[Title 50 CFR ]
[Code of Federal Regulations (annual edition) - October 1, 2006 Edition]
[From the U.S. Government Printing Office]
[[Page i]]
50
Parts 600 to 659
Revised as of October 1, 2006
Wildlife and Fisheries
________________________
Containing a codification of documents of general
applicability and future effect
As of October 1, 2006
With Ancillaries
Published by
Office of the Federal Register
National Archives and Records
Administration
A Special Edition of the Federal Register
[[Page ii]]
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[[Page iii]]
As of October 1, 2006
Title 50, Part 600-End
Revised as of October 1, 2005
Is Replaced by
Title 50, Parts 600-659
and
Part 660-End
[[Page v]]
Table of Contents
Page
Explanation................................................. v
Title 50:
Chapter VI--Fishery Conservation and Management,
National Oceanic and Atmospheric Administration,
Department of Commerce 3
Finding Aids:
Material Approved for Incorporation by Reference........ 631
Table of CFR Titles and Chapters........................ 633
Alphabetical List of Agencies Appearing in the CFR...... 651
List of CFR Sections Affected........................... 661
[[Page vi]]
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Cite this Code: CFR
To cite the regulations in
this volume use title,
part and section number.
Thus, 50 CFR 600.5 refers
to title 50, part 600,
section 5.
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[[Page vii]]
EXPLANATION
The Code of Federal Regulations is a codification of the general and
permanent rules published in the Federal Register by the Executive
departments and agencies of the Federal Government. The Code is divided
into 50 titles which represent broad areas subject to Federal
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name of the issuing agency. Each chapter is further subdivided into
parts covering specific regulatory areas.
Each volume of the Code is revised at least once each calendar year
and issued on a quarterly basis approximately as follows:
Title 1 through Title 16.................................as of January 1
Title 17 through Title 27..................................as of April 1
Title 28 through Title 41...................................as of July 1
Title 42 through Title 50................................as of October 1
The appropriate revision date is printed on the cover of each
volume.
LEGAL STATUS
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HOW TO USE THE CODE OF FEDERAL REGULATIONS
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The Paperwork Reduction Act of 1980 (Pub. L. 96-511) requires
Federal agencies to display an OMB control number with their information
collection request.
[[Page viii]]
Many agencies have begun publishing numerous OMB control numbers as
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OBSOLETE PROVISIONS
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the revision dates of the 50 CFR titles.
[[Page ix]]
REPUBLICATION OF MATERIAL
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Raymond A. Mosley,
Director,
Office of the Federal Register.
October 1, 2006.
[[Page xi]]
THIS TITLE
Title 50--Fish and Wildlife is composed of nine volumes. The parts
in these volumes are arranged in the following order: Parts 1-16; part
17 (17.1 to 17.95(b)), part 17 (17.95(c) to End), part 17 (17.96 to
17.99(h)), part 17 (17.99(i) to End and 17.100 to End), parts 18-199,
parts 200-599, parts 600-659 and part 660 to End. The first six volumes
(parts 1-16, part 17 (17.1 to 17.95(b)), part 17 (17.95(c) to End), part
17 (17.96 to 17.99(h)), part 17 (part 17.99(i) to End and 17.100 to
End), and parts 18-199) contain the current regulations issued under
chapter I--United States Fish and Wildlife Service, Department of the
Interior. The seventh volume (parts 200-599) contains the current
regulations issued under chapter II--National Marine Fisheries Service,
National Oceanic and Atmospheric Administration, Department of Commerce;
chapter III--International Fishing and Related Activities, chapter IV--
Joint Regulations (United States Fish and Wildlife Service, Department
of the Interior and National Marine Fisheries Service, National Oceanic
and Atmospheric Administration, Department of Commerce); Endangered
Species Committee regulations; and chapter V--Marine Mammal Commission.
The eighth and ninth volumes (parts 600-659 and part 660 to End) contain
the current regulations issued under chapter VI--Fishery Conservation
and Management, National Oceanic and Atmospheric Administration,
Department of Commerce. The contents of these volumes represent all
current regulations codified under this title of the CFR as of October
1, 2006.
Alphabetical listings of endangered and threatened wildlife and
plants appear in Sec. Sec. 17.11 and 17.12.
The OMB control numbers for the National Oceanic and Atmospheric
Administration appear in 15 CFR 902.1.
For this volume, Moja N. Mwaniki and Carol A. Conroy were Chief
Editors. The Code of Federal Regulations publication program is under
the direction of Frances D. McDonald, assisted by Kenneth R. Payne.
[[Page 1]]
TITLE 50--WILDLIFE AND FISHERIES
(This book contains part 600 to 659)
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Part
chapter vi--Fishery Conservation and Management, National
Oceanic and Atmospheric Administration, Department of
Commerce.................................................. 600
[[Page 3]]
CHAPTER VI--FISHERY CONSERVATION AND MANAGEMENT, NATIONAL OCEANIC
AND ATMOSPHERIC ADMINISTRATION,
DEPARTMENT OF COMMERCE
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Editorial Note: Nomenclature changes to Chapter VI appear at 69 FR
53361, 53362, Sept. 1, 2004.
Part Page
600 Magnuson-Stevens Act provisions............. 5
622 Fisheries of the Caribbean, Gulf, and South
Atlantic................................ 173
635 Atlantic highly migratory species........... 265
640 Spiny lobster fishery of the Gulf of Mexico
and South Atlantic...................... 320
644 [Reserved]
648 Fisheries of the Northeastern United States. 331
654 Stone crab fishery of the Gulf of Mexico.... 616
655-659 [Reserved]
[[Page 5]]
PART 600_MAGNUSON-STEVENS ACT PROVISIONS--Table of Contents
Subpart A_General
Sec.
600.5 Purpose and scope.
600.10 Definitions.
600.15 Other acronyms.
Subpart B_Regional Fishery Management Councils
600.105 Intercouncil boundaries.
600.110 Intercouncil fisheries.
600.115 Statement of organization, practices, and procedures (SOPP).
600.120 Employment practices.
600.125 Budgeting, funding, and accounting.
600.130 Protection of confidentiality of statistics.
600.135 Meeting procedures.
600.150 Disposition of records.
600.155 Freedom of Information Act (FOIA) requests.
Subpart C_Council Membership
600.205 Principal state officials and their designees.
600.210 Terms of Council members.
600.215 Council nomination and appointment procedures.
600.220 Oath of office.
600.225 Rules of conduct.
600.230 Removal.
600.235 Financial disclosure.
600.240 Security assurances.
600.245 Council member compensation.
Subpart D_National Standards
600.305 General.
600.310 National Standard 1--Optimum Yield.
600.315 National Standard 2--Scientific Information.
600.320 National Standard 3--Management Units.
600.325 National Standard 4--Allocations.
600.330 National Standard 5--Efficiency.
600.335 National Standard 6--Variations and Contingencies.
600.340 National Standard 7--Costs and Benefits.
600.345 National Standard 8--Communities.
600.350 National Standard 9--Bycatch.
600.355 National Standard 10--Safety of Life at Sea.
Subpart E_Confidentiality of Statistics
600.405 Types of statistics covered.
600.410 Collection and maintenance of statistics.
600.415 Access to statistics.
600.420 Control system.
600.425 Release of statistics.
Subpart F_Foreign Fishing
600.501 Vessel permits.
600.502 Vessel reports.
600.503 Vessel and gear identification.
600.504 Facilitation of enforcement.
600.505 Prohibitions.
600.506 Observers.
600.507 Recordkeeping.
600.508 Fishing operations.
600.509 Prohibited species.
600.510 Gear avoidance and disposal.
600.511 Fishery closure procedures.
600.512 Scientific research.
600.513 Recreational fishing.
600.514 Relation to other laws.
600.515 Interpretation of 16 U.S.C. 1857(4).
600.516 Total allowable level of foreign fishing (TALFF).
600.517 Allocations.
600.518 Fee schedule for foreign fishing.
600.520 Northwest Atlantic Ocean fishery.
600.525 Applicability of Subpart F to Canadian Albacore Fishing Vessels
off the West Coast.
600.530 Pacific albacore fishery.
Subpart G_Preemption of State Authority Under Section 306(b)
600.605 General policy.
600.610 Factual findings for Federal preemption.
600.615 Commencement of proceedings.
600.620 Rules pertaining to the hearing.
600.625 Secretary's decision.
600.630 Application for reinstatement of state authority.
Subpart H_General Provisions for Domestic Fisheries
600.705 Relation to other laws.
600.710 Permits.
600.715 Recordkeeping and reporting.
600.720 Vessel and gear identification.
600.725 General prohibitions.
600.730 Facilitation of enforcement.
600.735 Penalties.
600.740 Enforcement policy.
600.745 Scientific research activity, exempted fishing, and exempted
educational activity.
600.746 Observers.
600.747 Guidelines and procedures for determining new fisheries and
gear.
Subpart I_Fishery Negotiation Panels
600.750 Definitions.
600.751 Determination of need for a fishery negotiation panel.
600.752 Use of conveners and facilitators.
600.753 Notice of intent to establish a fishery negotiation panel.
[[Page 6]]
600.754 Decision to establish a fishery negotiation panel.
600.755 Establishment of a fishery negotiation panel.
600.756 Conduct and operation of a fishery negotiation panel.
600.757 Operational protocols.
600.758 Preparation of report.
600.759 Use of report.
600.760 Fishery Negotiation Panel lifetime.
Subpart J_Essential Fish Habitat (EFH)
600.805 Purpose and scope.
600.810 Definitions and word usage.
600.815 Contents of Fishery Management Plans.
Subpart K_EFH Coordination, Consultation, and Recommendations
600.905 Purpose, scope, and NMFS/Council cooperation.
600.910 Definitions and word usage.
600.915 Coordination for the conservation and enhancement of EFH.
600.920 Federal agency consultation with the Secretary.
600.925 NMFS EFH Conservation Recommendations to Federal and state
agencies.
600.930 Council comments and recommendations to Federal and state
agencies.
Subpart L_Fishing Capacity Reduction Framework
600.1000 Definitions.
600.1001 Requests.
600.1002 General requirements.
600.1003 Content of a request for a financed program.
600.1004 Accepting a request for, and determinations about initiating, a
financed program.
600.1005 Content of a request for a subsidized program.
600.1006 Accepting a request for, and determinations about conducting, a
subsidized program.
600.1007 Reduction amendments.
600.1008 Implementation plan and implementation regulations.
600.1009 Bids.
600.1010 Referenda.
600.1011 Reduction methods and other conditions.
600.1012 Reduction loan.
600.1013 Fee payment and collection.
600.1014 Fee collection deposits, disbursements, records, and reports.
600.1015 Late charges.
600.1016 Enforcement.
600.1017 Prohibitions and penalties.
Subpart M_Specific Fishery or Program Fishing Capacity Reduction
Regulations
600.1100 General. [Reserved]
600.1101 Inshore fee system for repayment of the loan to harvesters of
Pollock from the directed fishing allowance allocated to the
inshore component under section 206(b)(1) of the AFA.
600.1102 Pacific Coast groundfish fee.
600.1103 Bering Sea and Aleutian Islands (BSAI) Crab species program.
600.1104 Bering Sea and Aleutian Islands (BSAI) crab species fee payment
and collection system.
600.1105 Longline catcher processor subsector of the Bering Sea and
Aleutian Islands (BSAI) non-pollock groundfish fishery
program.
Subpart N_Shark Finning
600.1200 Purpose and scope.
600.1201 Relation to other laws.
600.1202 Definitions.
600.1203 Prohibitions.
600.1204 Shark finning; possession at sea and landing of shark fins.
Authority: 5 U.S.C. 561 and 16 U.S.C. 1801 et seq.
Source: 61 FR 32540, June 24, 1996, unless otherwise noted.
Subpart A_General
Sec. 600.5 Purpose and scope.
(a) This part contains general provisions governing the operation of
the eight Regional Fishery Management Councils established by the
Magnuson-Stevens Act and describes the Secretary's role and
responsibilities under the Act. The Councils are institutions created by
Federal law and must conform to the uniform standards established by the
Secretary in this part.
(b) This part also governs all foreign fishing under the Magnuson-
Stevens Act, prescribes procedures for the conduct of preemption
hearings under section 306(b) of the Magnuson-Stevens Act, and collects
the general provisions common to all domestic fisheries governed by this
chapter.
(c) This part also governs fishing capacity reduction programs under
the Magnuson-Stevens Act.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 65
FR 31443, May 18, 2000]
[[Page 7]]
Sec. 600.10 Definitions.
Unless defined otherwise in other parts of Chapter VI, the terms in
this chapter have the following meanings:
Administrator means the Administrator of NOAA (Under Secretary of
Commerce for Oceans and Atmosphere) or a designee.
Advisory group means a Scientific and Statistical Committee (SSC),
Fishing Industry Advisory Committee (FIAC), or Advisory Panel (AP)
established by a Council under the Magnuson-Stevens Act.
Agent, for the purpose of foreign fishing (subpart F), means a
person appointed and maintained within the United States who is
authorized to receive and respond to any legal process issued in the
United States to an owner and/or operator of a vessel operating under a
permit and of any other vessel of that Nation fishing subject to the
jurisdiction of the United States. Any diplomatic official accepting
such an appointment as designated agent waives diplomatic or other
immunity in connection with such process.
Aggregate or summary form means confidential data structured in such
a way that the identity of the submitter cannot be determined either
from the present release of the data or in combination with other
releases.
Albacore means the species Thunnus alalunga, or a part thereof.
Allocated species means any species or species group allocated to a
foreign nation under Sec. 600.517 for catching by vessels of that
Nation.
Allocation means direct and deliberate distribution of the
opportunity to participate in a fishery among identifiable, discrete
user groups or individuals.
Allowable chemical means a substance, generally used to immobilize
marine life so it can be captured alive, that, when introduced into the
water, does not take Gulf and South Atlantic prohibited coral (as
defined at 50 CFR 622.2) and is allowed by Florida or Hawaii or the U.S.
Pacific Insular Area for the harvest of tropical fish.
Anadromous species means species of fish that spawn in fresh or
estuarine waters of the United States and that migrate to ocean waters.
Angling means fishing for, attempting to fish for, catching or
attempting to catch fish by any person (angler) with a hook attached to
a line that is hand-held or by rod and reel made for this purpose.
Area of custody means any vessel, building, vehicle, live car,
pound, pier or dock facility where fish might be found.
Assistant Administrator means the Assistant Administrator for
Fisheries, NOAA, or a designee.
Atlantic tunas means bluefin, albacore, bigeye, skipjack, and
yellowfin tunas found in the Atlantic Ocean.
Atlantic Tunas Convention Act means the Atlantic Tunas Convention
Act of 1975, 16 U.S.C. 971-971h.
Authorized officer means:
(1) Any commissioned, warrant, or petty officer of the USCG;
(2) Any special agent or fishery enforcement officer of NMFS;
(3) Any officer designated by the head of any Federal or state
agency that has entered into an agreement with the Secretary and the
Commandant of the USCG to enforce the provisions of the Magnuson-Stevens
Act or any other statute administered by NOAA; or
(4) Any USCG personnel accompanying and acting under the direction
of any person described in paragraph (1) of this definition.
Authorized species means any species or species group that a foreign
vessel is authorized to retain in a joint venture by a permit issued
under Activity Code 4 as described by Sec. 600.501(c).
Automatic reel means a reel that remains attached to a vessel when
in use from which a line and attached hook(s) are deployed. The line is
payed out from and retrieved on the reel electrically or hydraulically.
Bandit gear means vertical hook and line gear with rods that are
attached to the vessel when in use. Lines are retrieved by manual,
electric, or hydraulic reels.
Barrier net means a small-mesh net used to capture coral reef or
coastal pelagic fishes.
Bigeye tuna means the species Thunnus obesus, or a part thereof.
Billfish means blue marlin, longbill spearfish, sailfish, or white
marlin.
[[Page 8]]
Bluefin tuna means the species Thunnus thynnus, or a part thereof.
Blue marlin means the species Makaira nigricans, or a part thereof.
Bully net means a circular frame attached at right angles to a pole
and supporting a conical bag of webbing.
Buoy gear means fishing gear consisting of a float and one or more
lines suspended therefrom. A hook or hooks are on the lines at or near
the end. The float and line(s) drift freely and are retrieved
periodically to remove catch and rebait hooks.
Carcass means a fish in whole condition or that portion of a fish
that has been gilled and/or gutted and the head and some or all fins
have been removed, but that is otherwise in whole condition.
Cast net means a circular net with weights attached to the
perimeter.
Catch limit means the total allowable harvest or take from a single
fishing trip or day, as defined in this section.
Catch, take, or harvest includes, but is not limited to, any
activity that results in killing any fish or bringing any live fish on
board a vessel.
Center means one of the five NMFS Fisheries Science Centers.
Charter boat means a vessel less than 100 gross tons (90.8 mt) that
meets the requirements of the U.S. Coast Guard to carry six or fewer
passengers for hire.
Coast Guard Commander means one of the commanding officers of the
Coast Guard units specified in Table 1 of Sec. 600.502, or a designee.
Codend means the terminal, closed end of a trawl net.
Confidential statistics are those submitted as a requirement of an
FMP and that reveal the business or identity of the submitter.
Continental shelf fishery resources means the species listed under
section 3(7) of the Magnuson-Stevens Act.
Council means one of the eight Regional Fishery Management Councils
established by the Magnuson-Stevens Act.
Data, statistics, and information are used interchangeably.
Dealer means the person who first receives fish by way of purchase,
barter, or trade.
Designated representative means the person appointed by a foreign
nation and maintained within the United States who is responsible for
transmitting information to and submitting reports from vessels of that
Nation and establishing observer transfer arrangements for vessels in
both directed and joint venture activities.
Dip net means a small mesh bag, sometimes attached to a handle,
shaped and framed in various ways. It is operated by hand or partially
by mechanical power to capture the fish.
Directed fishing, for the purpose of foreign fishing (subpart F),
means any fishing by the vessels of a foreign nation for allocations of
fish granted that Nation under Sec. 600.517.
Director means the Director of the Office of Sustainable Fisheries,
1315 East-West Highway, Silver Spring, MD 20910.
Discard means to release or return fish to the sea, whether or not
such fish are brought fully on board a fishing vessel.
Dredge means a gear consisting of a mouth frame attached to a
holding bag constructed of metal rings or mesh.
Drop net means a small, usually circular net with weight around the
perimeter and a float in the center.
Essential fish habitat (EFH) means those waters and substrate
necessary to fish for spawning, breeding, feeding, or growth to
maturity. For the purpose of interpreting the definition of essential
fish habitat: ``Waters'' include aquatic areas and their associated
physical, chemical, and biological properties that are used by fish and
may include aquatic areas historically used by fish where appropriate;
``substrate'' includes sediment, hard bottom, structures underlying the
waters, and associated biological communities; ``necessary'' means the
habitat required to support a sustainable fishery and the managed
species' contribution to a healthy ecosystem; and ``spawning, breeding,
feeding, or growth to maturity'' covers a species' full life cycle.
Exclusive economic zone (EEZ) means the zone established by
Presidential Proclamation 5030, 3 CFR part 22, dated March 10, 1983, and
is that area adjacent to the United States which, except where modified
to accommodate international boundaries, encompasses all
[[Page 9]]
waters from the seaward boundary of each of the coastal states to a line
on which each point is 200 nautical miles (370.40 km) from the baseline
from which the territorial sea of the United States is measured.
Exempted educational activity means an activity, conducted by an
educational institution accredited by a recognized national or
international accreditation body, of limited scope and duration, that is
otherwise prohibited by part 635 or chapter VI of this title, but that
is authorized by the appropriate Director or Regional Administrator for
educational purposes.
Exempted or experimental fishing means fishing from a vessel of the
United States that involves activities otherwise prohibited by part 635
or chapter VI of this title, but that are authorized under an exempted
fishing permit (EFP). These regulations refer exclusively to exempted
fishing. References in part 635 of this title and elsewhere in this
chapter to experimental fishing mean exempted fishing under this part.
Fillet means to remove slices of fish flesh from the carcass by cuts
made parallel to the backbone.
Fish means:
(1) When used as a noun, means any finfish, mollusk, crustacean, or
parts thereof, and all other forms of marine animal and plant life other
than marine mammals and birds.
(2) When used as a verb, means to engage in ``fishing,'' as defined
below.
Fishery means:
(1) One or more stocks of fish that can be treated as a unit for
purposes of conservation and management and that are identified on the
basis of geographic, scientific, technical, recreational, or economic
characteristics, or method of catch; or
(2) Any fishing for such stocks.
Fishery management unit (FMU) means a fishery or that portion of a
fishery identified in an FMP relevant to the FMP's management
objectives. The choice of an FMU depends on the focus of the FMP's
objectives, and may be organized around biological, geographic,
economic, technical, social, or ecological perspectives.
Fishery resource means any fish, any stock of fish, any species of
fish, and any habitat of fish.
Fishing, or to fish means any activity, other than scientific
research conducted by a scientific research vessel, that involves:
(1) The catching, taking, or harvesting of fish;
(2) The attempted catching, taking, or harvesting of fish;
(3) Any other activity that can reasonably be expected to result in
the catching, taking, or harvesting of fish; or
(4) Any operations at sea in support of, or in preparation for, any
activity described in paragraphs (1), (2), or (3) of this definition.
Fishing vessel means any vessel, boat, ship, or other craft that is
used for, equipped to be used for, or of a type that is normally used
for:
(1) Fishing; or
(2) Aiding or assisting one or more vessels at sea in the
performance of any activity relating to fishing, including, but not
limited to, preparation, supply, storage, refrigeration, transportation,
or processing.
Fish weir means a large catching arrangement with a collecting
chamber that is made of non-textile material (wood, wicker) instead of
netting as in a pound net.
Foreign fishing means fishing by a foreign fishing vessel.
Foreign fishing vessel (FFV) means any fishing vessel other than a
vessel of the United States, except those foreign vessels engaged in
recreational fishing, as defined in this section.
Gear conflict means any incident at sea involving one or more
fishing vessels:
(1) In which one fishing vessel or its gear comes into contact with
another vessel or the gear of another vessel; and
(2) That results in the loss of, or damage to, a fishing vessel,
fishing gear, or catch.
Gillnet means a panel of netting, suspended vertically in the water
by floats along the top and weights along the bottom, to entangle fish
that attempt to pass through it.
[[Page 10]]
Governing International Fishery Agreement (GIFA) means an agreement
between the United States and a foreign nation or Nations under section
201(c) of the Magnuson-Stevens Act.
Grants Officer means the NOAA official authorized to sign, on behalf
of the Government, the cooperative agreement providing funds to support
the Council's operations and functions.
Greenwich mean time (GMT) means the local mean time at Greenwich,
England. All times in this part are GMT unless otherwise specified.
Handgear means handline, harpoon, or rod and reel.
Hand harvest means harvesting by hand.
Handline means fishing gear that is set and pulled by hand and
consists of one vertical line to which may be attached leader lines with
hooks.
Harass means to unreasonably interfere with an individual's work
performance, or to engage in conduct that creates an intimidating,
hostile, or offensive environment.
Harpoon or harpoon gear means fishing gear consisting of a pointed
dart or iron attached to the end of a line several hundred feet in
length, the other end of which is attached to a floatation device.
Harpoon gear is attached to a pole or stick that is propelled only by
hand, and not by mechanical means.
Headboat means a vessel that holds a valid Certificate of Inspection
issued by the U.S. Coast Guard to carry passengers for hire.
Hook and line means one or more hooks attached to one or more lines
(can include a troll).
Hoop net means a cone-shaped or flat net which may or may not have
throats and flues stretched over a series of rings or hoops for support.
Industry means both recreational and commercial fishing, and
includes the harvesting, processing, and marketing sectors.
International radio call sign (IRCS) means the unique radio
identifier assigned a vessel by the appropriate authority of the flag
state.
Joint venture means any operation by a foreign vessel assisting
fishing by U.S. fishing vessels, including catching, scouting,
processing and/or support. (A joint venture generally entails a foreign
vessel processing fish received from U.S. fishing vessels and conducting
associated support activities.)
Lampara net means a surround net with the sections of netting made
and joined to create bagging. It is hauled with purse rings and is
generally much smaller in size than a purse seine net.
Land means to begin offloading fish, to offload fish, or to arrive
in port or at a dock, berth, beach, seawall, or ramp.
Longbill spearfish means the species Tetrapturus pfluegeri, or a
part thereof.
Longline means a line that is deployed horizontally and to which
gangions and hooks or pots are attached. Longlines can be stationary,
anchored, or buoyed lines that may be hauled manually, electrically, or
hydraulically.
Magnuson-Stevens Act means the Magnuson-Stevens Fishery Conservation
and Management Act, as amended (16 U.S.C. 1801 et seq.), formerly known
as the Magnuson Act.
Metric ton (mt) means 1,000 kg (2,204.6 lb).
nm means nautical mile (6,076 ft (1,852 m)).
Official number means the documentation number issued by the USCG or
the certificate number issued by a state or by the USCG for an
undocumented vessel.
Operator, with respect to any vessel, means the master or other
individual aboard and in charge of that vessel.
Optimum yield (OY) means the amount of fish that:
(1) Will provide the greatest overall benefit to the Nation,
particularly with respect to food production and recreational
opportunities, and taking into account the protection of marine
ecosystems;
(2) Is prescribed as such on the basis of the maximum sustainable
yield from the fishery, as reduced by any relevant economic, social, or
ecological factor; and
(3) In the case of an overfished fishery, provides for rebuilding to
a level consistent with producing the maximum sustainable yield in such
fishery.
Owner, with respect to any vessel, means:
(1) Any person who owns that vessel in whole or in part;
[[Page 11]]
(2) Any charterer of the vessel, whether bareboat, time, or voyage;
(3) Any person who acts in the capacity of a charterer, including,
but not limited to, parties to a management agreement, operating
agreement, or any similar agreement that bestows control over the
destination, function, or operation of the vessel; or
(4) Any agent designated as such by a person described in paragraph
(1), (2), or (3) of this definition.
Pelagic longline means a longline that is suspended by floats in the
water column and that is not fixed to or in contact with the ocean
bottom.
Plan Team means a Council working group selected from agencies,
institutions, and organizations having a role in the research and/or
management of fisheries, whose primary purpose is to assist the Council
in the preparation and/or review of FMPs, amendments, and supporting
documents for the Council, and/or SSC and AP.
Postmark means independently verifiable evidence of the date of
mailing, such as a U.S. Postal Service postmark, or other private
carrier postmark, certified mail receipt, overnight mail receipt, or a
receipt issued upon hand delivery to a representative of NMFS authorized
to collect fishery statistics.
Pot means trap.
Powerhead means any device with an explosive charge, usually
attached to a spear gun, spear, pole, or stick, that may or may not fire
a projectile upon contact.
Predominately means, with respect to fishing in a fishery, that more
fishing on a stock or stocks of fish covered by the FMP occurs, or would
occur in the absence of regulations, within or beyond the EEZ than
occurs in the aggregate within the boundaries of all states off the
coasts of which the fishery is conducted.
Processing, for the purpose of foreign fishing (subpart F), means
any operation by an FFV to receive fish from foreign or U.S. fishing
vessels and/or the preparation of fish, including, but not limited to,
cleaning, cooking, canning, smoking, salting, drying, or freezing,
either on the FFV's behalf or to assist other foreign or U.S. fishing
vessels.
Product recovery rate (PRR) means a ratio expressed as a percentage
of the weight of processed product divided by the round weight of fish
used to produce that amount of product.
Prohibited species, with respect to a foreign vessel, means any
species of fish that that vessel is not specifically allocated or
authorized to retain, including fish caught or received in excess of any
allocation or authorization.
Purchase means the act or activity of buying, trading, or bartering,
or attempting to buy, trade, or barter.
Purse seine means a floated and weighted encircling net that is
closed by means of a drawstring threaded through rings attached to the
bottom of the net.
Recreational fishing, with respect to a foreign vessel, means any
fishing from a foreign vessel not operated for profit and not operated
for the purpose of scientific research. It may not involve the sale,
barter, or trade of part or all of the catch (see Sec. 600.513).
Retain on board means to fail to return fish to the sea after a
reasonable opportunity to sort the catch.
Region mean one of five NMFS Regional Offices responsible for
administering the management and development of marine resources in the
United States in their respective geographical regions.
Regional Administrator means the Administrator of one of the five
NMFS Regions described in Table 1 of Sec. 600.502, or a designee.
Formerly known as Regional Director.
Regional Program Officer means the NMFS official designated in the
terms and conditions of the grant award responsible for monitoring,
recommending, and reviewing any technical aspects of the application for
Federal assistance and the award.
Rod and reel means a hand-held (including rod holder) fishing rod
with a manually or electrically operated reel attached.
Round means a whole fish--one that has not been gilled, gutted,
beheaded, or definned.
Round weight means the weight of the whole fish before processing or
removal of any part.
Sailfish means the species Istiophorus platypterus, or a part
thereof.
[[Page 12]]
Sale or sell means the act or activity of transferring property for
money or credit, trading, or bartering, or attempting to so transfer,
trade, or barter.
Science and Research Director means the Director of one of the five
NMFS Fisheries Science Centers described in Table 1 of Sec. 600.502 of
this part, or a designee, also known as Center Director.
Scientific cruise means the period of time during which a scientific
research vessel is operated in furtherance of a scientific research
project, beginning when the vessel leaves port to undertake the project
and ending when the vessel completes the project as provided for in the
applicable scientific research plan.
Scientific research activity is, for the purposes of this part, an
activity in furtherance of a scientific fishery investigation or study
that would meet the definition of fishing under the Magnuson-Stevens
Act, but for the exemption applicable to scientific research activity
conducted from a scientific research vessel. Scientific research
activity includes, but is not limited to, sampling, collecting,
observing, or surveying the fish or fishery resources within the EEZ, at
sea, on board scientific research vessels, to increase scientific
knowledge of the fishery resources or their environment, or to test a
hypothesis as part of a planned, directed investigation or study
conducted according to methodologies generally accepted as appropriate
for scientific research. At-sea scientific fishery investigations
address one or more issues involving taxonomy, biology, physiology,
behavior, disease, aging, growth, mortality, migration, recruitment,
distribution, abundance, ecology, stock structure, bycatch, and catch
estimation of finfish and shellfish (invertebrate) species considered to
be a component of the fishery resources within the EEZ. Scientific
research activity does not include the collection and retention of fish
outside the scope of the applicable research plan, or the testing of
fishing gear. Data collection designed to capture and land quantities of
fish or invertebrates for product development, market research, and/or
public display are not scientific research activities and must be
permitted under exempted fishing procedures. For foreign vessels, such
data collection activities are considered scientific research if they
are carried out in full cooperation with the United States.
Scientific research plan means a detailed, written formulation,
prepared in advance of the research, for the accomplishment of a
scientific research project. At a minimum, a sound scientific research
plan should include:
(1) A description of the nature and objectives of the project,
including the hypothesis or hypotheses to be tested.
(2) The experimental design of the project, including a description
of the methods to be used, the type and class of any vessel(s) to be
used, and a description of sampling equipment.
(3) The geographical area(s) in which the project is to be
conducted.
(4) The expected date of first appearance and final departure of the
research vessel(s) to be employed, and deployment and removal of
equipment, as appropriate.
(5) The expected quantity and species of fish to be taken and their
intended disposition, and, if significant amounts of a managed species
or species otherwise restricted by size or sex are needed, an
explanation of such need.
(6) The name, address, and telephone/telex/fax number of the
sponsoring organization and its director.
(7) The name, address, and telephone/telex/fax number, and
curriculum vitae of the person in charge of the project and, where
different, the person in charge of the research project on board the
vessel.
(8) The identity of any vessel(s) to be used including, but not
limited to, the vessel's name, official documentation number and IRCS,
home port, and name, address, and telephone number of the owner and
master.
Scientific research vessel means a vessel owned or chartered by, and
controlled by, a foreign government agency, U.S. Government agency
(including NOAA or institutions designated as federally funded research
and development centers), U.S. state or territorial agency, university
(or other educational institution accredited by a recognized national or
international accreditation body), international
[[Page 13]]
treaty organization, or scientific institution. In order for a vessel
that is owned or chartered and controlled by a foreign government to
meet this definition, the vessel must have scientific research as its
exclusive mission during the scientific cruise in question and the
vessel operations must be conducted in accordance with a scientific
research plan.
Scouting means any operation by a vessel exploring (on the behalf of
an FFV or U.S. fishing vessel) for the presence of fish by visual,
acoustic, or other means that do not involve the catching of fish.
Secretary means the Secretary of Commerce or a designee.
Seine means a net with long narrow wings, that is rigged with floats
and weights.
Skipjack tuna means the species Katsuwonus pelamis, or a part
thereof.
Slurp gun means a tube-shaped suction device that operates somewhat
like a syringe by sucking up the fish.
Snare means a device consisting of a pole to which is attached a
line forming at its end a loop with a running knot that tightens around
the fish when the line is pulled.
Spear means a sharp, pointed, or barbed instrument on a shaft.
Spears can be operated manually or shot from a gun or sling.
State means each of the several states, the District of Columbia,
the Commonwealth of Puerto Rico, American Samoa, the Virgin Islands,
Guam, the Northern Mariana Islands, and any other Commonwealth,
territory, or possession of the United States.
State employee means any employee of the state agency responsible
for developing and monitoring the state's program for marine and/or
anadromous fisheries.
Statement of Organization, Practices, and Procedures (SOPP) means a
statement by each Council describing its organization, practices, and
procedures as required under section 302(f)(6) of the Magnuson-Stevens
Act.
Stock assessment means the process of collecting and analyzing
biological and statistical information to determine the changes in the
abundance of fishery stocks in response to fishing, and, to the extent
possible, to predict future trends of stock abundance. Stock assessments
are based on resource surveys; knowledge of the habitat requirements,
life history, and behavior of the species; the use of environmental
indices to determine impacts on stocks; and catch statistics. Stock
assessments are used as a basis to ``assess and specify the present and
probable future condition of a fishery'' (as is required by the
Magnuson-Stevens Act), and are summarized in the Stock Assessment and
Fishery Evaluation or similar document.
Stock Assessment and Fishery Evaluation (SAFE) means a document or
set of documents that provides Councils with a summary of the most
recent biological condition of species in an FMU, and the social and
economic condition of the recreational and commercial fishing industries
and the fish processing industries. It summarizes, on a periodic basis,
the best available scientific information concerning the past, present,
and possible future condition of the stocks and fisheries being managed
under Federal regulation.
Submersible means a manned or unmanned device that functions or
operates primarily underwater and is used to harvest fish, i.e.,
precious corals, with mechanical arms.
Substantially (affects) means, for the purpose of subpart G, with
respect to whether a state's action or omission will substantially
affect the carrying out of an FMP for a fishery, that those effects are
important or material, or considerable in degree. The effects of a
state's action or omission for purposes of this definition include
effects upon:
(1) The achievement of the FMP's goals or objectives for the
fishery;
(2) The achievement of OY from the fishery on a continuing basis;
(3) The attainment of the national standards for fishery
conservation and management (as set forth in section 301(a) of the
Magnuson-Stevens Act) and compliance with other applicable law; or
(4) The enforcement of regulations implementing the FMP.
Support means any operation by a vessel assisting fishing by foreign
or U.S. vessels, including supplying water,
[[Page 14]]
fuel, provisions, fish processing equipment, or other supplies to a
fishing vessel.
Swordfish means the species Xiphias gladius, or a part thereof.
Tangle net dredge means dredge gear consisting of weights and flimsy
netting that hangs loosely in order to immediately entangle fish.
Total length (TL) means the straight-line distance from the tip of
the snout to the tip of the tail (caudal fin) while the fish is lying on
its side, normally extended.
Trammel net means a net consisting of two or more panels of netting,
suspended vertically in the water column by a common float line and a
common weight line. One panel of netting has a larger mesh size than the
other(s) in order to entrap fish in a pocket.
Transship means offloading and onloading or otherwise transferring
fish or fish products and/or transporting fish or products made from
fish.
Trap means a portable, enclosed device with one or more gates or
entrances and one or more lines attached to surface floats. Also called
a pot.
Trawl means a cone or funnel-shaped net that is towed through the
water, and can include a pair trawl that is towed simultaneously by two
boats.
Trip means the time period that begins when a fishing vessel departs
from a dock, berth, beach, seawall, ramp, or port to carry out fishing
operations and that terminates with a return to a dock, berth, beach,
seawall, ramp, or port.
U.S. observer or observer means any person serving in the capacity
of an observer employed by NMFS, either directly or under contract, or
certified as a supplementary observer by NMFS.
Vessel of the United States or U.S. vessel means:
(1) Any vessel documented under chapter 121 of title 46, United
States Code;
(2) Any vessel numbered under chapter 123 of title 46, United States
Code, and measuring less than 5 net tons;
(3) Any vessel numbered under chapter 123 of title 46, United States
Code, and used exclusively for pleasure; or
(4) Any vessel not equipped with propulsion machinery of any kind
and used exclusively for pleasure.
White marlin means the species Tetrapturus albidus, or a part
thereof.
Yellowfin tuna means the species Thunnus albacares, or a part
thereof.
[61 FR 32540, June 24, 1996, as amended at 62 FR 14646, Mar. 27, 1997;
62 FR 66551, Dec. 19, 1997; 63 FR 7073, 7075, Feb. 12, 1998; 64 FR 4036,
Jan. 27, 1999; 64 FR 29133, May 28, 1999; 64 FR 67516, Dec. 2, 1999; 67
FR 2375, Jan. 17, 2002; 67 FR 64312, Oct. 18, 2002; 69 FR 30240, May 27,
2004]
Sec. 600.15 Other acronyms.
(a) Fishery management terms. (1) ABC--acceptable biological catch
(2) ATCA-Atlantic Tunas Convention Act
(3) BFT (Atlantic bluefin tuna) means the subspecies of bluefin
tuna, Thunnus thynnus thynnus, or a part thereof, that occurs in the
Atlantic Ocean.
(4) BSD means the ICCAT bluefin tuna statistical document.
(5) DAH--estimated domestic annual harvest
(6) DAP--estimated domestic annual processing
(7) EIS--environmental impact statement
(8) EY--equilibrium yield
(9) FMP--fishery management plan
(10) ICCAT means the International Commission for the Conservation
of Atlantic Tunas.
(11) JVP--joint venture processing
(12) MSY--maximum sustainable yield
(13) PMP--preliminary FMP
(14) TAC--total allowable catch
(15) TALFF--total allowable level of foreign fishing
(b) Legislation. (1) APA--Administrative Procedure Act
(2) CZMA--Coastal Zone Management Act
(3) ESA--Endangered Species Act
(4) FACA--Federal Advisory Committee Act
(5) FOIA--Freedom of Information Act
(6) FLSA--Fair Labor Standards Act
(7) MMPA--Marine Mammal Protection Act
(8) MPRSA--Marine Protection, Research, and Sanctuaries Act
(9) NEPA--National Environmental Policy Act
[[Page 15]]
(10) PA--Privacy Act
(11) PRA--Paperwork Reduction Act
(12) RFA--Regulatory Flexibility Act
(c) Federal agencies. (1) CEQ--Council on Environmental Quality
(2) DOC--Department of Commerce
(3) DOI--Department of the Interior
(4) DOS--Department of State
(5) EPA--Environmental Protection Agency
(6) FWS--Fish and Wildlife Service
(7) GSA--General Services Administration
(8) NMFS--National Marine Fisheries Service
(9) NOAA--National Oceanic and Atmospheric Administration
(10) OMB--Office of Management and Budget
(11) OPM--Office of Personnel Management
(12) SBA--Small Business Administration
(13) USCG--United States Coast Guard
[61 FR 32540, June 24, 1996, as amended at 63 FR 7073, Feb. 12, 1998; 64
FR 29134, May 28, 1999]
Subpart B_Regional Fishery Management Councils
Sec. 600.105 Intercouncil boundaries.
(a) New England and Mid-Atlantic Councils. The boundary begins at
the intersection point of Connecticut, Rhode Island, and New York at
41[deg]18[min]16.249[sec] N. lat. and 71[deg]54[min]28.477[sec] W. long.
and proceeds south 37[deg]22[min]32.75[sec] East to the point of
intersection with the outward boundary of the EEZ as specified in the
Magnuson-Stevens Act.
(b) Mid-Atlantic and South Atlantic Councils. The boundary begins at
the seaward boundary between the States of Virginia and North Carolina
(36[deg]31[min]00.8[sec] N. lat.), and proceeds due east to the point of
intersection with the outward boundary of the EEZ as specified in the
Magnuson-Stevens Act.
(c) South Atlantic and Gulf of Mexico Councils. The boundary
coincides with the line of demarcation between the Atlantic Ocean and
the Gulf of Mexico, which begins at the intersection of the outer
boundary of the EEZ, as specified in the Magnuson-Stevens Act, and
83[deg]00[min] W. long., proceeds northward along that meridian to
24[deg]35[min] N. lat., (near the Dry Tortugas Islands), thence eastward
along that parallel, through Rebecca Shoal and the Quicksand Shoal, to
the Marquesas Keys, and then through the Florida Keys to the mainland at
the eastern end of Florida Bay, the line so running that the narrow
waters within the Dry Tortugas Islands, the Marquesas Keys and the
Florida Keys, and between the Florida Keys and the mainland, are within
the Gulf of Mexico.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.110 Intercouncil fisheries.
If any fishery extends beyond the geographical area of authority of
any one Council, the Secretary may--
(a) Designate a single Council to prepare the FMP for such fishery
and any amendments to such FMP, in consultation with the other Councils
concerned; or
(b) Require that the FMP and any amendments be prepared jointly by
all the Councils concerned.
(1) A jointly prepared FMP or amendment must be adopted by a
majority of the voting members, present and voting, of each
participating Council. Different conservation and management measures
may be developed for specific geographic areas, but the FMP should
address the entire geographic range of the stock(s).
(2) In the case of joint FMP or amendment preparation, one Council
will be designated as the ``administrative lead.'' The ``administrative
lead'' Council is responsible for the preparation of the FMP or any
amendments and other required documents for submission to the Secretary.
(3) None of the Councils involved in joint preparation may withdraw
without Secretarial approval. If Councils cannot agree on approach or
management measures within a reasonable period of time, the Secretary
may designate a single Council to prepare the FMP or may issue the FMP
under Secretarial authority.
Sec. 600.115 Statement of organization, practices, and procedures (SOPP).
(a) Councils are required to publish and make available to the
public a SOPP in accordance with such uniform
[[Page 16]]
standards as are prescribed by the Secretary (section 302(f)(6)) of the
Magnuson-Stevens Act. The purpose of the SOPP is to inform the public
how the Council operates within the framework of the Secretary's uniform
standards.
(b) Amendments to current SOPPs must be consistent with the
guidelines in this section and the terms and conditions of the
cooperative agreement, the statutory requirements of the Magnuson-
Stevens Act and other applicable law. Upon approval of a Council's SOPP
amendment by the Secretary, a Notice of Availability will be published
in the Federal Register, including an address where the public may write
to request copies.
(c) Councils may deviate, where lawful, from the guidelines with
appropriate supporting rationale, and Secretarial approval of each
amendment to a SOPP would constitute approval of any such deviations for
that particular Council.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.120 Employment practices.
(a) Council staff positions must be filled solely on the basis of
merit, fitness for duty, competence, and qualifications. Employment
actions must be free from discrimination based on race, religion, color,
national origin, sex, age, disability, reprisal, sexual orientation,
status as a parent, or on any additional bases protected by applicable
Federal, state, or local law.
(b) The annual pay rates for Council staff positions shall be
consistent with the pay rates established for General Schedule Federal
employees as set forth in 5 U.S.C. 5332, and the Alternative Personnel
Management System for the U.S. Department of Commerce (62 FR 67434). The
Councils have the discretion to adjust pay rates and pay increases based
on cost of living (COLA) differentials in their geographic locations.
COLA adjustments in pay rates and pay increases may be provided for
staff members whose post of duty is located in Alaska, Hawaii, Guam, the
U.S. Virgin Islands, the Northern Mariana Islands, and Puerto Rico.
(1) No pay adjustment based on geographic location shall exceed the
COLA and locality pay adjustments available to Federal employees in the
same geographic area.
(2) [Reserved]
(c) Salary increases funded in lieu of life and medical/dental
policies are not permitted.
(d) Unused sick leave may be accumulated without limit, or up to a
maximum number of days and contribution per day, as specified by the
Council in its SOPP. Distributions of accumulated funds for unused sick
leave may be made to the employee upon his or her retirement, or to his
or her estate upon his or her death, as established by the Council in
its SOPP.
(e) Each Council may pay for unused annual leave upon separation,
retirement, or death of an employee.
(f) One or more accounts shall be maintained to pay for unused sick
or annual leave as authorized under paragraphs (d) and (e) of this
section, and will be funded from the Council's annual operating
allowances. Councils have the option to deposit funds into these
account(s) at the end of the budget period if unobligated balances
remain. Interest earned on these account(s) will be maintained in the
account(s), along with the principal, for the purpose of payment of
unused annual and sick leave only. These account(s), including interest,
may be carried over from year to year. Budgeting for accrued leave will
be identified in the ``Other'' object class categories section of the
SF-424A.
(g) A Council must notify the NOAA Office of General Counsel before
seeking outside legal advice, which may be for technical assistance not
available from NOAA. If the Council is seeking legal services in
connection with an employment practices question, the Council must first
notify the Department of Commerce's Office of the Assistant General
Counsel for Administration, Employment and Labor Law Division. A Council
may not contract for the provision of legal services on a continuing
basis.
[66 FR 57886, Nov. 19, 2001]
Sec. 600.125 Budgeting, funding, and accounting.
(a) Each Council's grant activities are governed by OMB Circular A-
110
[[Page 17]]
(Uniform Administrative Requirements for Grants and Agreements with
Institutions of Higher Education, Hospitals, and other Non-Profit
Organizations), OMB Circular A-122 (Cost Principles for Non-Profit
Organizations), 15 CFR Part 29b (Audit Requirements for Institutions of
Higher Education and other Nonprofit Organizations), and the terms and
conditions of the cooperative agreement. (See 5 CFR 1310.3 for
availability of OMB Circulars.)
(b) Councils may not independently enter into agreements, including
grants, contracts, or cooperative agreements, whereby they will receive
funds for services rendered. All such agreements must be approved and
entered into by NOAA on behalf of the Councils.
(c) Councils are not authorized to accept gifts or contributions
directly. All such donations must be directed to the NMFS Regional
Administrator in accordance with applicable Department of Commerce
regulations.
[66 FR 57887, Nov. 19, 2001]
Sec. 600.130 Protection of confidentiality of statistics.
Each Council must establish appropriate procedures for ensuring the
confidentiality of the statistics that may be submitted to it by Federal
or state authorities and may be voluntarily submitted to it by private
persons, including, but not limited to (also see Sec. 600.405):
(a) Procedures for the restriction of Council member, employee, or
advisory group access and the prevention of conflicts of interest,
except that such procedures must be consistent with procedures of the
Secretary.
(b) In the case of statistics submitted to the Council by a state,
the confidentiality laws and regulations of that state.
Sec. 600.135 Meeting procedures.
(a) Public notice of regular meetings of the Council, scientific
statistical committee or advisory panels, including the agenda, must be
published in the Federal Register on a timely basis, and appropriate
news media notice must be given. The published agenda of any regular
meeting may not be modified to include additional matters for Council
action without public notice, or such notice must be given at least 14
days prior to the meeting date, unless such modification is to address
an emergency under section 305 (c) of the Magnuson-Stevens Act, in which
case public notice shall be given immediately. Drafts of all regular
public meeting notices must be transmitted to the NMFS Headquarters
Office at least 23 calendar days before the first day of the regular
meeting. Councils must ensure that all public meetings are accessible to
persons with disabilities, and that the public can make timely requests
for language interpreters or other auxiliary aids at public meetings.
(b) Drafts of emergency public notices must be transmitted to the
NMFS Washington Office; recommended at least 5 working days prior to the
first day of the emergency meeting. Although notices of, and agendas
for, emergency meetings are not required to be published in the Federal
Register, notices of emergency meetings must be promptly announced
through the appropriate news media.
