasonably appropriate.
  The dog can readily tolerate tethering, based on its age, health and physical condition.
  The tethered dog can easily enter and lie down in a dog shelter that complies with this rule (see above).
  The tethered dog is not a pregnant or nursing female.
  The tether cannot become entangled with any object.
  The tether has an anchor swivel.
  The tether is at least 6 feet long and of sufficient length for the size of the dog.
  The tether is attached to the dog by means of a non-tightening collar or harness of sufficient size for the dog.
Tethering prohibited at animal control facilities and animal shelters.
Tethering may not be used for any dog kept outdoors at an animal control facility or animal shelter.
Access to run or exercise area.
Each dog kept in an outdoor primary enclosure must have access, for at least 30 minutes each day, to a run or exercise area that meets all of the following requirements:
  It must be large enough for the dog's size and temperament (considering the number of dogs that may use the run or exercise area at any given time), and large enough so that the dog can achieve a running stride.
  It must include a shaded area large enough to shade all dogs using the run or exercise area. However, the run or exercise area need not include a shelter unless the run or exercise area also serves as a primary enclosure.
Outdoor facility maintenance.
Outdoor facilities must be maintained to protect the health and safety of dogs kept in those facilities. Maintenance must include all of the following:
  Excreta must be removed from outdoor primary enclosures at least daily.
  Pests and parasites must be controlled as necessary to maintain dog health and comfort.
  Dog bedding must be kept in a clean, dry condition.
Transporting dogs
A license holder (and the license holder's employees and agents) must comply with the following standards related to the transportation of dogs:
Portable enclosures.
A portable enclosure used to transport one or more dogs, including any enclosure that is placed on or forms part of a transport vehicle, must meet all of the following requirements:
  It must be constructed of water-resistant and cleanable material.
  It must be designed to keep all dogs within the enclosure clean and dry.
  It must be designed to protect the health and safety of all dogs in the enclosure.
  It must have ventilation openings to ensure the comfort and health of all dogs in the enclosure.
  It must be securely closed when in use.
  It must be cleaned and sanitized between occupancy by different dogs, and more often as necessary to keep it in a clean condition.
  When on a transport vehicle, it must be all of the following:
  Positioned so that each dog in the enclosure has access to sufficient air for normal breathing.
  Positioned so that the opening through which dogs enter and exit the enclosure is accessible at all times for emergency removal of dogs from the enclosure.
  Positioned so that all dogs in the enclosure are protected from the elements.
  Positioned or protected so that no dog in the enclosure is exposed to excreta falling from above.
  Secured as necessary to prevent reasonably foreseeable movement that may injure dogs.
Care of dogs during transport.
The following standards apply to dogs that are being transported:
  Each dog must at all times be protected from hypothermia and hyperthermia. Transportation vehicles must be heated or cooled, if necessary, to comply with this paragraph.
  Each dog must have sufficient space to turn, stand, and lie down.
  Each dog must be provided with food and water, according to standards in this rule.
  Dogs must be separated if incompatible (see grouping and separation standards above).
  Each dog shall be visually inspected every 4 hours.
  Each dog must be removed from the transport vehicle at least once every 12 hours, and be allowed to urinate, defecate and exercise.
  Each dog must be promptly removed from the transport vehicle when the vehicle reaches its destination.
Transport vehicles.
The following standards apply to a transport vehicle that is used to transport dogs:
  The vehicle must be equipped to provide fresh or filtered air, without injurious drafts, to all dogs that are transported in the vehicle.
  The dog cargo space must be constructed and maintained to minimize the ingress of exhaust from the vehicle's engine.
Prohibited conduct
No license holder may do any of the following, either directly or through an employee or agent:
  Prevent or interfere with a DATCP inspection under this chapter, or assault an inspector.
  Refuse or fail, without just cause, to produce evidence or records requested by DATCP.
  Misrepresent a dog's breed or pedigree, or move a diseased dog in violation of current law.
  Knowingly accept dogs from a person who is not properly licensed to supply those dogs (unless the person accepts the dogs to protect them, and promptly reports the acceptance to DATCP).
Variances
In response to a written request, DATCP may grant a written variance from an animal care standard under this rule if DATCP finds that the variance is reasonable and necessary under the circumstances and will not compromise the purpose served by the standard. A variance must be issued in writing, must include DATCP's findings, and must include the specific terms of the variance (including any time limit on the variance). A variance request must include information to show that the variance is justified.
Comparison with federal regulations
Currently, USDA licenses and inspects approximately 49 kennels in Wisconsin that are selling puppies wholesale. USDA establishes minimum facility standards for those licensed facilities.
Comparison with rules in adjacent states
Minnesota:
Minnesota has no comparable licensing program for dog sellers or dog facilities. Proposed legislation failed in the last session, but will likely be reintroduced in the next session.
Illinois:
Illinois licenses and regulates persons that have custody of more than 5 female dogs who breed dogs for sale. Illinois also licenses and regulates pet shops, dog dealers, kennel operators and catteries. Regulations establish minimum standards of care, record keeping requirements, and requirements for dog movement.
Michigan:
Michigan has no comparable licensing program for dog sellers or dog facilities.
Iowa:
Iowa licenses and regulates person that have custody of more than 3 breeding male or female dogs, including boarding kennels, breeders and dealers. Regulations establish minimum standards of care, record keeping requirements, and requirements for dog movement.
Data and analytical methodologies
DATCP consulted with an advisory committee comprised of individuals that will be licensed and regulated under this rule, and veterinarians. DATCP representatives also attended USDA presentations related to humane dog care standards.