(c) After notifying local newspapers in the major fishing ports
within its region, having included in the notification the time and
place of the meeting and the reason for closing any meeting or portion
thereof:
(1) A Council, SSC, AP, or FIAC shall close any meeting, or portion
thereof, that concerns information bearing on a national security
classification.
(2) A Council, SSC, AP, or FIAC may close any meeting, or portion
thereof, that concerns matters or information pertaining to national
security, employment matters, or briefings on litigation in which the
Council is interested.
(3) A Council, SSC, AP, or FIAC may close any meeting, or portion
thereof, that concerns internal administrative matters other than
employment. Examples of other internal administrative matters include
candidates for appointment to AP, SSC, and other subsidiary bodies and
public decorum or medical conditions of members of a Council or its
subsidiary bodies. In deciding whether to close a portion of a meeting
to discuss internal administrative matters, a Council or subsidiary
[[Page 18]]
body should consider not only the privacy interests of individuals whose
conduct or qualifications may be discussed, but also the interest of the
public in being informed of Council operations and actions.
(d) Without the notice required by paragraph (c) of this section, a
Council, SSC, AP, or FIAC may briefly close a portion of a meeting to
discuss employment or other internal administrative matters. The closed
portion of a meeting that is closed without notice may not exceed 2
hours.
(e) Before closing a meeting or portion thereof, a Council or
subsidiary body should consult with the NOAA General Counsel Office to
ensure that the matters to be discussed fall within the exceptions to
the requirement to hold public meetings described in paragraph (c) of
this section.
(f) Actions that affect the public, although based on discussions in
closed meetings, must be taken in public. For example, appointments to
an AP must be made in the public part of the meeting; however, a
decision to take disciplinary action against a Council employee need not
be announced to the public.
(g) A majority of the voting members of any Council constitute a
quorum for Council meetings, but one or more such members designated by
the Council may hold hearings.
(h) Decisions of any Council are by majority vote of the voting
members present and voting (except for a vote to propose removal of a
Council member, see 50 CFR 600.230). Voting by proxy is permitted only
pursuant to 50 CFR 600.205 (b). An abstention does not affect the
unanimity of a vote.
(i) Voting members of the Council who disagree with the majority on
any issue to be submitted to the Secretary, including principal state
officials raising federalism issues, may submit a written statement of
their reasons for dissent. If any Council member elects to file such a
statement, it should be submitted to the Secretary at the same time the
majority report is submitted.
[66 FR 57887, Nov. 19, 2001]
Sec. 600.150 Disposition of records.
(a) Council records must be handled in accordance with NOAA records
management office procedures. All records and documents created or
received by Council employees while in active duty status belong to the
Federal Government. When employees leave the Council, they may not take
the original or file copies of records with them.
(b) [Reserved]
[66 FR 57887, Nov. 19, 2001]
Sec. 600.155 Freedom of Information Act (FOIA) requests.
(a) FOIA requests received by a Council should be coordinated
promptly with the appropriate NMFS Regional Office. The Region will
forward the request to the NMFS FOIA Official to secure a FOIA number
and log into the FOIA system. The Region will also obtain clearance from
the NOAA General Counsel's Office concerning initial determination for
denial of requested information.
(b) FOIA requests will be controlled and documented in the Region.
The requests should be forwarded to the NMFS FOIA Officer who will
prepare the Form CD-244, ``FOIA Request and Action Record'', with the
official FOIA number and due date. In the event the Region determines
that the requested information is exempt from disclosure, in full or in
part, under the FOIA, the denial letter prepared for the Assistant
Administrator's signature, along with the ``Foreseeable Harm'' Memo and
list of documents to be withheld, must be cleared through the NMFS FOIA
Officer. Upon completion, a copy of the signed CD-244 and cover letter
transmitting the information should be provided to the NMFS FOIA Officer
and the NOAA FOIA Officer.
[66 FR 57887, Nov. 19, 2001]
Subpart C_Council Membership
Sec. 600.205 Principal state officials and their designees.
(a) Only a full-time state employee of the state agency responsible
for marine and/or anadromous fisheries shall be appointed by a
constituent state Governor as the principal state official for purposes
of section 302(b) of the Magnuson-Stevens Act.
(b) A principal state official may name his/her designee(s) to act
on his/
[[Page 19]]
her behalf at Council meetings. Individuals designated to serve as
designees of a principal state official on a Council, pursuant to
section 302(b)(1)(A) of the Magnuson-Stevens Act, must be a resident of
the state and be knowledgeable and experienced, by reason of his or her
occupational or other experience, scientific expertise, or training, in
the fishery resources of the geographic area of concern to the Council.
(c) New or revised appointments by state Governors of principal
state officials and new or revised designations by principal state
officials of their designees(s) must be delivered in writing to the
appropriate NMFS Regional Administrator and the Council chair at least
48 hours before the individual may vote on any issue before the Council.
A designee may not name another designee. Written appointment of the
principal state official must indicate his or her employment status, how
the official is employed by the state fisheries agency, and whether the
official's full salary is paid by the state. Written designation(s) by
the principal state official must indicate how the designee is
knowledgeable and experienced in fishery resources of the geographic
area of concern to the Council, the County in which the designee
resides, and whether the designee's salary is paid by the state.
[66 FR 57888, Nov. 19, 2001]
Sec. 600.210 Terms of Council members.
(a) Voting members (other than principal state officials, the
Regional Administrators, or their designees) are appointed for a term of
3 years and, except as discussed in paragraphs (b) and (c) of this
section, may be reappointed. A voting member's Council service of 18
months or more during a term of office will be counted as service for
the entire 3-year term.
(b) The anniversary date for measuring terms of membership is August
11. The Secretary may designate a term of appointment shorter than 3
years, if necessary, to provide for balanced expiration of terms of
office. Members may not serve more than three consecutive terms.
(c) A member appointed after January 1, 1986, who has completed
three consecutive terms will be eligible for appointment to another term
one full year after completion of the third consecutive term.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7073, Feb. 12, 1998]
Sec. 600.215 Council nomination and appointment procedures.
(a) General. (1) Each year, the 3-year terms for approximately one-
third of the appointed members of the Councils expire. The Secretary of
Commerce (Secretary) will appoint or new members or will reappoint
seated members to another term to fill the seats being vacated.
(2) There are two categories of seats to which voting members are
appointed: ``Obligatory'' and ``At-large.''
(i) Obligatory seats are state specific. Each constituent state is
entitled to one seat on the Council on which it is a member, except that
the State of Alaska is entitled to five seats and the State of
Washington is entitled to two seats on the North Pacific Fishery
Management Council. When the term of a state's obligatory member is
expiring or when that seat becomes vacant before the expiration of its
term, the governor of that state must submit the names of at least three
qualified individuals to fill that Council seat.
(ii) The Magnuson-Stevens Act also provides for appointment, by the
Secretary, of one treaty Indian tribal representative to the Pacific
Fishery Management Council (Pacific Council). To fill that seat, the
Secretary solicits written nominations from the heads of governments of
those Indian Tribes with federally recognized fishing rights from the
States of California, Oregon, Washington, or Idaho. The list of nominees
must contain a total of at least three individuals who are knowledgeable
and experienced regarding the fishery resources under the authority of
the Pacific Council. The Secretary will appoint one tribal Indian
representative from this list to the Pacific Council for a term of 3
years and rotate the appointment among the tribes.
(iii) At-large seats are regional. When the term of an at-large
member is expiring or when that seat becomes vacant before the
expiration of a term, the governors of all constituent states
[[Page 20]]
of that Council must each submit the names of at least three qualified
individuals to fill the seat.
(b) Responsibilities of State Governors. (1) Council members are
selected by the Secretary from lists of nominees submitted by Governors
of the constituent states, pursuant to section 302(b)(2)(C) of the
Magnuson-Stevens Act. For each applicable vacancy, a Governor must
submit the names of at least three nominees who meet the qualification
requirements of the Magnuson-Stevens Act. A Governor must provide a
statement explaining how each of his/her nominees meet the qualification
requirements, and must also provide appropriate documentation to the
Secretary that each nomination was made in consultation with commercial
and recreational fishing interests of that state and that each nominee
is knowledgeable and experienced by reason of his or her occupational or
other experience, scientific expertise, or training in one or more of
the following ways related to the fishery resources of the geographical
area of concern to the Council:
(i) Commercial fishing or the processing or marketing of fish, fish
products, or fishing equipment;
(ii) Fishing for pleasure, relaxation, or consumption, or experience
in any business supporting fishing;
(iii) Leadership in a state, regional, or national organization
whose members participate in a fishery in the Council's area of
authority;
(iv) The management and conservation of natural resources, including
related interactions with industry, government bodies, academic
institutions, and public agencies. This includes experience serving as a
member of a Council, Advisory Panel, Scientific and Statistical
Committee, or Fishing Industry Advisory Committee;
(v) Representing consumers of fish or fish products through
participation in local, state, or national organizations, or performing
other activities specifically related to the education or protection of
consumers of marine resources; or
(vi) Teaching, journalism, writing, consulting, practicing law, or
researching matters related to fisheries, fishery management, and marine
resource conservation.
(2) To assist in identifying qualifications, each nominee must
furnish to the appropriate governor's office a current resume, or
equivalent, describing career history--with particular attention to
experience related to the criteria in paragraph (b)(1) of this section.
Nominees may provide such information in any format they wish.
(3) A constituent State Governor must determine the state of
residency of each of his/her nominees. A Governor may not nominate a
non-resident of that state for appointment to a Council seat obligated
to that state. A Governor may nominate residents of another constituent
state of a Council for appointment to an at large seat on that Council.
(4) If, at any time during a term, a member changes residency to
another state that is not a constituent state of that Council, or a
member appointed to an obligatory seat changes residency to any other
state, the member may no longer vote and must resign from the Council.
For purposes of this paragraph, a state resident is an individual who
maintains his/her principal residence within that constituent state and
who, if applicable, pays income taxes to that state and/or to another
appropriate jurisdiction within that state.
(5) When the terms of both an obligatory member and an at-large
member expire concurrently, the Governor of the state holding the
expiring obligatory seat may indicate that the nominees who were not
selected for appointment to the obligatory seat may be considered for
appointment to an at-large seat, provided that the resulting total
number of nominees submitted by that governor for the expiring at-large
seat is no fewer than three different nominees. When obligatory and at-
large seats do not expire concurrently, the Secretary may select from
any of the nominees for such obligatory seat and from the nominees for
any at-large seat submitted by the Governor of that state, provided that
the resulting total number of nominees submitted by that Governor for
the expiring seats is no fewer than six. If a total of fewer than
[[Page 21]]
six nominees is submitted by the Governor, each of the six will be
considered for the expiring obligatory seat, but not for the expiring
at-large seat.
(c) Responsibilities of eligible tribal Indian governments. The
tribal Indian representative on the Pacific Council will be selected by
the Secretary from a list of no fewer than three individuals submitted
by the tribal Indian governments with federally recognized fishing
rights from California, Oregon, Washington, and Idaho, pursuant to
section 302(b)(5) of the Magnuson-Stevens Act. To assist in assessing
the qualifications of each nominee, each head of an appropriate tribal
Indian government must furnish to the Assistant Administrator a current
resume, or equivalent, describing the nominee's qualifications, with
emphasis on knowledge and experience related to the fishery resources
affected by recommendations of the Pacific Council. Prior service on the
Pacific Council in a different capacity will not disqualify nominees
proposed by tribal Indian governments.
(d) Nomination deadlines. Nomination letters and completed kits must
be forwarded by express mail under a single mailing to the address
specified by the Assistant Administrator by March 15. For appointments
outside the normal cycle, a different deadline for receipt of
nominations will be announced.
(1) Obligatory seats. (i) The governor of the state for which the
term of an obligatory seat is expiring must submit the names of at least
three qualified individuals to fill that seat by the March 15 deadline.
The Secretary will appoint to the Pacific Council a representative of an
Indian tribe from a list of no fewer than three individuals submitted by
the tribal Indian governments.
(ii) If the nominator fails to provide a nomination letter and at
least three complete nomination kits by March 15, the obligatory seat
will remain vacant until all required information has been received and
processed and the Secretary has made the appointment.
(2) At-large seats. (i) If a Governor chooses to submit nominations
for an at-large seat, he/she must submit lists that contain at least
three different qualified nominees for each vacant seat. A nomination
letter and at least three complete nomination kits must be forwarded by
express mail under a single mailing to the address specified by the
Assistant Administrator by March 15.
(ii) Nomination packages that are incomplete after March 15 will be
returned to the nominating Governor and will be processed no further.
At-large members will be appointed from among the nominations submitted
by the governors who complied with the nomination requirements and the
March 15 deadline.
(e) Responsibilities of the Secretary. (1) The Secretary must, to
the extent practicable, ensure a fair and balanced apportionment, on a
rotating or other basis, of the active participants (or their
representatives) in the commercial and recreational fisheries in the
Council's area of authority. Further, the Secretary must take action to
ensure, to the extent practicable, that those persons dependent for
their livelihood upon the fisheries in the Council's area of authority
are fairly represented as voting members on the Councils.
(2) The Secretary will review each list submitted by a governor or
the tribal Indian governments to ascertain whether the individuals on
the list are qualified for the vacancy. If the Secretary determines that
a nominee is not qualified, the Secretary will notify the appropriate
Governor or tribal Indian government of that determination. The Governor
or tribal Indian government shall then submit a revised list of nominees
or resubmit the original list with an additional explanation of the
qualifications of the nominee in question. The Secretary reserves the
right to determine whether nominees are qualified.
(3) The Secretary will select the appointees from lists of qualified
nominees provided by the Governors of the constituent Council states or
of the tribal Indian governments that are eligible to nominate
candidates for that vacancy.
(i) For Governor-nominated seats, the Secretary will select an
appointee for an obligatory seat from the list of qualified nominees
submitted by the governor of the state. In filling expiring at-large
seats, the Secretary will select an appointee(s) for an at-large
[[Page 22]]
seat(s) from the list of all qualified candidates submitted. The
Secretary will consider only complete slates of nominees submitted by
the governors of the Council's constituent states. When an appointed
member vacates his/her seat prior to the expiration of his/her term, the
Secretary will fill the vacancy for the remainder of the term by
selecting from complete nomination letters and kits that are timely and
contain the required number of candidates.
(ii) For the tribal Indian seat, the Secretary will solicit
nominations of individuals for the list referred to in paragraph (c) of
this section only from those Indian tribes with federally recognized
fishing rights from California, Oregon, Washington, or Idaho. The
Secretary will consult with the Bureau of Indian Affairs, Department of
the Interior, to determine which Indian tribes may submit nominations.
Any vacancy occurring prior to the expiration of any term shall be
filled in the same manner as described in paragraphs (d)(1) and (2) of
this section, except that the Secretary may use the list referred to in
paragraph (b)(1) of this section from which the vacating member was
chosen. The Secretary shall rotate the appointment among the tribes,
taking into consideration:
(A) The qualifications of the individuals on the list referred to in
paragraph (c) of this section.
(B) The various rights of the Indian tribes involved, and judicial
cases that set out the manner in which these rights are to be exercised.
(C) The geographic area in which the tribe of the representative is
located.
(D) The limitation that no tribal Indian representative shall serve
more than three consecutive terms in the Indian tribal seat.
[64 FR 4600, Jan. 29, 1999]
Sec. 600.220 Oath of office.
Each member appointed to a Council must take an oath of office.
Sec. 600.225 Rules of conduct.
(a) Council members, as Federal office holders, and Council
employees are subject to most Federal criminal statutes covering
bribery, conflict-of-interest, disclosure of confidential information,
and lobbying with appropriated funds.
(b) The Councils are responsible for maintaining high standards of
ethical conduct among themselves, their staffs, and their advisory
groups. In addition to abiding by the applicable Federal conflict of
interest statutes, both members and employees of the Councils must
comply with the following standards of conduct:
(1) No employee of a Council may use his or her official authority
or influence derived from his or her position with the Council for the
purpose of interfering with or affecting the result of an election to or
a nomination for any national, state, county, or municipal elective
office.
(2) No employee of a Council may be deprived of employment,
position, work, compensation, or benefit provided for or made possible
by the Magnuson-Stevens Act on account of any political activity or lack
of such activity in support of or in opposition to any candidate or any
political party in any national, state, county, or municipal election,
or on account of his or her political affiliation.
(3) No Council member or employee may pay, offer, promise, solicit,
or receive from any person, firm, or corporation a contribution of money
or anything of value in consideration of either support or the use of
influence or the promise of support or influence in obtaining for any
person any appointive office, place, or employment under the Council.
(4) No employee of a Council may have a direct or indirect financial
interest that conflicts with the fair and impartial conduct of his or
her Council duties.
(5) No Council member, employee of a Council, or member of a Council
advisory group may use or allow the use, for other than official
purposes, of information obtained through or in connection with his or
her Council employment that has not been made available to the general
public.
(6) No Council member or employee of the Council may engage in
criminal, infamous, dishonest, notoriously immoral, or disgraceful
conduct.
[[Page 23]]
(7) No Council member or employee of the Council may use Council
property on other than official business. Such property must be
protected and preserved from improper or deleterious operation or use.
(8)(i) Except as provided in Sec. 600.235(h) or in 18 U.S.C. 208,
no Council member may participate personally and substantially as a
member through decision, approval, disapproval, recommendation, the
rendering of advice, investigation, or otherwise, in a particular matter
in which the member, the member's spouse, minor child, general partner,
organization in which the member is serving as officer, director,
trustee, general partner, or employee, or any person or organization
with whom the member is negotiating or has any arrangement concerning
prospective employment, has a financial interest. (Note that this
financial interest is broader than the one defined in Sec. 600.235(a).)
(ii) No Council member may participate personally and substantially
as a member through decision, approval, disapproval, recommendation, the
rendering of advice, investigation, or otherwise, in a particular matter
primarily of individual concern, such as a contract, in which he or she
has a financial interest, even if the interest has been disclosed in
accordance with Sec. 600.235.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 63
FR 64185, Nov. 19, 1998]
Sec. 600.230 Removal.
The Secretary may remove for cause any Secretarially appointed
member of a Council in accordance with section 302(b)(6) of the
Magnuson-Stevens Act, wherein the Council concerned first recommends
removal of that member by not less than two-thirds of the voting
members. A recommendation of a Council to remove a member must be made
in writing to the Secretary and accompanied by a statement of the
reasons upon which the recommendation is based.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7073, Feb. 12, 1998]
Sec. 600.235 Financial disclosure.
(a) Definitions. For purposes of Sec. 600.235:
Affected individual means an individual who is--
(1) Nominated by the Governor of a state or appointed by the
Secretary of Commerce to serve as a voting member of a Council in
accordance with section 302(b)(2) of the Magnuson-Stevens Act; or
(2) A representative of an Indian tribe appointed to the Pacific
Council by the Secretary of Commerce under section 302(b)(5) of the
Magnuson-Stevens Act who is not subject to disclosure and recusal
requirements under the laws of an Indian tribal government.
Council decision means approval of a fishery management plan (FMP)
or FMP amendment (including any proposed regulations); request for
amendment to regulations implementing an FMP; finding that an emergency
exists involving any fishery (including recommendations for responding
to the emergency); and comments to the Secretary on FMPs or amendments
developed by the Secretary. It does not include a vote by a committee of
a Council.
Designated official means an attorney designated by the NOAA General
Counsel.
Financial interest in harvesting, processing, or marketing (1)
includes:
(i) Stock, equity, or other ownership interests in, or employment
with, any company, business, fishing vessel, or other entity engaging in
any harvesting, processing, or marketing activity in any fishery under
the jurisdiction of the Council concerned;
(ii) Stock, equity, or other ownership interests in, or employment
with, any company or other entity that provides equipment or other
services essential to harvesting, processing, or marketing activities in
any fishery under the jurisdiction of the Council concerned, such as a
chandler or a dock operation.
(iii) Employment with, or service as an officer, director, or
trustee of, an association whose members include companies, vessels, or
other entities engaged in harvesting, processing, or marketing
activities, or companies or
[[Page 24]]
other entities providing services essential to harvesting, processing,
or marketing activities in any fishery under the jurisdiction of the
Council concerned; and
(iv) Employment with an entity providing consulting, legal, or
representational services to any entity engaging in, or providing
equipment or services essential to, harvesting, processing, or marketing
activities in any fishery under the jurisdiction of the Council
concerned, or to any association whose members include entities engaged
in the activities described in paragraphs (1) (i) and (ii) of this
definition;
(2) Does not include stock, equity, or other ownership interests in,
or employment with, an entity engaging in advocacy on environmental
issues or in scientific fisheries research in any fishery under the
jurisdiction of the Council concerned, unless it is covered under
paragraph (1) of this definition. A financial interest in such entities
is covered by 18 U.S.C. 208, the Federal conflict-of-interest statute.
(b) Reporting. (1) The Magnuson-Stevens Act requires the disclosure
by each affected individual of any financial interest in harvesting,
processing, or marketing activity, and of any such financial interest of
the affected individual's spouse, minor child, partner, or any
organization (other than the Council) in which that individual is
serving as an officer, director, trustee, partner, or employee. The
information required to be reported must be disclosed on NOAA Form 88-
195, ``Statement of Financial Interests for Use by Voting Members and
Nominees of Regional Fishery Management Councils'' (Financial Interest
Form), or such other form as the Secretary may prescribe.
(2) The Financial Interest Form must be filed by each nominee for
Secretarial appointment with the Assistant Administrator by April 15 or,
if nominated after March 15, 1 month after nomination by the Governor. A
seated voting member appointed by the Secretary must file a Financial
Interest Form with the Executive Director of the appropriate Council
within 45 days of taking office; must file an update of his or her
statement with the Executive Director of the appropriate Council within
30 days of the time any such financial interest is acquired or
substantially changed by the affected individual or the affected
individual's spouse, minor child, partner, or any organization (other
than the Council) in which that individual is serving as an officer,
director, trustee, partner, or employee; and must update his or her form
annually and file that update with the Executive Director of the
appropriate Council by February 1 of each year.
(3) The Executive Director must, in a timely manner, provide copies
of the financial disclosure forms and all updates to the NMFS Regional
Administrator for the geographic area concerned, the Regional Attorney
who advises the Council, the Department of Commerce Assistant General
Counsel for Administration, and the NMFS Office of Sustainable
Fisheries. The completed financial interest forms will be kept on file
in the office of the NMFS Regional Administrator for the geographic area
concerned and at the Council offices, and will be made available for
public inspection at such offices during normal office hours. In
addition, the forms will be made available at each Council meeting or
hearing.
(4) Councils must retain the disclosure form for each affected
individual for at least 5 years after the expiration of that
individual's last term.
(c) Restrictions on voting. (1) No affected individual may vote on
any Council decision that would have a significant and predictable
effect on a financial interest disclosed in his/her report filed under
paragraph (b) of this section.
(2) As used in this section, a Council decision will be considered
to have a ``significant and predictable effect on a financial interest''
if there is a close causal link between the decision and an expected and
substantially disproportionate benefit to the financial interest in
harvesting, processing, or marketing of any affected individual or the
affected individual's spouse, minor child, partner, or any organization
(other than the Council) in which that individual is serving as an
officer, director, trustee, partner, or employee, relative to the
financial interests of
[[Page 25]]
other participants in the same gear type or sector of the fishery. The
relative financial interests of the affected individual and other
participants will be determined with reference to the most recent
fishing year for which information is available. However, for fisheries
in which IFQs are assigned, the percentage of IFQs assigned to the
affected individual will be dispositive.
(3) ``Expected and substantially disproportionate benefit'' means a
quantifiable positive or negative impact with regard to a matter likely
to affect a fishery or sector of the fishery in which the affected
individual has a significant interest, as indicated by:
(i) A greater than 10-percent interest in the total harvest of the
fishery or sector of the fishery in question;
(ii) A greater than 10-percent interest in the marketing or
processing of the total harvest of the fishery or sector of the fishery
in question; or
(iii) Full or partial ownership of more than 10 percent of the
vessels using the same gear type within the fishery or sector of the
fishery in question.
(d) Voluntary recusal. An affected individual who believes that a
Council decision would have a significant and predictable effect on that
individual's financial interest disclosed under paragraph (b) of this
section may, at any time before a vote is taken, announce to the Council
an intent not to vote on the decision.
(e) Participation in deliberations. Notwithstanding paragraph (c) of
this section, an affected individual who is recused from voting under
this section may participate in Council and committee deliberations
relating to the decision, after notifying the Council of the voting
recusal and identifying the financial interest that would be affected.
(f) Requests for determination. (1) At the request of an affected
individual, the designated official shall determine for the record
whether a Council decision would have a significant and predictable
effect on that individual's financial interest. The determination will
be based upon a review of the information contained in the individual's
financial disclosure form and any other reliable and probative
information provided in writing. All information considered will be made
part of the public record for the decision. The affected individual may
request a determination by notifying the designated official--
(i) Within a reasonable time before the Council meeting at which the
Council decision will be made; or
(ii) During a Council meeting before a Council vote on the decision.
(2) The designated official may initiate a determination on the
basis of--
(i) His or her knowledge of the fishery and the financial interests
disclosed by an affected individual; or
(ii) Written and signed information received within a reasonable
time before a Council meeting or, if the issue could not have been
anticipated before the meeting, during a Council meeting before a
Council vote on the decision.
(3) At the beginning of each Council meeting, or during a Council
meeting at any time reliable and probative information is received, the
designated official shall announce the receipt of information relevant
to a determination concerning recusal, the nature of that information,
and the identity of the submitter of such information.
(4) If the designated official determines that the affected
individual may not vote, the individual may state for the record how he
or she would have voted. A Council Chair may not allow such an
individual to cast a vote.
(5) A reversal of a determination under paragraph (g) of this
section may not be treated as cause for invalidation or reconsideration
by the Secretary of a Council's decision.
(g) Review of determinations. (1) Any Council member may file a
written request to the NOAA General Counsel for review of the designated
official's determination. A request for review must be received within
10 days of the determination.
(2) A request must include a full statement in support of the
review, including a concise statement as to why the Council's decision
did or did not have a significantly disproportionate benefit to the
financial interest of the affected individual relative to the financial
interests of other participants in the same gear type or sector of the
[[Page 26]]
fishery, and why the designated official's determination should be
reversed.
(3) If the request for review is from a Council member other than
the affected individual whose vote is at issue, the requester must
provide a copy of the request to the affected individual at the same
time it is submitted to the NOAA General Counsel. The affected
individual may submit a response to the NOAA General Counsel within 10
days from the date of his/her receipt of the request for review.
(4) The NOAA General Counsel must complete the review and issue a
decision within 30 days from the date of receipt of the request for
review. The NOAA General Counsel will limit the review to the record
before the designated official at the time of the determination, the
request, and any response.
(h) Exemption from other statutes. The provisions of 18 U.S.C. 208
regarding conflicts of interest do not apply to an affected individual
who is in compliance with the requirements of this section for filing a
financial disclosure report.
(i) Violations and penalties. It is unlawful for an affected
individual to knowingly and willfully fail to disclose, or to falsely
disclose, any financial interest as required by this section, or to
knowingly vote on a Council decision in violation of this section. In
addition to the penalties applicable under Sec. 600.735, a violation of
this provision may result in removal of the affected individual from
Council membership.
[63 FR 64185, Nov. 19, 1998]
Sec. 600.240 Security assurances.
(a) DOC/OS will issue security assurances to Council nominees and
members following completion of background checks. Security assurances
will be valid for 5 years from the date of issuance. A security
assurance will not entitle the member to access classified data. In
instances in which Council members may need to discuss, at closed
meetings, materials classified for national security purposes, the
agency or individual (e.g., DOS, USCG) providing such classified
information will be responsible for ensuring that Council members and
other attendees have the appropriate security clearances.
(b) Each nominee to a Council is required to complete a
Certification of Status form (``form''). All nominees must certify,
pursuant to the Foreign Agents Registration Act of 1938, whether they
serve as an agent of a foreign principal. Each nominee must certify,
date, sign, and return the form with his or her completed nomination
kit. Nominees will not be considered for appointment to a Council if
they have not filed this form. Any nominee who currently is an agent of
a foreign principal will not be eligible for appointment to a Council,
and therefore should not be nominated by a Governor for appointment.
Sec. 600.245 Council member compensation.
(a) All voting Council members whose eligibility for compensation
has been established in accordance with NOAA guidelines will be paid
through the cooperative agreement as a direct line item on a contractual
basis without deductions being made for Social Security or Federal and
state income taxes. A report of compensation will be furnished each year
by the member's Council to the proper Regional Program Officer, as
required by the Internal Revenue Service. Such compensation may be paid
on a full day's basis, whether in excess of 8 hours a day or less than 8
hours a day. The time is compensable where the individual member is
required to expend a significant private effort that substantially
disrupts the daily routine to the extent that a work day is lost to the
member. ``Homework'' time in preparation for formal Council meetings is
not compensable.
(b) Non-government Council members receive compensation for:
(1) Days spent in actual attendance at a meeting of the Council or
jointly with another Council.
(2) Travel on the day preceding or following a scheduled meeting
that precluded the member from conducting his normal business on the day
in question.
[[Page 27]]
(3) Meetings of standing committees of the Council if approved in
advance by the Chair.
(4) Individual member meeting with scientific and technical
advisors, when approved in advance by the Chair and a substantial
portion of any day is spent at the meeting.
(5) Conducting or attending hearings, when authorized in advance by
the Chair.
(6) Other meetings involving Council business when approved in
advance by the Chair.
(c) The Executive Director of each Council must submit to the
appropriate Regional Office annually a report, approved by the Council
Chair, of Council member compensation authorized. This report shall
identify, for each member, amount paid, dates, and location and purpose
of meetings attended.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 66
FR 57888, Nov. 19, 2001]
Subpart D_National Standards
Sec. 600.305 General.
(a) Purpose. (1) This subpart establishes guidelines, based on the
national standards, to assist in the development and review of FMPs,
amendments, and regulations prepared by the Councils and the Secretary.
(2) In developing FMPs, the Councils have the initial authority to
ascertain factual circumstances, to establish management objectives, and
to propose management measures that will achieve the objectives. The
Secretary will determine whether the proposed management objectives and
measures are consistent with the national standards, other provisions of
the Magnuson-Stevens Act, and other applicable law. The Secretary has an
obligation under section 301(b) of the Magnuson-Stevens Act to inform
the Councils of the Secretary's interpretation of the national standards
so that they will have an understanding of the basis on which FMPs will
be reviewed.
(3) The national standards are statutory principles that must be
followed in any FMP. The guidelines summarize Secretarial
interpretations that have been, and will be, applied under these
principles. The guidelines are intended as aids to decisionmaking; FMPs
formulated according to the guidelines will have a better chance for
expeditious Secretarial review, approval, and implementation. FMPs that
are in substantial compliance with the guidelines, the Magnuson-Stevens
Act, and other applicable law must be approved.
(b) Fishery management objectives. (1) Each FMP, whether prepared by
a Council or by the Secretary, should identify what the FMP is designed
to accomplish (i.e., the management objectives to be attained in
regulating the fishery under consideration). In establishing objectives,
Councils balance biological constraints with human needs, reconcile
present and future costs and benefits, and integrate the diversity of
public and private interests. If objectives are in conflict, priorities
should be established among them.
(2) How objectives are defined is important to the management
process. Objectives should address the problems of a particular fishery.
The objectives should be clearly stated, practicably attainable, framed
in terms of definable events and measurable benefits, and based upon a
comprehensive rather than a fragmentary approach to the problems
addressed. An FMP should make a clear distinction between objectives and
the management measures chosen to achieve them. The objectives of each
FMP provide the context within which the Secretary will judge the
consistency of an FMP's conservation and management measures with the
national standards.
(c) Word usage. The word usage refers to all regulations in this
subpart.
(1) Must is used, instead of ``shall'', to denote an obligation to
act; it is used primarily when referring to requirements of the
Magnuson-Stevens Act, the logical extension thereof, or of other
applicable law.
(2) Shall is used only when quoting statutory language directly, to
avoid confusion with the future tense.
(3) Should is used to indicate that an action or consideration is
strongly recommended to fulfill the Secretary's interpretation of the
Magnuson-Stevens Act, and is a factor reviewers will look for in
evaluating a SOPP or FMP.
[[Page 28]]
(4) May is used in a permissive sense.
(5) May not is proscriptive; it has the same force as ``must not.''
(6) Will is used descriptively, as distinguished from denoting an
obligation to act or the future tense.
(7) Could is used when giving examples, in a hypothetical,
permissive sense.
(8) Can is used to mean ``is able to,'' as distinguished from
``may.''
(9) Examples are given by way of illustration and further
explanation. They are not inclusive lists; they do not limit options.
(10) Analysis, as a paragraph heading, signals more detailed
guidance as to the type of discussion and examination an FMP should
contain to demonstrate compliance with the standard in question.
(11) Council includes the Secretary, as applicable, when preparing
FMPs or amendments under section 304(c) and (g) of the Magnuson-Stevens
Act.
(12) Stock or stock complex is used as a synonym for ``fishery'' in
the sense of the Magnuson-Stevens Act's first definition of the term;
that is, as ``one or more stocks of fish that can be treated as a unit
for purposes of conservation and management and that are identified on
the basis of geographic, scientific, technical, recreational, or
economic characteristics,'' as distinguished from the Magnuson-Stevens
Act's second definition of fishery as ``any fishing for such stocks.''
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 63
FR 24229, May 1, 1998]
Sec. 600.310 National Standard 1--Optimum Yield.
(a) Standard 1. Conservation and management measures shall prevent
overfishing while achieving, on a continuing basis, the OY from each
fishery for the U.S. fishing industry.
(b) General. The determination of OY is a decisional mechanism for
resolving the Magnuson-Stevens Act's multiple purposes and policies,
implementing an FMP's objectives, and balancing the various interests
that comprise the national welfare. OY is based on MSY, or on MSY as it
may be reduced under paragraph (f)(3) of this section. The most
important limitation on the specification of OY is that the choice of OY
and the conservation and management measures proposed to achieve it must
prevent overfishing.
(c) MSY. Each FMP should include an estimate of MSY as explained in
this section.
(1) Definitions. (i) ``MSY'' is the largest long-term average catch
or yield that can be taken from a stock or stock complex under
prevailing ecological and environmental conditions.
(ii) ``MSY control rule'' means a harvest strategy which, if
implemented, would be expected to result in a long-term average catch
approximating MSY.
(iii) ``MSY stock size'' means the long-term average size of the
stock or stock complex, measured in terms of spawning biomass or other
appropriate units, that would be achieved under an MSY control rule in
which the fishing mortality rate is constant.
(2) Options in specifying MSY. (i) Because MSY is a theoretical
concept, its estimation in practice is conditional on the choice of an
MSY control rule. In choosing an MSY control rule, Councils should be
guided by the characteristics of the fishery, the FMP's objectives, and
the best scientific information available. The simplest MSY control rule
is to remove a constant catch in each year that the estimated stock size
exceeds an appropriate lower bound, where this catch is chosen so as to
maximize the resulting long-term average yield. Other examples include
the following: Remove a constant fraction of the biomass in each year,
where this fraction is chosen so as to maximize the resulting long-term
average yield; allow a constant level of escapement in each year, where
this level is chosen so as to maximize the resulting long-term average
yield; vary the fishing mortality rate as a continuous function of stock
size, where the parameters of this function are constant and chosen so
as to maximize the resulting long-term average yield. In any MSY control
rule, a given stock size is associated with a given level of fishing
mortality and a given level of potential harvest, where the long-term
average of these potential harvests provides an estimate of MSY.
[[Page 29]]
(ii) Any MSY values used in determining OY will necessarily be
estimates, and these will typically be associated with some level of
uncertainty. Such estimates must be based on the best scientific
information available (see Sec. 600.315) and must incorporate
appropriate consideration of risk (see Sec. 600.335). Beyond these
requirements, however, Councils have a reasonable degree of latitude in
determining which estimates to use and how these estimates are to be
expressed. For example, a point estimate of MSY may be expressed by
itself or together with a confidence interval around that estimate.
(iii) In the case of a mixed-stock fishery, MSY should be specified
on a stock-by-stock basis. However, where MSY cannot be specified for
each stock, then MSY may be specified on the basis of one or more
species as an indicator for the mixed stock as a whole or for the
fishery as a whole.
(iv) Because MSY is a long-term average, it need not be estimated
annually, but it must be based on the best scientific information
available, and should be re-estimated as required by changes in
environmental or ecological conditions or new scientific information.
(3) Alternatives to specifying MSY. When data are insufficient to
estimate MSY directly, Councils should adopt other measures of
productive capacity that can serve as reasonable proxies for MSY, to the
extent possible. Examples include various reference points defined in
terms of relative spawning per recruit. For instance, the fishing
mortality rate that reduces the long-term average level of spawning per
recruit to 30-40 percent of the long-term average that would be expected
in the absence of fishing may be a reasonable proxy for the MSY fishing
mortality rate. The long-term average stock size obtained by fishing
year after year at this rate under average recruitment may be a
reasonable proxy for the MSY stock size, and the long-term average catch
so obtained may be a reasonable proxy for MSY. The natural mortality
rate may also be a reasonable proxy for the MSY fishing mortality rate.
If a reliable estimate of pristine stock size (i.e., the long-term
average stock size that would be expected in the absence of fishing) is
available, a stock size approximately 40 percent of this value may be a
reasonable proxy for the MSY stock size, and the product of this stock
size and the natural mortality rate may be a reasonable proxy for MSY.
(d) Overfishing--(1) Definitions. (i) ``To overfish'' means to fish
at a rate or level that jeopardizes the capacity of a stock or stock
complex to produce MSY on a continuing basis.
(ii) ``Overfishing'' occurs whenever a stock or stock complex is
subjected to a rate or level of fishing mortality that jeopardizes the
capacity of a stock or stock complex to produce MSY on a continuing
basis.
(iii) In the Magnuson-Stevens Act, the term ``overfished'' is used
in two senses: First, to describe any stock or stock complex that is
subjected to a rate or level of fishing mortality meeting the criterion
in paragraph (d)(1)(i) of this section, and second, to describe any
stock or stock complex whose size is sufficiently small that a change in
management practices is required in order to achieve an appropriate
level and rate of rebuilding. To avoid confusion, this section uses
``overfished'' in the second sense only.
(2) Specification of status determination criteria. Each FMP must
specify, to the extent possible, objective and measurable status
determination criteria for each stock or stock complex covered by that
FMP and provide an analysis of how the status determination criteria
were chosen and how they relate to reproductive potential. Status
determination criteria must be expressed in a way that enables the
Council and the Secretary to monitor the stock or stock complex and
determine annually whether overfishing is occurring and whether the
stock or stock complex is overfished. In all cases, status determination
criteria must specify both of the following:
(i) A maximum fishing mortality threshold or reasonable proxy
thereof. The fishing mortality threshold may be expressed either as a
single number or as a function of spawning biomass or other measure of
productive capacity. The fishing mortality threshold must not exceed the
fishing mortality rate
[[Page 30]]
or level associated with the relevant MSY control rule. Exceeding the
fishing mortality threshold for a period of 1 year or more constitutes
overfishing.
(ii) A minimum stock size threshold or reasonable proxy thereof. The
stock size threshold should be expressed in terms of spawning biomass or
other measure of productive capacity. To the extent possible, the stock
size threshold should equal whichever of the following is greater: One-
half the MSY stock size, or the minimum stock size at which rebuilding
to the MSY level would be expected to occur within 10 years if the stock
or stock complex were exploited at the maximum fishing mortality
threshold specified under paragraph (d)(2)(i) of this section. Should
the actual size of the stock or stock complex in a given year fall below
this threshold, the stock or stock complex is considered overfished.
(3) Relationship of status determination criteria to other national
standards--(i) National standard 2. Status determination criteria must
be based on the best scientific information available (see Sec.
600.315). When data are insufficient to estimate MSY, Councils should
base status determination criteria on reasonable proxies thereof to the
extent possible (also see paragraph (c)(3) of this section). In cases
where scientific data are severely limited, effort should also be
directed to identifying and gathering the needed data.
(ii) National standard 3. The requirement to manage interrelated
stocks of fish as a unit or in close coordination notwithstanding (see
Sec. 600.320), status determination criteria should generally be
specified in terms of the level of stock aggregation for which the best
scientific information is available (also see paragraph (c)(2)(iii) of
this section).
(iii) National standard 6. Councils must build into the status
determination criteria appropriate consideration of risk, taking into
account uncertainties in estimating harvest, stock conditions, life
history parameters, or the effects of environmental factors (see Sec.
600.335).
(4) Relationship of status determination criteria to environmental
change. Some short-term environmental changes can alter the current size
of a stock or stock complex without affecting the long-term productive
capacity of the stock or stock complex. Other environmental changes
affect both the current size of the stock or stock complex and the long-
term productive capacity of the stock or stock complex.
(i) If environmental changes cause a stock or stock complex to fall
below the minimum stock size threshold without affecting the long-term
productive capacity of the stock or stock complex, fishing mortality
must be constrained sufficiently to allow rebuilding within an
acceptable time frame (also see paragraph (e)(4)(ii) of this section).
Status determination criteria need not be respecified.
(ii) If environmental changes affect the long-term productive
capacity of the stock or stock complex, one or more components of the
status determination criteria must be respecified. Once status
determination criteria have been respecified, fishing mortality may or
may not have to be reduced, depending on the status of the stock or
stock complex with respect to the new criteria.
(iii) If manmade environmental changes are partially responsible for
a stock or stock complex being in an overfished condition, in addition
to controlling effort, Councils should recommend restoration of habitat
and other ameliorative programs, to the extent possible (see also the
guidelines issued pursuant to section 305(b) of the Magnuson-Stevens Act
for Council actions concerning essential fish habitat).
(5) Secretarial approval of status determination criteria.
Secretarial approval or disapproval of proposed status determination
criteria will be based on consideration of whether the proposal:
(i) Has sufficient scientific merit.
(ii) Contains the elements described in paragraph (d)(2) of this
section.
(iii) Provides a basis for objective measurement of the status of
the stock or stock complex against the criteria.
(iv) Is operationally feasible.
(6) Exceptions. There are certain limited exceptions to the
requirement to prevent overfishing. Harvesting one species of a mixed-
stock complex at its optimum level may result in the overfishing of
another stock component in the complex. A Council may decide to
[[Page 31]]
permit this type of overfishing only if all of the following conditions
are satisfied:
(i) It is demonstrated by analysis (paragraph (f)(6) of this
section) that such action will result in long-term net benefits to the
Nation.
(ii) It is demonstrated by analysis that mitigating measures have
been considered and that a similar level of long-term net benefits
cannot be achieved by modifying fleet behavior, gear selection/
configuration, or other technical characteristic in a manner such that
no overfishing would occur.
(iii) The resulting rate or level of fishing mortality will not
cause any species or evolutionarily significant unit thereof to require
protection under the ESA.
(e) Ending overfishing and rebuilding overfished stocks--
(1)Definition. A threshold, either maximum fishing mortality or minimum
stock size, is being ``approached'' whenever it is projected that the
threshold will be breached within 2 years, based on trends in fishing
effort, fishery resource size, and other appropriate factors.
(2) Notification. The Secretary will immediately notify a Council
and request that remedial action be taken whenever the Secretary
determines that:
(i) Overfishing is occurring;
(ii) A stock or stock complex is overfished;
(iii) The rate or level of fishing mortality for a stock or stock
complex is approaching the maximum fishing mortality threshold;
(iv) A stock or stock complex is approaching its minimum stock size
threshold; or
(v) Existing remedial action taken for the purpose of ending
previously identified overfishing or rebuilding a previously identified
overfished stock or stock complex has not resulted in adequate progress.
(3) Council action. Within 1 year of such time as the Secretary may
identify that overfishing is occurring, that a stock or stock complex is
overfished, or that a threshold is being approached, or such time as a
Council may be notified of the same under paragraph (e)(2) of this
section, the Council must take remedial action by preparing an FMP, FMP
amendment, or proposed regulations. This remedial action must be
designed to accomplish all of the following purposes that apply:
(i) If overfishing is occurring, the purpose of the action is to end
overfishing.
(ii) If the stock or stock complex is overfished, the purpose of the
action is to rebuild the stock or stock complex to the MSY level within
an appropriate time frame.
(iii) If the rate or level of fishing mortality is approaching the
maximum fishing mortality threshold (from below), the purpose of the
action is to prevent this threshold from being reached.
(iv) If the stock or stock complex is approaching the minimum stock
size threshold (from above), the purpose of the action is to prevent
this threshold from being reached.
(4) Constraints on Council action. (i) In cases where overfishing is
occurring, Council action must be sufficient to end overfishing.
(ii) In cases where a stock or stock complex is overfished, Council
action must specify a time period for rebuilding the stock or stock
complex that satisfies the requirements of section 304(e)(4)(A) of the
Magnuson-Stevens Act.
(A) A number of factors enter into the specification of the time
period for rebuilding:
(1) The status and biology of the stock or stock complex;
(2) Interactions between the stock or stock complex and other
components of the marine ecosystem (also referred to as ``other
environmental conditions'');
(3) The needs of fishing communities;
(4) Recommendations by international organizations in which the
United States participates; and
(5) Management measures under an international agreement in which
the United States participates.
(B) These factors enter into the specification of the time period
for rebuilding as follows:
(1) The lower limit of the specified time period for rebuilding is
determined by the status and biology of the
[[Page 32]]
stock or stock complex and its interactions with other components of the
marine ecosystem, and is defined as the amount of time that would be
required for rebuilding if fishing mortality were eliminated entirely.
(2) If the lower limit is less than 10 years, then the specified
time period for rebuilding may be adjusted upward to the extent
warranted by the needs of fishing communities and recommendations by
international organizations in which the United States participates,
except that no such upward adjustment can result in the specified time
period exceeding 10 years, unless management measures under an
international agreement in which the United States participates dictate
otherwise.
(3) If the lower limit is 10 years or greater, then the specified
time period for rebuilding may be adjusted upward to the extent
warranted by the needs of fishing communities and recommendations by
international organizations in which the United States participates,
except that no such upward adjustment can exceed the rebuilding period
calculated in the absence of fishing mortality, plus one mean generation
time or equivalent period based on the species' life-history
characteristics. For example, suppose a stock could be rebuilt within 12
years in the absence of any fishing mortality, and has a mean generation
time of 8 years. The rebuilding period, in this case, could be as long
as 20 years.
(C) A rebuilding program undertaken after May 1, 1998 commences as
soon as the first measures to rebuild the stock or stock complex are
implemented.
(D) In the case of rebuilding plans that were already in place as of
May 1, 1998, such rebuilding plans must be reviewed to determine whether
they are in compliance with all requirements of the Magnuson-Stevens
Act, as amended by the Sustainable Fisheries Act.
(iii) For fisheries managed under an international agreement,
Council action must reflect traditional participation in the fishery,
relative to other nations, by fishermen of the United States.
(5) Interim measures. The Secretary, on his/her own initiative or in
response to a Council request, may implement interim measures to reduce
overfishing under section 305(c) of the Magnuson-Stevens Act, until such
measures can be replaced by an FMP, FMP amendment, or regulations taking
remedial action.
(i) These measures may remain in effect for no more than 180 days,
but may be extended for an additional 180 days if the public has had an
opportunity to comment on the measures and, in the case of Council-
recommended measures, the Council is actively preparing an FMP, FMP
amendment, or proposed regulations to address overfishing on a permanent
basis. Such measures, if otherwise in compliance with the provisions of
the Magnuson-Stevens Act, may be implemented even though they are not
sufficient by themselves to stop overfishing of a fishery.
(ii) If interim measures are made effective without prior notice and
opportunity for comment, they should be reserved for exceptional
situations, because they affect fishermen without providing the usual
procedural safeguards. A Council recommendation for interim measures
without notice-and-comment rulemaking will be considered favorably if
the short-term benefits of the measures in reducing overfishing outweigh
the value of advance notice, public comment, and deliberative
consideration of the impacts on participants in the fishery.
(f) OY--(1) Definitions. (i) The term ``optimum,'' with respect to
the yield from a fishery, means the amount of fish that will provide the
greatest overall benefit to the Nation, particularly with respect to
food production and recreational opportunities and taking into account
the protection of marine ecosystems; that is prescribed on the basis of
the MSY from the fishery, as reduced by any relevant economic, social,
or ecological factor; and, in the case of an overfished fishery, that
provides for rebuilding to a level consistent with producing the MSY in
such fishery.
(ii) In national standard 1, use of the phrase ``achieving, on a
continuing basis, the OY from each fishery'' means producing, from each
fishery, a long-term series of catches such that the average catch is
equal to the average OY and such that status determination criteria are
met.
[[Page 33]]
(2) Values in determination. In determining the greatest benefit to
the Nation, these values that should be weighed are food production,
recreational opportunities, and protection afforded to marine
ecosystems. They should receive serious attention when considering the
economic, social, or ecological factors used in reducing MSY to obtain
OY.
(i) The benefits of food production are derived from providing
seafood to consumers, maintaining an economically viable fishery
together with its attendant contributions to the national, regional, and
local economies, and utilizing the capacity of the Nation's fishery
resources to meet nutritional needs.
(ii) The benefits of recreational opportunities reflect the quality
of both the recreational fishing experience and non-consumptive fishery
uses such as ecotourism, fish watching, and recreational diving, and the
contribution of recreational fishing to the national, regional, and
local economies and food supplies.
(iii) The benefits of protection afforded to marine ecosystems are
those resulting from maintaining viable populations (including those of
unexploited species), maintaining evolutionary and ecological processes
(e.g., disturbance regimes, hydrological processes, nutrient cycles),
maintaining the evolutionary potential of species and ecosystems, and
accommodating human use.
(3) Factors relevant to OY. Because fisheries have finite
capacities, any attempt to maximize the measures of benefit described in
paragraph (f)(2) of this section will inevitably encounter practical
constraints. One of these is MSY. Moreover, various factors can
constrain the optimum level of catch to a value less than MSY. The
Magnuson-Stevens Act's definition of OY identifies three categories of
such factors: Social, economic, and ecological. Not every factor will be
relevant in every fishery. For some fisheries, insufficient information
may be available with respect to some factors to provide a basis for
corresponding reductions in MSY.
(i) Social factors. Examples are enjoyment gained from recreational
fishing, avoidance of gear conflicts and resulting disputes,
preservation of a way of life for fishermen and their families, and
dependence of local communities on a fishery. Other factors that may be
considered include the cultural place of subsistence fishing,
obligations under Indian treaties, and worldwide nutritional needs.
(ii) Economic factors. Examples are prudent consideration of the
risk of overharvesting when a stock's size or productive capacity is
uncertain, satisfaction of consumer and recreational needs, and
encouragement of domestic and export markets for U.S.-harvested fish.
Other factors that may be considered include the value of fisheries, the
level of capitalization, the decrease in cost per unit of catch afforded
by an increase in stock size, and the attendant increase in catch per
unit of effort, alternate employment opportunities, and economies of
coastal areas.
(iii) Ecological factors. Examples are stock size and age
composition, the vulnerability of incidental or unregulated stocks in a
mixed-stock fishery, predator-prey or competitive interactions, and
dependence of marine mammals and birds or endangered species on a stock
of fish. Also important are ecological or environmental conditions that
stress marine organisms, such as natural and manmade changes in wetlands
or nursery grounds, and effects of pollutants on habitat and stocks.
(4) Specification. (i) The amount of fish that constitutes the OY
should be expressed in terms of numbers or weight of fish. However, OY
may be expressed as a formula that converts periodic stock assessments
into target harvest levels; in terms of an annual harvest of fish or
shellfish having a minimum weight, length, or other measurement; or as
an amount of fish taken only in certain areas, in certain seasons, with
particular gear, or by a specified amount of fishing effort.
(ii) Either a range or a single value may be specified for OY.
Specification of a numerical, fixed-value OY does not preclude use of
annual target harvest levels that vary with stock size. Such target
harvest levels may be prescribed on the basis of an OY control rule
similar to the MSY control rule described
[[Page 34]]
in paragraph (c)(1)(ii) of this section, but designed to achieve OY on
average, rather than MSY. The annual harvest level obtained under an OY
control rule must always be less than or equal to the harvest level that
would be obtained under the MSY control rule.
(iii) All fishing mortality must be counted against OY, including
that resulting from bycatch, scientific research, and any other fishing
activities.
(iv) The OY specification should be translatable into an annual
numerical estimate for the purposes of establishing any TALFF and
analyzing impacts of the management regime. There should be a mechanism
in the FMP for periodic reassessment of the OY specification, so that it
is responsive to changing circumstances in the fishery.
(v) The determination of OY requires a specification of MSY, which
may not always be possible or meaningful. However, even where sufficient
scientific data as to the biological characteristics of the stock do not
exist, or where the period of exploitation or investigation has not been
long enough for adequate understanding of stock dynamics, or where
frequent large-scale fluctuations in stock size diminish the
meaningfulness of the MSY concept, the OY must still be based on the
best scientific information available. When data are insufficient to
estimate MSY directly, Councils should adopt other measures of
productive capacity that can serve as reasonable proxies for MSY to the
extent possible (also see paragraph (c)(3) of this section).
(vi) In a mixed-stock fishery, specification of a fishery-wide OY
may be accompanied by management measures establishing separate annual
target harvest levels for the individual stocks. In such cases, the sum
of the individual target levels should not exceed OY.
(5) OY and the precautionary approach. In general, Councils should
adopt a precautionary approach to specification of OY. A precautionary
approach is characterized by three features:
(i) Target reference points, such as OY, should be set safely below
limit reference points, such as the catch level associated with the
fishing mortality rate or level defined by the status determination
criteria. Because it is a target reference point, OY does not constitute
an absolute ceiling, but rather a desired result. An FMP must contain
conservation and management measures to achieve OY, and provisions for
information collection that are designed to determine the degree to
which OY is achieved on a continuing basis--that is, to result in a
long-term average catch equal to the long-term average OY, while meeting
the status determination criteria. These measures should allow for
practical and effective implementation and enforcement of the management
regime, so that the harvest is allowed to reach OY, but not to exceed OY
by a substantial amount. The Secretary has an obligation to implement
and enforce the FMP so that OY is achieved. If management measures prove
unenforceable--or too restrictive, or not rigorous enough to realize
OY--they should be modified; an alternative is to reexamine the adequacy
of the OY specification. Exceeding OY does not necessarily constitute
overfishing. However, even if no overfishing resulted from exceeding OY,
continual harvest at a level above OY would violate national standard 1,
because OY was not achieved on a continuing basis.
(ii) A stock or stock complex that is below the size that would
produce MSY should be harvested at a lower rate or level of fishing
mortality than if the stock or stock complex were above the size that
would produce MSY.
(iii) Criteria used to set target catch levels should be explicitly
risk averse, so that greater uncertainty regarding the status or
productive capacity of a stock or stock complex corresponds to greater
caution in setting target catch levels. Part of the OY may be held as a
reserve to allow for factors such as uncertainties in estimates of stock
size and DAH. If an OY reserve is established, an adequate mechanism
should be included in the FMP to permit timely release of the reserve to
domestic or foreign fishermen, if necessary.
(6) Analysis. An FMP must contain an assessment of how its OY
specification was determined (section 303(a)(3) of the Magnuson-Stevens
Act). It should relate the explanation of overfishing in
[[Page 35]]
paragraph (d) of this section to conditions in the particular fishery
and explain how its choice of OY and conservation and management
measures will prevent overfishing in that fishery. A Council must
identify those economic, social, and ecological factors relevant to
management of a particular fishery, then evaluate them to determine the
amount, if any, by which MSY exceeds OY. The choice of a particular OY
must be carefully defined and documented to show that the OY selected
will produce the greatest benefit to the Nation. If overfishing is
permitted under paragraph (d)(6) of this section, the assessment must
contain a justification in terms of overall benefits, including a
comparison of benefits under alternative management measures, and an
analysis of the risk of any species or ecologically significant unit
thereof reaching a threatened or endangered status, as well as the risk
of any stock or stock complex falling below its minimum stock size
threshold.
(7) OY and foreign fishing. Section 201(d) of the Magnuson-Stevens
Act provides that fishing by foreign nations is limited to that portion
of the OY that will not be harvested by vessels of the United States.
(i) DAH. Councils must consider the capacity of, and the extent to
which, U.S. vessels will harvest the OY on an annual basis. Estimating
the amount that U.S. fishing vessels will actually harvest is required
to determine the surplus.
(ii) DAP. Each FMP must assess the capacity of U.S. processors. It
must also assess the amount of DAP, which is the sum of two estimates:
The estimated amount of U.S. harvest that domestic processors will
process, which may be based on historical performance or on surveys of
the expressed intention of manufacturers to process, supported by
evidence of contracts, plant expansion, or other relevant information;
and the estimated amount of fish that will be harvested by domestic
vessels, but not processed (e.g., marketed as fresh whole fish, used for
private consumption, or used for bait).
(iii) JVP. When DAH exceeds DAP, the surplus is available for JVP.
JVP is derived from DAH.
[63 FR 24229, May 1, 1998]
Sec. 600.315 National Standard 2--Scientific Information.
(a) Standard 2. Conservation and management measures shall be based
upon the best scientific information available.
(b) FMP development. The fact that scientific information concerning
a fishery is incomplete does not prevent the preparation and
implementation of an FMP (see related Sec. Sec. 600.320(d)(2) and
600.340(b).
(1) Scientific information includes, but is not limited to,
information of a biological, ecological, economic, or social nature.
Successful fishery management depends, in part, on the timely
availability, quality, and quantity of scientific information, as well
as on the thorough analysis of this information, and the extent to which
the information is applied. If there are conflicting facts or opinions
relevant to a particular point, a Council may choose among them, but
should justify the choice.
(2) FMPs must take into account the best scientific information
available at the time of preparation. Between the initial drafting of an
FMP and its submission for final review, new information often becomes
available. This new information should be incorporated into the final
FMP where practicable; but it is unnecessary to start the FMP process
over again, unless the information indicates that drastic changes have
occurred in the fishery that might require revision of the management
objectives or measures.
(c) FMP implementation. (1) An FMP must specify whatever information
fishermen and processors will be required or requested to submit to the
Secretary. Information about harvest within state boundaries, as well as
in the EEZ, may be collected if it is needed for proper implementation
of the FMP and cannot be obtained otherwise. The FMP should explain the
practical utility of the information specified in monitoring the
fishery, in facilitating inseason management decisions, and in
[[Page 36]]
judging the performance of the management regime; it should also
consider the effort, cost, or social impact of obtaining it.
(2) An FMP should identify scientific information needed from other
sources to improve understanding and management of the resource, marine
ecosystem, and the fishery (including fishing communities).
(3) The information submitted by various data suppliers should be
comparable and compatible, to the maximum extent possible.
(d) FMP amendment. FMPs should be amended on a timely basis, as new
information indicates the necessity for change in objectives or
management measures.
(e) SAFE Report. (1) The SAFE report is a document or set of
documents that provides Councils with a summary of information
concerning the most recent biological condition of stocks and the marine
ecosystems in the FMU and the social and economic condition of the
recreational and commercial fishing interests, fishing communities, and
the fish processing industries. It summarizes, on a periodic basis, the
best available scientific information concerning the past, present, and
possible future condition of the stocks, marine ecosystems, and
fisheries being managed under Federal regulation.
(i) The Secretary has the responsibility to assure that a SAFE
report or similar document is prepared, reviewed annually, and changed
as necessary for each FMP. The Secretary or Councils may utilize any
combination of talent from Council, state, Federal, university, or other
sources to acquire and analyze data and produce the SAFE report.
(ii) The SAFE report provides information to the Councils for
determining annual harvest levels from each stock, documenting
significant trends or changes in the resource, marine ecosystems, and
fishery over time, and assessing the relative success of existing state
and Federal fishery management programs. Information on bycatch and
safety for each fishery should also be summarized. In addition, the SAFE
report may be used to update or expand previous environmental and
regulatory impact documents, and ecosystem and habitat descriptions.
(iii) Each SAFE report must be scientifically based, and cite data
sources and interpretations.
(2) Each SAFE report should contain information on which to base
harvest specifications.
(3) Each SAFE report should contain a description of the maximum
fishing mortality threshold and the minimum stock size threshold for
each stock or stock complex, along with information by which the Council
may determine:
(i) Whether overfishing is occurring with respect to any stock or
stock complex, whether any stock or stock complex is overfished, whether
the rate or level of fishing mortality applied to any stock or stock
complex is approaching the maximum fishing mortality threshold, and
whether the size of any stock or stock complex is approaching the
minimum stock size threshold.
(ii) Any management measures necessary to provide for rebuilding an
overfished stock or stock complex (if any) to a level consistent with
producing the MSY in such fishery.
(4) Each SAFE report may contain additional economic, social,
community, essential fish habitat, and ecological information pertinent
to the success of management or the achievement of objectives of each
FMP.
(5) Each SAFE report may contain additional economic, social, and
ecological information pertinent to the success of management or the
achievement of objectives of each FMP.
[61 FR 32540, June 24, 1996, as amended at 63 FR 24233, May 1, 1998]
Sec. 600.320 National Standard 3--Management Units.
(a) Standard 3. To the extent practicable, an individual stock of
fish shall be managed as a unit throughout its range, and interrelated
stocks of fish shall be managed as a unit or in close coordination.
(b) General. The purpose of this standard is to induce a
comprehensive approach to fishery management. The geographic scope of
the fishery, for planning purposes, should cover the entire range of the
stocks(s) of fish, and not be overly constrained by political
[[Page 37]]
boundaries. Wherever practicable, an FMP should seek to manage
interrelated stocks of fish.
(c) Unity of management. Cooperation and understanding among
entities concerned with the fishery (e.g., Councils, states, Federal
Government, international commissions, foreign nations) are vital to
effective management. Where management of a fishery involves multiple
jurisdictions, coordination among the several entities should be sought
in the development of an FMP. Where a range overlaps Council areas, one
FMP to cover the entire range is preferred. The Secretary designates
which Council(s) will prepare the FMP, under section 304(f) of the
Magnuson-Stevens Act.
(d) Management unit. The term ``management unit'' means a fishery or
that portion of a fishery identified in an FMP as relevant to the FMP's
management objectives.
(1) Basis. The choice of a management unit depends on the focus of
the FMP's objectives, and may be organized around biological,
geographic, economic, technical, social, or ecological perspectives. For
example:
(i) Biological--could be based on a stock(s) throughout its range.
(ii) Geographic--could be an area.
(iii) Economic--could be based on a fishery supplying specific
product forms.
(iv) Technical--could be based on a fishery utilizing a specific
gear type or similar fishing practices.
(v) Social--could be based on fishermen as the unifying element,
such as when the fishermen pursue different species in a regular pattern
throughout the year.
(vi) Ecological--could be based on species that are associated in
the ecosystem or are dependent on a particular habitat.
(2) Conservation and management measures. FMPs should include
conservation and management measures for that part of the management
unit within U.S. waters, although the Secretary can ordinarily implement
them only within the EEZ. The measures need not be identical for each
geographic area within the management unit, if the FMP justifies the
differences. A management unit may contain, in addition to regulated
species, stocks of fish for which there is not enough information
available to specify MSY and OY or to establish management measures, so
that data on these species may be collected under the FMP.
(e) Analysis. To document that an FMP is as comprehensive as
practicable, it should include discussions of the following:
(1) The range and distribution of the stocks, as well as the
patterns of fishing effort and harvest.
(2) Alternative management units and reasons for selecting a
particular one. A less-than-comprehensive management unit may be
justified if, for example, complementary management exits or is planned
for a separate geographic area or for a distinct use of the stocks, or
if the unmanaged portion of the resource is immaterial to proper
management.
(3) Management activities and habitat programs of adjacent states
and their effects on the FMP's objectives and management measures. Where
state action is necessary to implement measures within state waters to
achieve FMP objectives, the FMP should identify what state action is
necessary, discuss the consequences of state inaction or contrary
action, and make appropriate recommendations. The FMP should also
discuss the impact that Federal regulations will have on state
management activities.
(4) Management activities of other countries having an impact on the
fishery, and how the FMP's management measures are designed to take into
account these impacts. International boundaries may be dealt with in
several ways. For example:
(i) By limiting the management unit's scope to that portion of the
stock found in U.S. waters;
(ii) By estimating MSY for the entire stock and then basing the
determination of OY for the U.S. fishery on the portion of the stock
within U.S. waters; or
(iii) By referring to treaties or cooperative agreements.
[61 FR 32540, June 24, 1996, as amended at 63 FR 24234, May 1, 1998]
[[Page 38]]
Sec. 600.325 National Standard 4--Allocations.
(a) Standard 4. Conservation and management measures shall not
discriminate between residents of different states. If it becomes
necessary to allocate or assign fishing privileges among various U.S.
fishermen, such allocation shall be:
(1) Fair and equitable to all such fishermen.
(2) Reasonably calculated to promote conservation.
(3) Carried out in such manner that no particular individual,
corporation, or other entity acquires an excessive share of such
privileges.
(b) Discrimination among residents of different states. An FMP may
not differentiate among U.S. citizens, nationals, resident aliens, or
corporations on the basis of their state of residence. An FMP may not
incorporate or rely on a state statute or regulation that discriminates
against residents of another state. Conservation and management measures
that have different effects on persons in various geographic locations
are permissible if they satisfy the other guidelines under Standard 4.
Examples of these precepts are:
(1) An FMP that restricted fishing in the EEZ to those holding a
permit from state X would violate Standard 4 if state X issued permits
only to its own citizens.
(2) An FMP that closed a spawning ground might disadvantage
fishermen living in the state closest to it, because they would have to
travel farther to an open area, but the closure could be justified under
Standard 4 as a conservation measure with no discriminatory intent.
(c) Allocation of fishing privileges. An FMP may contain management
measures that allocate fishing privileges if such measures are necessary
or helpful in furthering legitimate objectives or in achieving the OY,
and if the measures conform with paragraphs (c)(3)(i) through
(c)(3)(iii) of this section.
(1) Definition. An ``allocation'' or ``assignment'' of fishing
privileges is a direct and deliberate distribution of the opportunity to
participate in a fishery among identifiable, discrete user groups or
individuals. Any management measure (or lack of management) has
incidental allocative effects, but only those measures that result in
direct distributions of fishing privileges will be judged against the
allocation requirements of Standard 4. Adoption of an FMP that merely
perpetuates existing fishing practices may result in an allocation, if
those practices directly distribute the opportunity to participate in
the fishery. Allocations of fishing privileges include, for example,
per-vessel catch limits, quotas by vessel class and gear type, different
quotas or fishing seasons for recreational and commercial fishermen,
assignment of ocean areas to different gear users, and limitation of
permits to a certain number of vessels or fishermen.
(2) Analysis of allocations. Each FMP should contain a description
and analysis of the allocations existing in the fishery and of those
made in the FMP. The effects of eliminating an existing allocation
system should be examined. Allocation schemes considered, but rejected
by the Council, should be included in the discussion. The analysis
should relate the recommended allocations to the FMP's objectives and OY
specification, and discuss the factors listed in paragraph (c)(3) of
this section.
(3) Factors in making allocations. An allocation of fishing
privileges must be fair and equitable, must be reasonably calculated to
promote conservation, and must avoid excessive shares. These tests are
explained in paragraphs (c)(3)(i) through (c)(3)(iii) of this section:
(i) Fairness and equity. (A) An allocation of fishing privileges
should be rationally connected to the achievement of OY or with the
furtherance of a legitimate FMP objective. Inherent in an allocation is
the advantaging of one group to the detriment of another. The motive for
making a particular allocation should be justified in terms of the
objectives of the FMP; otherwise, the disadvantaged user groups or
individuals would suffer without cause. For instance, an FMP objective
to preserve the economic status quo cannot be achieved by excluding a
group of long-time participants in the fishery. On the other hand, there
is a rational connection between an objective of harvesting
[[Page 39]]
shrimp at their maximum size and closing a nursery area to trawling.
(B) An allocation of fishing privileges may impose a hardship on one
group if it is outweighed by the total benefits received by another
group or groups. An allocation need not preserve the status quo in the
fishery to qualify as ``fair and equitable,'' if a restructuring of
fishing privileges would maximize overall benefits. The Council should
make an initial estimate of the relative benefits and hardships imposed
by the allocation, and compare its consequences with those of
alternative allocation schemes, including the status quo. Where
relevant, judicial guidance and government policy concerning the rights
of treaty Indians and aboriginal Americans must be considered in
determining whether an allocation is fair and equitable.
(ii) Promotion of conservation. Numerous methods of allocating
fishing privileges are considered ``conservation and management''
measures under section 303 of the Magnuson-Stevens Act. An allocation
scheme may promote conservation by encouraging a rational, more easily
managed use of the resource. Or, it may promote conservation (in the
sense of wise use) by optimizing the yield in terms of size, value,
market mix, price, or economic or social benefit of the product. To the
extent that rebuilding plans or other conservation and management
measures that reduce the overall harvest in a fishery are necessary, any
harvest restrictions or recovery benefits must be allocated fairly and
equitably among the commercial, recreational, and charter fishing
sectors of the fishery.
(iii) Avoidance of excessive shares. An allocation scheme must be
designed to deter any person or other entity from acquiring an excessive
share of fishing privileges, and to avoid creating conditions fostering
inordinate control, by buyers or sellers, that would not otherwise
exist.
(iv) Other factors. In designing an allocation scheme, a Council
should consider other factors relevant to the FMP's objectives. Examples
are economic and social consequences of the scheme, food production,
consumer interest, dependence on the fishery by present participants and
coastal communities, efficiency of various types of gear used in the
fishery, transferability of effort to and impact on other fisheries,
opportunity for new participants to enter the fishery, and enhancement
of opportunities for recreational fishing.
[61 FR 32540, June 24, 1996, as amended at 63 FR 24234, May 1, 1998]
Sec. 600.330 National Standard 5--Efficiency.
(a) Standard 5. Conservation and management measures shall, where
practicable, consider efficiency in the utilization of fishery
resources; except that no such measure shall have economic allocation as
its sole purpose.
(b) Efficiency in the utilization of resources--(1) General. The
term ``utilization'' encompasses harvesting, processing, marketing, and
non-consumptive uses of the resource, since management decisions affect
all sectors of the industry. In considering efficient utilization of
fishery resources, this standard highlights one way that a fishery can
contribute to the Nation's benefit with the least cost to society: Given
a set of objectives for the fishery, an FMP should contain management
measures that result in as efficient a fishery as is practicable or
desirable.
(2) Efficiency. In theory, an efficient fishery would harvest the OY
with the minimum use of economic inputs such as labor, capital,
interest, and fuel. Efficiency in terms of aggregate costs then becomes
a conservation objective, where ``conservation'' constitutes wise use of
all resources involved in the fishery, not just fish stocks.
(i) In an FMP, management measures may be proposed that allocate
fish among different groups of individuals or establish a system of
property rights. Alternative measures examined in searching for an
efficient outcome will result in different distributions of gains and
burdens among identifiable user groups. An FMP should demonstrate that
management measures aimed at efficiency do not simply redistribute gains
and burdens without an increase in efficiency.
[[Page 40]]
(ii) Management regimes that allow a fishery to operate at the
lowest possible cost (e.g., fishing effort, administration, and
enforcement) for a particular level of catch and initial stock size are
considered efficient. Restrictive measures that unnecessarily raise any
of those costs move the regime toward inefficiency. Unless the use of
inefficient techniques or the creation of redundant fishing capacity
contributes to the attainment of other social or biological objectives,
an FMP may not contain management measures that impede the use of cost-
effective techniques of harvesting, processing, or marketing, and should
avoid creating strong incentives for excessive investment in private
sector fishing capital and labor.
(c) Limited access. A ``system for limiting access,'' which is an
optional measure under section 303(b) of the Magnuson-Stevens Act, is a
type of allocation of fishing privileges that may be considered to
contribute to economic efficiency or conservation. For example, limited
access may be used to combat overfishing, overcrowding, or
overcapitalization in a fishery to achieve OY. In an unutilized or
underutilized fishery, it may be used to reduce the chance that these
conditions will adversely affect the fishery in the future, or to
provide adequate economic return to pioneers in a new fishery. In some
cases, limited entry is a useful ingredient of a conservation scheme,
because it facilitates application and enforcement of other management
measures.
(1) Definition. Limited access (or limited entry) is a management
technique that attempts to limit units of effort in a fishery, usually
for the purpose of reducing economic waste, improving net economic
return to the fishermen, or capturing economic rent for the benefit of
the taxpayer or the consumer. Common forms of limited access are
licensing of vessels, gear, or fishermen to reduce the number of units
of effort, and dividing the total allowable catch into fishermen's
quotas (a stock-certificate system). Two forms (i.e., Federal fees for
licenses or permits in excess of administrative costs, and taxation) are
not permitted under the Magnuson-Stevens Act, except for fees allowed
under section 304(d)(2).
(2) Factors to consider. The Magnuson-Stevens Act ties the use of
limited access to the achievement of OY. An FMP that proposes a limited
access system must consider the factors listed in section 303(b)(6) of
the Magnuson-Stevens Act and in Sec. 600.325(c)(3). In addition, it
should consider the criteria for qualifying for a permit, the nature of
the interest created, whether to make the permit transferable, and the
Magnuson-Stevens Act's limitations on returning economic rent to the
public under section 304(d). The FMP should also discuss the costs of
achieving an appropriate distribution of fishing privileges.
(d) Analysis. An FMP should discuss the extent to which
overcapitalization, congestion, economic waste, and inefficient
techniques in the fishery reduce the net benefits derived from the
management unit and prevent the attainment and appropriate allocation of
OY. It should also explain, in terms of the FMP's objectives, any
restriction placed on the use of efficient techniques of harvesting,
processing, or marketing. If, during FMP development, the Council
considered imposing a limited-entry system, the FMP should analyze the
Council's decision to recommend or reject limited access as a technique
to achieve efficient utilization of the resources of the fishing
industry.
(e) Economic allocation. This standard prohibits only those measures
that distribute fishery resources among fishermen on the basis of
economic factors alone, and that have economic allocation as their only
purpose. Where conservation and management measures are recommended that
would change the economic structure of the industry or the economic
conditions under which the industry operates, the need for such measures
must be justified in light of the biological, ecological, and social
objectives of the FMP, as well as the economic objectives.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 63
FR 24234, May 1, 1998]
[[Page 41]]
Sec. 600.335 National Standard 6--Variations and Contingencies.
(a) Standard 6. Conservation and management measures shall take into
account and allow for variations among, and contingencies in, fisheries,
fishery resources, and catches.
(b) Conservation and management. Each fishery exhibits unique
uncertainties. The phrase ``conservation and management'' implies the
wise use of fishery resources through a management regime that includes
some protection against these uncertainties. The particular regime
chosen must be flexible enough to allow timely response to resource,
industry, and other national and regional needs. Continual data
acquisition and analysis will help the development of management
measures to compensate for variations and to reduce the need for
substantial buffers. Flexibility in the management regime and the
regulatory process will aid in responding to contingencies.
(c) Variations. (1) In fishery management terms, variations arise
from biological, social, and economic occurrences, as well as from
fishing practices. Biological uncertainties and lack of knowledge can
hamper attempts to estimate stock size and strength, stock location in
time and space, environmental/habitat changes, and ecological
interactions. Economic uncertainty may involve changes in foreign or
domestic market conditions, changes in operating costs, drifts toward
overcapitalization, and economic perturbations caused by changed fishing
patterns. Changes in fishing practices, such as the introduction of new
gear, rapid increases or decreases in harvest effort, new fishing
strategies, and the effects of new management techniques, may also
create uncertainties. Social changes could involve increases or
decreases in recreational fishing, or the movement of people into or out
of fishing activities due to such factors as age or educational
opportunities.
(2) Every effort should be made to develop FMPs that discuss and
take into account these vicissitudes. To the extent practicable, FMPs
should provide a suitable buffer in favor of conservation. Allowances
for uncertainties should be factored into the various elements of an
FMP. Examples are:
(i) Reduce OY. Lack of scientific knowledge about the condition of a
stock(s) could be reason to reduce OY.
(ii) Establish a reserve. Creation of a reserve may compensate for
uncertainties in estimating domestic harvest, stock conditions, or
environmental factors.
(iii) Adjust management techniques. In the absence of adequate data
to predict the effect of a new regime, and to avoid creating unwanted
variations, a Council could guard against producing drastic changes in
fishing patterns, allocations, or practices.
(iv) Highlight habitat conditions. FMPs may address the impact of
pollution and the effects of wetland and estuarine degradation on the
stocks of fish; identify causes of pollution and habitat degradation and
the authorities having jurisdiction to regulate or influence such
activities; propose recommendations that the Secretary will convey to
those authorities to alleviate such problems; and state the views of the
Council on unresolved or anticipated issues.
(d) Contingencies. Unpredictable events--such as unexpected resource
surges or failures, fishing effort greater than anticipated, disruptive
gear conflicts, climatic conditions, or environmental catastrophes--are
best handled by establishing a flexible management regime that contains
a range of management options through which it is possible to act
quickly without amending the FMP or even its regulations.
(1) The FMP should describe the management options and their
consequences in the necessary detail to guide the Secretary in
responding to changed circumstances, so that the Council preserves its
role as policy-setter for the fishery. The description should enable the
public to understand what may happen under the flexible regime, and to
comment on the options.
(2) FMPs should include criteria for the selection of management
measures, directions for their application, and mechanisms for timely
adjustment of management measures comprising the regime. For example, an
FMP could include criteria that allow the Secretary to open and close
seasons, close fishing grounds, or make other adjustments in management
measures.
[[Page 42]]
(3) Amendment of a flexible FMP would be necessary when
circumstances in the fishery change substantially, or when a Council
adopts a different management philosophy and objectives.
Sec. 600.340 National Standard 7--Costs and Benefits.
(a) Standard 7. Conservation and management measures shall, where
practicable, minimize costs and avoid unnecessary duplication.
(b) Necessity of Federal management--(1) General. The principle that
not every fishery needs regulation is implicit in this standard. The
Magnuson-Stevens Act requires Councils to prepare FMPs only for
overfished fisheries and for other fisheries where regulation would
serve some useful purpose and where the present or future benefits of
regulation would justify the costs. For example, the need to collect
data about a fishery is not, by itself, adequate justification for
preparation of an FMP, since there are less costly ways to gather the
data (see Sec. 600.320(d)(2). In some cases, the FMP preparation
process itself, even if it does not culminate in a document approved by
the Secretary, can be useful in supplying a basis for management by one
or more coastal states.
(2) Criteria. In deciding whether a fishery needs management through
regulations implementing an FMP, the following general factors should be
considered, among others:
(i) The importance of the fishery to the Nation and to the regional
economy.
(ii) The condition of the stock or stocks of fish and whether an FMP
can improve or maintain that condition.
(iii) The extent to which the fishery could be or is already
adequately managed by states, by state/Federal programs, by Federal
regulations pursuant to FMPs or international commissions, or by
industry self-regulation, consistent with the policies and standards of
the Magnuson-Stevens Act.
(iv) The need to resolve competing interests and conflicts among
user groups and whether an FMP can further that resolution.
(v) The economic condition of a fishery and whether an FMP can
produce more efficient utilization.
(vi) The needs of a developing fishery, and whether an FMP can
foster orderly growth.
(vii) The costs associated with an FMP, balanced against the
benefits (see paragraph (d) of this section as a guide).
(c) Alternative management measures. Management measures should not
impose unnecessary burdens on the economy, on individuals, on private or
public organizations, or on Federal, state, or local governments.
Factors such as fuel costs, enforcement costs, or the burdens of
collecting data may well suggest a preferred alternative.
(d) Analysis. The supporting analyses for FMPs should demonstrate
that the benefits of fishery regulation are real and substantial
relative to the added research, administrative, and enforcement costs,
as well as costs to the industry of compliance. In determining the
benefits and costs of management measures, each management strategy
considered and its impacts on different user groups in the fishery
should be evaluated. This requirement need not produce an elaborate,
formalistic cost/benefit analysis. Rather, an evaluation of effects and
costs, especially of differences among workable alternatives, including
the status quo, is adequate. If quantitative estimates are not possible,
qualitative estimates will suffice.
(1) Burdens. Management measures should be designed to give
fishermen the greatest possible freedom of action in conducting business
and pursuing recreational opportunities that are consistent with
ensuring wise use of the resources and reducing conflict in the fishery.
The type and level of burden placed on user groups by the regulations
need to be identified. Such an examination should include, for example:
Capital outlays; operating and maintenance costs; reporting costs;
administrative, enforcement, and information costs; and prices to
consumers. Management measures may shift costs from one level of
government to another, from one part of the private sector to another,
or from the government to the private sector. Redistribution of costs
through regulations is likely to
[[Page 43]]
generate controversy. A discussion of these and any other burdens placed
on the public through FMP regulations should be a part of the FMP's
supporting analyses.
(2) Gains. The relative distribution of gains may change as a result
of instituting different sets of alternatives, as may the specific type
of gain. The analysis of benefits should focus on the specific gains
produced by each alternative set of management measures, including the
status quo. The benefits to society that result from the alternative
management measures should be identified, and the level of gain
assessed.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 63
FR 24234, May 1, 1998]
Sec. 600.345 National Standard 8--Communities.
(a) Standard 8. Conservation and management measures shall,
consistent with the conservation requirements of the Magnuson-Stevens
Act (including the prevention of overfishing and rebuilding of
overfished stocks), take into account the importance of fishery
resources to fishing communities in order to:
(1) Provide for the sustained participation of such communities; and
(2) To the extent practicable, minimize adverse economic impacts on
such communities.
(b) General. (1) This standard requires that an FMP take into
account the importance of fishery resources to fishing communities. This
consideration, however, is within the context of the conservation
requirements of the Magnuson-Stevens Act. Deliberations regarding the
importance of fishery resources to affected fishing communities,
therefore, must not compromise the achievement of conservation
requirements and goals of the FMP. Where the preferred alternative
negatively affects the sustained participation of fishing communities,
the FMP should discuss the rationale for selecting this alternative over
another with a lesser impact on fishing communities. All other things
being equal, where two alternatives achieve similar conservation goals,
the alternative that provides the greater potential for sustained
participation of such communities and minimizes the adverse economic
impacts on such communities would be the preferred alternative.
(2) This standard does not constitute a basis for allocating
resources to a specific fishing community nor for providing preferential
treatment based on residence in a fishing community.
(3) The term ``fishing community'' means a community that is
substantially dependent on or substantially engaged in the harvest or
processing of fishery resources to meet social and economic needs, and
includes fishing vessel owners, operators, and crew, and fish processors
that are based in such communities. A fishing community is a social or
economic group whose members reside in a specific location and share a
common dependency on commercial, recreational, or subsistence fishing or
on directly related fisheries-dependent services and industries (for
example, boatyards, ice suppliers, tackle shops).
(4) The term ``sustained participation'' means continued access to
the fishery within the constraints of the condition of the resource.
(c) Analysis. (1) FMPs must examine the social and economic
importance of fisheries to communities potentially affected by
management measures. For example, severe reductions of harvests for
conservation purposes may decrease employment opportunities for
fishermen and processing plant workers, thereby adversely affecting
their families and communities. Similarly, a management measure that
results in the allocation of fishery resources among competing sectors
of a fishery may benefit some communities at the expense of others.
(2) An appropriate vehicle for the analyses under this standard is
the fishery impact statement required by section 303(a)(9) of the
Magnuson-Stevens Act. Qualitative and quantitative data may be used,
including information provided by fishermen, dealers, processors, and
fisheries organizations and associations. In cases where data are
severely limited, effort should be directed to identifying and gathering
needed data.
(3) To address the sustained participation of fishing communities
that will
[[Page 44]]
be affected by management measures, the analysis should first identify
affected fishing communities and then assess their differing levels of
dependence on and engagement in the fishery being regulated. The
analysis should also specify how that assessment was made. The best
available data on the history, extent, and type of participation of
these fishing communities in the fishery should be incorporated into the
social and economic information presented in the FMP. The analysis does
not have to contain an exhaustive listing of all communities that might
fit the definition; a judgment can be made as to which are primarily
affected. The analysis should discuss each alternative's likely effect
on the sustained participation of these fishing communities in the
fishery.
(4) The analysis should assess the likely positive and negative
social and economic impacts of the alternative management measures, over
both the short and the long term, on fishing communities. Any particular
management measure may economically benefit some communities while
adversely affecting others. Economic impacts should be considered both
for individual communities and for the group of all affected communities
identified in the FMP. Impacts of both consumptive and non-consumptive
uses of fishery resources should be considered.
(5) A discussion of social and economic impacts should identify
those alternatives that would minimize adverse impacts on these fishing
communities within the constraints of conservation and management goals
of the FMP, other national standards, and other applicable law.
[63 FR 24234, May 1, 1998]
Sec. 600.350 National Standard 9--Bycatch.
(a) Standard 9. Conservation and management measures shall, to the
extent practicable:
(1) Minimize bycatch; and
(2) To the extent bycatch cannot be avoided, minimize the mortality
of such bycatch.
(b) General. This national standard requires Councils to consider
the bycatch effects of existing and planned conservation and management
measures. Bycatch can, in two ways, impede efforts to protect marine
ecosystems and achieve sustainable fisheries and the full benefits they
can provide to the Nation. First, bycatch can increase substantially the
uncertainty concerning total fishing-related mortality, which makes it
more difficult to assess the status of stocks, to set the appropriate OY
and define overfishing levels, and to ensure that OYs are attained and
overfishing levels are not exceeded. Second, bycatch may also preclude
other more productive uses of fishery resources.
(c) Definition--Bycatch. The term ``bycatch'' means fish that are
harvested in a fishery, but that are not sold or kept for personal use.
Bycatch includes the discard of whole fish at sea or elsewhere,
including economic discards and regulatory discards, and fishing
mortality due to an encounter with fishing gear that does not result in
capture of fish (i.e., unobserved fishing mortality). Bycatch does not
include any fish that legally are retained in a fishery and kept for
personal, tribal, or cultural use, or that enter commerce through sale,
barter, or trade. Bycatch does not include fish released alive under a
recreational catch-and-release fishery management program. A catch-and-
release fishery management program is one in which the retention of a
particular species is prohibited. In such a program, those fish released
alive would not be considered bycatch. Bycatch also does not include
Atlantic highly migratory species harvested in a commercial fishery that
are not regulatory discards and that are tagged and released alive under
a scientific tag-and-release program established by the Secretary.
(d) Minimizing bycatch and bycatch mortality. The priority under
this standard is first to avoid catching bycatch species where
practicable. Fish that are bycatch and cannot be avoided must, to the
extent practicable, be returned to the sea alive. Any proposed
conservation and management measure that does not give priority to
avoiding the capture of bycatch species must be supported by appropriate
analyses. In their evaluation, the Councils must consider the net
benefits to the Nation, which include, but are not limited to:
[[Page 45]]
Negative impacts on affected stocks; incomes accruing to participants in
directed fisheries in both the short and long term; incomes accruing to
participants in fisheries that target the bycatch species; environmental
consequences; non-market values of bycatch species, which include non-
consumptive uses of bycatch species and existence values, as well as
recreational values; and impacts on other marine organisms. To evaluate
conservation and management measures relative to this and other national
standards, as well as to evaluate total fishing mortality, Councils
must--
(1) Promote development of a database on bycatch and bycatch
mortality in the fishery to the extent practicable. A review and, where
necessary, improvement of data collection methods, data sources, and
applications of data must be initiated for each fishery to determine the
amount, type, disposition, and other characteristics of bycatch and
bycatch mortality in each fishery for purposes of this standard and of
section 303(a)(11) and (12) of the Magnuson-Stevens Act. Bycatch should
be categorized to focus on management responses necessary to minimize
bycatch and bycatch mortality to the extent practicable. When
appropriate, management measures, such as at-sea monitoring programs,
should be developed to meet these information needs.
(2) For each management measure, assess the effects on the amount
and type of bycatch and bycatch mortality in the fishery. Most
conservation and management measures can affect the amounts of bycatch
or bycatch mortality in a fishery, as well as the extent to which
further reductions in bycatch are practicable. In analyzing measures,
including the status quo, Councils should assess the impacts of
minimizing bycatch and bycatch mortality, as well as consistency of the
selected measure with other national standards and applicable laws. The
benefits of minimizing bycatch to the extent practicable should be
identified and an assessment of the impact of the selected measure on
bycatch and bycatch mortality provided. Due to limitations on the
information available, fishery managers may not be able to generate
precise estimates of bycatch and bycatch mortality or other effects for
each alternative. In the absence of quantitative estimates of the
impacts of each alternative, Councils may use qualitative measures.
Information on the amount and type of bycatch should be summarized in
the SAFE reports.
(3) Select measures that, to the extent practicable, will minimize
bycatch and bycatch mortality. (i) A determination of whether a
conservation and management measure minimizes bycatch or bycatch
mortality to the extent practicable, consistent with other national
standards and maximization of net benefits to the Nation, should
consider the following factors:
(A) Population effects for the bycatch species.
(B) Ecological effects due to changes in the bycatch of that species
(effects on other species in the ecosystem).
(C) Changes in the bycatch of other species of fish and the
resulting population and ecosystem effects.
(D) Effects on marine mammals and birds.
(E) Changes in fishing, processing, disposal, and marketing costs.
(F) Changes in fishing practices and behavior of fishermen.
(G) Changes in research, administration, and enforcement costs and
management effectiveness.
(H) Changes in the economic, social, or cultural value of fishing
activities and nonconsumptive uses of fishery resources.
(I) Changes in the distribution of benefits and costs.
(J) Social effects.
(ii) The Councils should adhere to the precautionary approach found
in the Food and Agriculture Organization of the United Nations (FAO)
Code of Conduct for Responsible Fisheries (Article 6.5), which is
available from the Director, Publications Division, FAO, Viale delle
Terme di Caracalla, 00100 Rome, Italy, when faced with uncertainty
concerning any of the factors listed in this paragraph (d)(3).
(4) Monitor selected management measures. Effects of implemented
measures should be evaluated routinely. Monitoring systems should be
established prior to fishing under the selected
[[Page 46]]
management measures. Where applicable, plans should be developed and
coordinated with industry and other concerned organizations to identify
opportunities for cooperative data collection, coordination of data
management for cost efficiency, and avoidance of duplicative effort.
(e) Other considerations. Other applicable laws, such as the MMPA,
the ESA, and the Migratory Bird Treaty Act, require that Councils
consider the impact of conservation and management measures on living
marine resources other than fish; i.e., marine mammals and birds.
[63 FR 24235, May 1, 1998]
Sec. 600.355 National Standard 10--Safety of Life at Sea.
(a) Standard 10. Conservation and management measures shall, to the
extent practicable, promote the safety of human life at sea.
(b) General. (1) Fishing is an inherently dangerous occupation where
not all hazardous situations can be foreseen or avoided. The standard
directs Councils to reduce that risk in crafting their management
measures, so long as they can meet the other national standards and the
legal and practical requirements of conservation and management. This
standard is not meant to give preference to one method of managing a
fishery over another.
(2) The qualifying phrase ``to the extent practicable'' recognizes
that regulation necessarily puts constraints on fishing that would not
otherwise exist. These constraints may create pressures on fishermen to
fish under conditions that they would otherwise avoid. This standard
instructs the Councils to identify and avoid those situations, if they
can do so consistent with the legal and practical requirements of
conservation and management of the resource.
(3) For the purposes of this national standard, the safety of the
fishing vessel and the protection from injury of persons aboard the
vessel are considered the same as ``safety of human life at sea. The
safety of a vessel and the people aboard is ultimately the
responsibility of the master of that vessel. Each master makes many
decisions about vessel maintenance and loading and about the
capabilities of the vessel and crew to operate safely in a variety of
weather and sea conditions. This national standard does not replace the
judgment or relieve the responsibility of the vessel master related to
vessel safety. The Councils, the USCG, and NMFS, through the
consultation process of paragraph (d) of this section, will review all
FMPs, amendments, and regulations during their development to ensure
they recognize any impact on the safety of human life at sea and
minimize or mitigate that impact where practicable.
(c) Safety considerations. The following is a non-inclusive list of
safety considerations that should be considered in evaluating management
measures under national standard 10.
(1) Operating environment. Where and when a fishing vessel operates
is partly a function of the general climate and weather patterns of an
area. Typically, larger vessels can fish farther offshore and in more
adverse weather conditions than smaller vessels. An FMP should try to
avoid creating situations that result in vessels going out farther,
fishing longer, or fishing in weather worse than they generally would
have in the absence of management measures. Where these conditions are
unavoidable, management measures should mitigate these effects,
consistent with the overall management goals of the fishery.
(2) Gear and vessel loading requirements. A fishing vessel operates
in a very dynamic environment that can be an extremely dangerous place
to work. Moving heavy gear in a seaway creates a dangerous situation on
a vessel. Carrying extra gear can also significantly reduce the
stability of a fishing vessel, making it prone to capsizing. An FMP
should consider the safety and stability of fishing vessels when
requiring specific gear or requiring the removal of gear from the water.
Management measures should reflect a sensitivity to these issues and
provide methods of mitigation of these situations wherever possible.
(3) Limited season and area fisheries. Fisheries where time
constraints for harvesting are a significant factor and with no
flexibility for weather, often
[[Page 47]]
called ``derby'' fisheries, can create serious safety problems. To
participate fully in such a fishery, fishermen may fish in bad weather
and overload their vessel with catch and/or gear. Where these conditions
exist, FMPs should attempt to mitigate these effects and avoid them in
new management regimes, as discussed in paragraph (e) of this section.
(d) Consultation. During preparation of any FMP, FMP amendment, or
regulation that might affect safety of human life at sea, the Council
should consult with the USCG and the fishing industry as to the nature
and extent of any adverse impacts. This consultation may be done through
a Council advisory panel, committee, or other review of the FMP, FMP
amendment, or regulations. Mitigation, to the extent practicable, and
other safety considerations identified in paragraph (c) of this section
should be included in the FMP.
(e) Mitigation measures. There are many ways in which an FMP may
avoid or provide alternative measures to reduce potential impacts on
safety of human life at sea. The following is a list of some factors
that could be considered when management measures are developed:
(1) Setting seasons to avoid hazardous weather.
(2) Providing for seasonal or trip flexibility to account for bad
weather (weather days).
(3) Allowing for pre- and post-season ``soak time'' to deploy and
pick up fixed gear, so as to avoid overloading vessels with fixed gear.
(4) Tailoring gear requirements to provide for smaller or lighter
gear for smaller vessels.
(5) Avoiding management measures that require hazardous at-sea
inspections or enforcement if other comparable enforcement could be
accomplished as effectively.
(6) Limiting the number of participants in the fishery.
(7) Spreading effort over time and area to avoid potential gear and/
or vessel conflicts.
(8) Implementing management measures that reduce the race for fish
and the resulting incentives for fishermen to take additional risks with
respect to vessel safety.
[63 FR 24236, May 1, 1998]
Subpart E_Confidentiality of Statistics
Sec. 600.405 Types of statistics covered.
NOAA is authorized under the Magnuson-Stevens Act and other statutes
to collect proprietary or confidential commercial or financial
information. This part applies to all pertinent data required to be
submitted to the Secretary with respect to any FMP including, but not
limited to, information regarding the type and quantity of fishing gear
used, catch by species in numbers of fish or weight thereof, areas in
which fishing occurred, time of fishing, number of hauls, and the
estimated processing capacity of, and the actual processing capacity
utilized by, U.S. fish processors.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.410 Collection and maintenance of statistics.
(a) General. (1) All statistics required to be submitted to the
Secretary are provided to the Assistant Administrator.
(2) After receipt, the Assistant Administrator will remove all
identifying particulars from the statistics if doing so is consistent
with the needs of NMFS and good scientific practice.
(3) Appropriate safeguards as specified by NOAA Directives, or other
NOAA or NMFS internal procedures, apply to the collection and
maintenance of all statistics, whether separated from identifying
particulars or not, so as to ensure their confidentiality.
(b) Collection agreements with states. (1) The Assistant
Administrator may enter into an agreement with a state authorizing the
state to collect statistics on behalf of the Secretary.
(2) NMFS will not enter into a cooperative collection agreement with
a state unless the state has authority to protect the statistics from
disclosure in a manner at least as protective as these regulations.