Small Business Impact
This rule will affect persons who operate “animal control facilities," “animal shelters" or “dog breeding facilities" in this state, or who operate as “dog breeders," “dog dealers" or “out-of-state dog dealers" in this state. Under 2009 Wis. Act 90, these persons must be annually licensed and must pay annual license fees as provided in this rule (see above). This rule does not, by itself, increase license requirements or fees (beyond the licensing requirements and fees already created by Act 90).
This rule spells out licensing standards for persons who are required to be licensed under this rule, including standards for the care, transportation and sale of dogs. Many of the persons who are subject to licensing under this rule are already meeting the standards under this rule, but others will incur costs to bring their facilities and practices into compliance with this rule.
  Under Act 90 and this rule, whenever a license holder sells a dog in this state, the dog must be accompanied by a certificate of veterinary inspection (health certificate). The certificate must be issued by a Wisconsin certified veterinarian, on an official form provided by DATCP. The certificate forms cost only $0.60 each (an estimated $44,000 for sellers statewide), but there will be a significant cost for veterinarian services. This could have a significant financial impact on license holders, especially small dog breeders. However, this rule does not add any costs beyond those imposed by Act 90 itself.
  The facility requirements in this rule are, for the most part, rudimentary. However, some license holders may need to make significant facility upgrades in order to comply with the standards in this rule and ensure a humane level of care.
  This rule requires license holders to keep inventory, identification and health records related to dogs that they keep or sell. Many of the persons affected by this rule already keep such records, but others do not. This rule may impose additional recordkeeping costs on those who do not. Many of the recordkeeping requirements in this rule are also contained (in more general form) in Act 90, so this rule does not add significantly to the costs already imposed by Act 90.
  This rule may require some dog sellers to hire additional staff, or hire professional services (especially veterinarian services) to comply with this rule and provide a humane level of care to dogs under their custody or control.
This rule will benefit the dog care and sales industry by establishing basic standards of humane care and fair competition. This rule will also benefit dog buyers by providing greater assurance that dogs are healthy and well-adjusted, and have been humanely treated.
Many of the persons affected by this rule are “small businesses." This rule, like Act 90, exempts animal shelters that keep no more than 25 dogs per year. It also exempts dog breeders and dog dealers who sell no more than 25 dogs a year from no more than 3 litters. But neither Act 90 nor this rule make other significant exemptions for “small business," because many of the most serious animal health and humane problems addressed by Act 90 are found in “small business" settings.
The standards in this rule give affected businesses some flexibility and choices, consistent with the basic requirement of humane care. DATCP may issue licenses on a conditional basis, giving some license holders additional time to bring their operations into full compliance. DATCP may also grant variances for good cause, if the variance does not undermine the purpose of the standard from which the variance is granted.
Fiscal Estimate
This rule will not have a significant state or local fiscal impact. Section 173.41 (14), Stats., created by 2009 Wis. Act 90, requires DATCP to license and inspect “animal control facilities," “animal shelters," “dog breeders," “dog breeding facilities," “dog dealers" and “out of state dog breeders" that do business in this state. DATCP must inspect licensed facilities prior to licensing, and at least once every 2 years. Act 90 provided staff and funding for this licensing and inspection activity.
This rule will not create additional staffing requirements or program costs, beyond those entailed by Act 90 itself, nor will it change license fee revenues. Act 90 authorized DATCP to change initial statutory license fees by rule. However, this rule does not make any significant changes to the statutory fees.
Under Act 90 and this rule, whenever a license holder sells a dog in this state, the dog must be accompanied by a certificate of veterinary inspection (health certificate). The certificate must be issued by a Wisconsin certified veterinarian, on an official form provided by DATCP. Certified veterinarians may purchase the forms from DATCP at a cost of $0.60 each (the same as for certificates used under other animal health programs). DATCP estimates that certificate sales will generate $44,000 in program revenue each year. Act 90 contemplates that these revenues will be used to help fund this program.
Agency Contact Person
Melissa Mace
Phone: (608) 224-4883
Notice of Hearing
Commerce
Wis. Commercial Building Code, Chs. Comm 60 to 66
NOTICE IS HEREBY GIVEN that pursuant to ss. 101.02 and 145.02, Stats., the Department of Commerce will hold a public hearing on proposed rules under Chapters Comm 2, 5, 14, 20 and 61 to 66, relating to the design, construction, maintenance and inspection of public buildings and places of employment, including commercial buildings and structures and multifamily dwellings.
Hearing Information
The public hearing will be held as follows:
Date:   October 5, 2010
Time:   10:00 a.m.
Location:   Thompson Commerce Bldg.
  Conference Room 3B
  201 W. Washington Avenue
  Madison, Wisconsin
This hearing is held in an accessible facility. If you have special needs or circumstances that may make communication or accessibility difficult at the hearing, please call (608) 266-8741 or (608) 264-8777 (TTY) at least 10 days prior to the hearing date. Accommodations such as interpreters, English translators, or materials in audio tape format will, to the fullest extent possible, be made available upon a request from a person with a disability.
Submittal of Written Comments
Interested persons are invited to appear at the hearing and present comments on the proposed rules. Persons making oral presentations are requested to submit their comments in writing. Persons submitting comments will not receive individual responses. The hearing record on this proposed rulemaking will remain open until October 18, 2010, to permit submittal of written comments from persons who are unable to attend the hearing or who wish to supplement testimony offered at the hearing. Written comments should be submitted to Jim Smith, at the Department of Commerce, P.O. Box 2689, Madison, WI 53701-2689, or Email at jim.smith@wisconsin.gov.
Copies of Proposed Rules
The proposed rules and an analysis of the proposed rules are available on the Internet at the Safety and Buildings Division Web site at www.commerce.wi.gov/SB/. Paper copies may be obtained without cost from Jim Smith, at the Department of Commerce, P.O. Box 2689, Madison, WI 53701-2689, or Email at jim.smith@wisconsin.gov, or at telephone (608) 266-0251 or (608) 264-8777 (TTY). Copies will also be available at the public hearing.
Analysis Prepared by Department of Commerce
Statutes interpreted
Statutory authority
Related statute or rule
Chapter Comm 2, Fee Schedule
Chapter Comm 5, Licenses, Certifications and Registrations
Chapter Comm 14, Fire Prevention
Chapter Comm 16, Electrical
Chapter Comm 18, Elevators, Escalators and Life Devices
Chapter Comm 20, Uniform Dwelling Code
Chapter Comm 41, Boilers and Pressure Vessels
Chapter Comm 45, Mechanical Refrigeration
Chapter Comm 82, Uniform Plumbing Code
Explanation of agency authority
Under the statutes cited, the Department of Commerce protects public health, safety, and welfare by promulgating comprehensive requirements for design, construction, maintenance and inspection of public buildings and places of employment, including commercial buildings and structures and multifamily dwellings. The department also updates these requirements as necessary to be consistent with nationally recognized standards that are incorporated by reference into the Wisconsin Commercial Building Code (WCBC), specifically, the building code requirements developed by the International Code Council® (ICC).
Summary of proposed rules
Currently, the department adopts by reference the 2006 editions of the ICC suite of building codes – the International Building Code® (IBC), the International Energy Conservation Code® (IECC), International Existing Buildings Code® (IEBC), the International Fuel Gas Code® (IFGC) and the International Mechanical Code® (IMC) – and makes Wisconsin modifications to these codes within the WCBC. The department proposes to adopt the 2009 editions of these ICC codes.
Significant changes from the 2006 to the 2009 editions of the ICC codes include:
  Defining and clarifying live/work unit provisions; IBC section 419.
  Adding provisions for Ambulatory Health Care Facilities; IBC section 422.
  Adding storm shelter provisions and references to ICC 500; IBC section 423.
  Requiring new locking provisions for egress doors serving certain types of occupancies; IBC sections 1008.1.9.6, 1008.1.9.8 and 1008.1.9.9.
  Clarifying accessibility provisions for live/work units are to be evaluated separately; IBC section 1103.2.13.
  Requiring at least lavatory with enhanced reach ranges in toilet rooms having 6 or more lavatories for accessibility purposes; IBC section 1109.2.3.
  Providing specific provisions on tightness of buildings (air barriers); IECC section 402.4.2.
  Requiring shutoff controls for snow/ice-melting systems serving residential occupancies; IECC section 403.8.
  Specifying the heating of outside spaces to be radiant type and provided with efficiency controls; IECC section 503.2.11.
  Revising the mechanical ventilation table to provide more detailed occupancy classifications that reflect ASHRAE standard 62 – Ventilation for Acceptable Indoor Air Quality; IMC table 403.3.
  Requiring that make-up air to be provided for domestic kitchen exhaust hoods with capacities of greater than 400 cfm be tied in to operation of hood; IMC section 505.2.
  Eliminating details on combustion air from within the IMC by deferring to NFPA standard 31 for oil-fired appliances and the manufacturers' recommendations for solid-fuel-fired appliances.
  Expanding the provisions for the piping of hydronic heating systems to reflect newer materials and standards; IMC chapter 12.
  Requiring thermal insulation below radiant floor heating systems; IMC sections 1209.5 to 1209.5.4.
  Establishing bonding/grounding provisions specific to corrugated stainless steel gas tubing (CSST); IFGC section 310.1.1.
  Prohibiting gas piping from entering/exiting a building below grade; IFGC section 404.4.
  Requiring LP-Gas piping to be electrically isolated (dielectric fitting) where the underground piping comes above ground to enter the building; IFGC section 404.8.
  Requiring gas clothes dryer exhaust ducts to be protected from penetration by nails/screws; IFGC section 614.6.3.
  Specifying minimum vertical clearances between gas cooktops and materials or cabinets above; IFGC section 623.7.
  Adding provisions associated with the use of used materials and equipment; IEBC section 104.9.1.
  Clarifying that when undergoing a partial change of occupancy, accessibility will be driven by the alteration provisos found in ss. 605 or 706. ; IEBC section 912.8.1.
Many of the current Wisconsin modifications under the WCBC are proposed to be repealed because of changes in the 2009 editions of the ICC codes. Minor amendments, including renumbering, are being made to several Wisconsin modifications to reflect changes in the 2009 IBC codes.
The proposed rules include creating some general global modifications that replace various current individual deletions of unnecessary ICC requirements, such as requirements that address (1) designing one- and two- family dwellings; (2) employing special inspectors or obtaining special inspections; (3) obtaining a mandated approval from a local building or fire code official; and (4) building in flood-hazard areas. Other proposed Wisconsin modifications include:
  Modifying the provisions for firewalls or division walls separating townhouses for the purpose of allowing sprinkler protection in accordance with NFPA standard 13D; s. Comm 62.0903 (5).
  Extending an automatic sprinkler exemption for small R-2 multifamily dwellings to other small residential buildings, such as cabins at summer camps; s. Comm 62.0903 (5) (d).
  Revising the sprinkling requirements for townhouses with less than 20 units to reflect the changes in the latest edition of the International Residential Code®; s. Comm 62.0903 (5) (d).
  Eliminating the required international symbol accessibility signage for assigned parking serving a residential apartment building; s. Comm 62.1103.
  Extending the modified uniform live loads for attics in townhouses to attics in all residential occupancies; s. Comm 62.1607.
  Codifying additional criteria for ground improvement methods relating to foundations and floor slabs, such as for Geopier® systems; s. Comm 62.1804.
  Reducing presumptive load-bearing values by ½ for saturated soils; s. Comm 62.1806.
  Alerting building owners or occupants to the heating assumption for frost-protected shallow foundations; s. Comm 62.1809.