[[Page 48]]
Sec. 600.415 Access to statistics.
(a) General. In determining whether to grant a request for access to
confidential data, the following information will be taken into
consideration (also see Sec. 600.130):
(1) The specific types of data required.
(2) The relevance of the data to conservation and management issues.
(3) The duration of time access will be required: continuous,
infrequent, or one-time.
(4) An explanation of why the availability of aggregate or non-
confidential summaries of data from other sources would not satisfy the
requested needs.
(b) Federal employees. Statistics submitted as a requirement of an
FMP and that reveal the identity of the submitter will only be
accessible to the following:
(1) Personnel within NMFS responsible for the collection,
processing, and storage of the statistics.
(2) Federal employees who are responsible for FMP development,
monitoring, and enforcement.
(3) Personnel within NMFS performing research that requires
confidential statistics.
(4) Other NOAA personnel on a demonstrable need-to-know basis.
(5) NOAA/NMFS contractors or grantees who require access to
confidential statistics to perform functions authorized by a Federal
contract or grant.
(c) State personnel. Upon written request, confidential statistics
will only be accessible if:
(1) State employees demonstrate a need for confidential statistics
for use in fishery conservation and management.
(2) The state has entered into a written agreement between the
Assistant Administrator and the head of the state's agency that manages
marine and/or anadromous fisheries. The agreement shall contain a
finding by the Assistant Administrator that the state has
confidentiality protection authority comparable to the Magnuson-Stevens
Act and that the state will exercise this authority to limit subsequent
access and use of the data to fishery management and monitoring
purposes.
(d) Councils. Upon written request by the Council Executive
Director, access to confidential data will be granted to:
(1) Council employees who are responsible for FMP development and
monitoring.
(2) A Council for use by the Council for conservation and management
purposes, with the approval of the Assistant Administrator. In addition
to the information described in paragraph (a) of this section, the
Assistant Administrator will consider the following in deciding whether
to grant access:
(i) The possibility that Council members might gain personal or
competitive advantage from access to the data.
(ii) The possibility that the suppliers of the data would be placed
at a competitive disadvantage by public disclosure of the data at
Council meetings or hearings.
(3) A contractor of the Council for use in such analysis or studies
necessary for conservation and management purposes, with approval of the
Assistant Administrator and execution of an agreement with NMFS as
described by NOAA Administrative Order (NAO) 216-100.
(e) Prohibitions. Persons having access to these data are prohibited
from unauthorized use or disclosure and are subject to the provisions of
18 U.S.C. 1905, 16 U.S.C. 1857, and NOAA/NMFS internal procedures,
including NAO 216-100.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.420 Control system.
(a) The Assistant Administrator maintains a control system to
protect the identity of submitters of statistics required by an FMP. The
control system:
(1) Identifies those persons who have access to the statistics.
(2) Contains procedures to limit access to confidential data to
authorized users.
(3) Provides for safeguarding the data.
(b) This system requires that all persons who have authorized access
to the data be informed of the confidentiality of the data. These
persons are required to sign a statement that they:
[[Page 49]]
(1) Have been informed that the data are confidential.
(2) Have reviewed and are familiar with the procedures to protect
confidential statistics.
Sec. 600.425 Release of statistics.
(a) The Assistant Administrator will not release to the public any
statistics required to be submitted under an FMP in a form that would
identify the submitter, except as required by law.
(b) All requests from the public for statistics submitted in
response to a requirement of an FMP will be processed consistent with
the NOAA FOIA regulations (15 CFR part 903), NAO 205-14, Department of
Commerce Administrative Orders 205-12 and 205-14 and 15 CFR part 4.
(c) NOAA does not release or allow access to confidential
information in its possession to members of Council advisory groups,
except as provided by law.
Subpart F_Foreign Fishing
Sec. 600.501 Vessel permits.
(a) General. (1) Each FFV fishing under the Magnuson-Stevens Act
must have on board a permit issued under this section, unless it is
engaged only in recreational fishing.
(2) Permits issued under this section do not authorize FFV's or
persons to harass, capture, or kill marine mammals. No marine mammals
may be taken in the course of fishing unless that vessel has on board a
currently valid Authorization Certificate under the MMPA. Regulations
governing the taking of marine mammals incidental to commercial fishing
operations are contained in 50 CFR part 229 of this title.
(b) Responsibility of owners and operators. The owners and operators
of each FFV are jointly and severally responsible for compliance with
the Magnuson-Stevens Act, the applicable GIFA, this subpart, and any
permit issued under the Magnuson-Stevens Act and this subpart. The
owners and operators of each FFV bear civil responsibility for the acts
of their employees and agents constituting violations, regardless of
whether the specific acts were authorized or even forbidden by the
employer or principal, and regardless of knowledge concerning the
occurrence.
(c) Activity codes. Permits to fish under this subpart may be issued
by the Assistant Administrator for the activities described in this
paragraph, but the permits may be modified by regulations of this
subpart and by the conditions and restrictions attached to the permit
(see paragraphs (e)(1)(v) and (l) of this section). The Assistant
Administrator may issue a permit, as appropriate, for one or more of the
activity codes listed. Only vessels of nations having a GIFA with the
United States may be issued permits for activity codes 1 through 9. A
GIFA is not required for a vessel to be issued a permit for activity
code 10. The activity codes are described as follows:
(1) Activity Code 1. Catching, scouting, processing, transshipping,
and supporting foreign vessels. Activity is limited to fish harvested or
to be harvested by foreign vessels in the EEZ.
(2) Activity Code 2. Processing, scouting, transshipping, and
supporting foreign vessels. Activity is limited to fish harvested or to
be harvested by foreign vessels in the EEZ.
(3) Activity Code 3. Transshipping, scouting, and supporting foreign
vessels. Activity is limited to fish harvested or to be harvested by
foreign vessels in the EEZ.
(4) Activity Code 4. Processing, scouting, transshipping, and
supporting U.S. vessels delivering fish to foreign vessels. Activity is
limited to the receipt of unprocessed fish harvested or to be harvested
by U.S. vessels.
(5) Activity Code 5. Transshipping, scouting, and supporting foreign
vessels. Transshipment limited to fish received or to be received from
foreign vessels processing fish from U.S. harvesting vessels.
(6) Activity Code 6. Transshipping, scouting, and supporting U.S.
vessels. Transshipment limited to U.S.-harvested fish processed on board
U.S. vessels.
(7) Activity Code 7. Processing, transshipping, and supporting
foreign vessels. Activity limited to fish harvested or to be harvested
by foreign vessels seaward of the EEZ.
[[Page 50]]
(8) Activity Code 8. Transshipping and supporting foreign vessels.
Activity is limited to fish harvested or to be harvested seaward of the
EEZ by foreign vessels or fish duly authorized for processing in the
internal waters of one of the states.
(9) Activity Code 9. Supporting U.S. fishing vessels and U.S. fish
processing vessels and any foreign fishing vessels authorized under any
activity code under paragraph (c) of this subpart.
(10) Activity Code 10. Transshipping at sea for the purpose of
transporting fish or fish products from a point within the EEZ or, with
the concurrence of a state, within the boundaries of that state, to a
point outside the United States.
(d) Application. (1) Applications for FFV permits authorizing
activity codes 1 through 9 must be submitted by an official
representative of a foreign nation to the DOS. Applications for permits
authorizing activity codes 1 through 9 are available from, and should be
submitted to, DOS, OES/OMC, Washington, DC 20520. Applications for FFV
permits authorizing activity code 10 may be submitted by any person to
the Assistant Administrator. Applications for permits authorizing
activity code 10 are available from NMFS, Attn: International Fisheries
Division, 1315 East West Highway, Silver Spring, Maryland 20910. All
applicants should allow 90 days for review and comment by the public,
involved governmental agencies, and appropriate Councils and for
processing before the anticipated date to begin fishing. The permit
application fee must be paid at the time of application according to
Sec. 600.518.
(2) Applicants must provide complete and accurate information
requested on the permit application form.
(3) Applicants for FFV's that will support U.S. vessels in joint
ventures (Activity Code 4) must provide the additional information
specified by the permit application form.
(4) Each applicant may request to substitute one FFV for another of
the same flag by submitting a new application form and a short
explanation of the reason for the substitution to the appropriate
address listed at paragraph (d)(1) of this section. Each substitution is
considered a new application, and a new application fee must be paid.
NMFS will promptly process an application for a vessel replacing a
permitted FFV that is disabled or decommissioned, once the appropriate
Council(s) and governmental agencies have been notified of the
substituted application.
(e) Issuance. (1) Permits may be issued to an FFV by the Assistant
Administrator after--
(i) The Assistant Administrator determines that the fishing
described in the application will meet the requirements of the Magnuson-
Stevens Act and approves the permit application.
(ii) The applicant has paid the fees and provided any assurances
required by the Secretary in accordance with the provisions of Sec.
600.518.
(iii) The applicant has appointed an agent.
(iv) The applicant has identified a designated representative.
(v) The applicant has accepted the general ``conditions and
restrictions'' of receiving permits, as required by section 204(b)(7) of
the Magnuson-Stevens Act, and any ``additional restrictions'' attached
to the permit for the conservation and management of fishery resources
or for the prevention of significant impairment of the national defense
or security interests.
(2) The DOS will provide permits for activity codes 1 through 9 to
the official representative of the applicant foreign nation. The
Assistant Administrator will provide permits for activity code 10
directly to the applicant.
(3) An approved permit will contain--
(i) The name and IRCS of the FFV and its permit number.
(ii) The permitted fisheries and/or activity codes.
(iii) The date of issuance and expiration date, if other than
December 31.
(iv) All conditions and restrictions, and any additional
restrictions and technical modifications appended to the permit.
(4) Permits are not issued for boats that are launched from larger
vessels. Any enforcement action that results from the activities of a
launched boat will be taken against the permitted vessel.
[[Page 51]]
(f) Duration. A permit is valid from its date of issuance to its
date of expiration, unless it is revoked or suspended or the nation
issuing the FFV's documents does not accept amendments to the permit
made by the Assistant Administrator in accordance with the procedures of
paragraph (l) of this section. The permit will be valid for no longer
than the calendar year in which it was issued.
(g) Transfer. Permits are not transferable or assignable. A permit
is valid only for the FFV to which it is issued.
(h) Display. Each FFV operator must have a properly completed permit
form available on board the FFV when engaged in fishing activities and
must produce it at the request of an authorized officer or observer.
(i) Suspension and revocation. NMFS may apply sanctions to an FFV's
permit by revoking, suspending, or imposing additional permit
restrictions on the permit under 15 CFR part 904, if the vessel is
involved in the commission of any violation of the Magnuson-Stevens Act,
the GIFA, or this subpart; if an agent and a designated representative
are not maintained in the United States; if a civil penalty or criminal
fine imposed under the Magnuson-Stevens Act has become overdue; or as
otherwise specified in the Magnuson-Stevens Act.
(j) Fees. Permit application fees are described in Sec. 600.518.
(k) Change in application information. The applicant must report, in
writing, any change in the information supplied under paragraph (d) of
this section to the Assistant Administrator within 15 calendar days
after the date of the change. Failure to report a change in the
ownership from that described in the current application within the
specified time frame voids the permit, and all penalties involved will
accrue to the previous owner.
(l) Permit amendments. (1) The Assistant Administrator may amend a
permit by adding ``additional restrictions'' for the conservation and
management of fishery resources covered by the permit, or for the
national defense or security if the Assistant Administrator determines
that such interests would be significantly impaired without such
restrictions. Compliance with the added additional restrictions is a
condition of the permit. Violations of added additional restrictions
will be treated as violations of this subpart.
(2) The Assistant Administrator may make proposed additional
restrictions effective immediately, if necessary, to prevent substantial
harm to a fishery resource of the United States, to allow for the
continuation of ongoing fishing operations, or to allow for fishing to
begin at the normal time for opening of the fishery.
(3) The Assistant Administrator will send proposed additional
restrictions to each Nation whose vessels are affected (via the
Secretary of State), to the appropriate Councils, and to the Commandant
of the Coast Guard. NMFS will, at the same time, publish a document of
any significant proposed additional restrictions in the Federal
Register. The document will include a summary of the reasons underlying
the proposal, and the reasons that any proposed additional restrictions
are made effective immediately.
(4) The Nation whose vessels are involved, the owners of the
affected vessels, their representatives, the agencies specified in
paragraph (l)(3) of this section, and the public may submit written
comments on the proposed additional restrictions within 30 days after
publication in the Federal Register.
(5) The Assistant Administrator will make a final decision regarding
the proposed additional restrictions as soon as practicable after the
end of the comment period. The Assistant Administrator will provide the
final additional restrictions to the Nation whose vessels are affected
(via the Secretary of State) according to the procedures of paragraph
(e) of this section. The Assistant Administrator will include with the
final additional restrictions to the Nation, a response to comments
submitted.
(6) Additional restrictions may be modified by following the
procedures of paragraphs (l)(2) through (l)(5) of this section.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 64
FR 39019, July 21, 1999]
[[Page 52]]
Sec. 600.502 Vessel reports.
(a) The operator of each FFV must report the FFV's activities to the
USCG and NMFS as specified in this section.
(b) All reports required by this section must be in English and in
the formats specified in the permit additions and restrictions. Reports
must be delivered via private or commercial communications facilities,
facsimile, or other electronic means acceptable to NMFS and the USCG,
directly to the appropriate NMFS Region or Center and USCG commander.
Weekly reports must also be delivered directly to the appropriate NMFS
Region or Center (see tables 1 and 2 of this section). (The required
reports may be delivered to the closest USCG communication station as
indicated in table 3 of this section or other USCG communication station
only if adequate private or commercial communications facilities have
not been successfully contacted.) Radio reports must be made via
radiotelegraphy, Telex, or facsimile where available. For the purposes
of this section, a message is considered ``transmitted'' when its
receipt is acknowledged by a communications facility and considered
``delivered'' upon its receipt by the offices of the appropriate USCG
commander, NMFS Regional Office, or NMFS Center identified in table 2 of
this section. Reports required by this section may be submitted by the
vessel's designated representative; however, the operator of the FFV is
responsible for the correct and timely filing of all required reports.
(c) Activity reports. The operator of each FFV must report the FFV's
movements and activities before or upon the event, as specified in this
paragraph (c). Appropriate forms, instructions, codes, and examples are
contained in the conditions and restrictions of the FFV's permit. Each
FFV report must contain the following information: The message
identifier ``VESREP'' to indicate it is a vessel activity report, FFV
name, international radio call sign IRCS, date (month and day based on
GMT), time (hour and minute GMT), position (latitude and longitude to
the nearest degree and minute) where required, area (by fishing area
code) where required, the appropriate action code, confirmation codes
where required, and the other information specified in paragraphs (c)(1)
through (c)(11) of this section.
(1) ``BEGIN''. Each operator must specify the date, time, position,
and area the FFV will actually ``BEGIN'' fishing in the EEZ and the
species (by species code), product (by product code), and quantity of
all fish and fish products (by product weight to the nearest hundredth
of a metric ton) on board when entering the EEZ (action code ``BEGIN'').
The message must be delivered at least 24 hours before the vessel begins
to fish.
(2) ``DEPART''. Each operator must specify the date, time, position,
and area the FFV will ``DEPART'' the EEZ to embark or debark an
observer, to visit a U.S. port, to conduct a joint venture in internal
waters, or to otherwise temporarily leave an authorized fishing area,
but not depart the seaward limit of the EEZ (action code ``DEPART'').
The message must be transmitted before the FFV departs the present
fishing area and delivered within 24 hours of its transmittal.
(3) ``RETURN''. Each operator must specify the date, time, position,
and area the FFV will ``RETURN'' to the EEZ following a temporary
departure, and the species (by species code), product (by product code),
and quantity of all fish and fish products (by product weight to the
nearest hundredth of a metric ton) on board that were received in a
joint venture in internal waters (action code ``RETURN''). The message
must be transmitted before returning to the EEZ and delivered within 24
hours of its transmittal.
(4) ``SHIFT''. Each operator must report each SHIFT in fishing area
(as described for each fishery) by specifying the date, time, and
position the FFV will start fishing, and the new area (action code
``SHIFT''). The message must be transmitted before leaving the original
area and delivered within 24 hours of its transmittal. If a foreign
vessel operates within 20 nautical miles (37.04 km) of a fishing area
boundary, its operator may submit in one message the shift reports for
all fishing area shifts occurring during 1 fishing day (0001-2400 GMT).
This message must be
[[Page 53]]
transmitted prior to the last shift expected to be made in the day and
delivered within 24 hours of its transmittal.
(5) ``JV OPS''. Each operator must specify the date, time, position,
and area at which the FFV will ``START'' joint venture operations
(action code ``START JV OPS'') or ``END'' joint venture operations
(action code ``END JV OPS''). These reports must be made in addition to
other activity reports made under this section. Each message must be
transmitted before the event and delivered within 24 hours of its
transmittal.
(6) ``TRANSFER''. The operator of each FFV that anticipates a
transshipping operation in which the FFV will receive fish or fisheries
products must specify the date, time, position and area the FFV will
conduct the ``TRANSFER'' and the name and IRCS of the other FFV or U.S.
vessel involved (action code ``TRANSFER''). The report must include the
permit activity code under which the transfer will be made. The message
must be transmitted prior to the transfer and delivered within 24 hours
of its transmittal. The movement of raw fish from a permitted foreign
catching vessel or, under an Activity Code 4, from a U.S. fishing vessel
to the reporting processing vessel and the return of nets or codends is
not considered a transfer.
(7) ``OFFLOADED''. Each operator must specify the date, time,
position, and area the FFV ``OFFLOADED'' fish or fisheries products TO
another FFV or a U.S. vessel in a transfer, the other FFV's or U.S.
vessel's name, IRCS, Permit Activity Code under which the transfer was
made, species (by species code) and quantity of fish and fisheries
products (by product code and by product weight, to the nearest
hundredth of a metric ton) offloaded (action code ``OFFLOADED TO''). The
message must be transmitted within 12 hours after the transfer is
completed and delivered within 24 hours of its transmittal and before
the FFV ceases fishing in the EEZ.
(8) ``RECEIVED''. Each operator must specify the date, time,
position and area the vessel ``RECEIVED'' fish or fisheries products
FROM another FFV in a transfer, the other FFV's or U.S. vessel's name,
IRCS, Permit Activity Code under which the receipt was made, species (by
species code) and quantity of fish and fisheries products (by product
code and by product weight, to the nearest hundredth of a metric ton)
received (action code ``RECEIVED FROM''). The message must be
transmitted within 12 hours after the transfer is completed and
delivered within 24 hours of its transmittal and before the vessel
ceases fishing in the EEZ.
(9) ``CEASE''. Each operator must specify the date, time, position,
and area the FFV will ``CEASE'' fishing in order to leave the EEZ
(action code ``CEASE''). The message must be delivered at least 24 hours
before the FFV's departure.
(10) ``CHANGE''. Each operator must report any ``CHANGE'' TO the
FFV's operations if the position or time of an event specified in an
activity report will vary more than 5 nautical miles (9.26 km) or 4
hours from that previously reported, by sending a revised message
inserting the word ``CHANGE'' in front of the previous report, repeating
the name, IRCS, date, and time of the previous report, adding the word
``TO'' and the complete revised text of the new report (action code
``CHANGE TO''). Changes to reports specifying an early beginning of
fishing by an FFV or other changes to reports contained in paragraphs
(c)(1) through (c)(9) of this section must be transmitted and delivered
as if the ``CHANGE'' report were the original message.
(11) ``CANCEL''. Each operator wanting to ``CANCEL'' a previous
report may do so by sending a revised message, and inserting the word
``CANCEL'' in front of the previous report's vessel name, IRCS, date,
time and action code canceled (action code ``CANCEL''). The message must
be transmitted and delivered prior to the date and time of the event in
the original message.
(d) The operator of an FFV will be in violation of paragraphs (c)(1)
through (c)(9) of this section if the FFV does not pass within 5
nautical miles (9.26 km) of the position given in the report within 4
hours of the time given in the report.
(e) The notices required by this section may be provided for
individual or
[[Page 54]]
groups of FFV's (on a vessel-by-vessel basis) by authorized persons. An
FFV operator may retransmit reports on the behalf of another FFV, if
authorized by that FFV's operator. This does not relieve the individual
vessel operator of the responsibility of filing required reports. In
these cases, the message format should be modified so that each line of
text under ``VESREP'' is a separate vessel report.
(f) Weekly reports. (1) The operator of each FFV in the EEZ must
submit appropriate weekly reports through the Nation's designated
representative. The report must arrive at the address and time specified
in paragraph (g) of this section. The reports may be sent by facsimile
or Telex, but a completed copy of the report form must be mailed or hand
delivered to confirm the Telex. Appropriate forms, instructions, codes,
and examples are contained in the conditions and restrictions of the
FFV's permit. Designated representatives may include more than one
vessel report in a facsimile or Telex message, if the information is
submitted on a vessel-by-vessel basis. Requests for corrections to
previous reports must be submitted through the Nation's designated
representative and mailed or hand-delivered, together with a written
explanation of the reasons for the errors. The appropriate Regional
Administrator or Science and Research Director may accept or reject any
correction and initiate any appropriate civil penalty actions.
(2) Weekly catch report (CATREP). The operator of each FFV must
submit a weekly catch report stating any catch (Activity Code 1) in
round weight of each species or species group allocated to that Nation
by area and days fished in each area for the weekly period Sunday
through Saturday, GMT, as modified by the fishery in which the FFV is
engaged. Foreign vessels delivering unsorted, unprocessed fish to a
processing vessel are not required to submit CATREP's, if that
processing vessel (Activity Code 2) submits consolidated CATREP's for
all fish received during each weekly period. No report is required for
FFV's that do not catch or receive foreign-caught fish during the
reporting period.
(3) Weekly receipts report (RECREP). The operator of each FFV must
submit a weekly report stating any receipts of U.S.-harvested fish in a
joint venture (Activity Code 4) for the weekly period Sunday through
Saturday, GMT, as modified by the fishery in which the FFV is engaged,
for each fishing area, by authorized or prohibited species or species
group; days fish received; round weight retained or returned to the U.S.
fishing vessel; number of codends received; and number of vessels
transferring codends. The report must also include the names of U.S.
fishing vessels transferring codends during the week. No report is
required for FFV's that do not receive any U.S.-harvested fish during
the reporting period.
(4) Marine mammal report (MAMREP). The operator of each FFV must
submit a weekly report stating any incidental catch or receipt of marine
mammals (Activity Codes 1 or 2 and/or 4), the geographical position
caught, the condition of the animal, number caught (if more than one of
the same species and condition), and nationality of the catching vessel
for the period Sunday through Saturday, GMT, as modified by the fishery
in which the vessel is engaged. Foreign catching vessels delivering
unsorted, unprocessed fish to processing vessel are not required to
submit MAMREP's, provided that the processing or factory vessel
(Activity Code 2) submits consolidated MAMREP's for all fish received
during each weekly period. FFV's receiving U.S.-harvested fish in a
joint venture (Activity Code 4) must submit consolidated reports for
U.S. vessels operating in the joint venture. No report is required for
FFV's that do not catch or receive marine mammals during the reporting
period.
(g) Submission instructions for weekly reports. The designated
representative for each FFV must submit weekly reports in the prescribed
format to the appropriate Regional Administrator or Science and Research
Director of NMFS by 1900 GMT on the Wednesday following the end of the
reporting period. However, by agreement with the appropriate Regional
Administrator or Science and Research Director, the designated
representative may submit
[[Page 55]]
weekly reports to some other facility of NMFS.
(h) Alternative reporting procedures. As an alternative to the use
of the specific procedures provided, an applicant may submit proposed
reporting procedures for a general type of fishery operation (i.e.,
transshipments under Activity Code 10) to the appropriate Regional
Administrator and the USCG commander (see tables 1 and 2 to Sec.
600.502 of this chapter). With the agreement of the USCG commander, the
Regional Administrator may authorize the use of alternative reporting
procedures.
Table 1 to Sec. 600.502--Addresses
------------------------------------------------------------------------
NMFS science and U.S. Coast Guard
NMFS regional administrators research directors commanders
------------------------------------------------------------------------
Administrator, Northeast Director, Northeast Commander, Atlantic
Region, National Marine Fisheries Science Area, U.S. Coast
Fisheries Service, NOAA, Center, National Guard, 431 Crawford
One Blackburn Drive, Marine Fisheries St., Portsmouth, VA
Gloucester, MA 01930-2298. Service, NOAA, 166 23704.
Water St., Woods
Hole, MA 02543-1097.
Administrator, Southeast Director, Southeast Commander, Atlantic
Region, National Marine Fisheries Science Area, U.S. Coast
Fisheries Service, 9721 Center, National Guard, Governor's
Exec. Center Drive N., St. Marine Fisheries Island, New York
Petersburg, FL 33702. Service, NOAA, 75 10004.
Virginia Beach
Drive, Miami, FL
33149-1003.
Administrator, Northwest Director, Northwest Commander, Pacific
Region, National Marine Fisheries Science Area, U.S. Coast
Fisheries Service, NOAA, Center, National Guard, Government
7600 Sand Point Way, NE, Marine Fisheries Island, Alameda, CA
BIN C15700, Bldg. 1, Service, NOAA, 2725 94501.
Seattle, WA 98115. Montlake Blvd.
East, Seattle, WA
98112-2097.
Administrator, Alaska Director, Alaska Commander,
Region, National Marine Fisheries Science Seventeenth Coast
Fisheries Service, NOAA, Center, National Guard District,
P.O. Box 21668, Juneau, AK Marine Fisheries P.O. Box 25517,
99802-1668. Service, NOAA, 7600 Juneau, AK 99802.
Sand Point Way, NE,
BIN C15700, Bldg.
4, Seattle, WA
98115-0070.
Administrator, Southwest Director, Southwest Commander,
Region, National Marine Fisheries Science Fourteenth Coast
Fisheries Service, NOAA, Center, National Guard District, 300
501 West Ocean Blvd., Suite Marine Fisheries Ala Moana Blvd.,
4200, Long Beach, CA 90802- Service, NOAA, P.O. Honolulu, HI 96850.
4213. Box 271, La Jolla,
CA 92038-0271.
Administrator, Pacific Director, Pacific Commander,
Islands Region, National Islands Fisheries Fourteenth Coast
Marine Fisheries Service, Science Center, Guard District, 300
NOAA, 1601 Kapiolani Blvd., National Marine Ala Moana Blvd.,
Suite 1110, Honolulu, HI Fisheries Service, Honolulu, HI 96850.
96814. NOAA, 2570 Dole
Street, Honolulu,
HI 96822.
------------------------------------------------------------------------
Table 2 to Sec. 600.502--Areas of Responsibility of NMFS and U.S.
Coast Guard Offices
------------------------------------------------------------------------
Area of responsibility/ National Marine
fishery Fisheries Service U.S. Coast Guard
------------------------------------------------------------------------
Atlantic Ocean North of Cape Director, Northeast Commander, Atlantic
Hatteras. Science Center, Area.
Attn: Observer
Program.
Atlantic Ocean South of Cape Director, Northeast Commander, Atlantic
Hatteras. Science Center, Area.
Attn: Observer
Program.
Atlantic Tunas, Swordfish, Director, Office of Commander, Atlantic
Billfish and Sharks. Sustainable Area.
Fisheries.
Gulf of Mexico and Caribbean Administrator, Commander, Atlantic
Sea. Southeast Region. Area.
Pacific Ocean off the States Administrator, Commander, Pacific
of California, Oregon, and Northwest Region. Area.
Washington.
North Pacific Ocean and Administrator, Commander,
Bering Sea off Alaska. Alaska Region. Seventeenth Coast
Guard District.
Pacific Ocean off Hawaii, Administrator, Commander,
American Samoa, Guam, Pacific Islands Fourteenth Coast
Commonwealth of the Region. Guard District.
Northern Mariana Islands,
and U.S. Insular
Possessions in the Central
and Western Pacific.
------------------------------------------------------------------------
Table 3 to Sec. 600.502--U.S. Coast Guard Communications Stations and Frequencies
----------------------------------------------------------------------------------------------------------------
Radiotelephone
U.S. Coast Guard communications ---------------------------------------------------------------------------
station IRCS Channel \1\ GMT time
----------------------------------------------------------------------------------------------------------------
Boston.............................. NMF A-E 2330-1100.
...................... B,C All.
...................... D 1100-2330.
...................... E (On request).
CAMSLANT Chesapeake (Portsmouth, VA) NMN A 2330-1100.
...................... B,C All.
[[Page 56]]
...................... D 1100-2330.
...................... E (On request).
New Orleans......................... NMG A 2330-1100.
...................... B,C All.
...................... D 1100-2330.
...................... E (On request).
CAMSPAC Point Reyes (San Francisco, NMC A-D All.
CA).
...................... E (On request).
Honolulu............................ NMO A-D All.
...................... E (On request).
Kodiak.............................. NOJ A-D All.
...................... E (On request).
----------------------------------------------------------------------------------------------------------------
\1\ Carrier frequencies of duplex, high-frequency single-sideband channels are:
------------------------------------------------------------------------
Letter Shore transmit Ship transmit
------------------------------------------------------------------------
A................................. 4426.0 4134.0
B................................. 6501.0 6200.0
C................................. 8764.0 8240.0
D................................. 13089.0 12242.0
E................................. 17314.0 16432.0
------------------------------------------------------------------------
[61 FR 32540, June 24, 1996, as amended at 63 FR 7073, Feb. 12, 1998; 64
FR 39020, July 21, 1999; 69 FR 8341, Feb. 24, 2004]
Sec. 600.503 Vessel and gear identification.
(a) Vessel identification. (1) The operator of each FFV assigned an
IRCS must display that call sign amidships on both the port and
starboard sides of the deckhouse or hull, so that it is visible from an
enforcement vessel, and on an appropriate weather deck so it is visible
from the air.
(2) The operator of each FFV not assigned an IRCS, such as a small
trawler associated with a mothership or one of a pair of trawlers, must
display the IRCS of the associated vessel, followed by a numerical
suffix. (For example, JCZM-1, JCZM-2, etc., would be displayed on small
trawlers not assigned an IRCS operating with a mothership whose IRCS is
JCZM; JANP-1 would be displayed by a pair trawler not assigned an IRCS
operating with a trawler whose IRCS is JANP.)
(3) The vessel identification must be in a color in contrast to the
background and must be permanently affixed to the FFV in block Roman
alphabet letters and Arabic numerals at least 1 m in height for FFV's
over 20 m in length, and at least 0.5 m in height for all other FFV's.
(b) Navigational lights and shapes. Each FFV must display the lights
and shapes prescribed by the International Regulations for Preventing
Collisions at Sea, 1972 (TIAS 8587, and 1981 amendment TIAS 10672), for
the activity in which the FFV is engaged (as described at 33 CFR part
81).
(c) Gear identification. (1) The operator of each FFV must ensure
that all deployed fishing gear that is not physically and continuously
attached to an FFV:
(i) Is clearly marked at the surface with a buoy displaying the
vessel identification of the FFV (see paragraph (a) of this section) to
which the gear belongs.
(ii) Has attached a light visible for 2 nautical miles (3.70 km) at
night in good visibility.
(iii) Has a radio buoy.
Trawl codends passed from one vessel to another are considered
continuously attached gear and are not required to be marked.
(2) The operator of each FFV must ensure that deployed longlines,
strings of traps or pots, and gillnets are marked at the surface at each
terminal
[[Page 57]]
end with: (see paragraphs (c)(1)(i) through (c)(1)(iii) of this
section).
(3) Additional requirements may be specified for the fishery in
which the vessel is engaged.
(4) Unmarked or incorrectly identified fishing gear may be
considered abandoned and may be disposed of in accordance with
applicable Federal regulations by any authorized officer.
(d) Maintenance. The operator of each FFV must--
(1) Keep the vessel and gear identification clearly legible and in
good repair.
(2) Ensure that nothing on the FFV obstructs the view of the
markings from an enforcement vessel or aircraft.
(3) Ensure that the proper navigational lights and shapes are
displayed for the FFV's activity and are properly functioning.
Sec. 600.504 Facilitation of enforcement.
(a) General. (1) The owner, operator, or any person aboard any FFV
subject to this subpart must immediately comply with instructions and
signals issued by an authorized officer to stop the FFV; to move the FFV
to a specified location; and to facilitate safe boarding and inspection
of the vessel, its gear, equipment, records, and fish and fish products
on board for purposes of enforcing the Magnuson-Stevens Act and this
subpart.
(2) The operator of each FFV must provide vessel position or other
information when requested by an authorized officer within the time
specified in the request.
(b) Communications equipment. (1) Each FFV must be equipped with a
VHF-FM radiotelephone station located so that it may be operated from
the wheelhouse. Each operator must maintain a continuous listening watch
on channel 16 (156.8 mHz).
(2) Each FFV must be equipped with a radiotelephone station capable
of communicating via 2182 kHz (SSB) radiotelephony and at least one set
of working frequencies identified in table 3 to Sec. 600.502
appropriate to the fishery in which the FFV is operating. Each operator
must monitor and be ready to communicate via 2182 kHz (SSB)
radiotelephone each day from 0800 GMT to 0830 GMT and 2000 to 2030 GMT,
and in preparation for boarding.
(3) FFV's that are not equipped with processing facilities and that
deliver all catches to a foreign processing vessel are exempt from the
requirements of paragraph (b)(2) of this section.
(4) FFV's with no IRCS that do not catch fish and are used as
auxiliary vessels to handle codends, nets, equipment, or passengers for
a processing vessel are exempt from the requirements of paragraphs
(b)(1) and (b)(2) of this section.
(5) The appropriate Regional Administrator, with the agreement of
the appropriate USCG commander, may, upon request by a foreign nation,
accept alternatives to the radio requirements of this section to certain
FFV's or types of FFV's operating in a fishery, provided they are
adequate for the communications needs of the fishery.
(c) Communications procedures. (1) Upon being approached by a USCG
vessel or aircraft, or other vessel or aircraft with an authorized
officer aboard, the operator of any FFV subject to this subpart must be
alert for communications conveying enforcement instructions. The
enforcement unit may communicate by channel 16 VHF-FM radiotelephone,
2182 kHz (SSB) radiotelephone, message block from an aircraft, flashing
light or flag signals from the International Code of Signals, hand
signal, placard, loudhailer, or other appropriate means. The following
signals, extracted from the International Code of Signals, are among
those that may be used.
(i) ``AA, AA, AA, etc.'', which is the call for an unknown station.
The signaled vessel should respond by identifying itself or by
illuminating the vessel identification required by Sec. 600.505.
(ii) ``RY-CY'', meaning ``You should proceed at slow speed, a boat
is coming to you''.
(iii) ``SQ3'', meaning ``You should stop or heave to; I am going to
board you''.
(iv) ``L'', meaning ``You should stop your vessel instantly.''
(2) Failure of an FFV's operator to stop the vessel when directed to
do so by an authorized officer using VHF-FM radiotelephone (channel 16),
2182 kHz (SSB) radiotelephone (where required),
[[Page 58]]
message block from an aircraft, flashing light signal, flaghoist, or
loudhailer constitutes a violation of this subpart.
(3) The operator of or any person aboard an FFV who does not
understand a signal from an enforcement unit and who is unable to obtain
clarification by radiotelephone or other means must consider the signal
to be a command to stop the FFV instantly.
(d) Boarding. The operator of an FFV signaled for boarding must--
(1) Monitor 2182 kHz (SSB) radiotelephone and channel 16 (156.8 mHz)
VHF-FM radiotelephone.
(2) Stop immediately and lay to or maneuver in such a way as to
maintain the safety of the FFV and facilitate boarding by the authorized
officer and the boarding party or an observer.
(3) Provide the authorized officer, boarding party, or observer a
safe pilot ladder. The operator must ensure the pilot ladder is securely
attached to the FFV and meets the construction requirements of
Regulation 17, Chapter V of the International Convention for the Safety
of Life at Sea (SOLAS), 1974 (TIAS 9700 and 1978 Protocol, TIAS 10009),
or a substantially equivalent national standard approved by letter from
the Assistant Administrator, with agreement with the USCG. Safe pilot
ladder standards are summarized below:
(i) The ladder must be of a single length of not more than 9 m (30
ft), capable of reaching the water from the point of access to the FFV,
accounting for all conditions of loading and trim of the FFV and for an
adverse list of 15[deg]. Whenever the distance from sea level to the
point of access to the ship is more than 9 m (30 ft), access must be by
means of an accommodation ladder or other safe and convenient means.
(ii) The steps of the pilot ladder must be--
(A) Of hardwood, or other material of equivalent properties, made in
one piece free of knots, having an efficient non-slip surface; the four
lowest steps may be made of rubber of sufficient strength and stiffness
or of other suitable material of equivalent characteristics.
(B) Not less than 480 mm (19 inches) long, 115 mm (4.5 inches) wide,
and 25 mm (1 inch) in depth, excluding any non-slip device.
(C) Equally spaced not less than 300 millimeters (12 inches) nor
more than 380 mm (15 inches) apart and secured in such a manner that
they will remain horizontal.
(iii) No pilot ladder may have more than two replacement steps that
are secured in position by a method different from that used in the
original construction of the ladder.
(iv) The side ropes of the ladder must consist of two uncovered
manila ropes not less than 60 mm (2.25 inches) in circumference on each
side (or synthetic ropes of equivalent size and equivalent or greater
strength). Each rope must be continuous, with no joints below the top
step.
(v) Battens made of hardwood, or other material of equivalent
properties, in one piece and not less than 1.80 m (5 ft 10 inches) long
must be provided at such intervals as will prevent the pilot ladder from
twisting. The lowest batten must be on the fifth step from the bottom of
the ladder and the interval between any batten and the next must not
exceed nine steps.
(vi) Where passage onto or off the ship is by means of a bulwark
ladder, two handhold stanchions must be fitted at the point of boarding
or leaving the FFV not less than 0.70 m (2 ft 3 inches) nor more than
0.80 m (2 ft 7 inches) apart, not less than 40 mm (2.5 inches) in
diameter, and must extend not less than 1.20 m (3 ft 11 inches) above
the top of the bulwark.
(4) When necessary to facilitate the boarding or when requested by
an authorized officer or observer, provide a manrope, safety line, and
illumination for the ladder; and
(5) Take such other actions as necessary to ensure the safety of the
authorized officer and the boarding party and to facilitate the boarding
and inspection.
(e) Access and records. (1) The owner and operator of each FFV must
provide authorized officers access to all spaces where work is conducted
or business papers and records are prepared or stored, including but not
limited to, personal quarters and areas within personal quarters.
[[Page 59]]
(2) The owner and operator of each FFV must provide to authorized
officers all records and documents pertaining to the fishing activities
of the vessel, including but not limited to, production records, fishing
logs, navigation logs, transfer records, product receipts, cargo stowage
plans or records, draft or displacement calculations, customs documents
or records, and an accurate hold plan reflecting the current structure
of the vessel's storage and factory spaces.
(f) Product storage. The operator of each permitted FFV storing fish
or fish products in a storage space must ensure that all non-fish
product items are neither stowed beneath nor covered by fish products,
unless required to maintain the stability and safety of the vessel.
These items include, but are not limited to, portable conveyors, exhaust
fans, ladders, nets, fuel bladders, extra bin boards, or other movable
non-product items. These items may be in the space when necessary for
safety of the vessel or crew or for storage of the product. Lumber, bin
boards, or other dunnage may be used for shoring or bracing of product
to ensure safety of crew and to prevent shifting of cargo within the
space.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.505 Prohibitions.
(a) It is unlawful for any person to do any of the following:
(1) Ship, transport, offer for sale, sell, purchase, import, export,
or have custody, control, or possession of any fish taken or retained in
violation of the Magnuson-Stevens Act, the applicable GIFA, this
subpart, or any permit issued under this subpart;
(2) Refuse to allow an authorized officer to board an FFV for
purposes of conducting any search or inspection in connection with the
enforcement of the Magnuson-Stevens Act, the applicable GIFA, this
subpart, or any other permit issued under this subpart;
(3) Assault, resist, oppose, impede, intimidate, or interfere with
any authorized officer in the conduct of any inspection or search
described in paragraph (a)(2) of this section;
(4) Resist a lawful arrest for any act prohibited by the Magnuson-
Stevens Act, the applicable GIFA, this subpart, or any permit issued
under this subpart;
(5) Interfere with, delay, or prevent by any means the apprehension
or arrest of another person with the knowledge that such other person
has committed any act prohibited by the Magnuson-Stevens Act, the
applicable GIFA, this subpart, or any permit issued under this subpart;
(6) Interfere with, obstruct, delay, oppose, impede, intimidate, or
prevent by any means any boarding, investigation or search, wherever
conducted, in the process of enforcing the Magnuson-Stevens Act, the
applicable GIFA, this subpart, or any permit issued under this subpart;
(7) Engage in any fishing activity for which the FFV does not have a
permit as required under Sec. 600.501;
(8) Engage in any fishing activity within the EEZ without a U.S.
observer aboard the FFV, unless the requirement has been waived by the
Assistant Administrator or appropriate Regional Administrator;
(9) Retain or attempt to retain, directly or indirectly, any U.S.
harvested fish, unless the FFV has a permit for Activity Codes 4, 6, or
10;
(10) Use any fishing vessel to engage in fishing after the
revocation, or during the period of suspension, of an applicable permit
issued under this subpart;
(11) Violate any provision of the applicable GIFA;
(12) Falsely or incorrectly complete (including by omission) a
permit application or permit form as specified in Sec. 600.501 (d) and
(k);
(13) Fail to report to the Assistant Administrator within 15 days
any change in the information contained in the permit application for a
FFV, as specified in Sec. 600.501(k);
(14) Assault, resist, oppose, impede, intimidate, or interfere with
an observer placed aboard an FFV under this subpart;
(15) Interfere with or bias the sampling procedure employed by an
observer, including sorting or discarding any catch prior to sampling,
unless the observer has stated that sampling will not occur; or tamper
with, destroy, or
[[Page 60]]
discard an observer's collected samples, equipment, records,
photographic film, papers, or effects without the express consent of the
observer;
(16) Prohibit or bar by command, impediment, threat, coercion, or
refusal of reasonable assistance, an observer from collecting samples,
conducting product recovery rate determinations, making observations, or
otherwise performing the observer's duties;
(17) Harass or sexually harass an authorized officer or observer;
(18) Fail to provide the required assistance to an observer as
described at Sec. 600.506 (c) and (e);
(19) Fail to identify, falsely identify, fail to properly maintain,
or obscure the identification of the FFV or its gear as required by this
subpart;
(20) Falsify or fail to make, keep, maintain, or submit any record
or report required by this subpart;
(21) Fail to return to the sea or fail to otherwise treat prohibited
species as required by this subpart;
(22) Fail to report or falsely report any gear conflict;
(23) Fail to report or falsely report any loss, jettisoning, or
abandonment of fishing gear or other article into the EEZ that might
interfere with fishing, obstruct fishing gear or vessels, or cause
damage to any fishery resource or marine mammals;
(24) Continue Activity Codes 1 through 4 after those activity codes
have been canceled under Sec. 600.511;
(25) Fail to maintain health and safety standards set forth in Sec.
600.506(d);
(26) Violate any provisions of regulations for specific fisheries of
this subpart;
(27) On a scientific research vessel, engage in fishing other than
recreational fishing authorized by applicable state, territorial, or
Federal regulations;
(28) Violate any provision of this subpart, the Magnuson-Stevens
Act, the applicable GIFA, any notice issued under this subpart or any
permit issued under this subpart; or
(29) Attempt to do any of the foregoing.
(b) It is unlawful for any FFV, and for the owner or operator of any
FFV except an FFV engaged only in recreational fishing, to fish--
(1) Within the boundaries of any state, unless:
(i) The fishing is authorized by the Governor of that state as
permitted by section 306(c) of the Magnuson-Stevens Act to engage in a
joint venture for processing and support with U.S. fishing vessels in
the internal waters of that state; or
(ii) The fishing is authorized by, and conducted in accordance with,
a valid permit issued under Sec. 600.501, and the Governor of that
state has indicated concurrence to allow fishing consisting solely of
transporting fish or fish products from a point within the boundaries of
that state to a point outside the United States; or
(2) Within the EEZ, or for any anadromous species or continental
shelf fishery resources beyond the EEZ, unless the fishing is authorized
by, and conducted in accordance with, a valid permit issued under Sec.
600.501.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 64
FR 39020, July 21, 1999]
Sec. 600.506 Observers.
(a) General. To carry out such scientific, compliance monitoring,
and other functions as may be necessary or appropriate to carry out the
purposes of the Magnuson-Stevens Act, the appropriate Regional
Administrator or Science and Research Director (see table 2 to Sec.
600.502) may assign U.S. observers to FFV's. Except as provided for in
section 201(h)(2) of the Magnuson-Stevens Act, no FFV may conduct
fishing operations within the EEZ unless a U.S. observer is aboard.
(b) Effort plan. To ensure the availability of an observer as
required by this section, the owners and operators of FFV's wanting to
fish within the EEZ will submit to the appropriate Regional
Administrator or Science and Research Director and also to the Chief,
Financial Services Division, NMFS, 1315 East West Highway, Silver
Spring, MD 20910 a schedule of fishing effort 30 days prior to the
beginning of each quarter. A quarter is a time period of 3 consecutive
months beginning January 1, April 1, July 1, and October 1 of each year.
The schedule will contain the name and IRCS of each FFV
[[Page 61]]
intending to fish within the EEZ during the upcoming quarter, and each
FFV's expected date of arrival and expected date of departure.
(1) The appropriate Regional Administrator or Science and Research
Director must be notified immediately of any substitution of vessels or
any cancellation of plans to fish in the EEZ for FFV's listed in the
effort plan required by this section.
(2) If an arrival date of an FFV will vary more than 5 days from the
date listed in the quarterly schedule, the appropriate Regional
Administrator or Science and Research Director must be notified at least
10 days in advance of the rescheduled date of arrival. If the notice
required by this paragraph (b)(2) is not given, the FFV may not engage
in fishing until an observer is available and has been placed aboard the
vessel or the requirement has been waived by the appropriate Regional
Administrator or Science and Research Director.
(c) Assistance to observers. To assist the observer in the
accomplishment of his or her assigned duties, the owner and operator of
an FFV to which an observer is assigned must--
(1) Provide, at no cost to the observer or the United States,
accommodations for the observer aboard the FFV that are equivalent to
those provided to the officers of that vessel.
(2) Cause the FFV to proceed to such places and at such times as may
be designated by the appropriate Regional Administrator or Science and
Research Director for the purpose of embarking and debarking the
observer.
(3) Allow the observer to use the FFV's communications equipment and
personnel upon demand for the transmission and receipt of messages.
(4) Allow the observer access to and use of the FFV's navigation
equipment and personnel upon demand to determine the vessel's position.
(5) Allow the observer free and unobstructed access to the FFV's
bridge, trawl, or working decks, holding bins, processing areas, freezer
spaces, weight scales, cargo holds and any other space that may be used
to hold, process, weigh, or store fish or fish products at any time.
(6) Allow the observer to inspect and copy the FFV's daily log,
communications log, transfer log, and any other log, document, notice,
or record required by these regulations.
(7) Provide the observer copies of any records required by these
regulations upon demand.
(8) Notify the observer at least 15 minutes before fish are brought
on board or fish or fish products are transferred from the FFV to allow
sampling the catch or observing the transfer, unless the observer
specifically requests not to be notified.
(9) Provide all other reasonable assistance to enable the observer
to carry out his or her duties.
(d) Health and safety standards. All foreign fishing vessels to
which an observer is deployed must maintain, at all times that the
vessel is in the EEZ, the following:
(1) At least one working radar.
(2) Functioning navigation lights as required by international law.
(3) A watch on the bridge by appropriately trained and experienced
personnel while the vessel is underway.
(4) Lifeboats and/or inflatable life rafts with a total carrying
capacity equal to or greater than the number of people aboard the
vessel. Lifeboats and inflatable life rafts must be maintained in good
working order and be readily available.
(5) Life jackets equal or greater in number to the total number of
persons aboard the vessel. Life jackets must be stowed in readily
accessible and plainly marked positions throughout the vessel, and
maintained in a state of good repair.