  Requiring an elevator car that accommodates an ambulance stretcher for fire department emergency access in defined buildings; s. Comm 62.3002.
  Exempting the need for econonmizers for package RTU's 33,000 BTU/hr and larger; s. Comm 63.0503.
  Clarifying the exemption of an economizer for a closed circuit cooling tower heat pump system, s. Comm 63.0503.
  Providing alternative mechanical ventilation table and provisions, Comm Table 64.0403.
  Clarifying maintenance requirements for smoke alarms; s. Comm 66.0503.
Comparison with federal regulations
General Building Code
  Code of Federal Regulations — An Internet-based search for “federal commercial building code" and “building code regulations" in the Code of Federal Regulations (CFR) did not identify any federal regulations pertaining to these topics.
  Federal Register — An Internet-based search for “federal commercial building code" and “building code regulations" in the 2005 to 2010 issues of the Federal Register did not identify any proposed federal regulations pertaining to these topics.
Energy Conservation Requirements
  Code of Federal Regulations — The portion of the CFR relating to energy conservation for commercial buildings and facilities is found under 10 CFR 420–State Energy Program. The purpose of this regulation is to promote the conservation of energy, to reduce the rate of growth of energy demand and to reduce dependence on imported oil through the development and implementation of comprehensive state energy programs. This regulation initially required that each state's energy conservation rules for new buildings be no less stringent than the provisions of the 1989 edition of ASHRAE Standard 90.1, Energy Standard for Buildings Except Low-Rise Residential Buildings.
  Federal Register — According to the January 23, 2009, Federal Register, the Department of Energy (DOE) is determining if ANSI/ASHRAE/IESNA Standard 90.1–2007 would save energy in commercial buildings. DOE is doing a comparative analysis of the 2007 edition of that standard to the 2004 edition. The 2009 edition of the IECC energy conservation requirements for commercial buildings, which the proposed rules would adopt by reference, reflect the 2007 edition of the ASHRAE 90.1 Standard.
Accessibility Requirements
  Code of Federal Regulations — The portions of the CFR relating to accessibility in commercial buildings and facilities include the following:
1.   28 CFR 35 — Nondiscrimination on the Basis of Disability in State and Local Government Services.
2.   28 CFR 36 — Nondiscrimination on the Basis of Disability by Public Accommodations and in Commercial Facilities.
3.   24 CFR 40 — Accessibility standards for design, construction, and alteration of publicly owned residential structures.
4.   24 CFR 41 — Policies and procedures for the enforcement of standards and requirements for accessibility by the physically handicapped.
  Both 28 CFR 35 and 28 CFR 36 require public buildings and commercial facilities — including government- owned and -operated buildings and facilities — be designed, constructed and altered in compliance with the accessibility construction regulations specified under the federal Americans with Disabilities Act Accessibility Guidelines (ADAAG). The purpose of 24 CFR 40 and 24 CFR 41 is to provide technical guidance on the design and construction of dwelling units as required by the federal Fair Housing Amendments Act of 1988.
  The intent of the IBC and the amendments included under chapter Comm 62 is to ensure the Wisconsin construction requirements related to accessibility are equivalent to these applicable federal laws and regulations.
  Federal Register — Proposed federal regulations and amendments to established federal regulations for accessibility are found in the following issues of the Federal Register:
1.   October 24, 2008 — Design and Construction Requirements; Compliance with ANSI A117.1 (2003) Standards.
2.   August 5, 2005 — ADAAG; Corrections.
3.   December 7, 2009 — Nondiscrimination on the Basis of Disability in Public Accommodations and Commercial Facilities.
4.   March 23, 2007 — ADAAG Supplementary Material.
5.   November 23, 2005 — ADAAG Public Rights-of-Way.
6.   April 17, 2006 — Multifamily Building Conformance with the Fair Housing Accessibility Guidelines: Improving the Methodology.
The ICC is actively monitoring the proposed changes to the federal standards affecting accessibility and will include these changes in future editions of the IBC and the corresponding ICC/ANSI A117.1–Accessible and Usable Buildings and Facilities Standard.
Comparison with rules in adjacent states
An Internet-based search of the four adjacent states found the following regulations that include similar requirements relating to public buildings and places of employment:
Illinois:
Illinois does not administer a statewide building code.
Iowa:
The Iowa Department of Public Safety administers the Iowa State Building Code. Effective January 1, 2010, the department adopted the 2009 editions of the IBC, IMC, IEBC and IECC with Iowa amendments.
Michigan:
The Michigan Department of Labor and Economic Growth administers the Michigan construction codes, which adopt by reference the 2006 editions of the IBC, IMC and IEBC with amendments. The 2009 Michigan Building, Residential, and Rehabilitation Code for Existing Buildings review process is in progress.
Minnesota:
The Minnesota Department of Labor and Industry administers the Minnesota State Building Code, which adopted the 2006 editions of the IBC, IFGC and IMC.
Summary of factual data and analytical methodologies
The primary methodology for updating the Wisconsin Commercial Building Code, chapters Comm 61 to 66, has been a review and assessment of the latest editions of the national model codes that serve as the basis for the Wisconsin code. The department's review and assessment process involved the participation and support of 10 advisory councils. The members of the councils represent many stakeholders involved in the building industry, including designers, contractors, developers, regulators, labor, the fire service and the public. (A listing of the councils and the current members is provided at the end of this analysis.)
The department believes that the national model codes reflect current societal values with respect to protecting public health, safety and welfare in the design, construction, use, operation and maintenance of commercial buildings that serve as public buildings and places of employment. The model code organization – International Code Council, ICC – uses a process open to all parties to develop its codes. More information, including background information in the development of the 2009 model code editions, may be found at the ICC web site, http://www.iccsafe.org.
The review and assessment process for the Commercial Building Code involved an examination of the revisions in the 2009 editions of the IBC, IECC, IMC, IFGC and IEBC. The assessment included the evaluation of the current rules under chapters Comm 61 to 66 that modified these ICC codes. Working with the 10 advisory councils, the department determines if the various technical requirements in the 2009 model codes are reasonable for addressing potential risks or concerns and promoting the public health, safety and welfare. Such determinations are made based upon experience, forecasts, intuition or projection.
Analysis and supporting documents used to determine effect on small business
The department used 10 advisory code councils to analyze and develop the proposed revisions to the Commercial Building Code. The councils involve a variety of organizations whose memberships include many types of small businesses. The department uses these councils to gather information on potential impacts in complying with the technical and administrative requirements of the codes. Council members are responsible for bringing forth the concerns that their respective organizations may have with the requirements including economic impacts. (Copies of the council meetings summaries are available on the Safety and Building Division web site, http://www.commerce. state.wi.us/SB/SB-CodeCouncilsComBldgSum.html.)
The department also offers an e-mail subscription service to anyone who is interested in rule development and/or council activities. The service provides e-mail notification of council meetings, meeting agendas and council meeting progress reports. Currently, there are about 2,000 subscriptions for information pertaining to the commercial building program.
The department believes the rules will not increase the effect on small businesses from what the current rules impose on them. An economic impact report is not required pursuant to section 227.137, Stats.
Small Business Impact
Summary
The requirements of the Commercial Building Code impact all businesses, regardless of size, that use public buildings and places of employment in Wisconsin. The codes impact a variety of businesses, including small businesses, particularly those businesses that design, build, or maintain commercial buildings; provide or produce building materials or components; own commercial buildings; or occupy commercial buildings. It is indeterminable how many small businesses may be impacted by the rules in some manner.
The potential effects of the codes occur on two basic levels, administrative and technical. The codes dictate certain administrative procedural requirements that are to be followed to acquire various approvals. For the most part, the codes establish numerous technical standards that are to be adhered to when designing, constructing, using, operating or maintaining a commercial building to protect public health, safety and welfare.
The proposed rule revisions do not substantially modify the current administrative requirements of the Commercial Building Code. Therefore, this type of impact on small businesses will not substantially change.
How the code's technical standards may impact small businesses is dependent upon many variables. The proposed revisions for the Commercial Building Code do not apply retroactively to existing buildings. The proposed revisions would apply when a new building or modification to an existing building is proposed. The various advisory councils did not identify major economic concerns for updating the Commercial Building Code to the latest ICC codes as amended in this proposal.
Regarding s. 227.115, Stats., the department believes the proposed rule changes for the Commercial Building Code will not directly or substantially affect the development, construction, cost or availability of housing.
Initial regulatory flexibility analysis
Types of small businesses that will be affected by the rules.
The proposed rules will affect any business involved with the ownership, design, construction, maintenance and inspection of public buildings, including multifamily dwellings, and places of employment.
Reporting, bookkeeping and other procedures required for compliance with the rules.
There are no additional reporting, bookkeeping or other procedures required for compliance with the rules.
Types of professional skills necessary for compliance with the rules.
There are no additional professional skills necessary for compliance with the rules.
Rules have a significant economic impact on small businesses?
No.
Small business regulatory coordinator
The small business regulatory coordinator for the Department of Commerce is Carol Dunn, who may be contacted at telephone (608) 267-0297, or Email at carol.dunn@wisconsin.gov.
Environmental Impact
The Department has prepared a preliminary Environmental Assessment (EA) on the proposed rules. The preliminary recommendation is a finding of no significant impact. Copies of the preliminary EA are available from the Department on request and will be available at the public hearings. Requests for the EA and comments on the EA should be directed to:
Department of Commerce
P.O. Box 2689
Madison, Wisconsin 53701
Phone: (608) 266-8741 or TTY (608) 264-8777
Written comments will be accepted until October 18, 2010.
Fiscal Estimate
Assumptions used in arriving at fiscal estimate
The proposed rules adopt by reference the 2009 editions of the International Code Council® (ICC) suite of building codes – the International Building Code® (IBC), the International Energy Conservation Code® (IECC), International Existing Buildings Code® (IEBC), the International Fuel Gas Code® (IFGC) and the International Mechanical Code® (IMC) — and makes Wisconsin modifications to these codes within the Wisconsin Commercial Building Code (WCBC). The promulgation of these rules will affect businesses involved in the design, construction, maintenance and inspection of public buildings and places of employment, including commercial buildings and structures and multifamily dwellings.
The proposed rules require plan review for buildings >25,000 sq. ft and < 50,000 sq. ft. This will impact about 170 projects annually, and will result in an estimated annual revenue increase of $78,500. Currently, these projects pay $25 for a building project registration and $25 for the registration of building components. Under the proposed rules change, individual projects will pay a building plan review fee of $400 to $450, including an $100 plan entry fee, and in some cases, an additional fee for component plan review such as $180 to $200 for HVAC plan review and $60 to $100 for fire system plan review.
By expanding the types of occupancies for plan review of fire protection systems, the department estimates that annual submittals will increase by 629 plans. Fees for fire protection systems plans ran from $30 to $7,100 and vary depending on the size of the structure and if the structure is located in a municipality that is delegated to conduct fire protection system inspection. That department estimates that it would realize about $193,600 in revenue annually.
The department anticipates that the workload associated with requiring plan review for buildings >25,000 sq. ft. and <50,000 sq. ft and the expanded plan review of fire protection systems can be managed with current information technology and within current staff levels.
State fiscal effect
Increase existing revenues.
Local government fiscal effect
None.
Fund sources affected
FED.
Long-range fiscal implications
None are anticipated.