(6) At least one ring life buoy for each 25 ft (7.6 m) of vessel
length, equipped with automatic water lights. Ring life buoys must have
an outside diameter of not more than 32 inches (81.3 cm) nor less than
30 inches (76.2 cm), and must be maintained in a state of good repair.
Ring life buoys must be readily available, but not positioned so they
pose a threat of entanglement in work areas. They must be secured in
such a way that they can be easily cast loose in the event of an
emergency.
(7) At least one VHF-FM radio with a functioning channel 16 (156.8
mHz),
[[Page 62]]
International Distress, Safety and Calling Frequency, and one
functioning AM radio (SSB-Single Side Band) capable of operating at 2182
kHz (SSB). Radios will be maintained in a radio room, chartroom, or
other suitable location.
(8) At least one Emergency Position Indicating Radio Beacon (EPIRB),
approved by the USCG for offshore commercial use, stowed in a location
so as to make it readily available in the event of an emergency.
(9) At least six hand-held, rocket-propelled, parachute, red-flare
distress signals, and three orange-smoke distress signals stowed in the
pilothouse or navigation bridge in portable watertight containers.
(10) All lights, shapes, whistles, foghorns, fog bells and gongs
required by and maintained in accordance with the International
Regulations for Preventing Collisions at Sea.
(11) Clean and sanitary conditions in all living spaces, food
service and preparation areas and work spaces aboard the vessel.
(e) Observer transfers. (1) The operator of the FFV must ensure that
transfers of observers at sea via small boat or raft are carried out
during daylight hours as weather and sea conditions allow, and with the
agreement of the observer involved. The FFV operator must provide the
observer 3 hours advance notice of at-sea transfers, so that the
observer may collect personal belongings, equipment, and scientific
samples.
(2) The FFV's involved must provide a safe pilot ladder and conduct
the transfer according to the procedures of Sec. 600.504(d) to ensure
the safety of the during the transfer.
(3) An experienced crew member must assist the observer in the small
boat or raft in which the transfer is made.
(f) Supplementary observers. In the event funds are not available
from Congressional appropriations of fees collected to assign an
observer to a foreign fishing vessel, the appropriate Regional
Administrator or Science and Research Director will assign a
supplementary observer to that vessel. The costs of supplementary
observers will be paid for by the owners and operators of foreign
fishing vessels as provided for in paragraph (h) of this section.
(g) Supplementary observer authority and duties. (1) A supplementary
observer aboard a foreign fishing vessel has the same authority and must
be treated in all respects as an observer who is employed by NMFS,
either directly or under contract.
(2) The duties of supplementary observers and their deployment and
work schedules will be specified by the appropriate Regional
Administrator or Science and Research Director.
(3) All data collected by supplementary observers will be under the
exclusive control of the Assistant Administrator.
(h) Supplementary observer payment--(1) Method of payment. The
owners and operators of foreign fishing vessels must pay directly to the
contractor the costs of supplementary observer coverage. Payment must be
made to the contractor supplying supplementary observer coverage either
by letter of credit or certified check drawn on a federally chartered
bank in U.S. dollars, or other financial institution acceptable to the
contractor. The letter of credit used to pay supplementary observer fees
to contractors must be separate and distinct from the letter of credit
required by Sec. 600.518(b)(2). Billing schedules will be specified by
the terms of the contract between NOAA and the contractors. Billings for
supplementary observer coverage will be approved by the appropriate
Regional Administrator or Science and Research Director and then
transmitted to the owners and operators of foreign fishing vessels by
the appropriate designated representative. Each country will have only
one designated representative to receive observer bills for all vessels
of that country, except as provided for by the Assistant Administrator.
All bills must be paid within 10 working days of the billing date.
Failure to pay an observer bill will constitute grounds to revoke
fishing permits. All fees collected under this section will be
considered interim in nature and subject to reconciliation at the end of
the fiscal year in accordance with paragraph (h)(4) of this section and
Sec. 600.518(d).
(2) Contractor costs. The costs charged for supplementary observer
coverage to
[[Page 63]]
the owners and operators of foreign fishing vessels may not exceed the
costs charged to NMFS for the same or similar services, except that
contractors may charge to the owners and operators of foreign fishing
vessels an additional fee to cover the administrative costs of the
program not ordinarily part of contract costs charged to NMFS. The costs
charged foreign fishermen for supplementary observers may include, but
are not limited to the following:
(i) Salary and benefits, including overtime, for supplementary
observers.
(ii) The costs of post-certification training required by paragraph
(j)(2) of this section.
(iii) The costs of travel, transportation, and per diem associated
with deploying supplementary observers to foreign fishing vessels
including the cost of travel, transportation, and per diem from the
supplementary observer's post of duty to the point of embarkation to the
foreign fishing vessel, and then from the point of disembarkation to the
post of duty from where the trip began. For the purposes of these
regulations, the appropriate Regional Administrator or Science and
Research Director will designate posts of duty for supplementary
observers.
(iv) The costs of travel, transportation, and per diem associated
with the debriefing following deployment of a supplementary observer by
NMFS officials.
(v) The administrative and overhead costs incurred by the contractor
and, if appropriate, a reasonable profit.
(3) NMFS costs. The owners and operators of foreign fishing vessels
must also pay to NMFS as part of the surcharge required by section
201(i)(4) of the Magnuson-Stevens Act, the following costs:
(i) The costs of certifying applicants for the position of
supplementary observer.
(ii) The costs of any equipment, including safety equipment,
sampling equipment, operations manuals, or other texts necessary to
perform the duties of a supplementary observer. The equipment will be
specified by the appropriate Regional Administrator or Science and
Research Director according to the requirements of the fishery to which
the supplementary observer will be deployed.
(iii) The costs associated with communications with supplementary
observers for transmission of data and routine messages.
(iv) For the purposes of monitoring the supplementary observer
program, the costs for the management and analysis of data.
(v) The costs for data editing and entry.
(vi) Any costs incurred by NMFS to train, deploy or debrief a
supplementary observer.
(vii) The cost for U.S. Customs inspection for supplementary
observers disembarking after deployment.
(4) Reconciliation. Fees collected by the contractor in excess of
the actual costs of supplementary observer coverage will be refunded to
the owners and operators of foreign fishing vessels, or kept on deposit
to defray the costs of future supplementary observer coverage. Refunds
will be made within 60 days after final costs are determined and
approved by NMFS.
(i) Supplementary observer contractors--(1) Contractor eligibility.
Supplementary observers will be obtained by NMFS from persons or firms
having established contracts to provide NMFS with observers. In the
event no such contract is in place, NMFS will use established,
competitive contracting procedures to select persons or firms to provide
supplementary observers. The services supplied by the supplementary
observer contractors will be as described within the contract and as
specified below.
(2) Supplementary observer contractors must submit for the approval
of the Assistant Administrator the following:
(i) A copy of any contract, including all attachments, amendments,
and enclosures thereto, between the contractor and the owners and
operators of foreign fishing vessels for whom the contractor will
provide supplementary observer services.
(ii) All application information for persons whom the contractor
desires to employ as certified supplementary observers.
(iii) Billing schedules and billings to the owners and operators of
foreign
[[Page 64]]
fishing vessels for further transmission to the designated
representative of the appropriate foreign nation.
(iv) All data on costs.
(j) Supplementary observers--certification, training--(1)
Certification. The appropriate Regional Administrator or Science and
Research Director will certify persons as qualified for the position of
supplementary observer once the following conditions are met:
(i) The candidate is a citizen or national of the United States.
(ii) The candidate has education or experience equivalent to the
education or experience required of persons used as observers by NMFS as
either Federal personnel or contract employees. The education and
experience required for certification may vary according to the
requirements of managing the foreign fishery in which the supplementary
observer is to be deployed. Documentation of U.S. citizenship or
nationality, and education or experience will be provided from personal
qualification statements on file with NMFS contractors who provide
supplementary observer services, and will not require the submission of
additional information to NMFS.
(2) Training. Prior to deployment to foreign fishing vessels,
certified supplementary observers must also meet the following
conditions:
(i) Each certified supplementary observer must satisfactorily
complete a course of training approved by the appropriate Regional
Administrator or Science and Research Director as equivalent to that
received by persons used as observers by NMFS as either Federal
personnel or contract employees. The course of training may vary
according to the foreign fishery in which the supplementary observer is
to be deployed.
(ii) Each certified supplementary observer must agree in writing to
abide by standards of conduct as set forth in Department of Commerce
Administrative Order 202-735 (as provided by the contractor).
(k) Supplementary observer certification suspension or revocation.
(1) Certification of a supplementary observer may be suspended or
revoked by the Assistant Administrator under the following conditions:
(i) A supplementary observer fails to perform the duties specified
in paragraph (g)(2) of this section.
(ii) A supplementary observer fails to abide by the standards of
conduct described by Department of Commerce Administrative Order 202-
735.
(2) The suspension or revocation of the certification of a
supplementary observer by the Assistant Administrator may be based on
the following:
(i) Boarding inspection reports by authorized officers of the USCG
or NMFS, or other credible information, that indicate a supplementary
observer has failed to abide by the established standards of conduct; or
(ii) An analysis by NMFS of the data collected by a supplementary
observer indicating improper or incorrect data collection or recording.
The failure to properly collect or record data is sufficient to justify
decertification of supplementary observers; no intent to defraud need be
demonstrated.
(3) The Assistant Administrator will notify the supplementary
observer, in writing, of the Assistant Administrator's intent to suspend
or revoke certification, and the reasons therefor, and provide the
supplementary observer a reasonable opportunity to respond. If the
Assistant Administrator determines that there are disputed questions of
material fact, then the Assistant Administrator may in this respect
appoint an examiner to make an informal fact-finding inquiry and prepare
a report and recommendations.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7074, 7075, Feb. 12,
1998; 64 FR 39020, July 21, 1999]
Sec. 600.507 Recordkeeping.
(a) General. The owner and operator of each FFV must maintain timely
and accurate records required by this section as modified by the
regulations for the fishery in which the FFV is engaged.
(1) The owner and operator of each FFV must maintain all required
records in English, based on Greenwich mean time (GMT) unless otherwise
specified in the regulation, and make them immediately available for
inspection upon the request of an authorized officer or observer.
[[Page 65]]
(2) The owner and operator of each FFV must retain all required
records on board the FFV whenever it is in the EEZ, for 3 years after
the end of the permit period.
(3) The owner and operator of each FFV must retain the required
records and make them available for inspection upon the request of an
authorized officer at any time during the 3 years after the end of the
permit period, whether or not such records are on board the vessel.
(4) The owner and operator of each FFV must provide to the Assistant
Administrator, in the form and at the times prescribed, any other
information requested that the Assistant Administrator determines is
necessary to fulfill the fishery conservation, management and
enforcement purposes of the Magnuson-Stevens Act.
(b) Communications log. The owner and operator of each FFV must
record in a separate communications log, at the time of transmittal, the
time and content of each notification made under Sec. 600.504.
(c) Transfer log. Except for the transfer of unsorted, unprocessed
fish via codend from a catching vessel to a processing vessel (Activity
Code 2 or 4), the owner and operator of each FFV must record, in a
separate transfer log, each transfer or receipt of any fish or fishery
product, including quantities transferred or offloaded outside the EEZ.
The operator must record in the log within 12 hours of the completion of
the transfer:
(1) The time and date (GMT) and location (in geographic coordinates)
the transfer began and was completed.
(2) The product weight, by species and product (use species and
product codes), of all fish transferred, to the nearest 0.01 mt.
(3) The name, IRCS, and permit number of both the FFV offloading the
fish and the FFV receiving the fish.
(d) Daily fishing log. (1) The owner or operator of each FFV
authorized to catch fish (Activity Code 1) must maintain a daily fishing
log of the effort, catch and production of the FFV, as modified by
paragraph (d)(2) of this section and the regulations for the fishery in
which the FFV is engaged. The operator must maintain on a daily and
cumulative basis for the permit period a separate log for each fishery
(see table 2 to Sec. 600.502) in which the FFV is engaged according to
this section and in the format specified in the instructions provided
with the permit or other format authorized under paragraph (i) of this
section. Daily effort entries are required for each day the vessel
conducts fishing operations within the EEZ. Daily entries are not
required whenever the FFV is in port or engaged in a joint venture in
the internal waters of a state. Each page of log may contain entries
pertaining to only one day's fishing operations or one gear set,
whichever is longer.
(2) The owner or operator of each FFV authorized to catch fish
(Activity Code 1) and that delivers all catches to a processing vessel,
must maintain only ``SECTION ONE-EFFORT'', of the daily fishing log,
provided the processing vessel maintains a daily consolidated fishing
log as described in paragraphs (f) and (g) of this section.
(e) Daily fishing log--contents. The daily fishing log must contain
the following information, as modified by paragraph (d)(2) of this
section and the regulations for the fishery in which the FFV is engaged,
and be completed according to the format and instructions provided with
the permit or other format authorized under paragraph (i) of this
section.
(1) ``SECTION ONE-EFFORT'' must contain on a daily basis--
(i) A consecutive page number, beginning with the first day the
vessel started fishing operations within the EEZ and continuing
throughout the log.
(ii) The date (based on GMT).
(iii) The FFV's name.
(iv) The FFV's IRCS.
(v) The FFV's U.S. permit number.
(vi) The FFV's noon (1200 GMT) position in geographic coordinates.
(vii) The master or operator's signature or title.
(2) ``SECTION ONE-EFFORT'' must contain, for each trawl or set, as
appropriate to the gear type employed--
(i) The consecutive trawl or set number, beginning with the first
set of the calendar year.
(ii) The fishing area in which the trawl or set was completed.
(iii) The gear type.
[[Page 66]]
(iv) The time the gear was set.
(v) The position of the set.
(vi) The course of the set.
(vii) The sea depth.
(viii) The depth of the set.
(ix) The duration of the set.
(x) The hauling time.
(xi) The position of the haul.
(xii) The number of pots or longline units (where applicable).
(xiii) The average number of hooks per longline unit (where
applicable).
(xiv) The trawl speed (where applicable).
(xv) The mesh size of the trawl's codend (where applicable).
(xvi) The estimated total weight of the catch for the trawl of set,
to at least the nearest metric ton round weight.
(3) ``SECTION TWO-CATCH'' must contain, for each trawl or set--
(i) The consecutive set or trawl number from ``SECTION ONE''.
(ii) The catch of each allocated species or species group to at
least the nearest 0.1 mt round weight.
(iii) The prohibited species catch to at least the nearest 0.1 mt
round weight or by number, as required by the regulations for the
fishery in which the FFV is engaged.
(iv) The species code of each marine mammal caught and its condition
when released.
(4) ``SECTION TWO-CATCH'' must contain, on a daily basis--
(i) The species codes for all allocated or prohibited species or
species groups caught.
(ii) For each allocated species--the amount, to at least the nearest
0.1 mt, and the daily disposition, either processed for human
consumption, used for fishmeal, or discarded; the daily catch by fishing
area; the daily catch for all fishing areas; and the cumulative total
catch.
(iii) For the total catch of allocated species--the amount to at
least the nearest 0.1 mt and the daily disposition, daily total catch by
fishing area, daily total catch for all fishing areas, and cumulative
total catch.
(iv) The catch by fishing area, daily total, and cumulative total of
each prohibited species.
(5) ``SECTION THREE--PRODUCTION'' must contain, on a daily basis,
for each allocated species caught and product produced--
(i) The product by species code and product type.
(ii) The daily product recovery rate of each species and product.
(iii) The daily total product produced by species to at least the
nearest 0.01 mt.
(iv) The cumulative total of each product to at least the nearest
0.01 mt.
(v) The cumulative amount of product transferred.
(vi) The balance of product remaining aboard the FFV.
(vii) The total daily amount, cumulative amount, transferred product
and balance of frozen product aboard the FFV to the nearest 0.01 mt.
(viii) Transferred amount and balance of fishmeal and fish oil
aboard to at least the nearest 0.01 mt.
(f) Daily consolidated fishing or joint venture log. The operator of
each FFV that receives unsorted, unprocessed fish from foreign catching
vessels (Activity Code 2) for processing or receives U.S.-harvested fish
from U.S. fishing vessels in a joint venture (Activity Code 4) must
maintain a daily joint venture log of the effort, catch and production
of its associated U.S. or foreign fishing vessels and the processing
vessel as modified by the regulations for the fishery in which the FFV
is engaged. This log is separate and in addition to the log required by
paragraph (d) of this section. The operator must maintain a separate log
for each fishery in which the FFV is engaged, on a daily and cumulative
basis, according to this section and in the format specified in the
instructions provided with the permit or other format authorized under
paragraph (i) of this section. Receipts of fish caught outside the EEZ
must be included. Each page of the log may contain entries pertaining to
only one day's fishing operations.
(g) Daily joint venture log--contents. Daily joint venture logs must
contain the following information, as modified by the fishery in which
the vessel is engaged, and be completed according to the format and
instructions provided with the permit or other format authorized under
paragraph (i) of this section.
[[Page 67]]
(1) ``SECTION ONE-EFFORT'' must contain, on a daily basis, that
information required in paragraph (e)(1) of this section.
(2) ``SECTION ONE-EFFORT'' must contain for each receipt of a
codend--
(i) The consecutive codend number, beginning with the first codend
received for the calendar year.
(ii) The name of the U.S. fishing vessel or the name and IRCS of the
foreign fishing vessel the codend was received from.
(iii) The fishing area where the codend was received.
(iv) The time the codend was received.
(v) The position the codend was received.
(vi) The estimated weight of the codend to at least the nearest
metric ton round weight.
(3) ``SECTION TWO-CATCH'' must contain, for each codend received--
(i) The consecutive codend number from ``SECTION ONE''.
(ii) The receipts of each authorized species or species group and
its disposition, either processed for human consumption, used for
fishmeal, discarded, or returned to the U.S. fishing vessel, to at least
the nearest 0.1 mt round weight.
(iii) The estimated receipts of each prohibited species or species
group and its disposition, either discarded or returned to the U.S.
fishing vessel if authorized in the fishery in which the U.S. vessel is
engaged, to at least the nearest 0.1 mt round weight.
(iv) The species code of each marine mammal received and its
condition when released.
(4) ``SECTION TWO-CATCH'' must contain on a daily basis--
(i) The species codes of all authorized or prohibited species or
species groups received.
(ii) The daily disposition, as described in paragraph (g)(3)(ii) of
this section, daily total, and cumulative total receipts of each
authorized species or species groups.
(iii) The daily disposition, daily total and cumulative total
receipts of all authorized species or species groups.
(iv) The daily and cumulative total receipts of prohibited species
groups and their disposition as described in paragraph (g)(3)(iii) of
this section.
(5) ``SECTION THREE--PRODUCTION'' must contain, on a daily basis,
for each authorized species or species group received and product
produced, that information required in paragraph (e)(5) of this section.
(h) Daily log maintenance. The logs required by paragraphs (e)
through (g) of this section must be maintained separately for each
fishery (see table 2 to Sec. 600.502).
(1) The effort section (all of ``SECTION ONE'') of the daily logs
must be updated within 2 hours of the hauling or receipt time. The catch
or receipt by trawl or set (``SECTION TWO'') must be entered within 12
hours of the hauling or receipt time. The daily and cumulative total
catch or receipts (``SECTION TWO'') and the production portion
(``SECTION THREE'') of the log must be updated within 12 hours of the
end of the day on which the catch was taken. The date of catch is the
day and time (GMT) the gear is hauled.
(2) Entries for total daily and cumulative catch or receipt weights
(disposition ``C'' or ``M'') must be based on the most accurate method
available to the vessel, either scale round weights or factory weights
converted to round weights. Entries for daily and cumulative weights of
discarded or returned fish (disposition ``D'' or ``R'') must be based on
the most accurate method available to the vessel, either actual count,
scale round weight, or estimated deck weights. Entries for product
weights must be based on the number of production units (pans, boxes,
blocks, trays, cans, or bags) and the average weight of the production
unit, with reasonable allowances for water added. Allowances for water
added cannot exceed 5 percent of the unit weight. Product weights cannot
be based on the commercial or arbitrary wholesale weight of the product,
but must be based on the total actual weight of the product as
determined by representative samples.
(3) The owner or operator must make all entries in indelible ink,
with corrections to be accomplished by lining out and rewriting, rather
than erasure.
[[Page 68]]
(i) Alternative log formats. As an alternative to the use of the
specific formats provided, a Nation may submit a proposed log format for
FFV's of that Nation for a general type of fishery operation in a
fishery (i.e., joint venture operations) to the appropriate Regional
Administrator and the USCG commander (see tables 1 and 2 to Sec.
600.502). With the agreement of the USCG commander, the Regional
Administrator may authorize the use of that log format for vessels of
the requesting Nation.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.508 Fishing operations.
(a) Catching. Each FFV authorized for activity code 1 may catch
fish. An FFV may retain its catch of any species or species group for
which there is an unfilled national allocation. All fish caught will be
counted against the national allocation, even if the fish are discarded,
unless exempted by the regulations of the fishery in which the FFV is
engaged. Catching operations may be conducted as specified by the
regulations of the fishery in which the FFV is engaged and as modified
by the FFV's permit.
(b) Scouting. Each FFV authorized for Activity Codes 1 through 6 may
scout for fish. Scouting may be conducted only in the fisheries area
authorized by the scouting vessel's permit and under such other
circumstances as may be designated in this subpart or the permit.
(c) Processing. Each FFV with Activity Code 1 or 2 may process fish.
Processing may only be conducted whenever and wherever catching
operations for FFV's of that Nation are permitted, whenever and wherever
joint venture operations are authorized by an FFV's permit under
Activity Code 4, and under such other circumstances as may be designated
in this subpart or the permit.
(d) Support. Each FFV with Activity Codes 1, 2, 3, 5, or 8 may
support other permitted FFV's. Each FFV with Activity Codes 4 or 6 may
support U.S. vessels. Support operations may be conducted only in the
fisheries areas authorized by the supporting vessel's permit, and under
such other circumstances as may be designated in this subpart or the
permit.
(e) Joint ventures. Each FFV with Activity Code 4 in addition to
Activity Codes 1 or 2 may also conduct operations with U.S. fishing
vessels. These joint venture operations with U.S. fishing vessels may be
conducted throughout the EEZ, and under such other circumstances as may
be designated in these regulations or the permit. FFV's with activity
code 4 may continue operations assisting U.S. fishing vessels, despite
closures under Sec. 600.511(a).
(f) Internal waters. For FFV's authorized under section 306(c) of
the Magnuson-Stevens Act:
(1) Each FFV may engage in fish processing and support of U.S.
fishing vessels within the internal waters of that state in compliance
with terms and conditions set by the authorizing Governor.
(2) The owner or operator of each FFV must submit weekly reports on
the amount of fish received from vessels of the United States and the
location(s) where such fish were harvested.
(i) Reports must include:
(A) Vessel identification information for the FFV.
(B) Date of each receipt of fish.
(C) Amount of fish received, by species.
(D) Location(s) from which the fish received were harvested and the
name and official number of the vessel of the United States that
harvested the fish.
(ii) Owners or operators of FFV's processing fish in internal waters
under the provisions of this paragraph (f) must request, from the
Regional Administrator, the requirements regarding timing and submission
of the reports, at least 15 days prior to the first receipt of fish from
a vessel of the United States. The Regional Administrator shall
stipulate the timing and submission requirements in writing.
(g) Transshipping. Each FFV with Activity Code 1, 2, 3, 4, 5, 6, 7,
8, or 10 may transship in accordance with this subpart and the vessel's
permit.
[61 FR 32540, June 24, 1996, as amended at 62 FR 27183, May 19, 1997; 62
FR 34397, June 26, 1997; 64 FR 39020, July 21, 1999]
[[Page 69]]
Sec. 600.509 Prohibited species.
(a) The owner or operator of each FFV must minimize its catch or
receipt of prohibited species.
(b) After allowing for sampling by an observer (if any), the owner
or operator of each FFV must sort its catch of fish received as soon as
possible and return all prohibited species and species parts to the sea
immediately with a minimum of injury, regardless of condition, unless a
different procedure is specified by the regulations for the fishery in
which the FFV is engaged. All prohibited species must be recorded in the
daily fishing log and other fishing logs as specified by the regulations
for the fishery in which the FFV is engaged.
(c) All species of fish that an FFV has not been specifically
allocated or authorized under this subpart to retain, including fish
caught or received in excess of any allocation or authorization, are
prohibited species.
(d) It is a rebuttable presumption that any prohibited species or
species part found on board an FFV was caught and retained in violation
of this section.
Sec. 600.510 Gear avoidance and disposal.
(a) Vessel and gear avoidance. (1) FFV's arriving on fishing grounds
where fishing vessels are already fishing or have set their gear for
that purpose must ascertain the position and extent of gear already
placed in the sea and must not place themselves or their fishing gear so
as to interfere with or obstruct fishing operations already in progress.
Vessels using mobile gear must avoid fixed fishing gear.
(2) The operator of each FFV must maintain on its bridge a current
plot of broadcast fixed-gear locations for the area in which it is
fishing, as required by the regulations for the fishery in which the FFV
is engaged.
(b) Gear conflicts. The operator of each FFV that is involved in a
conflict or that retrieves the gear of another vessel must immediately
notify the appropriate USCG commander identified in tables 1 and 2 to
Sec. 600.502 and request disposal instructions. Each report must
include:
(1) The name of the reporting vessel.
(2) A description of the incident and articles retrieved, including
the amount, type of gear, condition, and identification markings.
(3) The location of the incident.
(4) The date and time of the incident.
(c) Disposal of fishing gear and other articles. (1) The operator of
an FFV in the EEZ may not dump overboard, jettison or otherwise discard
any article or substance that may interfere with other fishing vessels
or gear, or that may catch fish or cause damage to any marine resource,
including marine mammals and birds, except in cases of emergency
involving the safety of the ship or crew, or as specifically authorized
by communication from the appropriate USCG commander or other authorized
officer. These articles and substances include, but are not limited to,
fishing gear, net scraps, bale straps, plastic bags, oil drums,
petroleum containers, oil, toxic chemicals or any manmade items
retrieved in an FFV's gear.
(2) The operator of an FFV may not abandon fishing gear in the EEZ.
(3) If these articles or substances are encountered, or in the event
of accidental or emergency placement into the EEZ, the vessel operator
must immediately report the incident to the appropriate USCG Commander
indicated in tables 1 and 2 to Sec. 600.502, and give the information
required in paragraph (b) of this section.
Sec. 600.511 Fishery closure procedures.
(a) Activity Codes 1 and 2 for a fishery are automatically canceled
in the following cases, unless otherwise specified by regulations
specific to a fishery, when--
(1) The OY for any allocated species or species group has been
reached in that fishery;
(2) The TALFF or catch allowance for any allocated species or
species group has been reached in that fishery;
(3) The foreign nation's allocation for any allocated species or
species group has been reached; or
(4) The letter of credit required in Sec. 600.518(b)(2) is not
established and maintained.
(b) Activity Code 4 is automatically canceled when--
[[Page 70]]
(1) The OY for a species with a JVP amount is reached;
(2) The JVP amount for a species or species group is reached; or
(3) The letter of credit required in Sec. 600.518(b)(2) is not
established and maintained.
(c) Notification. (1) The Regional Administrator is authorized to
close a fishery on behalf of NMFS. The Regional Administrator will
notify each FFV's designated representative of closures.
(2) If possible, notice will be given 48 hours before the closure.
However, each Nation and the owners and operators of all FFV's of that
Nation are responsible for ending fishing operations when an allocation
is reached.
(d) Catch reconciliation. Vessel activity reports, U.S. surveillance
observations, observer reports, and foreign catch and effort reports
will be used to make the determination listed in paragraphs (a) and (b)
of this section. If NMFS estimates of catch or other values made during
the season differ from those reported by the foreign fleets, efforts may
be initiated by the designated representative of each Nation to resolve
such differences with NMFS. If, however, differences still persist after
such efforts have been made, NMFS estimates will be the basis for
decisions and will prevail.
(e) Duration. Any closure under this section will remain in effect
until an applicable new or increased allocation or JVP becomes available
or the letter of credit required by Sec. 600.518(b)(2) is
reestablished.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.512 Scientific research.
(a) Scientific research activity. Persons planning to conduct
scientific research activities in the EEZ that may be confused with
fishing are encouraged to submit to the appropriate Regional
Administrator, Director, or designee, 60 days or as soon as practicable
prior to its start, a scientific research plan for each scientific
cruise. The Regional Administrator, Director, or designee will
acknowledge notification of scientific research activity by issuing to
the operator or master of that vessel, or to the sponsoring institution,
a letter of acknowledgment. This letter of acknowledgment is separate
and distinct from any permit required under any other applicable law. If
the Regional Administrator, Director, or designee, after review of a
research plan, determines that it does not constitute scientific
research activity, but rather fishing, the Regional Administrator,
Director, or designee will inform the applicant as soon as practicable
and in writing. The Regional Administrator, Director, or designee may
also make recommendations to revise the research plan to make the cruise
acceptable as scientific research activity. In order to facilitate
identification of activity as scientific research, persons conducting
scientific research activities are advised to carry a copy of the
scientific research plan and the letter of acknowledgment on board the
scientific research vessel. Activities conducted in accordance with a
scientific research plan acknowledged by such a letter are presumed to
be scientific research activities. The presumption may be overcome by
showing that an activity does not fit the definition of scientific
research activity or is outside the scope of the scientific research
plan.
(b) Reports. Persons conducting scientific research are requested to
submit a copy of any cruise report or other publication created as a
result of the cruise, including the amount, composition, and disposition
of their catch, to the appropriate Science and Research Director.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.513 Recreational fishing.
(a) Foreign vessels conducting recreational fishing must comply only
with this section, and Sec. Sec. 600.10, 600.504(a)(1), and 600.505 (as
applicable). Such vessels may conduct recreational fishing within the
EEZ and within the boundaries of a state. Any fish caught may not be
sold, bartered, or traded.
(b) The owners or operator and any other person aboard any foreign
vessel conducting recreational fishing must comply with any Federal laws
or regulations applicable to the domestic fishery while in the EEZ, and
any state
[[Page 71]]
laws or regulations applicable while in state waters.
Sec. 600.514 Relation to other laws.
(a) Persons affected by these regulations should be aware that other
Federal and state statutes may apply to their activities.
(b) Fishing vessel operators must exercise due care in the conduct
of fishing activities near submarine cables. Damage to submarine cables
resulting from intentional acts or from the failure to exercise due care
in the conduct of fishing operations subjects the fishing vessel
operator to enforcement action under the International Convention for
the Protection of Submarine Cables, and to the criminal penalties
prescribed by the Submarine Cable Act (47 U.S.C. 21) and other laws that
implement that Convention. Fishing vessel operators also should be aware
that the Submarine Cable Act prohibits fishing operations at a distance
of less than 1 nautical mile (1.85 km) from a vessel engaged in laying
or repairing a submarine cable; or at a distance of less than 0.25
nautical mile (0.46 km) from a buoy or buoys intended to mark the
position of a cable when being laid, or when out of order, or broken.
Sec. 600.515 Interpretation of 16 U.S.C. 1857(4).
Section 307(4) of the Magnuson-Stevens Act prohibits any fishing
vessel other than a vessel of the United States (foreign fishing vessel)
from operating in the EEZ if all of the fishing gear on board the vessel
is not stowed in compliance with that section ``unless such vessel is
authorized to engage in fishing in the area in which the vessel is
operating.'' If such a vessel has a permit authorization that is limited
to fishing activities other than catching, taking or harvesting (such as
support, scouting or processing activities), it must have all of its
fishing gear stowed at all times while it is in the EEZ. If such a
vessel has a permit authorization to engage in catching, taking or
harvesting activities, but such authorization is limited to a specific
area within the EEZ, and/or to a specific period of time, the vessel
must have all of its fishing gear stowed while it is in the EEZ, except
when it is in the specific area authorized, and/or during the specific
period of time authorized.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.516 Total allowable level of foreign fishing (TALFF).
(a) The TALFF, if any, with respect to any fishery subject to the
exclusive fishery management authority of the United States, is that
portion of the OY of such fishery that will not be caught by vessels of
the United States.
(b) Each specification of OY and each assessment of the anticipated
U.S. harvest will be reviewed during each fishing season. Adjustments to
TALFF's will be made based on updated information relating to status of
stocks, estimated and actual performance of domestic and foreign fleets,
and other relevant factors.
(c) Specifications of OY and the initial estimates of U.S. harvests
and TALFF's at the beginning of the relevant fishing year will be
published in the Federal Register. Adjustments to those numbers will be
published in the Federal Register upon occasion or as directed by
regulations implementing FMPs. For current apportionments, contact the
appropriate Regional Administrator or the Director.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.517 Allocations.
The Secretary of State, in cooperation with the Secretary,
determines the allocation among foreign nations of fish species and
species groups. The Secretary of State officially notifies each foreign
nation of its allocation. The burden of ascertaining and accurately
transmitting current allocations and status of harvest of an applicable
allocation to fishing vessels is upon the foreign nation and the owner
or operator of the FFV.
Sec. 600.518 Fee schedule for foreign fishing.
(a) Permit application fees. Each vessel permit application
submitted under Sec. 600.501 must be accompanied by a fee. The amount
of the fee will be determined in accordance with the procedures for
determining administrative
[[Page 72]]
costs of each special product or service contained in the NOAA Finance
Handbook, which is available upon request from the International
Fisheries Division (see address at Sec. 600.501(d)(1)). The fee is
specified with the application form. At the time the application is
submitted, a check for the fees, drawn on a U.S. bank, payable to the
order of ``Department of Commerce, NOAA,'' must be sent to the Assistant
Administrator. The permit fee payment must be accompanied by a list of
the vessels for which the payment is made. In the case of applications
for permits authorizing activity code 10, the permit application fee
will be waived if the applicant provides satisfactory documentary proof
to the Assistant Administrator that the foreign nation under which the
vessel is registered does not collect a fee from a vessel of the United
States engaged in similar activities in the waters of such foreign
nation. The documentation presented (e.g., copy of foreign fishing
regulations applicable to vessels of the United States) must clearly
exempt vessels of the United States from such a fee.
(b) Poundage fees--(1) Rates. If a Nation chooses to accept an
allocation, poundage fees must be paid at the rate specified in the
following table.
Table--Species and Poundage Fees
[Dollars per metric ton]
------------------------------------------------------------------------
Poundage
Species fees
------------------------------------------------------------------------
Northwest Atlantic Ocean fisheries:
1. Butterfish.............................................. 277.96
2. Herring, Atlantic....................................... 25.75
3. Herring, River.......................................... 49.59
4. Mackerel, Atlantic...................................... 64.76
5. Other finfish........................................... 45.48
6. Squid, Illex............................................ 97.56
7. Squid, Loligo........................................... 321.68
------------------------------------------------------------------------
(2) Method of payment of poundage fees and observer fees. (i) If a
Nation chooses to accept an allocation, a revolving letter of credit (L/
C) must be established and maintained to cover the poundage fees for at
least 25 percent of the previous year's total allocation at the rate in
paragraph (b)(1) of this section, or as determined by the Assistant
Administrator, plus the observer fees required by paragraph (c) of this
section. The L/C must--
(A) Be irrevocable.
(B) Be with a bank subscribing to ICC Pub. 290.
(C) Designate ``Department of Commerce, NOAA'' as beneficiary;
(D) Allow partial withdrawals.
(E) Be confirmed by a U.S. bank.
(ii) The customer must pay all commissions, transmission, and
service charges. No fishing will be allowed until the L/C is
established, and authorized written notice of its issuance is provided
to the Assistant Administrator.
(3) Assessment of poundage fees. Poundage fees will be assessed
quarterly for the actual catch during January through March, April
through June, July through September, and October through December. The
appropriate Regional Administrator will reconcile catch figures with
each country following the procedures of Sec. 600.511(d). When the
catch figures are agreed upon, NOAA will present a bill for collection
as the documentary demand for payment to the confirming bank. If, after
45 days from the end of the quarter, catches have not been reconciled,
the estimate of the Regional Administrator will stand and a bill will be
issued for that amount. If necessary, the catch figures may be refined
by the Regional Administrator during the next 60 days, and any
modifications will be reflected in the next quarter's bill.
(c) Observer fees. The Assistant Administrator will notify the
owners or operators of FFV's of the estimated annual costs of placing
observers aboard their vessels. The owners or operators of any such
vessel must provide for repayment of those costs by including one-fourth
of the estimated annual observer fee as determined by the Assistant
Administrator in a L/C as prescribed in Sec. 600.518(b)(2). During the
fiscal year, payment will be withdrawn from the L/C as required to cover
anticipated observer coverage for the upcoming fishery. The Assistant
Administrator will reconcile any differences between the estimated cost
and actual costs of observer coverage within 90 days after the end of
the fiscal year.
(d) Financial assurances. (1) A foreign nation, or the owners and
operators of certain vessels of that foreign nation,
[[Page 73]]
may be required by the Assistant Administrator to provide financial
assurances. Such assurances may be required if--
(i) Civil and criminal penalties assessed against fishing vessels of
the Nation have not effectively deterred violations;
(ii) Vessels of that Nation have engaged in fishing in the EEZ
without proper authorization to conduct such activities;
(iii) The Nation's vessel owners have refused to answer
administrative charges or summons to appear in court; or
(iv) Enforcement of Magnuson-Stevens Act civil or criminal judgments
in the courts of a foreign nation is unattainable.
(2) The level of financial assurances will be guided by the level of
penalties assessed and costs to the U.S. Government.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 64
FR 39020, July 21, 1999; 66 FR 28132, May 22, 2001]
Sec. 600.520 Northwest Atlantic Ocean fishery.
(a) Purpose. Sections 600.520 and 600.525 regulate all foreign
fishing conducted under a GIFA within the EEZ in the Atlantic Ocean
north of 35[deg]00[min] N. lat.
(b) Authorized fishery--(1) Allocations. Foreign vessels may engage
in fishing only in accordance with applicable national allocations.
(2) Time and area restrictions. (i) Fishing, including processing,
scouting, and support of foreign or U.S. vessels, is prohibited south of
35[deg]00[min] N. lat., and north and east of a line beginning at the
shore at 44[deg]22[min] N. lat., 67[deg]52[min] W. long. and
intersecting the boundary of the EEZ at 44[deg]11[min]12[sec] N. lat.,
67[deg]16[min]46[sec] W. long.
(ii) The Regional Administrator will consult with the Council prior
to giving notice of any area or time restriction. NMFS will also consult
with the USCG if the restriction is proposed to reduce gear conflicts.
If NMFS determines after such consultation that the restriction appears
to be appropriate, NMFS will publish the proposed restriction in the
Federal Register, together with a summary of the information on which
the restriction is based. Following a 30-day comment period, NMFS will
publish a final action.
(iii) The Regional Administrator may rescind any restriction if he/
she determines that the basis for the restriction no longer exists.
(iv) Any notice of restriction shall operate as a condition imposed
on the permit issued to the foreign vessels involved in the fishery.
(3) TALFF. The TALFFs for the fisheries of the Northwest Atlantic
Ocean are published in the Federal Register. Current TALFFs are also
available from the Regional Administrator.
(4) Species definitions. The category ``other finfish'' used in
TALFFs and in allocations includes all species except:
(i) The other allocated species, namely: Short-finned squid, long-
finned squid, Atlantic herring, Atlantic mackerel, river herring
(includes alewife, blueback herring, and hickory shad), and butterfish.
(ii) The prohibited species, namely: American plaice, American shad,
Atlantic cod, Atlantic menhaden, Atlantic redfish, Atlantic salmon, all
marlin, all spearfish, sailfish, swordfish, black sea bass, bluefish,
croaker, haddock, ocean pout, pollock, red hake, scup, sea turtles,
sharks (except dogfish), silver hake, spot, striped bass, summer
flounder, tilefish, yellowtail flounder, weakfish, white hake,
windowpane flounder, winter flounder, witch flounder, Continental Shelf
fishery resources, and other invertebrates (except nonallocated squids).
(5) Closures. The taking of any species for which a Nation has an
allocation is permitted, provided that:
(i) The vessels of the foreign nation have not caught the allocation
of that Nation for any species or species group (e.g., ``other
finfish''). When vessels of a foreign nation have caught an applicable
allocation of any species, all further fishing other than scouting,
processing, or support by vessels of that Nation must cease, even if
other allocations have not been reached. Therefore, it is essential that
foreign nations plan their fishing strategy to ensure that the reaching
of an allocation for one species does not result in the premature
closing of a Nation's fishery for other allocated species.
[[Page 74]]
(ii) The fishery has not been closed for other reasons under Sec.
600.511.
(6) Allocation utilization. Foreign fishing vessels may elect to
retain or discard allocated species; however, the computation of
allocation utilization and fee refunds will be based on the total
quantity of that species that was caught. Prohibited species must always
be returned to the sea as required under Sec. 600.509.
(c) Fishing areas. For the purposes of the Northwest Atlantic Ocean
fishery, fishing areas are that portion of the EEZ shown inside the
boundaries of the ``three digit statistical areas'' described in Figure
1 to this section.
[GRAPHIC] [TIFF OMITTED] TR24JN96.000
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
[[Page 75]]
Sec. 600.525 Applicability of Subpart F to Canadian Albacore Fishing Vessels off the West Coast.
Fishing by vessels of Canada under the 1981 Treaty Between the
Government of the United States of America and the Government of Canada
on Pacific Coast Albacore Tuna Vessels and Port Privileges is regulated
only under this section and Sec. 600.530 of this subpart F, and is
exempt from any other requirements of this subpart F. Regulations
governing fishing by U.S. vessels in waters under the fisheries
jurisdiction of the Canada more than 12 nautical miles from the baseline
from which the territorial sea is measured are found at Sec. Sec.
300.170-300.176 of chapter II of this title.
[69 FR 31535, June 4, 2004]
Sec. 600.530 Pacific albacore fishery.
(a) Purpose and scope. This section regulates fishing by Canadian
vessels under the 1981 Treaty Between the Government of the United
States of America and the Government of Canada on Pacific Coast Albacore
Tuna Vessels and Port Privileges as amended in 2002. Notwithstanding any
other provision of this subpart F, fishing vessels of Canada may be
authorized to fish in waters under the fisheries jurisdiction of the
United States more than 12 nautical miles from the baseline from which
the territorial sea is measured in accordance with the Treaty and this
section, pursuant to Public Law 108-219 (118 Stat. 616; 16 U.S.C. 1821
note).
(b) Definitions. In addition to the definitions in the Magnuson-
Stevens Fishery Conservation and Management Act and Sec. 600.10, the
terms used in this subpart have the following meanings:
Fishing under the Treaty as amended in 2002 means to engage in
fishing for albacore tuna in waters under the fisheries jurisdiction of
the United States seaward of 12 nautical miles from the baseline from
which the territorial sea is measured.
Regional Administrator means the Regional Administrator, Southwest
Region, NMFS, 501 W. Ocean Boulevard, Suite 4200, Long Beach, CA 90802-
4213, or a designee.
Reporting Office means the office designated by the Regional
Administrator to take hail-in and hail-out reports from U.S. and
Canadian vessel operators.
Treaty means the 1981 Treaty Between the Government of the United
States of America and the Government of Canada on Pacific Coast Albacore
Tuna Vessels and Port Privileges as amended in 2002.
(c) Vessel list. A Canadian vessel is not eligible to fish for
albacore in U.S. waters under the Treaty as amended in 2002 unless the
vessel is on the list provided to NMFS by the Government of Canada of
vessels authorized by Canada to fish under the Treaty as amended in
2002.
(d) Vessel identification. A Canadian vessel fishing under the
Treaty as amended in 2002 must clearly display its Canadian vessel
registration number followed by the letter C in the same height and size
as the numerals, consistent with Canadian vessel marking requirements.
(e) Hail-in reports. The operator of a Canadian Vessel eligible to
fish for albacore in U.S. waters under the Treaty as amended in 2002
must file a hail-in report with the Reporting Office at least 24 hours
prior to beginning any such fishing.
(f) Hail-out Reports. The operator of a Canadian vessel that has
been fishing in U.S. waters under the Treaty as amended in 2002 must
file a hail-out report with the Reporting Office at least 24 hours prior
to exiting from U.S. waters.
(g) Prohibitions. It is prohibited for the operator of a Canadian
vessel to engage in fishing in U.S. waters if the vessel:
(1) Is not on the vessel list in paragraph (c) of this section;
(2) Has not filed a hail-in report to advise of an intent to fish
under the Treaty as amended in 2002 prior to engaging in such fishing;
or
(3) Is not clearly marked in accordance with paragraph (d) of this
section.
[69 FR 31535, June 4, 2004]
[[Page 76]]
Subpart G_Preemption of State Authority Under Section 306(b)
Sec. 600.605 General policy.
It is the policy of the Secretary that preemption proceedings will
be conducted expeditiously. The administrative law judge and counsel or
other representative for each party are encouraged to make every effort
at each stage of the proceedings to avoid delay.
Sec. 600.610 Factual findings for Federal preemption.
(a) The two factual findings for Federal preemption of state
management authority over a fishery are:
(1) The fishing in a fishery that is covered by an FMP implemented
under the Magnuson-Stevens Act is engaged in predominately within the
EEZ and beyond such zone.
(2) A state has taken any action, or omitted to take any action, the
results of which will substantially and adversely affect the carrying
out of such FMP.
(b) Whether fishing is engaged in ``predominately'' within or beyond
the EEZ will be determined after consideration of relevant factors,
including but not limited to, the catch (based on numbers, value, or
weight of fish caught, or other relevant factors) or fishing effort
during the appropriate period, and in light of historical patterns of
the distribution of catch or fishing effort for such stock or stocks of
fish.
(c) Whether relevant effects are substantial will be determined
after consideration of the magnitude of such actual or potential
effects. Relevant to this determination are various factors, including
but not limited to, the proportion of the fishery (stock or stocks of
fish and fishing for such stocks) that is subject to the effects of a
particular state's action or omission, the characteristics and status
(including migratory patterns and biological condition) of the stock or
stocks of fish in the fishery, and the similarity or dissimilarity
between the goals, objectives, or policies of the state's action or
omission and the management goals or objectives specified in the FMP for
the fishery or between the state and Federal conservation and management
measures of the fishery.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.615 Commencement of proceedings.
(a) Notice of proposed preemption. (1) If a proceeding under this
part is deemed necessary, the Administrator must issue a notice of
proposed preemption to the Attorney General of the State or States
concerned. The notice will contain:
(i) A recital of the legal authority and jurisdiction for
instituting the proceeding.
(ii) A concise statement of the Sec. 600.610 factual findings for
Federal preemption upon which the notice is based.
(iii) The time, place, and date of the hearing.
(2) The notice of proposed preemption will also be published in the
Federal Register. This notification may be combined with any notice of
proposed rulemaking published under paragraph (d)(1) of this section.
(b) Response. The state will have the opportunity to respond in
writing to the notice of proposed preemption.
(c) Amendment. The Administrator may, at any time prior to the
Secretary's decision, withdraw the notice of proposed preemption. Upon
motion of either party before the record is closed, the administrative
law judge may amend the notice of proposed preemption.
(d) Proposed regulations--(1) In general. If additional regulations
are required to govern fishing within the boundaries of a state, the
Administrator may publish proposed regulations in the Federal Register
concurrently with issuing the notification indicated in paragraph (a) of
this section.
(2) Emergency actions. Nothing in this section will prevent the
Secretary from taking emergency action under section 305(c) of the
Magnuson-Stevens Act.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.620 Rules pertaining to the hearing.
(a) The civil procedure rules of the NOAA currently set forth in 15
CFR
[[Page 77]]
part 904, subpart C (or as subsequently amended), apply to the
proceeding after its commencement by service of notice (pursuant to
Sec. 600.615) and prior to the Secretary's decision (Sec. 600.625),
except that the following sections will not apply:
(1) 15 CFR 904.201 (Definitions);
(2) 15 CFR 904.206(a)(1) (Duties and powers of Judge); and
(3) 15 CFR 904.272 (Administrative review of decision).
(b) Additional duties and powers of judge--(1) Time periods. The
administrative law judge is authorized to modify all time periods
pertaining to the course of the hearing (under Sec. Sec. 600.615 and
600.620) to expedite the proceedings, upon application and appropriate
showing of need or emergency circumstances by a party.