Agency Contact
Jim Smith, Program Manager
Phone: (608) 266-0251
Notice of Hearing
Regulation and Licensing
NOTICE IS HEREBY GIVEN that pursuant to authority vested in the Department of Regulation and Licensing in ss. 227.11 (2), 440.03 (1), 440.03 (1m), 444.01, 444.02, 444.03, 444.04, 444.035, 444.06, 444.09, 444.095, 444.10, 444.11, 444.12, 444.13, 444.14, 444.15 and 444.18, Stats., the Department of Regulation and Licensing will hold a public hearing at the time and place indicated below to consider an emergency rule and a proposed rule to revise Chapters RL 112 to 116, relating to the regulation of professional boxing contests.
Hearing Information
Date:   September 20, 2010
Time:   9:30 a.m.
Location:   1400 East Washington Avenue
  (Enter at 55 North Dickinson Street)
  Room 121A
  Madison, Wisconsin
Appearance at Hearing and Submittal of Written Comments
Interested persons are invited to present information at the hearing. Persons appearing may make an oral presentation but are urged to submit facts, opinions and argument in writing as well. Facts, opinions and argument may also be submitted in writing without a personal appearance by mail addressed to Shawn Leatherwood, Department of Regulation and Licensing, Division of Board Services, 1400 E. Washington Ave., Room 152, P.O. Box 8935, Madison, WI 53708-8935, or by email to shawn.leatherwood@ wisconsin.gov.. Written comments must be received by September 27, 2010, to be included in the record of rule-making proceedings.
Copies of Proposed Rule
Copies of this proposed rule are available upon request to Shawn Leatherwood, Department of Regulation and Licensing, Division of Board Services, 1400 East Washington Avenue, P.O. Box 8935, Madison, WI 53708, or by email at shawn.leatherwood@wisconsin.gov.
Analysis Prepared by the Department of Regulation and Licensing
Statutes interpreted
Ch. 444, Stats., and 2009 Wisconsin Act 111.
Statutory authority
Explanation of agency authority
The Department of Regulation and Licensing is granted authority under s. 444.02 (1), Stats., and 2009 Wisconsin Act 111, to manage and control professional boxing contests in Wisconsin.
Related statute or rule
There are no other statutes or rules other than those listed above.
Plain language analysis
This proposed rule-making order makes changes to chs. RL 110 to 116, relating to the regulation of boxing. The proposed rules contain definitions, application and permit requirements, officials' duties at events, medical requirements, grounds for disciplinary action, and mandatory drug testing.
SECTION 1 repeals and recreates the following provisions:
Definitions for the terms “anabolic steroid," “bout," “boxer," “cause," “contest," “knock-out," “permit," “professional," “professional club," “second," “technical knock-out," “10-point must scoring system." Bond requirements for promoters and clubs. Compliance with federal law by promoters and clubs. Application requirements for initial registrations for promoters, clubs, managers, matchmakers, judges, referees, trainers, timekeepers.
SECTION 2 creates the following provisions:
Application requirements for seconds. Requirements for renewal of registration for promoters, clubs, managers, matchmakers, judges, referees, trainers, timekeepers, ringside physicians, and seconds. Application requirements for permits to conduct boxing events. Effect of permits to conduct boxing events once issued. Grounds for canceling a professional boxing event.
SECTION 3 repeals and recreates the following provisions:
Duties of promoters and clubs that have been issued a permit to conduct a professional boxing event. Duties of inspectors, judges, referees, ringside physicians and timekeepers assigned by the department to conduct professional boxing events. Pay schedule for officials assigned to conduct professional boxing events.
SECTION 4 amends the following provision: The title of Ch. RL 112.
SECTION 5 repeals s. RL 112.005.
SECTION 6 amends s. RL 112.01 (intro).
SECTION 7 amends s. RL 112.03 (1).
SECTION 8 repeals and creates s. RL 112.04, relating to handwraps.
SECTION 9 amends s. RL 112.08 (2).
SECTION 10 amends the title of Ch. RL 113.
SECTION 11 repeals s. RL 113.005.
SECTION 12 amends s. RL 113.01 (1) by striking the term show and adding the term event.
SECTION 13 amends and renumbers RL 113.02 (1).
SECTION 14 creates the following provision: Health examinations required for boxers.
SECTION 15 amends the following provisions: Requirements for boxers that have been knocked-out. Requirements for female boxers to submit to pregnancy testing.
SECTION 16 repeals and recreates the following provision: Weight limitations and weight classes.
SECTION 17 is repeals s. RL 114.005.
SECTION 18 amends s. RL 114.09.
SECTION 19 creates the following provisions: Sports drinks at ringside during contests, and Persons required at ringside before a professional boxing contest begins.
SECTION 20 repeals s. RL 115.005.
SECTION 21 amends and renumbers s. RL 115.02 (1) (a).
SECTION 22 creates the following provision: Health examinations required for boxers.
SECTION 23 repeals s. RL 116.005.
SECTION 24 amends the following provision: Grounds for discipline of promoters and clubs
SECTION 25 creates the following provision: Additional grounds for discipline of promoters and clubs.
SECTION 26 amends the following provision: Grounds for discipline of professional boxers.
SECTION 27 creates the following provision: Additional grounds for discipline of professional boxers.
SECTION 28 amends s. RL 116.02 (4).
SECTION 29 creates the following provisions: Grounds for medical suspensions and mandatory rest periods, and Grounds for mandatory drug testing.
Comparison with federal regulations
The federal law regulating boxing is Title 15 US Code Chapter 89 Professional Boxing safety § 6301- §6313. It's relationship to state law is stated in §6313, “nothing in this Act [15 USCS §§ 6301 et seq.] shall prohibit a State from adopting or enforcing supplemental or more stringent laws or regulations not inconsistent with this Act [15 USCS §§ 6301 et seq.], or criminal, civil, or administrative fines for violations of such laws or regulations." The proposed amendments to the current boxing rules are consistent with this regulation.
Comparison with rules in adjacent states
Illinois:
Boxing is regulated in Illinois via, the Professional Boxing Act 225 ILCS 105 and through the Illinois Code of Regulation. The statute and regulations specify the manner in which boxing contests will be conducted. 225 ILCS 105/0.05 Professional Boxing Act 225 ILCS 105/ Professional Boxing Act. Illinois Code of Regulation Title 68 Pt. 1371 §1371.300 — §1371.380 PART 1371 PROFESSIONAL BOXING AND MARTIAL ARTS CONTESTS: Sections Listing
Iowa:
Chapter 90A, Code of Iowa regulate boxing and wrestling and empowers the commissioner to adopt rules necessary to enforce the code.
http://coolice.legis.state.ia.us/Cool-ICE/default.asp?category=billinfo&service=IowaCode&ga=83
The Iowa Administrative Code, 875 IAC 173.1 (90A) – 173.54(90A), regulates professional boxing contests some of the areas of regulation are drug testing, public safety, and blood-borne disease testing of contestants.
Michigan:
The Michigan Unarmed Combat Regulatory Act regulates boxing in Michigan, placing it under the regulatory control of the Department of Energy, Labor and Economic Growth, Director's Office. The administrative rules, MICH.ADMIN CODE R339.101 — R339.403 govern the manner in which boxing and mixed martial arts events are conducted. http://www.legislature.mi.gov/(S(itxqmlmbkf04w3325ny3cw45))/documents/mcl/pdf/mcl-Act-403-of-2004.pdf and SOAHR Admincode
Minnesota:
Boxing is regulated in Minnesota via MN Statutes §341.21341.37, under the authority of the Combative Sports Commission. The Commission administers the Combative Sports regulations found in Minn. Reg. §2201.0020-§2201.0500. The regulations specify the manner in which boxing contests will be conducted.
https://www.revisor.mn.gov/data/revisor/rule/current/2201/2201.pdf
Summary of factual data and analytical methodologies
The Boxing Commissioner recognized the need to review the current boxing regulations in light of the passage of 2009 Wisconsin Act 111 and its impact on chapter 444, Stats. The new legislation made significant changes to the manner in which boxing contests are conducted and added the regulation of mixed martial arts. Along with the new legislation, provisions in force in other states were consulted as examples of consistency in regulating boxing and mixed martial arts. Some of those provisions were incorporated into the working draft, resulting in more standardized regulation of boxing and mixed martial arts specific to Wisconsin.
Analysis and supporting documents used to determine effect on small business
There will be an effect on small businesses that promote professional boxing contests in Wisconsin. Prior to the passing of 2009 Wisconsin Act 111, boxing promoters were not required to pay certain fees or meet certain financial obligations such as a gate tax fee, posting of a bond, and payments for additional inspectors. These additional financial obligations could increase costs for promoters. However, the additional costs are necessary to ensure safety in conducting professional boxing events. Moreover, the targeted fees are compatible with other states that regulate the sport.
Section 227.137, Stats., requires an “agency" to prepare an economic impact report before submitting the proposed rule-making order to the Wisconsin Legislative Council. The Department of Regulation and Licensing is not included as an “agency" in this section.
Anticipated costs incurred by private sector
The department finds that this rule will have an impact on the private sector as indicated above.
Small Business Impact
These proposed rules were reviewed by the department's Small Business Review Advisory Committee to determine if the rules will have a significant economic impact on a substantial number of small businesses, as defined in s. 227.114 (1), Stats. The rules may have some impact as described above in the “Analysis and supporting documents used to determine the effect on small business" section.
The Department's Regulatory Review Coordinator may be contacted by email at hector.colon@wisconsin.gov, or by calling 608-266-8608.
Fiscal Estimate
The department will have a one-time cost of $3,440 which will come from IT programming, form development and website updates. The anticipated total ongoing costs are $245,440 (includes both boxing and mixed martial arts), which will consist of staff time for licensing activities and attending events.
Agency Contact Person
Shawn Leatherwood
Dept. of Regulation and Licensing
Division of Board Services
1400 East Washington Avenue, Room 152
P.O. Box 8935, Madison, WI 53708
Phone: 608-261-4438
Notice of Hearing
Regulation and Licensing
NOTICE IS HEREBY GIVEN that pursuant to authority vested in the Department of Regulation and Licensing in ss. 227.11 (2), 440.03 (1), 440.03 (1m), 444.01, 444.02, 444.03, 444.035, 444.06, 444.095, 444.11, 444.12, 444.13, 444.14, 444.15 and 444.18, Stats., the Department of Regulation and Licensing will hold a public hearing at the time and place indicated below to consider an emergency rule and a proposed rule to create Chapters RL 192 to 196, relating to the regulation of mixed martial arts sporting events.
Hearing Information
Date:   September 20, 2010
Time:   9:30 a.m.
Location:   1400 East Washington Avenue
  (Enter at 55 North Dickinson Street)
  Room 121A
  Madison, Wisconsin
Appearance at Hearing and Submittal of Written Comments
Interested persons are invited to present information at the hearing. Persons appearing may make an oral presentation but are urged to submit facts, opinions and argument in writing as well. Facts, opinions and argument may also be submitted in writing without a personal appearance by mail addressed to Shawn Leatherwood, Department of Regulation and Licensing, Division of Board Services, 1400 E. Washington Ave., Room 152, P.O. Box 8935, Madison, WI 53708-8935, or by email shawn leatherwood@wisconsin.gov. Written comments must be received by September 27, 2010, to be included in the record of rule-making proceedings.