(2) Intervention. Intervention by persons not parties is not
allowed.
Sec. 600.625 Secretary's decision.
(a) The Secretary will, on the basis of the hearing, record the
administrative law judge's recommended decision:
(1) Accept or reject any of the findings or conclusions of the
administrative law judge and decide whether the factual findings exist
for Federal preemption of a state's authority within its boundaries
(other than in its internal waters) with respect to the fishery in
question;
(2) Reserve decision on the merits or withdraw the notice of
proposed preemption; or
(3) Remand the case to the administrative law judge for further
proceedings as may be appropriate, along with a statement of reasons for
the remand.
(b) Notification. (1) If the factual findings for Federal preemption
are determined to exist, the Secretary will notify in writing the
Attorney General of that state and the appropriate Council(s) of the
preemption of that state's authority. The Secretary will also direct the
Administrator to promulgate appropriate regulations proposed under Sec.
600.615(d) and otherwise to begin regulating the fishery within the
state's boundaries (other than in its internal waters).
(2) If the factual findings for Federal preemption are determined
not to exist, the Secretary will notify, in writing, the Attorney
General of the state and the appropriate Council(s) of that
determination. The Secretary will also direct the Administrator to issue
a notice withdrawing any regulations proposed under Sec. 600.615(d).
Sec. 600.630 Application for reinstatement of state authority.
(a) Application or notice. (1) At any time after the promulgation of
regulations under Sec. 600.625(b)(1) to regulate a fishery within a
state's boundaries, the affected state may apply to the Secretary for
reinstatement of state authority. The Secretary may also serve upon such
state a notice of intent to terminate such Federal regulation. A state's
application must include a clear and concise statement of:
(i) The action taken by the State to correct the action or omission
found to have substantially and adversely affected the carrying out of
the FMP; or
(ii) Any changed circumstances that affect the relationship of the
state's action or omission to take action to the carrying out of the FMP
(including any amendment to such plan); and
(iii) Any laws, regulations, or other materials that the state
believes support the application.
(2) Any such application received by the Secretary or notice issued
to the State will be published in the Federal Register.
(b) Informal response. The Secretary has sole discretion to accept
or reject the application or response. If the Secretary accepts the
application or rejects any responses and finds that the reasons for
regulation of the fishery within the boundaries of the state no longer
prevail, the Secretary will promptly terminate such regulation and
publish in the Federal Register any regulatory amendments necessary to
accomplish that end.
(c) Hearing. The Secretary has sole discretion to direct the
Administrator to schedule hearings for the receipt of evidence by an
administrative law judge. Hearings before the administrative law judge
to receive such evidence will be conducted in accordance with Sec.
600.620. Upon conclusion of such hearings, the administrative law judge
will certify the record and a recommended
[[Page 78]]
decision to the Secretary. If the Secretary, upon consideration of the
state's application or any response to the notice published under Sec.
600.630(a)(2), the hearing record, the recommended decision, and any
other relevant materials finds that the reasons for regulation of the
fishery within the boundaries of the state no longer prevail, the
Secretary will promptly terminate such regulation and publish in the
Federal Register any regulatory amendments necessary to accomplish that
end.
Subpart H_General Provisions for Domestic Fisheries
Sec. 600.705 Relation to other laws.
(a) General. Persons affected by these regulations should be aware
that other Federal and state statutes and regulations may apply to their
activities. Vessel operators may wish to refer to USCG regulations found
in the Code of Federal Regulations title 33--Navigation and Navigable
Waters and 46--Shipping; 15 CFR part 904, subpart D--Permit Sanctions
and Denials; and title 43--Public Lands (in regard to marine
sanctuaries).
(b) State responsibilities. Certain responsibilities relating to
data collection and enforcement may be performed by authorized state
personnel under a state/Federal agreement for data collection and a
tripartite agreement among the state, the USCG, and the Secretary for
enforcement.
(c) Submarine cables. Fishing vessel operators must exercise due
care in the conduct of fishing activities near submarine cables. Damage
to the submarine cables resulting from intentional acts or from the
failure to exercise due care in the conduct of fishing operations
subjects the fishing vessel operator to the criminal penalties
prescribed by the Submarine Cable Act (47 U.S.C. 21) which implements
the International Convention for the Protection of Submarine Cables.
Fishing vessel operators also should be aware that the Submarine Cable
Act prohibits fishing operations at a distance of less than 1 nautical
mile (1.85 km) from a vessel engaged in laying or repairing a submarine
cable; or at a distance of less than 0.25 nautical mile (0.46 km) from a
buoy or buoys intended to mark the position of a cable when being laid
or when out of order or broken.
(d) Marine mammals. Regulations governing exemption permits and the
recordkeeping and reporting of the incidental take of marine mammals are
set forth in part 229 of this title.
(e) Halibut fishing. Fishing for halibut is governed by regulations
of the International Pacific Halibut Commission set forth at part 300 of
this title.
(f) Marine sanctuaries. All fishing activity, regardless of species
sought, is prohibited under 15 CFR part 924 in the U.S.S. Monitor Marine
Sanctuary, which is located approximately 15 miles southwest of Cape
Hatteras off the coast of North Carolina.
Sec. 600.710 Permits.
Regulations pertaining to permits required for certain fisheries are
set forth in the parts of this chapter governing those fisheries.
Sec. 600.715 Recordkeeping and reporting.
Regulations pertaining to records and reports required for certain
fisheries are set forth in the parts of this chapter governing those
fisheries.
Sec. 600.720 Vessel and gear identification.
Regulations pertaining to special vessel and gear markings required
for certain fisheries are set forth in the parts of this chapter
governing those fisheries.
Sec. 600.725 General prohibitions.
It is unlawful for any person to do any of the following:
(a) Possess, have custody or control of, ship, transport, offer for
sale, sell, purchase, land, import, or export, any fish or parts thereof
taken or retained in violation of the Magnuson-Stevens Act or any other
statute administered by NOAA and/or any regulation or permit issued
under the Magnuson-Stevens Act.
(b) Transfer or attempt to transfer, directly or indirectly, any
U.S.-harvested fish to any foreign fishing vessel, while such vessel is
in the EEZ, unless the foreign fishing vessel has been issued a permit
under section 204 of the
[[Page 79]]
Magnuson-Stevens Act, which authorizes the receipt by such vessel of
U.S.- harvested fish.
(c) Fail to comply immediately with enforcement and boarding
procedures specified in Sec. 600.730.
(d) Refuse to allow an authorized officer to board a fishing vessel
or to enter areas of custody for purposes of conducting any search,
inspection, or seizure in connection with the enforcement of the
Magnuson-Stevens Act or any other statute administered by NOAA.
(e) Dispose of fish or parts thereof or other matter in any manner,
after any communication or signal from an authorized officer, or after
the approach by an authorized officer or an enforcement vessel or
aircraft.
(f) Assault, resist, oppose, impede, intimidate, threaten, or
interfere with any authorized officer in the conduct of any search,
inspection, or seizure in connection with enforcement of the Magnuson-
Stevens Act or any other statute administered by NOAA.
(g) Interfere with, delay, or prevent by any means, the apprehension
of another person, knowing that such person has committed any act
prohibited by the Magnuson-Stevens Act or any other statute administered
by NOAA.
(h) Resist a lawful arrest for any act prohibited under the
Magnuson-Stevens Act or any other statute administered by NOAA.
(i) Make any false statement, oral or written, to an authorized
officer concerning the taking, catching, harvesting, landing, purchase,
sale, offer of sale, possession, transport, import, export, or transfer
of any fish, or attempts to do any of the above.
(j) Interfere with, obstruct, delay, or prevent by any means an
investigation, search, seizure, or disposition of seized property in
connection with enforcement of the Magnuson-Stevens Act or any other
statute administered by NOAA.
(k) Fish in violation of the terms or conditions of any permit or
authorization issued under the Magnuson-Stevens Act or any other statute
administered by NOAA.
(l) Fail to report catches as required while fishing pursuant to an
exempted fishing permit.
(m) On a scientific research vessel, engage in fishing other than
recreational fishing authorized by applicable state or Federal
regulations.
(n) Trade, barter, or sell; or attempt to trade, barter, or sell
fish possessed or retained while fishing pursuant to an authorization
for an exempted educational activity.
(o) Harass or sexually harass an authorized officer or an observer.
(p) Fail to submit to a USCG safety examination when required by
NMFS pursuant to Sec. 600.746.
(q) Fail to display a Commercial Fishing Vessel Safety Examination
decal or a valid certificate of compliance or inspection pursuant to
Sec. 600.746.
(r) Fail to provide to an observer, a NMFS employee, or a designated
observer provider information that has been requested pursuant to Sec.
600.746, or fail to allow an observer, a NMFS employee, or a designated
observer provider to inspect any item described at Sec. 600.746.
(s) Fish without an observer when the vessel is required to carry an
observer.
(t) Assault, oppose, impede, intimidate, or interfere with a NMFS-
approved observer aboard a vessel.
(u) Prohibit or bar by command, impediment, threat, coercion, or
refusal of reasonable assistance, an observer from conducting his or her
duties aboard a vessel.
(v) The use of any gear or participation in a fishery not on the
following list of authorized fisheries and gear is prohibited after
December 1, 1999. A fish, regardless whether targeted, may be retained
only if it is taken within a listed fishery, is taken with a gear
authorized for that fishery, and is taken in conformance with all other
applicable regulations. Listed gear can only be used in a manner that is
consistent with existing laws and regulations. The list of fisheries and
authorized gear does not, in any way, alter or supersede any definitions
or regulations contained elsewhere in this chapter. A person or vessel
is prohibited from engaging in fishing or employing fishing gear when
such fishing gear is prohibited or restricted by regulation under an FMP
or other applicable law. However, after
[[Page 80]]
December 1, 1999, an individual fisherman may notify the appropriate
Council, or the Director, in the case of Atlantic highly migratory
species, of the intent to use a gear or participate in a fishery not
already on the list. Ninety days after such notification, the individual
may use the gear or participate in that fishery unless regulatory action
is taken to prohibit the use of the gear or participate in the fishery
(e.g., through emergency or interim regulations). The list of authorized
fisheries and gear is as follows:
------------------------------------------------------------------------
Fishery Authorized gear types
------------------------------------------------------------------------
I. New England Fishery Management Council (NEFMC)
------------------------------------------------------------------------
1. Atlantic Sea Scallop Fishery (FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Hand harvest fishery.............. C. Hand harvest.
D. Recreational fishery.............. D. Hand harvest.
2. Iceland Scallop Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
3. Atlantic Salmon Fishery (FMP) No harvest or possession in
the EEZ.
4. Striped Bass Fishery (Non-FMP) No harvest or possession in
the EEZ.
5. Northeast (NE) Multispecies Fishery
(FMP):
A. NE multispecies sink gillnet A. Gillnet.
fishery.
B. North Atlantic bottom trawl B. Trawl.
fishery.
C. Groundfish hook and line fishery.. C. Longline, handline, rod
and reel.
D. Mixed species trap and pot fishery D. Trap, pot.
E. Dredge fishery.................... E. Dredge.
F. Seine fishery..................... F. Seine.
G. Recreational fishery.............. G. Rod and reel, handline,
spear.
6. American Lobster Fishery (FMP):
A. Lobster pot and trap fishery...... A. Pot, trap.
B. North Atlantic bottom trawl B. Trawl.
fishery.
C. Dredge fishery.................... C. Dredge.
D. Hand harvest fishery.............. D. Hand harvest.
E. Gillnet fishery................... E. Gillnet.
F. Recreational fishery.............. F. Pot, trap, hand harvest.
7. Atlantic Herring Fishery (FMP):
A. Trawl fishery..................... A. Trawl.
B. Purse seine fishery............... B. Purse seine.
C. Gillnet fishery................... C. Gillnet.
D. Herring pair trawl fishery........ D. Pair trawl.
E. Dredge fishery.................... E. Dredge.
F. Recreational fishery.............. F. Hook and line, gillnet.
8. Spiny Dogfish Fishery (FMP jointly
managed by MAFMC and NEFMC):
A. Gillnet fishery................... A. Gillnet.
B. Trawl fishery..................... B. Trawl.
C. Hook and line fishery............. C. Hook and line, rod and
reel, spear.
D. Dredge fishery.................... D. Dredge.
E. Longline fishery.................. E. Longline.
F. Recreational fishery.............. F. Hook and line, rod and
reel, spear.
9. Atlantic Bluefish Fishery (FMP
managed by MAFMC):
A. Pelagic longline and hook and line A. Longline, handline.
fishery.
B. Seine fishery..................... B. Purse seine, seine.
C. Mixed species pot and trap fishery C. Pot, trap.
D. Bluefish, croaker, flounder trawl D. Trawl.
fishery.
E. Gillnet fishery................... E. Gillnet.
F. Dredge fishery.................... F. Dredge.
G. Recreational fishery.............. G. Rod and reel, handline,
trap, pot, spear.
10. Atlantic Mackerel, Squid and
Butterfish Fishery (FMP managed by the
MAFMC):
A. Mackerel, squid, and butterfish A. Trawl.
trawl fishery.
B. Gillnet fishery................... B. Gillnet.
C. Longline and hook-and-line fishery C. Longline, handline, rod
and reel.
D. Purse seine fishery............... D. Purse seine.
E. Mixed species pot and trap fishery E. Pot, trap.
F. Dredge fishery.................... F. Dredge.
G. Dip net fishery................... G. Dip net.
H. Bandit gear fishery............... H. Bandit gear.
I. Recreational fishery.............. I. Rod and reel, handline,
pot, spear.
11. Surf Clam and Ocean Quahog Fishery
(FMP managed by the MAFMC):
A. Commercial fishery................ A. Dredge, hand harvest.
[[Page 81]]
B. Recreational fishery.............. B. Hand harvest.
12. Atlantic Menhaden Fishery (Non-FMP):
A. Purse seine fishery............... A. Purse seine.
B. Trawl fishery..................... B. Trawl.
C. Gillnet fishery................... C. Gillnet.
D. Commercial hook-and-line fishery.. D. Hook and line.
E. Recreational fishery.............. E. Hook and line, snagging,
cast nets.
13. Weakfish Fishery (Non-FMP):
A. Commercial fishery................ A. Trawl, gillnet, hook and
line.
B. Recreational fishery.............. B. Hook and line, spear.
14. Atlantic Mussel and Sea Urchin
Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Hand harvest fishery.............. B. Hand harvest.
C. Recreational fishery.............. C. Hand harvest.
15. Atlantic Skate Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Gillnet fishery................... B. Gillnet.
C. Hook-and-line fishery............. C. Longline and handline.
D. Dredge fishery.................... D. Dredge.
E. Recreational fishery.............. E. Rod and reel.
16. Crab Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Trap and pot fishery.............. C. Trap, pot.
17. Northern Shrimp Fishery (Non-FMP):
A. Shrimp trawl fishery.............. A. Trawl.
B. Shrimp pot fishery................ B. Pot.
18. Monkfish Fishery (FMP jointly managed
by NEFMC and MAFMC):
A. Trawl fishery..................... A. Trawl.
B. Gillnet fishery................... B. Gillnet.
C. Longline fishery.................. C. Longline.
D. Dredge fishery.................... D. Dredge.
E. Trap and pot fishery.............. E. Trap, pot.
F. Recreational fishery.............. F. Rod and reel, spear.
19. Summer Flounder, Scup, Black Sea Bass
Fishery (FMP managed by MAFMC):
A. Trawl fishery..................... A. Trawl.
B. Longline and hook and line fishery B. Longline, handline.
C. Mixed species pot and trap fishery C. Pot, trap.
D. Gillnet fishery................... D. Gillnet.
E. Dredge fishery.................... E. Dredge.
F. Recreational fishery.............. F. Rod and reel, handline,
pot, trap, spear.
20. Hagfish Fishery (Non-FMP) Trap, pot.
21. Tautog Fishery (Non-FMP):
A. Gillnet fishery................... A. Gillnet.
B. Pot and trap fishery.............. B. Pot, trap.
C. Rod and reel, hook and line C. Rod and reel, handline,
fishery. hook and line.
D. Trawl fishery..................... D. Trawl.
E. Spear fishery..................... E. Spear.
F. Fyke net fishery.................. F. Fyke net.
G. Recreational fishery.............. G. Rod and reel, hook and
line, handline, spear.
22. Recreational Fishery (Non-FMP) Rod and reel, handline,
spear, hook and line, hand
harvest, bandit gear,
powerhead, gillnet, cast
net, pot, trap, dip net,
bully net, snare.
23. Commercial Fishery (Non-FMP) Trawl, pot, trap, gillnet,
pound net, dredge, seine,
handline, longline, hook and
line, rod and reel, hand
harvest, purse seine, spear,
bandit gear, powerhead, dip
net, bully net, snare, cast
net, barrier net, slurp gun,
allowable chemicals.
24. Dolphin/wahoo fishery (FMP managed by Automatic reel, bandit gear,
SAFMC) handline, pelagic longline,
rod and reel, spear
(including powerheads).
------------------------------------------------------------------------
II. Mid-Atlantic Fishery Management Council (MAFMC)
------------------------------------------------------------------------
1. Summer Flounder, Scup, Black Sea Bass
Fishery (FMP):
A. Trawl fishery..................... A. Trawl.
B. Pelagic longline and hook and line B. Longline, handline, rod
fishery. and reel.
C. Mixed species pot and trap fishery C. Pot, trap.
D. Gillnet fishery................... D. Gillnet.
E. Dredge fishery.................... E. Dredge.
F. Recreational fishery.............. F. Rod and reel, handline,
pot, trap, spear.
2. Atlantic Bluefish Fishery (FMP):
A. Bluefish, croaker, and flounder A. Trawl.
trawl fishery.
[[Page 82]]
B. Pelagic longline and hook and line B. Longline, handline, bandit
fishery. gear, rod and reel.
C. Mixed species pot and trap fishery C. Pot, trap.
D. Gillnet fishery................... D. Gillnet.
E. Seine fishery..................... E. Purse seine, seine.
F. Dredge fishery.................... F. Dredge.
G. Recreational fishery.............. G. Rod and reel, handline,
trap, pot, spear.
3. Atlantic Mackerel, Squid, and
Butterfish Fishery (FMP):
A. Mackerel, squid, and butterfish A. Trawl.
trawl fishery.
B. Gillnet fishery................... B. Gillnet.
C. Longline and hook-and-line fishery C. Longline, handline, rod
and reel.
D. Purse seine fishery............... D. Purse seine.
E. Mixed species pot and trap fishery E. Pot, trap.
F. Dredge fishery.................... F. Dredge.
G. Dip net fishery................... G. Dip net.
H. Bandit gear fishery............... H. Bandit gear.
I. Recreational fishery.............. I. Rod and reel, handline,
pot, spear.
4. Surf Clam and Ocean Quahog Fishery
(FMP):
A. Commercial fishery................ A. Dredge, hand harvest.
B. Recreational fishery.............. B. Hand harvest.
5. Atlantic Sea Scallop Fishery (FMP
managed by NEFMC):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Hand harvest fishery.............. C. Hand harvest.
D. Recreational fishery.............. D. Hand harvest.
6. Atlantic Menhaden Fishery (Non-FMP):
A. Purse seine fishery............... A. Purse seine.
B. Trawl fishery..................... B. Trawl.
C. Gillnet fishery................... C. Gillnet.
D. Commercial hook-and-line fishery.. D. Hook and line.
E. Recreational fishery.............. E. Hook and line, snagging,
cast nets.
7. Striped Bass Fishery (Non-FMP) No harvest or possession in
the EEZ.
8. Northern Shrimp Trawl Fishery (Non- Trawl.
FMP)
9. American Lobster Fishery (FMP managed
by NEFMC):
A. Pot and trap fishery.............. A. Pot, trap.
B. Hand harvest fishery.............. B. Hand harvest.
C. Trawl fishery..................... C. Trawl.
D. Dredge fishery.................... D. Dredge.
E. Gillnet fishery................... E. Gillnet.
F. Recreational fishery.............. F. Pot, trap, hand harvest.
10. Weakfish Fishery (Non-FMP):
A. Commercial fishery................ A. Trawl, gillnet, hook and
line, rod and reel.
B. Recreational fishery.............. B. Hook and line, spear.
11. Whelk Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Pot and trap fishery.............. B. Pot, trap.
C. Dredge............................ C. Dredge.
D. Pound net, gillnet, seine......... D. Pound net, gillnet, seine.
E. Recreational fishery.............. E. Hand harvest.
12. Monkfish Fishery (FMP jointly managed
by NEFMC and MAFMC):
A. Trawl fishery..................... A. Trawl.
B. Longline fishery.................. B. Longline, rod and reel.
C. Gillnet fishery................... C. Gillnet.
D. Dredge fishery.................... D. Dredge.
E. Trap and pot fishery.............. E. Trap and pot.
F. Recreational fishery.............. F. Rod and reel, spear.
13. Tilefish Fishery (Non-FMP):
A. Groundfish hook-and-line fishery.. A. Longline, handline, rod
and fishery reel.
B. Trawl fishery..................... B. Trawl.
C. Recreational fishery.............. C. Rod and reel, spear.
14. Spiny Dogfish Fishery (FMP jointly
managed by MAFMC and NEFMC):
A. Gillnet fishery................... A. Gillnet.
B. Trawl fishery..................... B. Trawl.
C. Hook and line fishery............. C. Hook and line, rod and
reel, spear.
D. Dredge fishery.................... D. Dredge.
E. Longline fishery.................. E. Longline.
F. Recreational fishery.............. F. Hook and line, rod and
reel, spear.
15. Tautog Fishery (Non-FMP):
A. Gillnet fishery................... A. Gillnet.
B. Pot and trap fishery.............. B. Pot, trap.
C. Rod and reel, hook and line C. Rod and reel, hook and
handline fishery. line, handline.
D. Trawl fishery..................... D. Trawl.
E. Spear fishery..................... E. Spear.
F. Fyke net fishery.................. F. Fyke net.
[[Page 83]]
G. Recreational fishery.............. G. Rod and reel, handline,
hook and line, spear.
16. Coastal Gillnet Fishery (Non-FMP) Gillnet
17. Recreational Fishery (Non-FMP) Rod and reel, handline,
spear, hook and line, hand
harvest, bandit gear,
powerhead, gillnet, cast
net.
18. NE Multispecies Fishery (FMP managed
by NEFMC):
A. NE multispecies sink gillnet A. Gillnet.
fishery.
B. North Atlantic bottom trawl B. Trawl.
fishery.
C. Groundfish hook and line.......... C. Longline, handline, rod
and fishery reel.
D. Mixed species trap and pot fishery D. Trap, pot.
E. Dredge fishery.................... E. Dredge.
F. Seine fishery..................... F. Seine.
G. Recreational fishery.............. G. Rod and reel, handline,
spear.
19. Atlantic Skate Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Gillnet fishery................... B. Gillnet.
C. Hook-and-line fishery............. C. Longline and handline.
D. Dredge fishery.................... D. Dredge.
E. Recreational fishery.............. E. Rod and reel.
20. Crab Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Trap and pot fishery.............. C. Trap, pot.
21. Atlantic Herring Fishery (FMP managed
by the NEFMC):
A. Trawl fishery..................... A. Trawl.
B. Purse seine fishery............... B. Purse seine.
C. Gillnet fishery................... C. Gillnet.
D. Herring pair trawl fishery........ D. Pair trawl.
E. Dredge fishery.................... E. Dredge.
F. Recreational fishery.............. F. Hook and line, gillnet.
22. South Atlantic Snapper-Grouper
Fishery (FMP managed by the SAFMC):
A. Commercial fishery................ A. Longline, rod and reel,
bandit gear, handline,
spear, powerhead.
B. Black sea bass trap and pot B. Pot, trap.
fishery.
C. Wreckfish fishery................. C. Rod and reel, bandit gear,
handline.
D. Recreational fishery.............. D. Handline, rod and reel,
bandit gear, spear,
powerhead.
23. South Atlantic Coastal Migratory
Pelagics Fishery (FMP managed by the
SAFMC):
A. Commercial Spanish mackerel A. Handline, rod and reel,
fishery. bandit gear, gillnet, cast
net.
B. Commercial king mackerel fishery.. B. Handline, rod and reel,
bandit gear.
C. Other commercial coastal migratory C. Longline, handline, rod
pelagics fishery. and reel, bandit gear.
D. Recreational fishery.............. D. Bandit gear, rod and reel,
handline, spear.
24. Calico Scallops Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Dredge fishery.................... B. Dredge.
C. Recreational fishery.............. C. Hand harvest.
25. Sargassum Fishery (Non-FMP) Trawl.
26. South Atlantic Shrimp Fishery (FMP) Trawl.
27. Commercial Fishery (Non-FMP) Trawl, pot, trap, gillnet,
pound net, dredge, seine,
handline, longline, hook and
line, rod and reel, spear.
28. Dolphin/wahoo fishery (FMP managed by Automatic reel, bandit gear,
SAFMC) handline, pelagic longline,
rod and reel, spear
(including powerheads).
------------------------------------------------------------------------
III. South Atlantic Fishery Management Council
------------------------------------------------------------------------
1. Golden Crab Fishery (FMP) Trap.
2. Crab Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Trap and pot fishery.............. C. Trap, pot.
3. Atlantic Red Drum Fishery (FMP) No harvest or possession in
the EEZ.
4. Coral and Coral Reef Fishery (FMP):
A. Octocoral commercial fishery...... Hand harvest.
B. Live rock aquaculture fishery..... Hand harvest.
5. South Atlantic Shrimp Fishery (FMP) Trawl.
6. South Atlantic Snapper-Grouper
Fishery (FMP):
A. Commercial fishery................ A. Longline, rod and reel,
bandit gear, handline,
spear, powerhead.
B. Black sea bass trap and pot B. Pot, trap.
fishery.
C. Wreckfish fishery................. C. Rod and reel, bandit gear,
handline.
[[Page 84]]
D. Recreational fishery.............. D. Handline, rod and reel,
bandit gear, spear,
powerhead.
7. South Atlantic Spiny Lobster Fishery
(FMP):
A. Commercial fishery................ A. Trap, pot, dip net, bully
net, snare, hand harvest.
B. Recreational fishery.............. B. Trap, pot, dip net, bully
net, snare, hand harvest.
8. South Atlantic Coastal Migratory
Pelagics Fishery (FMP):
A. Commercial Spanish mackerel A. Handline, rod and reel,
fishery. bandit gear, gillnet, cast
net.
B. Commercial king mackerel fishery.. B. Handline, rod and reel,
bandit gear.
C. Other commercial coastal migratory C. Longline, handline, rod
pelagics fishery. and reel, bandit gear.
D. Recreational fishery.............. D. Bandit gear, rod and reel,
handline, spear.
9. Spiny Dogfish Fishery (FMP jointly
managed by NEFMC and SAFMC):
A. Gillnet fishery................... A. Gillnet.
B. Trawl fishery..................... B. Trawl.
C. Hook and line fishery............. C. Hook and line, rod and
reel, spear, bandit gear.
D. Dredge fishery.................... D. Dredge.
E. Longline fishery.................. E. Longline.
F. Recreational fishery.............. F. Hook and line, rod and
reel, spear.
10. Smooth Dogfish Fishery (Non-FMP):
A. Gillnet fishery................... A. Gillnet.
B. Trawl fishery..................... B. Trawl.
C. Hook and line fishery............. C. Hook and line, rod and
reel, spear, bandit gear.
D. Dredge fishery.................... D. Dredge.
E. Longline fishery.................. E. Longline.
F. Recreational fishery.............. F. Hook and line, rod and
reel, spear.
11. Atlantic Menhaden Fishery (Non-FMP):
A. Purse seine fishery............... A. Purse seine.
B. Trawl fishery..................... B. Trawl.
C. Gillnet fishery................... C. Gillnet.
D. Commercial hook-and-line.......... D. Hook and line fishery.
E. Recreational fishery.............. E. Hook and line, snagging,
cast nets.
12. Atlantic Mackerel, Squid, and Trawl.
Butterfish Trawl Fishery (Non-FMP)
13. Bait Fisheries (Non-FMP) Purse seine.
14. Weakfish Fishery (Non-FMP):
A. Commercial fishery................ A. Trawl, gillnet, hook and
line.
B. Recreational fishery.............. B. Hook and line, spear.
15. Whelk Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Pot and trap fishery.............. B. Pot, trap.
C. Dredge fishery.................... C. Dredge.
D. Recreational fishery.............. D. Hand harvest.
16. Marine Life Aquarium Fishery (Non- Dip net, slurp gun, barrier
FMP) net, drop net, allowable
chemical, trap, pot, trawl.
17. Calico Scallop Fishery (Non-FMP):
A. Dredge fishery.................... A. Dredge.
B. Trawl fishery..................... B. Trawl.
C. Recreational fishery.............. C. Hand harvest.
18. Summer Flounder Fishery (FMP managed
by MAFMC):
A. Commercial fishery................ A. Trawl, longline, handline,
rod and reel, pot, trap,
gillnet, dredge.
B. Recreational fishery.............. B. Rod and reel, handline,
pot, trap, spear.
19. Bluefish, Croaker, and Flounder Trawl Trawl, gillnet.
and Gillnet Fishery (Bluefish FMP
managed by MAFMC)
20. Commercial Fishery (Non-FMP) Trawl, gillnet, longline,
handline, hook and line, rod
and reel, bandit gear, cast
net, pot, trap, lampara net,
spear.
21. Recreational Fishery (Non-FMP) Rod and reel, handline,
spear, hook and line, hand
harvest, bandit gear,
powerhead, gillnet, cast
net.
22. Sargassum Fishery (Non-FMP) Trawl.
23. Octopus Fishery (Non-FMP) Trap, pot.
24. Dolphin/wahoo fishery (FMP) Automatic reel, bandit gear,
handline, pelagic longline,
rod and reel, spear
(including powerheads).
------------------------------------------------------------------------
IV. Gulf of Mexico Fishery Management Council
------------------------------------------------------------------------
1. Gulf of Mexico Red Drum Fishery (FMP) No harvest or possession in
the EEZ.
2. Coral Reef Fishery (FMP):
A. Commercial fishery................ A. Hand harvest.
B. Recreational fishery.............. B. Hand harvest.
3. Gulf of Mexico Reef Fish Fishery
(FMP):
A. Snapper-Grouper reef fish longline A. Longline, handline, bandit
and hook and line fishery. gear, rod and reel, buoy
gear.
[[Page 85]]
B. Pot and trap reef fish fishery.... B. Pot, trap.
C. Other commercial fishery.......... C. Spear, powerhead, cast
net, trawl.
D. Recreational fishery.............. D. Spear, powerhead, bandit
gear, handline, rod reel,
cast net.
4. Gulf of Mexico Shrimp Fishery (FMP):
A. Gulf of Mexico commercial fishery. A. Trawl butterfly net,
skimmer, cast net.
B. Recreational fishery.............. B. Trawl.
5. Gulf of Mexico Coastal Migratory
Pelagics Fishery (FMP):
A. Large pelagics longline fishery... A. Longline.
B. King/Spanish mackerel gillnet B. Gillnet.
fishery.
C. Pelagic hook and line fishery..... C. Bandit gear, handline, rod
and reel.
D. Pelagic species purse seine D. Purse seine.
fishery.
E. Recreational fishery.............. E. Bandit gear, handline, rod
and reel, spear.
Gulf of Mexico Spiny Lobster Fishery
(FMP):
A. Commercial fishery................ A. Trap, pot, dip net, bully
net, hoop net, trawl, snare,
hand harvest.
C. Recreational fishery.............. C. Dip net, bully net, pot,
trap, snare, hand harvest.
6. Stone Crab Fishery (FMP):
A. Trap and pot fishery.............. A. Trap, pot
B. Recreational fishery.............. B. Trap, pot, hand harvest.
7. Blue Crab Fishery (Non-FMP) Trap, pot.
8. Golden Crab Fishery (Non-FMP) Trap.
9. Mullet Fishery (Non-FMP):
A. Trawl fishery..................... A. Trawl.
B. Gillnet fishery................... B. Gillnet.
C. Pair trawl fishery................ C. Pair trawl.
D. Cast net fishery.................. D. Cast net.
E. Recreational fishery.............. E. Bandit gear, handline, rod
and reel, spear, cast net.
10. Inshore Coastal Gillnet Fishery (Non- Gillnet.
FMP)
11. Octopus Fishery (Non-FMP) Trap, pot.
12. Marine Life Aquarium Fishery (Non- Dip net, slurp gun, barrier
FMP) net, drop net, allowable
chemical, trap, pot, trawl.
13. Coastal Herring Trawl Fishery (Non- Trawl.
FMP)
14. Butterfish Trawl Fishery (Non-FMP) Trawl.
15. Gulf of Mexico Groundfish (Non-FMP):
A. Commercial fishery................ A. Trawl, purse seine,
gillnet.
B. Recreational fishery.............. B. Hook and line, rod and
reel, spear.
16. Gulf of Mexico Menhaden Purse Seine Purse seine.
Fishery (Non-FMP)
17. Sardine Purse Seine Fishery (Non-FMP) Purse seine.
18. Oyster Fishery (Non-FMP) Dredge, tongs.
19. Commercial Fishery (Non-FMP) Trawl, gillnet, hook and
line, longline, handline,
rod and reel, bandit gear,
cast net, lampara net,
spear.
20. Recreational Fishery (Non-FMP) Bandit gear, handline, rod
and reel, spear, bully net,
gillnet, dip net, longline,
powerhead, seine, slurp gun,
trap, trawl, harpoon, cast
net, hoop net, hook and
line, hand harvest.
------------------------------------------------------------------------
V. Caribbean Fishery Management Council
------------------------------------------------------------------------
1. Caribbean Spiny Lobster Fishery
(FMP):
A. Trap/pot fishery.................. A. Trap/pot.
B. Dip net fishery................... B. Dip net.
C. Hand harvest fishery.............. C. Hand harvest, snare.
D. Recreational fishery.............. D. Dip net, trap, pot.
2. Caribbean Shallow Water Reef Fish
Fishery (FMP):
A. Longline/hook and line fishery.... A. Longline, hook and line.
B. Trap/pot fishery.................. B. Trap, pot.
C. Recreational fishery.............. C. Dip net, handline, rod and
reel, slurp gun, spear.
3. Coral and Reef Resources Fishery
(FMP):
A. Commercial fishery................ A. Dip net, slurp gun.
B. Recreational fishery.............. B. Dip net, slurp gun, hand
harvest.
4. Queen Conch Fishery (FMP):
A. Commercial fishery................ A. Hand harvest.
B. Recreational fishery.............. B. Hand harvest.
5. Caribbean Pelagics Fishery (Non-FMP):
A. Pelagics drift gillnet fishery.... A. Gillnet.
B. Pelagics longline/hook and line B. Longline/hook and line.
fishery.
C. Recreational fishery.............. C. Spear, handline, longline,
rod and reel.
6. Commercial Fishery (Non-FMP) Trawl, gillnet, hook and
line, longline, handline,
rod and reel, bandit gear,
cast net, spear.
7. Recreational Fishery (Non-FMP) Rod and reel, hook and line,
spear, powerhead, handline,
hand harvest, cast net.
------------------------------------------------------------------------
[[Page 86]]
VI. Pacific Fishery Management Council
------------------------------------------------------------------------
1. Washington, Oregon, and California
Salmon Fisheries (FMP):
A. Salmon set gillnet fishery........ A. Gillnet.
B. Salmon hook and line fishery...... B. Hook and line.
C. Trawl fishery..................... C. Trawl.
D. Recreational fishery.............. D. Rod and reel.
2. West Coast Groundfish Fisheries
(FMP):
A. Pacific groundfish trawl fishery.. A. Trawl.
B. Set gillnet fishery............... B. Gillnet.
C. Groundfish longline and setline C. Longline.
fishery.
D. Groundfish handline and hook and D. Handline, hook and line.
line fishery.
E. Groundfish pot and trap fishery... E. Pot, trap.
F. Recreational fishery.............. F. Rod and reel, handline,
spear, hook and line.
3. Northern Anchovy Fishery (FMP) Purse seine, lampara net.
4. Angel Shark, White Croaker, Gillnet.
California Halibut, White Sea Bass,
Pacific Mackerel Large-Mesh Set Net
Fishery (Non-FMP)
5. Thresher Shark and Swordfish Drift Gillnet.
Gillnet Fishery (Non-FMP)
6. Pacific Shrimp and Prawn Fishery (Non-
FMP):
A. Pot and trap fishery.............. A. Pot, trap.
B. Trawl fishery..................... B. Trawl.
7. Lobster and Rock Crab Pot and Trap Pot, trap.
Fishery (Non-FMP)
8. Pacific Halibut Fishery (Non-FMP):
A. Longline and setline fishery...... A. Longline.
B. Hook-and-line fishery............. B. Hook and line.
9. California Halibut Trawl and Trammel Trawl, trammel net.
Net Fishery
10. Shark and Bonito Longline and Setline Longline.
Fishery (Non-FMP)
11. Dungeness Crab Pot and Trap Fishery Pot, trap.
(Non-FMP)
12. Hagfish Pot and Trap Fishery (Non- Pot, trap.
FMP)
13. Pacific Albacore and Other Tuna Hook- Hook and line.
and-line Fishery (Non-FMP)
14. Pacific Swordfish Harpoon Fishery Harpoon.
(Non-FMP)
15. Pacific Scallop Dredge Fishery (Non- Dredge.
FMP)
16. Pacific Yellowfin, Skipjack Tuna, Purse seine.
Purse Seine Fishery, (Non-FMP)
17. Market Squid Fishery (Non-FMP) Purse seine, dip net.
18. Pacific Sardine, Pacific Mackerel, Purse seine.
Pacific Saury, Pacific Bonito, and Jack
Mackerel Purse Seine Fishery (Non-FMP)
19. Finfish and Shellfish Live Trap, Hook- Trap, handline, hook and
and-line, and Handline Fishery (Non-FMP) line.
20. Recreational Fishery (Non-FMP) Spear, trap, handline, pot,
hook and line, rod and reel,
hand harvest.
21. Commercial Fishery (Non-FMP) Trawl, gillnet, hook and
line, longline, handline,
rod and reel, bandit gear,
cast net, spear.
------------------------------------------------------------------------
VII. North Pacific Fishery Management Council
------------------------------------------------------------------------
1. Alaska Scallop Fishery (FMP) Dredge.
2. Bering Sea (BS) and Aleutian Islands
(AI) King and Tanner Crab Fishery (FMP):
Pot fishery.......................... Pot.
3. Bering Sea (BS) and Aleutian Islands
(AI) King and Tanner Crab Fishery (FMP):
Recreational fishery................. Pot.
4. BS and AI Groundfish Fishery (FMP):
A. Groundfish trawl fishery.......... A. Trawl.
B. Bottomfish hook-and-line, and B. Hook and line, handline.
handline fishery.
C. Longline fishery.................. C. Longline.
D. BS and AI pot and trap fishery.... D. Pot, trap.
5. BS and AI Groundfish Recreational Handline, rod and reel, hook
Fishery (Non-FMP) and line, pot, trap.
6. Gulf of Alaska (GOA) Groundfish
Fishery (FMP):
A. Groundfish trawl fishery.......... A. Trawl.
B. Bottomfish hook-and-line and B. Hook and line, handline.
handline fishery.
C. Longline fishery.................. C. Longline.
D. GOA pot and trap fishery.......... D. Pot, trap.
E. Recreational fishery.............. E. Handline, rod and reel,
hook and line, pot, trap.
7. Pacific Halibut Fishery (Non-FMP):
A. Commercial (IFQ and CDQ).......... A. Hook and line.
B. Recreational...................... B. Single line with no more
than 2 hooks attached or
spear.
C. Subsistence....................... C. Setline gear and hand held
gear of not more than 30
hooks, including longline,
handline, rod and reel,
spear, jig, and hand-troll
gear.
8. Alaska High Seas Salmon Hook and Line
Fishery:
(FMP)................................ Hook and line.
9. Alaska Salmon Fishery (Non-FMP):
[[Page 87]]
A. Hook-and-line fishery............. A. Hook and line.
B. Gillnet fishery................... B. Gillnet.
C. Purse seine fishery............... C. Purse seine.
D. Recreational fishery.............. D. Handline, rod and reel,
hook and line.
10. Finfish Purse Seine Fishery (Non-FMP) Purse seine.
11. Octopus/Squid Longline Fishery (Non- Longline.
FMP)
12. Finfish Handline and Hook-and-line Handline, hook and line.
Fishery (Non-FMP)
13. Recreational Fishery (Non-FMP) Handline, rod and reel, hook
line.
14. Commercial Fishery (Non-FMP) Trawl, gillnet, hook and
line, longline, handline,
rod and reel, bandit gear,
cast net, spear.
------------------------------------------------------------------------
VIII. Western Pacific Fishery Management Council
------------------------------------------------------------------------
1. Western Pacific Crustacean Fishery Trap, hand harvest, hoop net.
(FMP)
2. Western Pacific Crustacean Fishery
(Non-FMP):
A. Commercial fishery................ A. Gillnet, hand harvest,
hoop net, spear, snare,
trap, trawl.
B. Recreational fishery.............. B. Gillnet, hand harvest,
hoop net, spear, snare,
trap.
C. Charter fishery................... C. Hand harvest, spear.
3. Western Pacific Precious Corals
Fishery (FMP):
A. Tangle net dredge fishery......... A. Tangle net dredge.
B. Submersible fishery............... B. Submersible.
C. Dive fishery...................... C. Hand harvest.
D. Recreational fishery.............. D. Hand harvest.
4. Western Pacific Precious Corals Hand harvest, submersible,
Fishery (Non-FMP) tangle net dredge.
5. Western Pacific Bottomfish and
Seamount Groundfish Fishery (FMP):
A. Bottomfish hook-and-line fishery.. A. Bandit gear, buoy gear,
handline, hook and line, rod
and reel, hand harvest.
B. Seamount groundfish fishery....... B. Longline, trawl.
C. Bottom longline fishery........... C. Longline, hook and line.
D. Trap fishery...................... D. Trap.
E. Spear fishery..................... E. Spear, powerhead.
6. Western Pacific Bottomfish and
Seamount Groundfish Fishery (Non-FMP):
A. Commercial fishery................ A. Bandit gear, buoy gear,
gillnet, handline, hook-and-
line, longline, rod and
reel, spear, trap.
B. Recreational fishery.............. B. Bandit gear, buoy gear,
Gillnet, handline, hook and
line, longline, rod and
reel, spear, trap, slurp
gun, hand harvest.
C. Charter fishery................... C. Bandit gear, buoy gear,
handline, hook-and-line, rod
and reel, spear.
7. Western Pacific Pelagics Fishery
(FMP):
A. Longline Fisher................... A. Longline.
B. Hook and line fishery............. B. Bandit gear, buoy gear,
handline, hook and line, rod
and reel.
C. Purse seine fishery............... C. Lampara net, purse seine.
D. Spear fishery..................... D. Spear, powerhead.
8. Western Pacific Pelagics Fishery (Non-
FMP):
A. Recreational fishery.............. A. Bandit gear, buoy gear,
dip net, handline, hook and
line, hoop net, powerhead,
rod and real, spear.
B. Commercial fishery................ B. Bandit gear, buoy gear,
dip net, handline, hook and
line, hoop net, powerhead,
rod and reel, spear.
C. Charter fishery................... C. Bandit gear, buoy gear,
dip net, handline, hook and
line, hoop net, powerhead,
rod and reel, spear.
9. Western Pacific Coastal Pelagics Bandit gear, buoy gear, dip
Fishery (Non-FMP) net, gillnet, handline, hook
and line, hoop net, lampara
net, purse seine, rod and
reel, spear.
10. Western Pacific Squid and Octopus Bandit gear, hand harvest,
Fishery (Non-FMP) hook and line, rod and reel,
spear, trap.
11. Western Pacific Coral Reef Fishery Allowable chemical, barrier
(Non-FMP) net, dip net, gillnet, hand
harvest, seine, slurp gun,
trap, spear, rod and reel,
hook and line.
12. Recreational Fishery (Non-FMP) Rod and reel, hook and line,
handline, hand harvest,
spear.
13. Commercial Fishery (Non-FMP) Trawl, gillnet, hook and
line, longline, handline,
rod and reel, bandit gear,
cast net, spear.
------------------------------------------------------------------------
IX. Secretary of Commerce
------------------------------------------------------------------------
1. Atlantic Tunas, Swordfish, and Sharks
Fisheries (FMP):
A. Swordfish handgear fishery........ A. Rod and reel, harpoon,
handline, bandit gear.
B. Pelagic longline fishery.......... B. Longline.
C. Shark gillnet fishery............. C. Gillnet
[[Page 88]]
D. Shark bottom longline fishery..... D. Longline.
E. Shark handgear fishery............ E. Rod and reel, handline,
bandit gear.
F. Shark recreational fishery........ F. Rod and reel, handline.
G. Tuna purse seine fishery.......... G. Purse seine.
H. Tuna recreational fishery......... H. Rod and reel, handline.
I. Tuna handgear fishery............. I. Rod and reel, harpoon,
handline, bandit gear.
J. Tuna harpoon fishery.............. J. Harpoon.
2. Atlantic Billfish Fishery (FMP):
Recreational fishery................. Rod and reel.
3. Commercial Fisheries (Non-FMP) Rod and reel, handline,
longline, gillnet, harpoon,
bandit gear, purse seine.
------------------------------------------------------------------------
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998; 63
FR 27217; May 18, 1998; 64 FR 4037, Jan. 27, 1999; 64 FR 29134, May 28,
1999; 64 FR 67516, Dec. 2, 1999; 68 FR 18161, Apr. 15, 2003; 68 FR
26230, May 15, 2003; 68 FR 74784, Dec. 24, 2003; 69 FR 30240, May 27,
2004; 70 FR 62080, Oct. 28, 2005]
Sec. 600.730 Facilitation of enforcement.
(a) General. The operator of, or any other person aboard, any
fishing vessel subject to parts 622 through 699 of this chapter must
immediately comply with instructions and signals issued by an authorized
officer to stop the vessel and with instructions to facilitate safe
boarding and inspection of the vessel, its gear, equipment, fishing
record (where applicable), and catch for purposes of enforcing the
Magnuson-Stevens Act or any other statute administered by NOAA and this
chapter.
(b) Communications. (1) Upon being approached by a USCG vessel or
aircraft, or other vessel or aircraft with an authorized officer aboard,
the operator of a fishing vessel must be alert for communications
conveying enforcement instructions.
(2) VHF-FM radiotelephone is the preferred method for communicating
between vessels. If the size of the vessel and the wind, sea, and
visibility conditions allow, a loudhailer may be used instead of the
radio. Hand signals, placards, high frequency radiotelephone, or voice
may be employed by an authorized officer, and message blocks may be
dropped from an aircraft.
(3) If other communications are not practicable, visual signals may
be transmitted by flashing light directed at the vessel signaled. USCG
units will normally use the flashing light signal ``L'' as the signal to
stop. In the International Code of Signals, ``L'' (.-..) means ``you
should stop your vessel instantly.'' (Period (.) means a short flash of
light; dash (-) means a long flash of light.)
(4) Failure of a vessel's operator promptly to stop the vessel when
directed to do so by an authorized officer using loudhailer,
radiotelephone, flashing light signal, or other means constitutes prima
facie evidence of the offense of refusal to permit an authorized officer
to board.
(5) The operator of a vessel who does not understand a signal from
an enforcement unit and who is unable to obtain clarification by
loudhailer or radiotelephone must consider the signal to be a command to
stop the vessel instantly.
(c) Boarding. The operator of a vessel directed to stop must:
(1) Guard Channel 16, VHF-FM, if so equipped.
(2) Stop immediately and lay to or maneuver in such a way as to
allow the authorized officer and his/her party to come aboard.
(3) Except for those vessels with a freeboard of 4 ft (1.2 m) or
less, provide a safe ladder, if needed, for the authorized officer and
his/her party to come aboard.
(4) When necessary to facilitate the boarding or when requested by
an authorized officer or observer, provide a manrope or safety line, and
illumination for the ladder.
(5) Take such other actions as necessary to facilitate boarding and
to ensure the safety of the authorized officer and the boarding party.