Copies of Proposed Rule
Copies of this proposed rule are available upon request to Shawn Leatherwood, Department of Regulation and Licensing, Division of Board Services, 1400 East Washington Avenue, P.O. Box 8935, Madison, WI 53708, or by email at shawn.leatherwood@wisconsin.gov.
Analysis Prepared by the Department of Regulation and Licensing
Statutes interpreted
Statutory authority
Explanation of agency authority
The Department of Regulation and Licensing has the authority under 2009 Wisconsin Act 111 to promulgate rules to implement the requirements under ch. 444, Stats., relating to the regulation of mixed martial arts sporting events.
Related statute or rule
There are no other statutes or rules other than those listed above.
Plain language analysis
This proposed rule-making order creates chs. RL 192 to 196 relating to the regulation of mixed martial arts sporting events. The proposed rules contain definitions, application and permit requirements, officials' duties at events, conducting sporting events, fouls, equipment, medical requirements, grounds for disciplinary action, and mandatory drug testing.
Comparison with federal regulations
None.
Comparison with rules in adjacent states
Illinois:
Statutes and rules for conducting mixed martial arts sporting events are found in the Illinois Professional Boxing Act 225 ILCS 105 and the Illinois Administrative Code Title 68 Chapter VII Subchapter b Part 1371.
(see: http://www.ilga.gov/legislation/ilcs/ilcs3.asp?
ActID=1322&ChapAct=225%26nbsp%3BILCS%26nbsp%3B105%2F&ChapterID=24&ChapterName=PROFESSIONS+AND+OCCUPATIONS&ActName=Professional+Boxing+Act%2E
)
(see: http://www.ilga.gov/commission/jcar/admincode/ 068/06801371sections.html )
Iowa:
Iowa does not require licensure for conducting mixed martial arts sporting events.
Michigan:
Statutes and rules for conducting mixed martial arts sporting events are found in the Michigan Unarmed Combat Regulatory Act 2004 PA 403, MCL 338.3601 to MCL 338.3633 and the Michigan Administrative Code R339.101 - R339.403.
(see: http://www.legislature.mi.gov/(S(1zvgaeyksa1fhy
45kmq4mour))/mileg.aspx?page=ChapterIndex
)
(see: http://www.state.mi.us/orr/emi/admincode.asp?
AdminCode=Single&Admin_Num=33900101&Dpt=LG&RngHigh
= )
Licensure must be sought through the Department of Labor and Economic Growth, Bureau of Commercial Services. The Unarmed Combat Commission assists the Director of the Department of Labor and Economic Growth in regulating the sport.
Minnesota:
Statutes and rules for conducting mixed martial arts sporting events are found in the Minnesota Statutes §341.21341.37 and the Minnesota Register at Minn. Reg. §.2202.0010-§2202.1200.
Licensure must be sought via the Combative Sports Commission, which regulates the manner in which mixed martial arts contests will be conducted.
Summary of factual data and analytical methodologies
A department-approved advisory panel met several times in 2010 to draft these proposed rules. The advisory panel was comprised of Mixed Martial Arts combatants, judges, fight officials and promoters, and a physician familiar with the injuries incurred in mixed martial arts contests. Several department staff persons, including the State Boxing Commissioner, provided support and expertise to the advisory panel. In addition to the advisory panel's discussions, which formed the basis for the public safety protections, the regulations of several other states were reviewed. Provisions in force in some states were imported into the working draft, resulting in a set of standards that incorporates the most effective rules from other jurisdictions to rules that are unique to the regulation of mixed martial arts in Wisconsin.
Analysis and supporting documents used to determine effect on small business
There will be an effect on small businesses that promote mixed martial arts events in Wisconsin because previous to the legislation that was passed to regulate the sport, promoters did not need to meet certain requirements or pay certain fees that they will be required to pay now that the sport is regulated. Some of those fees and/or financial obligations that were outlined in 2009 Wisconsin Act 111 include: licensing fee, event fee, gate tax fee, bond requirements, and payment for inspectors, officials, etc. Payment for inspectors and officials was something that promoters paid for prior to the legislation being passed; however, we may require them to have more officials than they previously had which could increase their cost. The costs associated with regulating the sport are necessary to ensure the safety of the sport. Our fees are also in line with other states that conduct mixed martial arts events.
Section 227.137, Stats., requires an “agency" to prepare an economic impact report before submitting the proposed rule-making order to the Wisconsin Legislative Council. The Department of Regulation and Licensing is not included as an “agency" in this section.
Anticipated costs incurred by private sector
The department finds that this rule will have an impact on the private sector as indicated above. It is important to note that mixed martial arts events bring in significant revenue to cities that conduct these events. The Ultimate Fighting Championship brand brings in millions of dollars in revenue when they come to a given state to conduct one of their events. The revenue comes from the patronization of hotels, restaurants, retail and other businesses.
Small Business Impact
These proposed rules were reviewed by the department's Small Business Review Advisory Committee to determine if the rules will have a significant economic impact on a substantial number of small businesses, as defined in s. 227.114 (1), Stats. The rule may have some impact as described above in the “Analysis and supporting documents used to determine effect on small business" section.
The Department's Regulatory Review Coordinator may be contacted by email at hector.colon@wisconsin.gov, or by calling 608-266-8608.
Fiscal Estimate
The department will have a one-time cost of $3,440 which will come from IT programming, form development and website updates. The department will have total on-going costs of $245,440 (includes both mixed martial arts and boxing), which will consist of staff time for licensing activities and attending events.
Agency Contact Person
Shawn Leatherwood
Dept. of Regulation and Licensing
Division of Board Services
1400 East Washington Avenue, Room 152
P.O. Box 8935, Madison, WI 53708
Phone: 608-261-4438
Links to Admin. Code and Statutes in this Register are to current versions, which may not be the version that was referred to in the original published document.