(d) Signals. The following signals, extracted from the International
Code of Signals, may be sent by flashing light
[[Page 89]]
by an enforcement unit when conditions do not allow communications by
loudhailer or radiotelephone. Knowledge of these signals by vessel
operators is not required. However, knowledge of these signals and
appropriate action by a vessel operator may preclude the necessity of
sending the signal ``L'' and the necessity for the vessel to stop
instantly. (Period (.) means a short flash of light; dash (-) means a
long flash of light.)
(1) ``AA'' repeated (.-.-) is the call to an unknown station. The
operator of the signaled vessel should respond by identifying the vessel
by radiotelephone or by illuminating the vessel's identification.
(2) ``RY-CY'' (.-. -.-- -.-. -.--) means ``you should proceed at
slow speed, a boat is coming to you.'' This signal is normally employed
when conditions allow an enforcement boarding without the necessity of
the vessel being boarded coming to a complete stop, or, in some cases,
without retrieval of fishing gear which may be in the water.
(3) ``SQ3'' (... --.- ...--) means ``you should stop or heave to; I
am going to board you.''
[61 FR 32540, June 24, 1996, as amended at 61 FR 37225, July 17, 1996;
63 FR 7075, Feb. 12, 1998]
Sec. 600.735 Penalties.
Any person committing, or fishing vessel used in the commission of a
violation of the Magnuson-Stevens Act or any other statute administered
by NOAA and/or any regulation issued under the Magnuson-Stevens Act, is
subject to the civil and criminal penalty provisions and civil
forfeiture provisions of the Magnuson-Stevens Act, to this section, to
15 CFR part 904 (Civil Procedures), and to other applicable law.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.740 Enforcement policy.
(a) The Magnuson-Stevens Act provides four basic enforcement
remedies for violations, in ascending order of severity, as follows:
(1) Issuance of a citation (a type of warning), usually at the scene
of the offense (see 15 CFR part 904, subpart E).
(2) Assessment by the Administrator of a civil money penalty.
(3) For certain violations, judicial forfeiture action against the
vessel and its catch.
(4) Criminal prosecution of the owner or operator for some offenses.
It shall be the policy of NMFS to enforce vigorously and equitably the
provisions of the Magnuson-Stevens Act by utilizing that form or
combination of authorized remedies best suited in a particular case to
this end.
(b) Processing a case under one remedial form usually means that
other remedies are inappropriate in that case. However, further
investigation or later review may indicate the case to be either more or
less serious than initially considered, or may otherwise reveal that the
penalty first pursued is inadequate to serve the purposes of the
Magnuson-Stevens Act. Under such circumstances, the Agency may pursue
other remedies either in lieu of or in addition to the action originally
taken. Forfeiture of the illegal catch does not fall within this general
rule and is considered in most cases as only the initial step in
remedying a violation by removing the ill-gotten gains of the offense.
(c) If a fishing vessel for which a permit has been issued under the
Magnuson-Stevens Act is used in the commission of an offense prohibited
by section 307 of the Magnuson-Stevens Act, NOAA may impose permit
sanctions, whether or not civil or criminal action has been undertaken
against the vessel or its owner or operator. In some cases, the
Magnuson-Stevens Act requires permit sanctions following the assessment
of a civil penalty or the imposition of a criminal fine. In sum, the
Magnuson-Stevens Act treats sanctions against the fishing vessel permit
to be the carrying out of a purpose separate from that accomplished by
civil and criminal penalties against the vessel or its owner or
operator.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.745 Scientific research activity, exempted fishing, and exempted educational activity.
(a) Scientific research activity. Nothing in this section is
intended to inhibit or
[[Page 90]]
prevent any scientific research activity conducted by a scientific
research vessel. Persons planning to conduct scientific research
activities in the EEZ are encouraged to submit to the appropriate
Regional Administrator, Director, or designee, 60 days or as soon as
practicable prior to its start, a scientific research plan for each
scientific cruise. The Regional Administrator, Director, or designee
will acknowledge notification of scientific research activity by issuing
to the operator or master of that vessel, or to the sponsoring
institution, a letter of acknowledgment. This letter of acknowledgment
is separate and distinct from any permit required by any other
applicable law. If the Regional Administrator, Director, or designee,
after review of a research plan, determines that it does not constitute
scientific research but rather fishing, the Regional Administrator,
Director, or designee will inform the applicant as soon as practicable
and in writing. The Regional Administrator, Director, or designee may
also make recommendations to revise the research plan to make the cruise
acceptable as scientific research activity or recommend the applicant
request an EFP. In order to facilitate identification of activity as
scientific research, persons conducting scientific research activities
are advised to carry a copy of the scientific research plan and the
letter of acknowledgment on board the scientific research vessel.
Activities conducted in accordance with a scientific research plan
acknowledged by such a letter are presumed to be scientific research
activity. The presumption may be overcome by showing that an activity
does not fit the definition of scientific research activity or is
outside the scope of the scientific research plan.
(b) Exempted fishing--(1) General. A NMFS Regional Administrator or
Director may authorize, for limited testing, public display, data
collection, exploratory, health and safety, environmental cleanup, and/
or hazard removal purposes, the target or incidental harvest of species
managed under an FMP or fishery regulations that would otherwise be
prohibited. Exempted fishing may not be conducted unless authorized by
an EFP issued by a Regional Administrator or Director in accordance with
the criteria and procedures specified in this section. The Regional
Administrator or Director may charge a fee to recover the administrative
expenses of issuing an EFP. The amount of the fee will be calculated, at
least annually, in accordance with procedures of the NOAA Handbook for
determining administrative costs of each special product or service; the
fee may not exceed such costs. Persons may contact the appropriate
Regional Administrator or Director to find out the applicable fee.
(2) Application. An applicant for an EFP shall submit a completed
application package to the appropriate Regional Administrator or
Director, as soon as practicable and at least 60 days before the desired
effective date of the EFP. Submission of an EFP application less than 60
days before the desired effective date of the EFP may result in a
delayed effective date because of review requirements. The application
package must include payment of any required fee as specified by
paragraph (b)(1) of this section, and a written application that
includes, but is not limited to, the following information:
(i) The date of the application.
(ii) The applicant's name, mailing address, and telephone number.
(iii) A statement of the purposes and goals of the exempted fishery
for which an EFP is needed, including justification for issuance of the
EFP.
(iv) For each vessel to be covered by the EFP, as soon as the
information is available and before operations begin under the EFP:
(A) A copy of the USCG documentation, state license, or registration
of each vessel, or the information contained on the appropriate
document.
(B) The current name, address, and telephone number of the owner and
master, if not included on the document provided for the vessel.
(v) The species (target and incidental) expected to be harvested
under the EFP, the amount(s) of such harvest necessary to conduct the
exempted fishing, the arrangements for disposition of all regulated
species harvested under the EFP, and any anticipated
[[Page 91]]
impacts on marine mammals or endangered species.
(vi) For each vessel covered by the EFP, the approximate time(s) and
place(s) fishing will take place, and the type, size, and amount of gear
to be used.
(vii) The signature of the applicant.
(viii) The Regional Administrator or Director, as appropriate, may
request from an applicant additional information necessary to make the
determinations required under this section. An incomplete application or
an application for which the appropriate fee has not been paid will not
be considered until corrected in writing and the fee paid. An applicant
for an EFP need not be the owner or operator of the vessel(s) for which
the EFP is requested.
(3) Issuance. (i) The Regional Administrator or Director, as
appropriate, will review each application and will make a preliminary
determination whether the application contains all of the required
information and constitutes an activity appropriate for further
consideration. If the Regional Administrator or Director finds that any
application does not warrant further consideration, both the applicant
and the affected Council(s) will be notified in writing of the reasons
for the decision. If the Regional Administrator or Director determines
that any application warrants further consideration, notification of
receipt of the application will be published in the Federal Register
with a brief description of the proposal, and the intent of NMFS to
issue an EFP. Interested persons will be given a 15- to 45-day
opportunity to comment and/or comments will be requested during public
testimony at a Council meeting. The notification may establish a cut-off
date for receipt of additional applications to participate in the same,
or a similar, exempted fishing activity. The Regional Administrator or
Director also will forward copies of the application to the Council(s),
the USCG, and the appropriate fishery management agencies of affected
states, accompanied by the following information:
(A) The effect of the proposed EFP on the target and incidental
species, including the effect on any TAC.
(B) A citation of the regulation or regulations that, without the
EFP, would prohibit the proposed activity.
(C) Biological information relevant to the proposal, including
appropriate statements of environmental impacts, including impacts on
marine mammals and threatened or endangered species.
(ii) If the application is complete and warrants additional
consultation, the Regional Administrator or Director may consult with
the appropriate Council(s) concerning the permit application during the
period in which comments have been requested. The Council(s) or the
Administrator or Regional Administrator shall notify the applicant in
advance of any meeting at which the application will be considered, and
offer the applicant the opportunity to appear in support of the
application.
(iii) As soon as practicable after receiving responses from the
agencies identified in paragraph (b)(3)(i) of this section, and/or after
the consultation, if any, described in paragraph (b)(3)(ii) of this
section, the Regional Administrator or Director shall notify the
applicant in writing of the decision to grant or deny the EFP, and, if
denied, the reasons for the denial. Grounds for denial of an EFP
include, but are not limited to, the following:
(A) The applicant has failed to disclose material information
required, or has made false statements as to any material fact, in
connection with his or her application; or
(B) According to the best scientific information available, the
harvest to be conducted under the permit would detrimentally affect the
well-being of the stock of any regulated species of fish, marine mammal,
or threatened or endangered species in a significant way; or
(C) Issuance of the EFP would have economic allocation as its sole
purpose; or
(D) Activities to be conducted under the EFP would be inconsistent
with the intent of this section, the management objectives of the FMP,
or other applicable law; or
(E) The applicant has failed to demonstrate a valid justification
for the permit; or
[[Page 92]]
(F) The activity proposed under the EFP could create a significant
enforcement problem.
(iv) The decision of a Regional Administrator or Director to grant
or deny an EFP is the final action of NMFS. If the permit, as granted,
is significantly different from the original application, or is denied,
NMFS may publish notification in the Federal Register describing the
exempted fishing to be conducted under the EFP or the reasons for
denial.
(v) The Regional Administrator or Director may attach terms and
conditions to the EFP consistent with the purpose of the exempted
fishing, including, but not limited to:
(A) The maximum amount of each regulated species that can be
harvested and landed during the term of the EFP, including trip
limitations, where appropriate.
(B) The number, size(s), name(s), and identification number(s) of
the vessel(s) authorized to conduct fishing activities under the EFP.
(C) The time(s) and place(s) where exempted fishing may be
conducted.
(D) The type, size, and amount of gear that may be used by each
vessel operated under the EFP.
(E) The condition that observers, a vessel monitoring system, or
other electronic equipment be carried on board vessels operated under an
EFP, and any necessary conditions, such as predeployment notification
requirements.
(F) Reasonable data reporting requirements.
(G) Other conditions as may be necessary to assure compliance with
the purposes of the EFP, consistent with the objectives of the FMP and
other applicable law.
(H) Provisions for public release of data obtained under the EFP
that are consistent with NOAA confidentiality of statistics procedures
at set out in subpart E. An applicant may be required to waive the right
to confidentiality of information gathered while conducting exempted
fishing as a condition of an EFP.
(4) Duration. Unless otherwise specified in the EFP or a superseding
notice or regulation, an EFP is effective for no longer than 1 year,
unless revoked, suspended, or modified. EFPs may be renewed following
the application procedures in this section.
(5) Alteration. Any permit that has been altered, erased, or
mutilated is invalid.
(6) Transfer. EFPs issued under this section are not transferable or
assignable. An EFP is valid only for the vessel(s) for which it is
issued.
(7) Inspection. Any EFP issued under this section must be carried on
board the vessel(s) for which it was issued. The EFP must be presented
for inspection upon request of any authorized officer.
(8) Sanctions. Failure of a permittee to comply with the terms and
conditions of an EFP may be grounds for revocation, suspension, or
modification of the EFP with respect to all persons and vessels
conducting activities under the EFP. Any action taken to revoke,
suspend, or modify an EFP for enforcement purposes will be governed by
15 CFR part 904, subpart D.
(c) Reports. (1) Persons conducting scientific research activity are
requested to submit a copy of any cruise report or other publication
created as a result of the cruise, including the amount, composition,
and disposition of their catch, to the appropriate Science and Research
Director.
(2) Persons fishing under an EFP are required to report their
catches to the appropriate Regional Administrator or Director, as
specified in the EFP.
(d) Exempted educational activities--(1) General. A NMFS Regional
Administrator or Director may authorize, for educational purposes, the
target or incidental harvest of species managed under an FMP or fishery
regulations that would otherwise be prohibited. The decision of a
Regional Administrator or Director to grant or deny an exempted
educational activity authorization is the final action of NMFS. Exempted
educational activities may not be conducted unless authorized in writing
by a Regional Administrator or Director in accordance with the criteria
and procedures specified in this section. Such authorization will be
issued without charge.
(2) Application. An applicant for an exempted educational activity
authorization shall submit to the appropriate
[[Page 93]]
Regional Administrator or Director, at least 15 days before the desired
effective date of the authorization, a written application that
includes, but is not limited to, the following information:
(i) The date of the application.
(ii) The applicant's name, mailing address, and telephone number.
(iii) A brief statement of the purposes and goals of the exempted
educational activity for which authorization is requested, including a
general description of the arrangements for disposition of all species
collected.
(iv) Evidence that the sponsoring institution is a valid educational
institution, such as accreditation by a recognized national or
international accreditation body.
(v) The scope and duration of the activity.
(vi) For each vessel to be covered by the authorization:
(A) A copy of the U.S. Coast Guard documentation, state license, or
registration of the vessel, or the information contained on the
appropriate document.
(B) The current name, address, and telephone number of the owner and
master, if not included on the document provided for the vessel.
(vii) The species and amounts expected to be caught during the
exempted educational activity.
(viii) For each vessel covered by the authorization, the approximate
time(s) and place(s) fishing will take place, and the type, size, and
amount of gear to be used.
(ix) The signature of the applicant.
(x) The Regional Administrator or Director may request from an
applicant additional information necessary to make the determinations
required under this section. An incomplete application will not be
considered until corrected in writing.
(3) Issuance. (i) The Regional Administrator or Director, as
appropriate, will review each application and will make a determination
whether the application contains all of the required information, is
consistent with the goals, objectives, and requirements of the FMP or
regulations and other applicable law, and constitutes a valid exempted
educational activity. The applicant will be notified in writing of the
decision within 5 working days of receipt of the application.
(ii) The Regional Administrator or Director may attach terms and
conditions to the authorization, consistent with the purpose of the
exempted educational activity, including, but not limited to:
(A) The maximum amount of each regulated species that may be
harvested.
(B) The time(s) and place(s) where the exempted educational activity
may be conducted.
(C) The type, size, and amount of gear that may be used by each
vessel operated under the authorization.
(D) Reasonable data reporting requirements.
(E) Such other conditions as may be necessary to assure compliance
with the purposes of the authorization, consistent with the objectives
of the FMP or regulations.
(F) Provisions for public release of data obtained under the
authorization, consistent with NOAA confidentiality of statistics
procedures in subpart E. An applicant may be required to waive the right
to confidentiality of information gathered while conducting exempted
educational activities as a condition of the authorization.
(iii) The authorization will specify the scope of the authorized
activity and will include, at a minimum, the duration, vessel(s),
species and gear involved in the activity, as well as any additional
terms and conditions specified under paragraph (d)(3)(ii) of this
section.
(4) Duration. Unless otherwise specified, authorization for an
exempted educational activity is effective for no longer than 1 year,
unless revoked, suspended, or modified. Authorizations may be renewed
following the application procedures in this section.
(5) Alteration. Any authorization that has been altered, erased, or
mutilated is invalid.
(6) Transfer. Authorizations issued under this paragraph (d) are not
transferable or assignable.
(7) Inspection. Any authorization issued under this paragraph (d)
must be carried on board the vessel(s) for which it was issued or be in
possession of the
[[Page 94]]
applicant to which it was issued while the exempted educational activity
is being conducted. The authorization must be presented for inspection
upon request of any authorized officer. Activities that meet the
definition of fishing, despite an educational purpose, are fishing. An
authorization may allow covered fishing activities; however, fishing
activities conducted outside the scope of an authorization for exempted
educational activities are illegal.
[61 FR 32540, June 24, 1996, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.746 Observers.
(a) Applicability. This section applies to any fishing vessel
required to carry an observer as part of a mandatory observer program or
carrying an observer as part of a voluntary observer program under the
Magnuson-Stevens Act, MMPA (16 U.S.C. 1361 et seq.), the ATCA (16 U.S.C.
971 et seq.), the South Pacific Tuna Act of 1988 (16 U.S.C. 973 et
seq.), or any other U.S. law.
(b) Observer requirement. An observer is not required to board, or
stay aboard, a vessel that is unsafe or inadequate as described in
paragraph (c) of this section.
(c) Inadequate or unsafe vessels. (1) A vessel is inadequate or
unsafe for purposes of carrying an observer and allowing operation of
normal observer functions if it does not comply with the applicable
regulations regarding observer accommodations (see 50 CFR parts 229,
300, 600, 622, 635, 648, 660, and 679) or if it has not passed a USCG
safety examination or inspection. A vessel that has passed a USCG safety
examination or inspection must display one of the following:
(i) A current Commercial Fishing Vessel Safety Examination decal,
issued within the last 2 years, that certifies compliance with
regulations found in 33 CFR, chapter I and 46 CFR, chapter I;
(ii) A certificate of compliance issued pursuant to 46 CFR 28.710;
or
(iii) A valid certificate of inspection pursuant to 46 U.S.C. 3311.
(2) Upon request by an observer, a NMFS employee, or a designated
observer provider, a vessel owner/operator must provide correct
information concerning any item relating to any safety or accommodation
requirement prescribed by law or regulation. A vessel owner or operator
must also allow an observer, a NMFS employee, or a designated observer
provider to visually examine any such item.
(3) Pre-trip safety check. Prior to each observed trip, the observer
is encouraged to briefly walk through the vessel's major spaces to
ensure that no obviously hazardous conditions exist. In addition, the
observer is encouraged to spot check the following major items for
compliance with applicable USCG regulations:
(i) Personal flotation devices/immersion suits;
(ii) Ring buoys;
(iii) Distress signals;
(iv) Fire extinguishing equipment;
(v) Emergency position indicating radio beacon (EPIRB), when
required; and
(vi) Survival craft, when required.
(d) Corrective measures. If a vessel is inadequate or unsafe for
purposes of carrying an observer and allowing operation of normal
observer functions, NMFS may require the vessel owner or operator either
to:
(1) Submit to and pass a USCG safety examination or inspection; or
(2) Correct the deficiency that is rendering the vessel inadequate
or unsafe (e.g., if the vessel is missing one personal flotation device,
the owner or operator could be required to obtain an additional one),
before the vessel is boarded by the observer.
(e) Timing. The requirements of this section apply both at the time
of the observer's boarding, at all times the observer is aboard, and at
the time the observer is disembarking from the vessel.
(f) Effect of inadequate or unsafe status. A vessel that would
otherwise be required to carry an observer, but is inadequate or unsafe
for purposes of carrying an observer and for allowing operation of
normal observer functions, is prohibited from fishing without observer
coverage.
[63 FR 27217, May 18, 1998, as amended at 67 FR 64312, Oct. 18, 2002]
[[Page 95]]
Sec. 600.747 Guidelines and procedures for determining new fisheries and gear.
(a) General. Section 305(a) of the Magnuson-Stevens Act requires the
Secretary to prepare a list of all fisheries under the authority of each
Council, or the Director in the case of Atlantic highly migratory
species, and all gear used in such fisheries. This section contains
guidelines in paragraph (b) for determining when fishing gear or a
fishery is sufficiently different from those listed in Sec. 600.725(v)
as to require notification of a Council or the Director in order to use
the gear or participate in the unlisted fishery. This section also
contains procedures in paragraph (c) for notification of a Council or
the Director of potentially new fisheries or gear, and for amending the
list of fisheries and gear.
(b) Guidelines. The following guidance establishes the basis for
determining when fishing gear or a fishery is sufficiently different
from those listed to require notification of the appropriate Council or
the Director.
(1) The initial step in the determination of whether a fishing gear
or fishery is sufficiently different to require notification is to
compare the gear or fishery in question to the list of authorized
fisheries and gear in Sec. 600.725(v) and to the existing gear
definitions in Sec. 600.10.
(2) If the gear in question falls within the bounds of a definition
in Sec. 600.10 for an allowable gear type within that fishery, as
listed under Sec. 600.725(v), then the gear is not considered
different, is considered allowable gear, and does not require
notification of the Council or Secretary 90 days before it can be used
in that fishery.
(3) If, for any reason, the gear is not consistent with a gear
definition for a listed fishery as described in paragraph (b)(2) of this
section, the gear is considered different and requires Council or
Secretarial notification as described in paragraph (c) of this section
90 days before it can be used in that fishery.
(4) If a fishery falls within the bounds of the list of authorized
fisheries and gear in Sec. 600.725(v) under the Council's or
Secretary's authority, then the fishery is not considered different, is
considered an allowable fishery and does not require notification of the
Council or Director before that fishery can occur.
(5) If a fishery is not already listed in the list of authorized
fisheries and gear in Sec. 600.725(v), then the fishery is considered
different and requires notification as described in paragraph (c) of
this section 90 days before it can occur.
(c) Procedures. If a gear or fishery does not appear on the list in
Sec. 600.725(v), or if the gear is different from that defined in Sec.
600.10, the process for notification, and consideration by a Council or
the Director, is as follows:
(1) Notification. After July 26, 1999, no person or vessel may
employ fishing gear or engage in a fishery not included on the list of
approved gear types in Sec. 600.725(v) without notifying the
appropriate Council or the Director at least 90 days before the intended
use of that gear.
(2) Notification procedures. (i) A signed return receipt for the
notice serves as adequate evidence of the date that the notification was
received by the appropriate Council or the Director, in the case of
Atlantic highly migratory species, and establishes the beginning of the
90-day notification period, unless required information in the
notification is incomplete.
(ii) The notification must include:
(A) Name, address, and telephone number of the person submitting the
notification.
(B) Description of the gear.
(C) The fishery or fisheries in which the gear is or will be used.
(D) A diagram and/or photograph of the gear, as well as any
specifications and dimensions necessary to define the gear.
(E) The season(s) in which the gear will be fished.
(F) The area(s) in which the gear will be fished.
(G) The anticipated bycatch species associated with the gear,
including protected species, such as marine mammals, sea turtles, sea
birds, or species listed as endangered or threatened under the ESA.
(H) How the gear will be deployed and fished, including the portions
of the marine environment where the gear
[[Page 96]]
will be deployed (surface, midwater, and bottom).
(iii) Failure to submit complete and accurate information will
result in a delay in beginning the 90-day notification period. The 90-
day notification period will not begin until the information received is
determined to be accurate and complete.
(3) Action upon receipt of notification. (i) Species other than
Atlantic Highly Migratory Species. (A) Upon signing a return receipt of
the notification by certified mail regarding an unlisted fishery or
gear, a Council must immediately begin consideration of the notification
and send a copy of the notification to the appropriate Regional
Administrator.
(B) If the Council finds that the use of an unlisted gear or
participation in a new fishery would not compromise the effectiveness of
conservation and management efforts, it shall:
(1) Recommend to the RA that the list be amended;
(2) Provide rationale and supporting analysis, as necessary, for
proper consideration of the proposed amendment; and
(3) Provide a draft proposed rule for notifying the public of the
proposed addition, with a request for comment.
(C) If the Council finds that the proposed gear or fishery will be
detrimental to conservation and management efforts, it will recommend to
the RA that the authorized list of fisheries and gear not be amended,
that a proposed rule not be published, give reasons for its
recommendation of a disapproval, and may request NMFS to publish
emergency or interim regulations, and begin preparation of an FMP or
amendment to an FMP, if appropriate.
(D) After considering information in the notification and Council's
recommendation, NMFS will decide whether to publish a proposed rule. If
information on the new gear or fishery being considered indicates it is
likely that it will compromise conservation and management efforts under
the Magnuson-Stevens Act, and no additional new information is likely to
be gained from a public comment period, then a proposed rule will not be
published and NMFS will notify the appropriate Council. In such an
instance, NMFS will publish emergency or interim regulations to prohibit
or restrict use of the gear or participation in the fishery. If NMFS
determines that the proposed amendment is not likely to compromise
conservation and management efforts under the Magnuson-Stevens Act, NMFS
will publish a proposed rule in the Federal Register with a request for
public comment.
(ii) Atlantic Highly Migratory Species. (A) Upon signing a return
receipt of the notification by certified mail regarding an unlisted
fishery or gear for Atlantic highly migratory species (HMS), NMFS will
immediately begin consideration of the notification.
(B) Based on information in the notification and submitted by the
Council, NMFS will make a determination whether the use of an unlisted
gear or participation in an unlisted HMS fishery will compromise the
effectiveness of conservation and management efforts under the Magnuson-
Stevens Act. If it is determined that the proposed amendment will not
compromise conservation and management efforts, NMFS will publish a
proposed rule.
(C) If NMFS finds that the proposed gear or fishery will be
detrimental to conservation and management efforts in this initial stage
of review, it will not publish a proposed rule and notify the applicant
of the negative determination with the reasons therefor.
(4) Final determination and publication of a final rule. Following
public comment, NMFS will approve or disapprove the amendment to the
list of gear and fisheries.
(i) If approved, NMFS will publish a final rule in the Federal
Register and notify the applicant and the Council, if appropriate, of
the final approval.
(ii) If disapproved, NMFS will withdraw the proposed rule, notify
the applicant and the Council, if appropriate, of the disapproval;
publish emergency or interim regulations, if necessary, to prohibit or
restrict the use of gear or the participation in a fishery; and either
notify the Council of the need to amend an FMP or prepare an amendment
to an FMP in the case of Atlantic highly migratory species.
[64 FR 4043, Jan. 27, 1999]
[[Page 97]]
Subpart I_Fishery Negotiation Panels
Source: 62 FR 23669, May 1, 1997, unless otherwise noted.
Sec. 600.750 Definitions.
Consensus means unanimous concurrence among the members on a Fishery
Negotiation Panel established under this rule, unless such Panel:
(1) Agrees to define such term to mean a general but not unanimous
concurrence; or
(2) agrees upon another specified definition.
Fishery negotiation panel (FNP) means an advisory committee
established by one or more Councils or the Secretary in accordance with
these regulations to assist in the development of fishery conservation
and management measures.
Interest means, with respect to an issue or matter, multiple parties
that have a similar point of view or that are likely to be affected in a
similar manner.
Report means a document submitted by an FNP in accordance with the
Magnuson-Stevens Act.
[62 FR 23669, May 1, 1997, as amended at 63 FR 7075, Feb. 12, 1998]
Sec. 600.751 Determination of need for a fishery negotiation panel.
A Council or NMFS may establish an FNP to assist in the development
of specific fishery conservation and management measures. In determining
whether to establish an FNP, NMFS or the Council, as appropriate, shall
consider whether:
(a) There is a need for specific fishery conservation and management
measures.
(b) There are a limited number of identifiable interests that will
be significantly affected by the conservation and management measure.
(c) There is a reasonable likelihood that an FNP can be convened
with a balanced representation of persons who:
(1) Can adequately represent the interests identified under
paragraph (b) of this section.
(2) Are willing to negotiate in good faith to reach a consensus on a
report regarding the issues presented.
(d) There is a reasonable likelihood that an FNP will reach
a consensus on a report regarding the issues presented within 1 year
from date of establishment of the FNP.
(e) The use of an FNP will not unreasonably delay Council or NMFS
fishery management plan development or rulemaking procedures.
(f) The costs of establishment and operation of an FNP are
reasonable when compared to fishery management plan development or
rulemaking procedures that do not use FNP procedures.
(g) The Council or NMFS has adequate resources and is willing to
commit such resources, including technical assistance, to an FNP.
(h) The use of an FNP is in the public interest.
Sec. 600.752 Use of conveners and facilitators.
(a) Purposes of conveners. A Council or NMFS may use the services of
a trained convener to assist the Council or NMFS in: (1) Conducting
discussions to identify the issues of concern, and to ascertain whether
the establishment of an FNP regarding such matter is feasible and
appropriate.
(2) Identifying persons who will be significantly affected by the
issues presented in paragraph (a)(1) of this section.
(b) Duties of conveners. The convener shall report findings under
paragraph (a)(2) of this section and shall make recommendations to the
Council or NMFS. Upon request of the Council or NMFS, the convener shall
ascertain the names of persons who are willing and qualified to
represent interests that will be significantly affected by the potential
conservation and management measures relevant to the issues to be
negotiated. The report and any recommendations of the convener shall be
made available to the public upon request.
(c) Selection of facilitator. Notwithstanding section 10(e) of the
Federal Advisory Committee Act (FACA), a Council or NMFS may nominate a
person trained in facilitation either from
[[Page 98]]
the Federal Government or from outside the Federal Government to serve
as an impartial, neutral facilitator for the negotiations of the FNP,
subject to the approval of the FNP, by consensus. The facilitator may be
the same person as the convener used under paragraph (a) of this
section. If the FNP does not approve the nominee of the Council or NMFS
for facilitator, the FNP shall submit a substitute nomination. If an FNP
does not approve any nominee of the Council or NMFS for facilitator, the
FNP shall select, by consensus, a person to serve as facilitator. A
person designated to represent the Council or NMFS in substantive issues
may not serve as facilitator or otherwise chair the FNP.
(d) Roles and duties of facilitator. A facilitator shall:
(1) Chair the meetings of the FNP in an impartial manner.
(2) Impartially assist the members of the FNP in conducting
discussions and negotiations.
(3) Manage the keeping of minutes and records as required under
section 10(b) and (c) of FACA.
Sec. 600.753 Notice of intent to establish a fishery negotiation panel.
(a) Publication of notice. If, after considering the report of a
convener or conducting its own assessment, a Council or NMFS decides to
establish an FNP, NMFS shall publish in the Federal Register and, as
appropriate, in trade or other specialized publications, a document that
shall include:
(1) An announcement that the Council or NMFS intends to establish an
FNP to negotiate and develop a report concerning specific conservation
and management measures.
(2) A description of the subject and scope of the conservation and
management measure, and the issues to be considered.
(3) A list of the interests that are likely to be significantly
affected by the conservation and management measure.
(4) A list of the persons proposed to represent such interests and
the person or persons proposed to represent the Council or NMFS.
(5) A proposed agenda and schedule for completing the work of the
FNP.
(6) A description of administrative support for the FNP to be
provided by the Council or NMFS, including technical assistance.
(7) A solicitation for comments on the proposal to establish the
FNP, and the proposed membership of the FNP.
(8) An explanation of how a person may apply or nominate another
person for membership on the FNP, as provided under paragraph (b) of
this section.
(b) Nomination of members and public comment. Persons who may be
significantly affected by the development of conservation and management
measure and who believe that their interests will not be adequately
represented by any person specified in a document under paragraph (a)(4)
of this section may apply for, or nominate another person for,
membership on the FNP to represent such interests. Each application or
nomination shall include:
(1) The name of the applicant or nominee and a description of the
interests such person shall represent.
(2) Evidence that the applicant or nominee is authorized to
represent parties related to the interests the person proposes to
represent.
(3) A written commitment that the applicant or nominee shall
actively participate in good faith in the development of the
conservation and management measure under consideration.
(4) The reasons that the persons specified in the document under
paragraph (a)(4) of this section do not adequately represent the
interests of the person submitting the application or nomination.
(c) Public comment. The Council or NMFS shall provide at least 30
calendar days for the submission of comments and applications under this
section.
Sec. 600.754 Decision to establish a fishery negotiation panel.
(a) Determination to establish an FNP. If, after considering
comments and applications submitted under Sec. 600.753, the Council or
NMFS determines that an FNP can adequately represent the interests that
will be significantly affected and that it is feasible and appropriate
in the particular case, the Council or NMFS may establish an FNP.
[[Page 99]]
(b) Determination not to establish FNP. If, after considering such
comments and applications, the Council or NMFS decides not to establish
an FNP, the Council or NMFS shall promptly publish notification of such
decision and the reasons therefor in the Federal Register and, as
appropriate, in trade or other specialized publications, a copy of which
shall be sent to any person who applied for, or nominated another person
for membership on the FNP to represent such interests with respect to
the issues of concern.
Sec. 600.755 Establishment of a fishery negotiation panel.
(a) General authority. (1) A Council may establish an FNP to assist
in the development of specific conservation and management measures for
a fishery under its authority.
(2) NMFS may establish an FNP to assist in the development of
specific conservation and management measures required for:
(i) A fishery for which the Secretary has authority under section
304(e)(5) of the Magnuson-Stevens Act, regarding rebuilding of
overfished fisheries;
(ii) A fishery for which the Secretary has authority under 16 U.S.C.
section 304(g), regarding highly migratory species; or
(iii) Any fishery with the approval of the appropriate Council.
(b) Federal Advisory Committee Act (FACA) In establishing and
administering such an FNP, the Council or NMFS shall comply with the
FACA with respect to such FNP.
(c) Balance. Each potentially affected organization or individual
does not necessarily have to have its own representative, but each
interest must be adequately represented. The intent is to have a group
that as a whole reflects a proper balance and mix of interests.
Representatives must agree, in writing, to negotiate in good faith.
(d) Membership. The Council or NMFS shall limit membership on an FNP
to no more than 25 members, unless the Council or NMFS determines that a
greater number of members is necessary for the functioning of the FNP or
to achieve balanced membership. Each FNP shall include at least one
person representing the Council in addition to at least one person
representing NMFS.
Sec. 600.756 Conduct and operation of a fishery negotiation panel.
(a) Roles and duties of an FNP. Each FNP shall consider the issue
proposed by the Council or NMFS for consideration and shall attempt to
reach a consensus concerning a report to assist in the development of a
conservation and management measure with respect to such matter and any
other matter the FNP determines is relevant to the development of a
conservation and management measure. An FNP may adopt procedures for the
operation of the FNP.
(b) Roles and duties of representative of the council or NMFS. The
person or persons representing the Council or NMFS on an FNP shall
participate in the deliberations and activities of the FNP with the same
rights and responsibilities as other members of the FNP, and shall be
authorized to fully represent the Council or NMFS in the discussions and
negotiations of the FNP.
Sec. 600.757 Operational protocols.
(a) Services of conveners and facilitators. A Council or NMFS may
employ or enter into contracts for the services of an individual or
organization to serve as a convener or facilitator for an FNP
established under Sec. 600.755, or may use the services of a government
employee to act as a convener or a facilitator for such an FNP.
(b) Councils. For an FNP proposed and established by one or more
Councils approved expenses shall be paid out of the Council's operating
budget.
(c) Expenses of FNP members. Members of an FNP shall be responsible
for their own expenses of participation in such an FNP, except that NMFS
or the Council may, in accordance with section 7(d) of FACA, pay for a
member's reasonable travel and per diem expenses, and a reasonable rate
of compensation, if:
(1) Such member certifies a lack of adequate financial resources to
participate in the FNP.
(2) The Council or NMFS determines that such member's participation
in
[[Page 100]]
the FNP is necessary to assure an adequate representation of the
member's interest.
(d) Administrative support. The Council or NMFS shall provide
appropriate administrative support to an FNP including technical
assistance.
Sec. 600.758 Preparation of report.
(a) At the conclusion of the negotiations, an FNP may submit a
report. Such report shall specify:
(1) All the areas where consensus was reached by the FNP, including,
if appropriate, proposed conservation and management measures.
(2) Any other information submitted by members of the FNP.
(b) Upon receipt of the report, the Council or NMFS shall publish
such report in the Federal Register for public comment.
Sec. 600.759 Use of report.
A Council or NMFS may, at its discretion, use all or a part of a
report prepared in accordance with Sec. 600.758 in the development of
conservation and management measures. Neither a Council nor NMFS,
whichever is appropriate, is required to use such report.
Sec. 600.760 Fishery Negotiation Panel lifetime.
(a) An FNP shall terminate upon either:
(1) Submission of a report prepared in accordance with Sec.
600.758; or
(2) Submission of a written statement from the FNP to the Council or
NMFS that no consensus can be reached.
(b) In no event shall an FNP exist for longer than 1 year from the
date of establishment unless granted an extension. Upon written request
by the FNP to the Council or NMFS, and written authorization from the
Council or NMFS (whichever is appropriate), the Secretary may authorize
an extension for a period not to exceed 6 months. No more than one
extension may be granted per FNP.
Subpart J_Essential Fish Habitat (EFH)
Source: 67 FR 2376, Jan. 17, 2002, unless otherwise noted.
Sec. 600.805 Purpose and scope.
(a) Purpose. This subpart provides guidelines for Councils and the
Secretary to use in adding the required EFH provisions to an FMP, i.e.,
description and identification of EFH, adverse effects on EFH (including
minimizing, to the extent practicable, adverse effects from fishing),
and actions to conserve and enhance EFH.
(b) Scope--(1) Species covered. An EFH provision in an FMP must
include all fish species in the fishery management unit (FMU). An FMP
may describe, identify, and protect the habitat of species not in an
FMU; however, such habitat may not be considered EFH for the purposes of
sections 303(a)(7) and 305(b) of the Magnuson-Stevens Act.
(2) Geographic. EFH may be described and identified in waters of the
United States, as defined in 33 CFR 328.3, and in the exclusive economic
zone, as defined in Sec. 600.10. Councils may describe, identify, and
protect habitats of managed species beyond the exclusive economic zone;
however, such habitat may not be considered EFH for the purposes of
sections 303(a)(7) and 305(b) of the Magnuson-Stevens Act. Activities
that may adversely affect such habitat can be addressed through any
process conducted in accordance with international agreements between
the United States and the foreign nation(s) undertaking or authorizing
the action.
Sec. 600.810 Definitions and word usage.
(a) Definitions. In addition to the definitions in the Magnuson-
Stevens Act and Sec. 600.10, the terms in this subpart have the
following meanings:
Adverse effect means any impact that reduces quality and/or quantity
of EFH. Adverse effects may include direct or indirect physical,
chemical, or biological alterations of the waters or substrate and loss
of, or injury to, benthic organisms, prey species and their habitat, and
other ecosystem components, if such modifications reduce the quality
and/or quantity of EFH. Adverse effects to EFH may result from actions
occurring within EFH or outside of EFH and may include site-specific or
habitat-wide impacts, including individual, cumulative, or synergistic
consequences of actions.
[[Page 101]]
Council includes the Secretary, as applicable, when preparing FMPs
or amendments under sections 304(c) and (g) of the Magnuson-Stevens Act.
Ecosystem means communities of organisms interacting with one
another and with the chemical and physical factors making up their
environment.
Habitat areas of particular concern means those areas of EFH
identified pursuant to Sec. 600.815(a)(8).
Healthy ecosystem means an ecosystem where ecological productive
capacity is maintained, diversity of the flora and fauna is preserved,
and the ecosystem retains the ability to regulate itself. Such an
ecosystem should be similar to comparable, undisturbed ecosystems with
regard to standing crop, productivity, nutrient dynamics, trophic
structure, species richness, stability, resilience, contamination
levels, and the frequency of diseased organisms.
Overfished means any stock or stock complex, the status of which is
reported as overfished by the Secretary pursuant to section 304(e)(1) of
the Magnuson-Stevens Act.
(b) Word usage. The terms ``must'', ``shall'', ``should'', ``may'',
``may not'', ``will'', ``could'', and ``can'' are used in the same
manner as in Sec. 600.305(c).
Sec. 600.815 Contents of Fishery Management Plans.
(a) Mandatory contents--(1) Description and identification of EFH--
(i) Overview. FMPs must describe and identify EFH in text that clearly
states the habitats or habitat types determined to be EFH for each life
stage of the managed species. FMPs should explain the physical,
biological, and chemical characteristics of EFH and, if known, how these
characteristics influence the use of EFH by the species/life stage. FMPs
must identify the specific geographic location or extent of habitats
described as EFH. FMPs must include maps of the geographic locations of
EFH or the geographic boundaries within which EFH for each species and
life stage is found.
(ii) Habitat information by life stage. (A) Councils need basic
information to understand the usage of various habitats by each managed
species. Pertinent information includes the geographic range and habitat
requirements by life stage, the distribution and characteristics of
those habitats, and current and historic stock size as it affects
occurrence in available habitats. FMPs should summarize the life history
information necessary to understand each species' relationship to, or
dependence on, its various habitats, using text, tables, and figures, as
appropriate. FMPs should document patterns of temporal and spatial
variation in the distribution of each major life stage (defined by
developmental and functional shifts) to aid in understanding habitat
needs. FMPs should summarize (e.g., in tables) all available information
on environmental and habitat variables that control or limit
distribution, abundance, reproduction, growth, survival, and
productivity of the managed species. The information should be supported
with citations.
(B) Councils should obtain information to describe and identify EFH
from the best available sources, including peer-reviewed literature,
unpublished scientific reports, data files of government resource
agencies, fisheries landing reports, and other sources of information.
Councils should consider different types of information according to its
scientific rigor. FMPs should identify species-specific habitat data
gaps and deficits in data quality (including considerations of scale and
resolution; relevance; and potential biases in collection and
interpretation). FMPs must demonstrate that the best scientific
information available was used in the description and identification of
EFH, consistent with national standard 2.
(iii) Analysis of habitat information. (A) The following approach
should be used to organize the information necessary to describe and
identify EFH.
(1) Level 1: Distribution data are available for some or all
portions of the geographic range of the species. At this level, only
distribution data are available to describe the geographic range of a
species (or life stage). Distribution data may be derived from
systematic presence/absence sampling and/or may include information on
species and life stages collected opportunistically. In the event that
distribution data are
[[Page 102]]
available only for portions of the geographic area occupied by a
particular life stage of a species, habitat use can be inferred on the
basis of distributions among habitats where the species has been found
and on information about its habitat requirements and behavior. Habitat
use may also be inferred, if appropriate, based on information on a
similar species or another life stage.
(2) Level 2: Habitat-related densities of the species are available.
At this level, quantitative data (i.e., density or relative abundance)
are available for the habitats occupied by a species or life stage.
Because the efficiency of sampling methods is often affected by habitat
characteristics, strict quality assurance criteria should be used to
ensure that density estimates are comparable among methods and habitats.
Density data should reflect habitat utilization, and the degree that a
habitat is utilized is assumed to be indicative of habitat value. When
assessing habitat value on the basis of fish densities in this manner,
temporal changes in habitat availability and utilization should be
considered.
(3) Level 3: Growth, reproduction, or survival rates within habitats
are available. At this level, data are available on habitat-related
growth, reproduction, and/or survival by life stage. The habitats
contributing the most to productivity should be those that support the
highest growth, reproduction, and survival of the species (or life
stage).
(4) Level 4: Production rates by habitat are available. At this
level, data are available that directly relate the production rates of a
species or life stage to habitat type, quantity, quality, and location.
Essential habitats are those necessary to maintain fish production
consistent with a sustainable fishery and the managed species'
contribution to a healthy ecosystem.
(B) Councils should strive to describe habitat based on the highest
level of detail (i.e., Level 4). If there is no information on a given
species or life stage, and habitat usage cannot be inferred from other
means, such as information on a similar species or another life stage,
EFH should not be designated.
(iv) EFH determination. (A) Councils should analyze available
ecological, environmental, and fisheries information and data relevant
to the managed species, the habitat requirements by life stage, and the
species' distribution and habitat usage to describe and identify EFH.
The information described in paragraphs (a)(1)(ii) and (iii) of this
section will allow Councils to assess the relative value of habitats.
Councils should interpret this information in a risk-averse fashion to
ensure adequate areas are identified as EFH for managed species. Level 1
information, if available, should be used to identify the geographic
range of the species at each life stage. If only Level 1 information is
available, distribution data should be evaluated (e.g., using a
frequency of occurrence or other appropriate analysis) to identify EFH
as those habitat areas most commonly used by the species. Level 2
through 4 information, if available, should be used to identify EFH as
the habitats supporting the highest relative abundance; growth,
reproduction, or survival rates; and/or production rates within the
geographic range of a species. FMPs should explain the analyses
conducted to distinguish EFH from all habitats potentially used by a
species.
(B) FMPs must describe EFH in text, including reference to the
geographic location or extent of EFH using boundaries such as longitude
and latitude, isotherms, isobaths, political boundaries, and major
landmarks. If there are differences between the descriptions of EFH in
text, maps, and tables, the textual description is ultimately
determinative of the limits of EFH. Text and tables should explain
pertinent physical, chemical, and biological characteristics of EFH for
the managed species and explain any variability in habitat usage
patterns, but the boundaries of EFH should be static.
(C) If a species is overfished and habitat loss or degradation may
be contributing to the species being identified as overfished, all
habitats currently used by the species may be considered essential in
addition to certain historic habitats that are necessary to support
rebuilding the fishery and for which restoration is technologically and
economically feasible. Once the fishery is no longer considered
overfished, the EFH identification should be reviewed and amended, if
appropriate.
[[Page 103]]
(D) Areas described as EFH will normally be greater than or equal to
aquatic areas that have been identified as ``critical habitat'' for any
managed species listed as threatened or endangered under the Endangered
Species Act.
(E) Ecological relationships among species and between the species
and their habitat require, where possible, that an ecosystem approach be
used in determining the EFH of a managed species. EFH must be designated
for each managed species, but, where appropriate, may be designated for
assemblages of species or life stages that have similar habitat needs
and requirements. If grouping species or using species assemblages for
the purpose of designating EFH, FMPs must include a justification and
scientific rationale. The extent of the EFH should be based on the
judgment of the Secretary and the appropriate Council(s) regarding the
quantity and quality of habitat that are necessary to maintain a
sustainable fishery and the managed species' contribution to a healthy
ecosystem.
(F) If degraded or inaccessible aquatic habitat has contributed to
reduced yields of a species or assemblage and if, in the judgment of the
Secretary and the appropriate Council(s), the degraded conditions can be
reversed through such actions as improved fish passage techniques (for
stream or river blockages), improved water quality measures (removal of
contaminants or increasing flows), and similar measures that are
technologically and economically feasible, EFH should include those
habitats that would be necessary to the species to obtain increased
yields.
(v) EFH mapping requirements. (A) FMPs must include maps that
display, within the constraints of available information, the geographic
locations of EFH or the geographic boundaries within which EFH for each
species and life stage is found. Maps should identify the different
types of habitat designated as EFH to the extent possible. Maps should
explicitly distinguish EFH from non-EFH areas. Councils should confer
with NMFS regarding mapping standards to ensure that maps from different
Councils can be combined and shared efficiently and effectively.
Ultimately, data used for mapping should be incorporated into a
geographic information system (GIS) to facilitate analysis and
presentation.
(B) Where the present distribution or stock size of a species or
life stage is different from the historical distribution or stock size,
then maps of historical habitat boundaries should be included in the
FMP, if known.
(C) FMPs should include maps of any habitat areas of particular
concern identified under paragraph (a)(8) of this section.
(2) Fishing activities that may adversely affect EFH--(i)
Evaluation. Each FMP must contain an evaluation of the potential adverse
effects of fishing on EFH designated under the FMP, including effects of
each fishing activity regulated under the FMP or other Federal FMPs.
This evaluation should consider the effects of each fishing activity on
each type of habitat found within EFH. FMPs must describe each fishing
activity, review and discuss all available relevant information (such as
information regarding the intensity, extent, and frequency of any
adverse effect on EFH; the type of habitat within EFH that may be
affected adversely; and the habitat functions that may be disturbed),
and provide conclusions regarding whether and how each fishing activity
adversely affects EFH. The evaluation should also consider the
cumulative effects of multiple fishing activities on EFH. The evaluation
should list any past management actions that minimize potential adverse
effects on EFH and describe the benefits of those actions to EFH. The
evaluation should give special attention to adverse effects on habitat
areas of particular concern and should identify for possible designation
as habitat areas of particular concern any EFH that is particularly
vulnerable to fishing activities. Additionally, the evaluation should
consider the establishment of research closure areas or other measures
to evaluate the impacts of fishing activities on EFH. In completing this
evaluation, Councils should use the best scientific information
available, as well as other appropriate information sources. Councils
should consider
[[Page 104]]
different types of information according to its scientific rigor.
(ii) Minimizing adverse effects. Each FMP must minimize to the
extent practicable adverse effects from fishing on EFH, including EFH
designated under other Federal FMPs. Councils must act to prevent,
mitigate, or minimize any adverse effects from fishing, to the extent
practicable, if there is evidence that a fishing activity adversely
affects EFH in a manner that is more than minimal and not temporary in
nature, based on the evaluation conducted pursuant to paragraph
(a)(2)(i) of this section and/or the cumulative impacts analysis
conducted pursuant to paragraph (a)(5) of this section. In such cases,
FMPs should identify a range of potential new actions that could be
taken to address adverse effects on EFH, include an analysis of the
practicability of potential new actions, and adopt any new measures that
are necessary and practicable. Amendments to the FMP or to its
implementing regulations must ensure that the FMP continues to minimize
to the extent practicable adverse effects on EFH caused by fishing. FMPs
must explain the reasons for the Council's conclusions regarding the
past and/or new actions that minimize to the extent practicable the
adverse effects of fishing on EFH.
(iii) Practicability. In determining whether it is practicable to
minimize an adverse effect from fishing, Councils should consider the
nature and extent of the adverse effect on EFH and the long and short-
term costs and benefits of potential management measures to EFH,
associated fisheries, and the nation, consistent with national standard
7. In determining whether management measures are practicable, Councils
are not required to perform a formal cost/benefit analysis.
(iv) Options for managing adverse effects from fishing. Fishery
management options may include, but are not limited to:
(A) Fishing equipment restrictions. These options may include, but
are not limited to: seasonal and areal restrictions on the use of
specified equipment, equipment modifications to allow escapement of
particular species or particular life stages (e.g., juveniles),
prohibitions on the use of explosives and chemicals, prohibitions on
anchoring or setting equipment in sensitive areas, and prohibitions on
fishing activities that cause significant damage to EFH.
(B) Time/area closures. These actions may include, but are not
limited to: closing areas to all fishing or specific equipment types
during spawning, migration, foraging, and nursery activities and
designating zones for use as marine protected areas to limit adverse
effects of fishing practices on certain vulnerable or rare areas/
species/life stages, such as those areas designated as habitat areas of
particular concern.
(C) Harvest limits. These actions may include, but are not limited
to, limits on the take of species that provide structural habitat for
other species assemblages or communities and limits on the take of prey
species.
(3) Non-Magnuson-Stevens Act fishing activities that may adversely
affect EFH. FMPs must identify any fishing activities that are not
managed under the Magnuson-Stevens Act that may adversely affect EFH.
Such activities may include fishing managed by state agencies or other
authorities.
(4) Non-fishing related activities that may adversely affect EFH.
FMPs must identify activities other than fishing that may adversely
affect EFH. Broad categories of such activities include, but are not
limited to: dredging, filling, excavation, mining, impoundment,
discharge, water diversions, thermal additions, actions that contribute
to non-point source pollution and sedimentation, introduction of
potentially hazardous materials, introduction of exotic species, and the
conversion of aquatic habitat that may eliminate, diminish, or disrupt
the functions of EFH. For each activity, the FMP should describe known
and potential adverse effects to EFH.
(5) Cumulative impacts analysis. Cumulative impacts are impacts on
the environment that result from the incremental impact of an action
when added to other past, present, and reasonably foreseeable future
actions, regardless
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of who undertakes such actions. Cumulative impacts can result from
individually minor, but collectively significant actions taking place
over a period of time. To the extent feasible and practicable, FMPs
should analyze how the cumulative impacts of fishing and non-fishing
activities influence the function of EFH on an ecosystem or watershed
scale. An assessment of the cumulative and synergistic effects of
multiple threats, including the effects of natural stresses (such as
storm damage or climate-based environmental shifts) and an assessment of
the ecological risks resulting from the impact of those threats on EFH,
also should be included.
(6) Conservation and enhancement. FMPs must identify actions to
encourage the conservation and enhancement of EFH, including recommended
options to avoid, minimize, or compensate for the adverse effects
identified pursuant to paragraphs (a)(3) through (5) of this section,
especially in habitat areas of particular concern.
(7) Prey species. Loss of prey may be an adverse effect on EFH and
managed species because the presence of prey makes waters and substrate
function as feeding habitat, and the definition of EFH includes waters
and substrate necessary to fish for feeding. Therefore, actions that
reduce the availability of a major prey species, either through direct
harm or capture, or through adverse impacts to the prey species' habitat
that are known to cause a reduction in the population of the prey
species, may be considered adverse effects on EFH if such actions reduce
the quality of EFH. FMPs should list the major prey species for the
species in the fishery management unit and discuss the location of prey
species' habitat. Adverse effects on prey species and their habitats may
result from fishing and non-fishing activities.
(8) Identification of habitat areas of particular concern. FMPs
should identify specific types or areas of habitat within EFH as habitat
areas of particular concern based on one or more of the following
considerations:
(i) The importance of the ecological function provided by the
habitat.
(ii) The extent to which the habitat is sensitive to human-induced
environmental degradation.
(iii) Whether, and to what extent, development activities are, or
will be, stressing the habitat type.
(iv) The rarity of the habitat type.
(9) Research and information needs. Each FMP should contain
recommendations, preferably in priority order, for research efforts that
the Councils and NMFS view as necessary to improve upon the description
and identification of EFH, the identification of threats to EFH from
fishing and other activities, and the development of conservation and
enhancement measures for EFH.
(10) Review and revision of EFH components of FMPs. Councils and
NMFS should periodically review the EFH provisions of FMPs and revise or
amend EFH provisions as warranted based on available information. FMPs
should outline the procedures the Council will follow to review and
update EFH information. The review of information should include, but
not be limited to, evaluating published scientific literature and
unpublished scientific reports; soliciting information from interested
parties; and searching for previously unavailable or inaccessible data.
Councils should report on their review of EFH information as part of the
annual Stock Assessment and Fishery Evaluation (SAFE) report prepared
pursuant to Sec. 600.315(e). A complete review of all EFH information
should be conducted as recommended by the Secretary, but at least once
every 5 years.
(b) Development of EFH recommendations for Councils. After reviewing
the best available scientific information, as well as other appropriate
information, and in consultation with the Councils, participants in the
fishery, interstate commissions, Federal agencies, state agencies, and
other interested parties, NMFS will develop written recommendations to
assist each Council in the identification of EFH, adverse impacts to
EFH, and actions that should be considered to ensure the conservation
and enhancement of EFH for each FMP. NMFS will provide such
recommendations for the initial incorporation of EFH information into an
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FMP and for any subsequent modification of the EFH components of an FMP.
The NMFS EFH recommendations may be provided either before the Council's
development of a draft EFH document or later as a review of a draft EFH
document developed by a Council, as appropriate.
(c) Relationship to other fishery management authorities. Councils
are encouraged to coordinate with state and interstate fishery
management agencies where Federal fisheries affect state and interstate
managed fisheries or where state or interstate fishery regulations
affect the management of Federal fisheries. Where a state or interstate
fishing activity adversely affects EFH, NMFS will consider that action
to be an adverse effect on EFH pursuant to paragraph (a)(3) of this
section and will provide EFH Conservation Recommendations to the
appropriate state or interstate fishery management agency on that
activity.
Subpart K_EFH Coordination, Consultation, and Recommendations
Source: 67 FR 2376, Jan. 17, 2002, unless otherwise noted.
Sec. 600.905 Purpose, scope, and NMFS/Council cooperation.
(a) Purpose. These procedures address the coordination,
consultation, and recommendation requirements of sections 305(b)(1)(D)
and 305(b)(2-4) of the Magnuson-Stevens Act. The purpose of these
procedures is to promote the protection of EFH in the review of Federal
and state actions that may adversely affect EFH.
(b) Scope. Section 305(b)(1)(D) of the Magnuson-Stevens Act requires
the Secretary to coordinate with, and provide information to, other
Federal agencies regarding the conservation and enhancement of EFH.
Section 305(b)(2) requires all Federal agencies to consult with the
Secretary on all actions or proposed actions authorized, funded, or
undertaken by the agency that may adversely affect EFH. Sections
305(b)(3) and (4) direct the Secretary and the Councils to provide
comments and EFH Conservation Recommendations to Federal or state
agencies on actions that affect EFH. Such recommendations may include
measures to avoid, minimize, mitigate, or otherwise offset adverse
effects on EFH resulting from actions or proposed actions authorized,
funded, or undertaken by that agency. Section 305(b)(4)(B) requires
Federal agencies to respond in writing to such comments. The following
procedures for coordination, consultation, and recommendations allow all
parties involved to understand and implement the requirements of the
Magnuson-Stevens Act.
(c) Cooperation between Councils and NMFS. The Councils and NMFS
should cooperate closely to identify actions that may adversely affect
EFH, to develop comments and EFH Conservation Recommendations to Federal
and state agencies, and to provide EFH information to Federal and state
agencies. NMFS will work with each Council to share information and to
coordinate Council and NMFS comments and recommendations on actions that
may adversely affect EFH. However, NMFS and the Councils also have the
authority to act independently.
Sec. 600.910 Definitions and word usage.
(a) Definitions. In addition to the definitions in the Magnuson-
Stevens Act and Sec. 600.10, the terms in this subpart have the
following meanings:
Adverse effect means any impact that reduces quality and/or quantity
of EFH. Adverse effects may include direct or indirect physical,
chemical, or biological alterations of the waters or substrate and loss
of, or injury to, benthic organisms, prey species and their habitat, and
other ecosystem components, if such modifications reduce the quality
and/or quantity of EFH. Adverse effects to EFH may result from actions
occurring within EFH or outside of EFH and may include site-specific or
habitat-wide impacts, including individual, cumulative, or synergistic
consequences of actions.
Anadromous fishery resource under Council authority means an
anadromous species managed under an FMP.
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Federal action means any action authorized, funded, or undertaken,
or proposed to be authorized, funded, or undertaken by a Federal agency.
Habitat areas of particular concern means those areas of EFH
identified pursuant to Sec. 600.815(a)(8).
State action means any action authorized, funded, or undertaken, or
proposed to be authorized, funded, or undertaken by a state agency.
(b) Word usage. The terms ``must'', ``shall'', ``should'', ``may'',
``may not'', ``will'', ``could'', and ``can'' are used in the same
manner as in Sec. 600.305(c).
Sec. 600.915 Coordination for the conservation and enhancement of EFH.
To further the conservation and enhancement of EFH in accordance
with section 305(b)(1)(D) of the Magnuson-Stevens Act, NMFS will compile
and make available to other Federal and state agencies, and the general
public, information on the locations of EFH, including maps and/or
narrative descriptions. NMFS will also provide information on ways to
improve ongoing Federal operations to promote the conservation and
enhancement of EFH. Federal and state agencies empowered to authorize,
fund, or undertake actions that may adversely affect EFH are encouraged
to contact NMFS and the Councils to become familiar with areas
designated as EFH, potential threats to EFH, and opportunities to
promote the conservation and enhancement of EFH.
Sec. 600.920 Federal agency consultation with the Secretary.
(a) Consultation generally--(1) Actions requiring consultation.
Pursuant to section 305(b)(2) of the Magnuson-Stevens Act, Federal
agencies must consult with NMFS regarding any of their actions
authorized, funded, or undertaken, or proposed to be authorized, funded,
or undertaken that may adversely affect EFH. EFH consultation is not
required for actions that were completed prior to the approval of EFH
designations by the Secretary, e.g., issued permits. Consultation is
required for renewals, reviews, or substantial revisions of actions if
the renewal, review, or revision may adversely affect EFH. Consultation
on Federal programs delegated to non-Federal entities is required at the
time of delegation, review, and renewal of the delegation. EFH
consultation is required for any Federal funding of actions that may
adversely affect EFH. NMFS and Federal agencies responsible for funding
actions that may adversely affect EFH should consult on a programmatic
level under paragraph (j) of this section, if appropriate, with respect
to these actions. Consultation is required for emergency Federal actions
that may adversely affect EFH, such as hazardous material clean-up,
response to natural disasters, or actions to protect public safety.
Federal agencies should contact NMFS early in emergency response
planning, but may consult after-the-fact if consultation on an expedited
basis is not practicable before taking the action.
(2) Approaches for conducting consultation. Federal agencies may use
one of the five approaches described in paragraphs (f) through (j) of
this section to fulfill the EFH consultation requirements. The selection
of a particular approach for handling EFH consultation depends on the
nature and scope of the actions that may adversely affect EFH. Federal
agencies should use the most efficient approach for EFH consultation
that is appropriate for a given action or actions. The five approaches
are: use of existing environmental review procedures, General
Concurrence, abbreviated consultation, expanded consultation, and
programmatic consultation.
(3) Early notification and coordination. The Federal agency should
notify NMFS in writing as early as practicable regarding actions that
may adversely affect EFH. Notification will facilitate discussion of
measures to conserve EFH. Such early coordination should occur during
pre-application planning for projects subject to a Federal permit or
license and during preliminary planning for projects to be funded or
undertaken directly by a Federal agency.
(b) Designation of lead agency. If more than one Federal agency is
responsible for a Federal action, the consultation requirements of
sections 305(b)(2) through (4) of the Magnuson-Stevens Act may be
fulfilled through a lead
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agency. The lead agency should notify NMFS in writing that it is
representing one or more additional agencies. Alternatively, if one
Federal agency has completed an EFH consultation for an action and
another Federal agency acts separately to authorize, fund, or undertake
the same activity (such as issuing a permit for an activity that was
funded via a separate Federal action), the completed EFH consultation
may suffice for both Federal actions if it adequately addresses the
adverse effects of the actions on EFH. Federal agencies may need to
consult with NMFS separately if, for example, only one of the agencies
has the authority to implement measures necessary to minimize adverse
effects on EFH and that agency does not act as the lead agency.
(c) Designation of non-Federal representative. A Federal agency may
designate a non-Federal representative to conduct an EFH consultation by
giving written notice of such designation to NMFS. If a non-Federal
representative is used, the Federal action agency remains ultimately
responsible for compliance with sections 305(b)(2) and 305(b)(4)(B) of
the Magnuson-Stevens Act.
(d) Best available information. The Federal agency and NMFS must use
the best scientific information available regarding the effects of the
action on EFH and the measures that can be taken to avoid, minimize, or
offset such effects. Other appropriate sources of information may also
be considered.
(e) EFH Assessments--(1) Preparation requirement. For any Federal
action that may adversely affect EFH, Federal agencies must provide NMFS
with a written assessment of the effects of that action on EFH. For
actions covered by a General Concurrence under paragraph (g) of this
section, an EFH Assessment should be completed during the development of
the General Concurrence and is not required for the individual actions.
For actions addressed by a programmatic consultation under paragraph (j)
of this section, an EFH Assessment should be completed during the
programmatic consultation and is not required for individual actions
implemented under the program, except in those instances identified by
NMFS in the programmatic consultation as requiring separate EFH
consultation. Federal agencies are not required to provide NMFS with
assessments regarding actions that they have determined would not
adversely affect EFH. Federal agencies may incorporate an EFH Assessment
into documents prepared for other purposes such as Endangered Species
Act (ESA) Biological Assessments pursuant to 50 CFR part 402 or National
Environmental Policy Act (NEPA) documents and public notices pursuant to
40 CFR part 1500. If an EFH Assessment is contained in another document,
it must include all of the information required in paragraph (e)(3) of
this section and be clearly identified as an EFH Assessment. The
procedure for combining an EFH consultation with other environmental
reviews is set forth in paragraph (f) of this section.
(2) Level of detail. The level of detail in an EFH Assessment should
be commensurate with the complexity and magnitude of the potential
adverse effects of the action. For example, for relatively simple
actions involving minor adverse effects on EFH, the assessment may be
very brief. Actions that may pose a more serious threat to EFH warrant a
correspondingly more detailed EFH Assessment.
(3) Mandatory contents. The assessment must contain:
(i) A description of the action.
(ii) An analysis of the potential adverse effects of the action on
EFH and the managed species.
(iii) The Federal agency's conclusions regarding the effects of the
action on EFH.
(iv) Proposed mitigation, if applicable.
(4) Additional information. If appropriate, the assessment should
also include:
(i) The results of an on-site inspection to evaluate the habitat and
the site-specific effects of the project.
(ii) The views of recognized experts on the habitat or species that
may be affected.
(iii) A review of pertinent literature and related information.
(iv) An analysis of alternatives to the action. Such analysis should
include
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alternatives that could avoid or minimize adverse effects on EFH.
(v) Other relevant information.
(5) Incorporation by reference. The assessment may incorporate by
reference a completed EFH Assessment prepared for a similar action,
supplemented with any relevant new project specific information,
provided the proposed action involves similar impacts to EFH in the same
geographic area or a similar ecological setting. It may also incorporate
by reference other relevant environmental assessment documents. These
documents must be provided to NMFS with the EFH Assessment.
(f) Use of existing environmental review procedures--(1) Purpose and
criteria. Consultation and commenting under sections 305(b)(2) and
305(b)(4) of the Magnuson-Stevens Act should be consolidated, where
appropriate, with interagency consultation, coordination, and
environmental review procedures required by other statutes, such as
NEPA, the Fish and Wildlife Coordination Act, Clean Water Act, ESA, and
Federal Power Act. The requirements of sections 305(b)(2) and 305(b)(4)
of the Magnuson-Stevens Act, including consultations that would be
considered to be abbreviated or expanded consultations under paragraphs
(h) and (i) of this section, can be combined with existing procedures
required by other statutes if such processes meet, or are modified to
meet, the following criteria:
(i) The existing process must provide NMFS with timely notification
of actions that may adversely affect EFH. The Federal agency should
notify NMFS according to the same timeframes for notification (or for
public comment) as in the existing process. Whenever possible, NMFS
should have at least 60 days notice prior to a final decision on an
action, or at least 90 days if the action would result in substantial
adverse impacts. NMFS and the action agency may agree to use shorter
timeframes provided that they allow sufficient time for NMFS to develop
EFH Conservation Recommendations.
(ii) Notification must include an assessment of the impacts of the
action on EFH that meets the requirements for EFH Assessments contained
in paragraph (e) of this section. If the EFH Assessment is contained in
another document, the Federal agency must identify that section of the
document as the EFH Assessment.
(iii) NMFS must have made a finding pursuant to paragraph (f)(3) of
this section that the existing process can be used to satisfy the
requirements of sections 305(b)(2) and 305(b)(4) of the Magnuson-Stevens
Act.
(2) NMFS response to Federal agency. If an existing environmental
review process is used to fulfill the EFH consultation requirements, the
comment deadline for that process should apply to the submittal of NMFS
EFH Conservation Recommendations under section 305(b)(4)(A) of the
Magnuson-Stevens Act, unless NMFS and the Federal agency agree to a
different deadline. If NMFS EFH Conservation Recommendations are
combined with other NMFS or NOAA comments on a Federal action, such as
NOAA comments on a draft Environmental Impact Statement, the EFH
Conservation Recommendations will be clearly identified as such (e.g., a
section in the comment letter entitled ``EFH Conservation
Recommendations'') and a Federal agency response pursuant to section
305(b)(4)(B) of the Magnuson-Stevens Act is required for only the
identified portion of the comments.
(3) NMFS finding. A Federal agency with an existing environmental
review process should contact NMFS at the appropriate level (regional
offices for regional processes, headquarters office for national
processes) to discuss how to combine the EFH consultation requirements
with the existing process, with or without modifications. If, at the
conclusion of these discussions, NMFS determines that the existing or
modified process meets the criteria of paragraph (f)(1) of this section,
NMFS will make a finding that the process can be used to satisfy the EFH
consultation requirements of the Magnuson-Stevens Act. If NMFS does not
make such a finding, or if there are no existing consultation processes
relevant to the Federal agency's actions, the agency and NMFS should
follow one of the approaches for consultation discussed in the following
sections.
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(g) General Concurrence--(1) Purpose. A General Concurrence
identifies specific types of Federal actions that may adversely affect
EFH, but for which no further consultation is generally required because
NMFS has determined, through an analysis of that type of action, that it
will likely result in no more than minimal adverse effects individually
and cumulatively. General Concurrences may be national or regional in
scope.
(2) Criteria. (i) For Federal actions to qualify for General
Concurrence, NMFS must determine that the actions meet all of the
following criteria:
(A) The actions must be similar in nature and similar in their
impact on EFH.
(B) The actions must not cause greater than minimal adverse effects
on EFH when implemented individually.
(C) The actions must not cause greater than minimal cumulative
adverse effects on EFH.
(ii) Actions qualifying for General Concurrence must be tracked to
ensure that their cumulative effects are no more than minimal. In most
cases, tracking actions covered by a General Concurrence will be the
responsibility of the Federal agency. However, NMFS may agree to track
such actions. Tracking should include numbers of actions and the amount
and type of habitat adversely affected, and should specify the baseline
against which the actions will be tracked. The agency responsible for
tracking such actions should make the information available to NMFS, the
applicable Council(s), and to the public on an annual basis.
(iii) Categories of Federal actions may also qualify for General
Concurrence if they are modified by appropriate conditions that ensure
the actions will meet the criteria in paragraph (g)(2)(i) of this
section. For example, NMFS may provide General Concurrence for
additional actions contingent upon project size limitations, seasonal
restrictions, or other conditions.
(iv) If a General Concurrence is proposed for actions that may
adversely affect habitat areas of particular concern, the General
Concurrence should be subject to a higher level of scrutiny than a
General Concurrence not involving a habitat area of particular concern.
(3) General Concurrence development. A Federal agency may request a
General Concurrence for a category of its actions by providing NMFS with
an EFH Assessment containing a description of the nature and approximate
number of the actions, an analysis of the effects of the actions on EFH,
including cumulative effects, and the Federal agency's conclusions
regarding the magnitude of such effects. If NMFS agrees that the actions
fit the criteria in paragraph (g)(2)(i) of this section, NMFS will
provide the Federal agency with a written statement of General
Concurrence that further consultation is not required. If NMFS does not
agree that the actions fit the criteria in paragraph (g)(2)(i) of this
section, NMFS will notify the Federal agency that a General Concurrence
will not be issued and that another type of consultation will be
required. If NMFS identifies specific types of Federal actions that may
meet the requirements for a General Concurrence, NMFS may initiate and
complete a General Concurrence.
(4) Further consultation. NMFS may request notification for actions
covered under a General Concurrence if NMFS concludes there are
circumstances under which such actions could result in more than a
minimal impact on EFH, or if it determines that there is no process in
place to adequately assess the cumulative impacts of actions covered
under the General Concurrence. NMFS may request further consultation for
these actions on a case-by-case basis. Each General Concurrence should
establish specific procedures for further consultation, if appropriate.
(5) Notification. After completing a General Concurrence, NMFS will
provide a copy to the appropriate Council(s) and will make the General
Concurrence available to the public by posting the document on the
internet or through other appropriate means.
(6) Revisions. NMFS will periodically review and revise its General
Concurrences, as appropriate.
(h) Abbreviated consultation procedures--(1) Purpose and criteria.
Abbreviated consultation allows NMFS to determine quickly whether, and
to
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what degree, a Federal action may adversely affect EFH. Federal actions
that may adversely affect EFH should be addressed through the
abbreviated consultation procedures when those actions do not qualify
for a General Concurrence, but do not have the potential to cause
substantial adverse effects on EFH. For example, the abbreviated
consultation procedures should be used when the adverse effect(s) of an
action could be alleviated through minor modifications.
(2) Notification by agency and submittal of EFH Assessment.
Abbreviated consultation begins when NMFS receives from the Federal
agency an EFH Assessment in accordance with paragraph (e) of this
section and a written request for consultation.
(3) NMFS response to Federal agency. If NMFS determines, contrary to
the Federal agency's assessment, that an action would not adversely
affect EFH, or if NMFS determines that no EFH Conservation
Recommendations are needed, NMFS will notify the Federal agency either
informally or in writing of its determination. If NMFS believes that the
action may result in substantial adverse effects on EFH, or that
additional analysis is needed to assess the effects of the action, NMFS
will request in writing that the Federal agency initiate expanded
consultation. Such request will explain why NMFS believes expanded
consultation is needed and will specify any new information needed. If
expanded consultation is not necessary, NMFS will provide EFH
Conservation Recommendations, if appropriate, pursuant to section
305(b)(4)(A) of the Magnuson-Stevens Act.
(4) Timing. The Federal agency must submit its EFH Assessment to
NMFS as soon as practicable, but at least 60 days prior to a final
decision on the action. NMFS must respond in writing within 30 days.
NMFS and the Federal agency may agree to use a compressed schedule in
cases where regulatory approvals or emergency situations cannot
accommodate 30 days for consultation, or to conduct consultation earlier
in the planning cycle for actions with lengthy approval processes.
(i) Expanded consultation procedures--(1) Purpose and criteria.
Expanded consultation allows maximum opportunity for NMFS and the
Federal agency to work together to review the action's impacts on EFH
and to develop EFH Conservation Recommendations. Expanded consultation
procedures must be used for Federal actions that would result in
substantial adverse effects to EFH. Federal agencies are encouraged to
contact NMFS at the earliest opportunity to discuss whether the adverse
effects of an action make expanded consultation appropriate.
(2) Notification by agency and submittal of EFH Assessment. Expanded
consultation begins when NMFS receives from the Federal agency an EFH
Assessment in accordance with paragraph (e) of this section and a
written request for expanded consultation. Federal agencies are
encouraged to provide in the EFH Assessment the additional information
identified under paragraph (e)(4) of this section to facilitate review
of the effects of the action on EFH.
(3) NMFS response to Federal agency. NMFS will:
(i) Review the EFH Assessment, any additional information furnished
by the Federal agency, and other relevant information.
(ii) Conduct a site visit, if appropriate, to assess the quality of
the habitat and to clarify the impacts of the Federal agency action.
Such a site visit should be coordinated with the Federal agency and
appropriate Council(s), if feasible.
(iii) Coordinate its review of the action with the appropriate
Council(s).
(iv) Discuss EFH Conservation Recommendations with the Federal
agency and provide such recommendations to the Federal agency, pursuant
to section 305(b)(4)(A) of the Magnuson-Stevens Act.
(4) Timing. The Federal agency must submit its EFH Assessment to
NMFS as soon as practicable, but at least 90 days prior to a final
decision on the action. NMFS must respond within 60 days of submittal of
a complete EFH Assessment unless consultation is extended by agreement
between NMFS and the Federal agency. NMFS and Federal agencies may agree
to use a compressed schedule in cases where
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regulatory approvals or emergency situations cannot accommodate 60 days
for consultation, or to conduct consultation earlier in the planning
cycle for actions with lengthy approval processes.
(5) Extension of consultation. If NMFS determines that additional
data or analysis would provide better information for development of EFH
Conservation Recommendations, NMFS may request additional time for
expanded consultation. If NMFS and the Federal agency agree to an
extension, the Federal agency should provide the additional information
to NMFS, to the extent practicable. If NMFS and the Federal agency do
not agree to extend consultation, NMFS must provide EFH Conservation
Recommendations to the Federal agency using the best scientific
information available to NMFS.
(j) Programmatic consultation--(1) Purpose. Programmatic
consultation provides a means for NMFS and a Federal agency to consult
regarding a potentially large number of individual actions that may
adversely affect EFH. Programmatic consultation will generally be the
most appropriate option to address funding programs, large-scale
planning efforts, and other instances where sufficient information is
available to address all reasonably foreseeable adverse effects on EFH
of an entire program, parts of a program, or a number of similar
individual actions occurring within a given geographic area.
(2) Process. A Federal agency may request programmatic consultation
by providing NMFS with an EFH Assessment in accordance with paragraph
(e) of this section. The description of the proposed action in the EFH
Assessment should describe the program and the nature and approximate
number (annually or by some other appropriate time frame) of the
actions. NMFS may also initiate programmatic consultation by requesting
pertinent information from a Federal agency.
(3) NMFS response to Federal agency. NMFS will respond to the
Federal agency with programmatic EFH Conservation Recommendations and,
if applicable, will identify any potential adverse effects that could
not be addressed programmatically and require project-specific
consultation. NMFS may also determine that programmatic consultation is
not appropriate, in which case all EFH Conservation Recommendations will
be deferred to project-specific consultations. If appropriate, NMFS'
response may include a General Concurrence for activities that qualify
under paragraph (g) of this section.
(k) Responsibilities of Federal agency following receipt of EFH
Conservation Recommendations--(1) Federal agency response. As required
by section 305(b)(4)(B) of the Magnuson-Stevens Act, the Federal agency
must provide a detailed response in writing to NMFS and to any Council
commenting on the action under section 305(b)(3) of the Magnuson-Stevens
Act within 30 days after receiving an EFH Conservation Recommendation
from NMFS. Such a response must be provided at least 10 days prior to
final approval of the action if the response is inconsistent with any of
NMFS' EFH Conservation Recommendations, unless NMFS and the Federal
agency have agreed to use alternative time frames for the Federal agency
response. The response must include a description of measures proposed
by the agency for avoiding, mitigating, or offsetting the impact of the
activity on EFH. In the case of a response that is inconsistent with
NMFS Conservation Recommendations, the Federal agency must explain its
reasons for not following the recommendations, including the scientific
justification for any disagreements with NMFS over the anticipated
effects of the action and the measures needed to avoid, minimize,
mitigate, or offset such effects.
(2) Further review of decisions inconsistent with NMFS or Council
recommendations. If a Federal agency decision is inconsistent with a
NMFS EFH Conservation Recommendation, the Assistant Administrator for
Fisheries may request a meeting with the head of the Federal agency, as
well as with any other agencies involved, to discuss the action and
opportunities for resolving any disagreements. If a Federal agency
decision is also inconsistent with a Council recommendation made
pursuant to section 305(b)(3) of the Magnuson-Stevens Act, the Council
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may request that the Assistant Administrator initiate further review of
the Federal agency's decision and involve the Council in any interagency
discussion to resolve disagreements with the Federal agency. The
Assistant Administrator will make every effort to accommodate such a
request. NMFS may develop written procedures to further define such
review processes.
(l) Supplemental consultation. A Federal agency must reinitiate
consultation with NMFS if the agency substantially revises its plans for
an action in a manner that may adversely affect EFH or if new
information becomes available that affects the basis for NMFS EFH
Conservation Recommendations.
Sec. 600.925 NMFS EFH Conservation Recommendations to Federal and state agencies.
(a) General. Under section 305(b)(4)(A) of the Magnuson-Stevens Act,
NMFS is required to provide EFH Conservation Recommendations to Federal
and state agencies for actions that would adversely affect EFH. NMFS
will not recommend that state or Federal agencies take actions beyond
their statutory authority.
(b) Recommendations to Federal agencies. For Federal actions, EFH
Conservation Recommendations will be provided to Federal agencies as
part of EFH consultations conducted pursuant to Sec. 600.920. If NMFS
becomes aware of a Federal action that would adversely affect EFH, but
for which a Federal agency has not initiated an EFH consultation, NMFS
may request that the Federal agency initiate EFH consultation, or NMFS
will provide EFH Conservation Recommendations based on the information
available.
(c) Recommendations to state agencies--(1) Establishment of
procedures. The Magnuson-Stevens Act does not require state agencies to
consult with the Secretary regarding EFH. NMFS will use existing
coordination procedures or establish new procedures to identify state
actions that may adversely affect EFH, and to determine the most
appropriate method for providing EFH Conservation Recommendations to
state agencies.
(2) Coordination with states on recommendations to Federal agencies.
When an action that would adversely affect EFH is authorized, funded, or
undertaken by both Federal and state agencies, NMFS will provide the
appropriate state agencies with copies of EFH Conservation
Recommendations developed as part of the Federal consultation procedures
in Sec. 600.920. NMFS will also seek agreements on sharing information
and copies of recommendations with Federal or state agencies conducting
similar consultation and recommendation processes to ensure coordination
of such efforts.
(d) Coordination with Councils. NMFS will coordinate with each
Council to identify the types of actions on which Councils intend to
comment pursuant to section 305(b)(3) of the Magnuson-Stevens Act. For
such actions NMFS will share pertinent information with the Council,
including copies of NMFS' EFH Conservation Recommendations.
Sec. 600.930 Council comments and recommendations to Federal and state agencies.
Under section 305(b)(3) of the Magnuson-Stevens Act, Councils may
comment on and make recommendations to the Secretary and any Federal or
state agency concerning any activity or proposed activity authorized,
funded, or undertaken by the agency that, in the view of the Council,
may affect the habitat, including EFH, of a fishery resource under its
authority. Councils must provide such comments and recommendations
concerning any activity that, in the view of the Council, is likely to
substantially affect the habitat, including EFH, of an anadromous
fishery resource under Council authority.
(a) Establishment of procedures. Each Council should establish
procedures for reviewing Federal or state actions that may adversely
affect the habitat, including EFH, of a species under its authority.
Each Council may receive information on actions of concern by methods
such as directing Council staff to track proposed actions, recommending
that the Council's habitat committee identify actions of concern, or
entering into an agreement with
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NMFS to have the appropriate Regional Administrator notify the Council
of actions of concern that would adversely affect EFH. Federal and state
actions often follow specific timetables which may not coincide with
Council meetings. Therefore, Councils should consider establishing
abbreviated procedures for the development of Council recommendations.
(b) Early involvement. Councils should provide comments and
recommendations on proposed state and Federal actions of concern as
early as practicable in project planning to ensure thorough
consideration of Council concerns by the action agency. Each Council
should provide NMFS with copies of its comments and recommendations to
state and Federal agencies.
Subpart L_Fishing Capacity Reduction Framework
Authority: 16 U.S.C. 1861a(b)-(e).
Source: 65 FR 31443, May 18, 2000, unless otherwise noted.
Sec. 600.1000 Definitions.
In addition to the definitions in the Magnuson-Stevens Fishery
Conservation and Management Act (Magnuson-Stevens Act) and in Sec.
600.10 of this title, the terms used in this subpart have the following
meanings:
Address of Record means the business address of a person,
partnership, or corporation. Addresses listed on permits or other NMFS
records are presumed to be business addresses, unless clearly indicated
otherwise.
Bid means the price a vessel owner or reduction fishery permit
holder requests for reduction of his/her fishing capacity. It is an
irrevocable offer in response to the invitation to bid in Sec.
600.1009.
Borrower means, individually and collectively, each post-reduction
fishing permit holder and/or fishing vessel owner fishing in the
reduction fishery.
Business plan means the document containing the information
specified in Sec. 600.1003(n) and required to be submitted with a
request for a financed program.
Business week means a 7-day period, Saturday through Friday.
Controlling fishery management plan or program (CFMP) means either
any fishery management plan or any state fishery management plan or
program, including amendments to the plan or program, pursuant to which
a fishery is managed.
Delivery value means:
(1) For unprocessed fish, all compensation that a fish buyer pays to
a fish seller in exchange for fee fish; and
(2) For processed fish, all compensation that a fish buyer would
have paid to a fish seller in exchange for fee fish if the fee fish had
been unprocessed fish instead of processed fish.
Delivery value encompasses fair market value, as defined herein, and
includes the value of all in-kind compensation or all other goods or
services exchanged in lieu of cash. It is synonymous with the statutory
term ``ex-vessel value'' as used in section 312 of the Magnuson Act.
Deposit principal means all collected fee revenue that a fish buyer
deposits in a segregated account maintained at a federally insured
financial institution for the sole purpose of aggregating collected fee
revenue before sending the fee revenue to NMFS for repaying a reduction
loan.
Fair market value means the amount that a buyer pays a seller in an
arm's length transaction or, alternatively, would pay a seller if the
transaction were at arm's length.
Fee means the amount that fish buyers deduct from the delivery value
under a financed reduction program. The fee is the delivery value times
the reduction fishery's applicable fee rate under section 600.1013.
Fee fish means all fish harvested from a reduction fishery involving
a financed program during the period in which any amount of the
reduction loan remains unpaid. The term fee fish excludes fish harvested
incidentally while fishing for fish not included in the reduction
fishery.
Final development plan means the document NMFS prepares, under Sec.
600.1006(b) and based on the preliminary development plan the requester
submits, for a subsidized program.
Financed means funded, in any part, by a reduction loan.
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Fish buyer means the first ex-vessel party who:
(1) in an arm's--length transaction, purchases fee fish from a fish
seller;
(2) takes fish on consignment from a fish seller; or
(3) otherwise receives fish from a fish seller in a non arm's-length
transaction.
Fish delivery means the point at which a fish buyer first purchases
fee fish or takes possession of fee fish from a fish seller.
Fishing capacity reduction specifications means the minimum amount
of fishing capacity reduction and the maximum amount of reduction loan
principal specified in a business plan.
Fish seller means the party who harvests and first sells or
otherwise delivers fee fish to a fish buyer.
Fishery Management Plan (FMP) means any Federal fishery management
plan, including amendments to the plan, that the Secretary of Commerce
approves or adopts pursuant to section 303 of the Magnuson-Stevens Act.
Fund means the Fishing Capacity Reduction Fund, and each subaccount
for each program, established in the U.S. Treasury for the deposit into,
and disbursement from, all funds, including all reduction loan capital
and all fee revenue, involving each program.
Implementation plan means the plan in Sec. 600.1008 for carrying
out each program.
Implementation regulations mean the regulations in Sec. 600.1008
for carrying out each program.
Net delivery value means the delivery value minus the fee.
Post-bidding referendum means a referendum that follows bidding
under Sec. 600.1009.
Post-reduction means after a program reduces fishing capacity in a
reduction fishery.
Pre-bidding referendum means a referendum that occurs at any time
after a request for a financed program but before a proposal under Sec.
600.1008 of an implementation plan and implementation regulations.
Preliminary development plan means the document specified in Sec.
600.1005(g) and required to be submitted with a request for a subsidized
program.
Processed fish means fish in any form different from the form in
which the fish existed at the time the fish was first harvested, unless
any such difference in form represents, in the reduction fishery
involved, the standard ex-vessel form upon which fish sellers and fish
buyers characteristically base the delivery value of unprocessed fish.
Program means each instance of reduction under this subpart, in each
reduction fishery--starting with a request and ending, for a financed
program, with full reduction loan repayment.
Reduction means the act of reducing fishing capacity under any
program.
Reduction amendment means any amendment, or, where appropriate,
framework adjustment, to a CFMP that may be necessary for a program to
meet the requirements of this subpart.
Reduction amendment specifications mean the reduction amendment to a
CFMP specified in a business plan.
Reduction contract means the invitation to bid under Sec. 600.1009,
together with each bidder's irrevocable offer and NMFS' conditional or
non-conditional acceptance of each such bid under Sec. 600.1009.
Reduction cost means the total dollar amount of all reduction
payments to fishing permit owners, fishing vessel owners, or both, in a
reduction fishery.
Reduction fishery means the fishery or portion of a fishery to which
a program applies. The reduction fishery must specify each included
species, as well as any limitations by gear type, fishing vessel size,
geographic area, and any other relevant factor(s).
Reduction loan means a loan, under section 1111 and section 1112 of
Title XI of the Merchant Marine Act, 1936, as amended (46 U.S.C. 1279f
and g App.), for financing any portion, or all, of a financed program's
reduction cost and repayable by a fee under, and in accordance with,
Sec. 600.1012, Sec. 600.1013, and Sec. 600.1014.
Reduction payment means the Federal Government's fishing capacity
reduction payment to a fishing permit owner, fishing vessel owner, or
both, under a reduction contract. Additionally, it is payment for
reduction to each bidder whose bid NMFS accepts under Sec. 600.1009. In
a financed program
[[Page 116]]
each reduction payment constitutes a disbursement of a reduction loan's
proceeds and is for either revoking a fishing permit or both revoking a
fishing permit and withdrawing a vessel from fishing either by scrapping
or title restriction.
Reduction permit means any fishing permit revoked in a program in
exchange for a reduction payment under a reduction contract.
Reduction vessel means any fishing vessel withdrawn from fishing
either by scrapping or title restriction in exchange for a reduction
payment under a reduction contract.
Referendum means the voting process under Sec. 600.1010 for
approving the fee system for repaying a reduction loan.
Request means a request, under Sec. 600.1001, for a program.
Requester means a Council for a fishery identified in Sec.
600.1001(c), a state governor for a fishery identified in Sec.
600.1001(d), or the Secretary for a fishery identified in Sec.
600.1001(e).
Scrap means to completely and permanently reduce a fishing vessel's
hull, superstructures, and other fixed structural components to
fragments having value, if any, only as raw materials for reprocessing
or for other non-fisheries use.
Subsidized means wholly funded by anything other than a reduction
loan.
Treasury percentage means the annual percentage rate at which NMFS
must pay interest to the U.S. Treasury on any principal amount that NMFS
borrows from the U.S. Treasury in order to generate the funds with which
to later disburse a reduction loan's principal amount.
Unprocessed fish means fish in the same form as the fish existed at
the time the fish was harvested, unless any difference in form
represents, in the reduction fishery involved, the standard ex-vessel
form upon which fish sellers and fish buyers characteristically base the
delivery value of unprocessed fish.
Vote means a vote in a referendum.
Sec. 600.1001 Requests.
(a) A Council or the Governor of a State under whose authority a
proposed reduction fishery is subject may request that NMFS conduct a
program in that fishery. Each request shall be in writing and shall be
submitted to the Director, Office of Sustainable Fisheries, NMFS. Each
request shall satisfy the requirements of Sec. 600.1003 or Sec.
600.1005, as applicable, and enable NMFS to make the determinations
required by Sec. 600.1004 or Sec. 600.1006, as applicable.
(b) NMFS cannot conduct a program in any fishery subject to the
jurisdiction of a Council or a state unless NMFS first receives a
request from the Council or the governor to whose jurisdiction the
fishery is subject.
(c) For a fishery subject to the jurisdiction of a Council, only
that Council can or must make the request. If the fishery is subject to
the jurisdiction of two or more Councils, those Councils must make a
joint request. No Council may make a request, or join in making a
request, until after the Council conducts a public hearing about the
request.
(d) For a fishery subject to the jurisdiction of a State, only the
Governor of that State can make the request. If the fishery is subject
to the jurisdiction of two or more states, the Governors of those States
shall make a joint request. No Governor of a State may make a request,
or join in making a request, until the State conducts a public hearing
about the request.
(e) For a fishery under the direct management authority of the
Secretary, NMFS may conduct a program on NMFS' own motion by fulfilling
the requirements of this subpart that reasonably apply to a program not
initiated by a request.
(f) Where necessary to accommodate special circumstances in a
particular fishery, NMFS may waive, as NMFS deems necessary and
appropriate, compliance with any specific requirements under this
subpart not required by statute.
Sec. 600.1002 General requirements.
(a) Each program must be: (1) Necessary to prevent or end
overfishing, rebuild stocks of fish, or achieve measurable and
significant improvements in the conservation and management of the
reduction fishery;
(2) Accompanied by the appropriate environmental, economic and/or
socioeconomic analyses, in accordance with
[[Page 117]]
applicable statutes, regulations, or other authorities; and
(3) Consistent with the CFMP, including any reduction amendment, for
the reduction fishery.
(b) Each CFMP for a reduction fishery must: (1) Prevent the
replacement of fishing capacity removed by the program through a
moratorium on new entrants, restrictions on vessel upgrades, and other
effort control measures, taking into account the full potential fishing
capacity of the fleet;
(2) Establish a specified or target total allowable catch or other
measures that trigger closure of the fishery or adjustments to reduce
catch; and
(3) Include, for a financed program in a reduction fishery involving
only a portion of a fishery, appropriate provisions for the post-
reduction allocation of fish between the reduction fishery and the rest
of the fishery that both protect the borrower's reduction investment in
the program and support the borrower's ability to repay the reduction
loan.
Sec. 600.1003 Content of a request for a financed program.
A request for a financed program shall:
(a) Specify the reduction fishery.
(b) Project the amount of the reduction and specify what a reduction
of that amount achieves in the reduction fishery.
(c) Specify whether the program is to be wholly or partially
financed and, if the latter, specify the amount and describe the
availability of all funding from sources other than a reduction loan.
(d) Project the availability of all Federal appropriation authority
or other funding, if any, that the financed program requires, including
the time at which funding from each source will be available and how
that relates to the time at which elements of the reduction process are
projected to occur.
(e) Demonstrate how the program meets, or will meet after an
appropriate reduction amendment, the requirements in Sec. 600.1002(a).
(f) Demonstrate how the CFMP meets, or will meet after an
appropriate reduction amendment, the requirements in Sec. 600.1002(b).
(g) If a reduction amendment is necessary, include an actual
reduction amendment or the requester's endorsement in principle of the
reduction amendment specifications in the business plan. Endorsement in
principle is non-binding.
(h) Request that NMFS conduct, at the appropriate time, a referendum
under Sec. 600.1010 of this subpart.
(i) List the names and addresses of record of all fishing permit or
fishing vessel owners who are currently authorized to harvest fish from
the reduction fishery, excluding those whose authority is limited to
incidentally harvesting fish from the reduction fishery during directed
fishing for fish not in the reduction fishery. The list shall be based
on the best information available to the requester. The list shall take
into account any limitation by type of fishing gear operated, size of
fishing vessel operated, geographic area of operation, or other factor
that the proposed program involves. The list may include any relevant
information that NMFS may supply to the requester.
(j) Specify the aggregate total allowable catch in the reduction
fishery during each of the preceding 5 years and the aggregate portion
of such catch harvested by the parties listed under paragraph (i) of
this section.
(k) Specify the criteria for determining the types and number of
fishing permits or fishing permits and fishing vessels that are eligible
for reduction under the program. The criteria shall take into account:
(1) The characteristics of the fishery;
(2) Whether the program is limited to a particular gear type within
the reduction fishery or is otherwise limited by size of fishing vessel
operated, geographic area of operation, or other factor;
(3) Whether the program is limited to fishing permits or involves
both fishing permits and fishing vessels;
(4) The reduction amendment required;
(5) The needs of fishing communities;
(6) Minimizing the program's reduction cost; and
(7) All other relevant factors.
(l) Include the requester's assessment of the program's potential
impact on
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fisheries other than the reduction fishery, including an evaluation of
the likely increase in participation or effort in such other fisheries,
the general economic impact on such other fisheries, and recommendations
that could mitigate, or enable such other fisheries to mitigate, any
undesirable impacts.
(m) Include any other information or guidance that would assist NMFS
in developing an implementation plan and implementation regulations.
(n) Include a business plan, prepared by, or on behalf of,
knowledgeable and concerned harvesters in the reduction fishery, that:
(1) Specifies a detailed reduction methodology that accomplishes the
maximum sustained reduction in the reduction fishery's fishing capacity
at the least reduction cost and in the minimum period of time, and
otherwise achieves the program result that the requester specifies under
paragraph (b) of this section. The methodology shall:
(i) Establish the appropriate point for NMFS to conduct a pre-
bidding referendum and be sufficiently detailed to enable NMFS to
readily:
(A) Design, propose, and adopt a timely and reliable implementation
plan,
(B) Propose and issue timely and reliable implementation
regulations,
(C) Invite bids,
(D) Accept or reject bids, and
(E) Complete a program in accordance with this subpart, and
(ii) Address, consistently with this subpart:
(A) The contents and terms of invitations to bid,
(B) Bidder eligibility,
(C) The type of information that bidders shall supply,
(D) The criteria for accepting or rejecting bids,
(E) The terms of bid acceptances,
(F) Any referendum procedures in addition to, but consistent with,
those in Sec. 600.1010, and
(G) All other technical matters necessary to conduct a program;
(2) Projects and supports the reduction fishery's annual delivery
value during the reduction loan's repayment period based on documented
analysis of actual representative experience for a reasonable number of
past years in the reduction fishery;
(3) Includes the fishing capacity reduction specifications upon
which both the pre-bidding referendum and the bidding under Sec.
600.1009 will be based. The reduction loan's maximum principal amount
cannot, at the interest rate projected to prevail at the time of
reduction, exceed the principal amount that can be amortized in 20 years
by 5 percent of the projected delivery value;
(4) States the reduction loan's repayment term and the fee rate, or
range of fee rates, prospectively necessary to amortize the reduction
loan over its repayment term;
(5) Analyzes and demonstrates the ability to repay the reduction
loan at the minimum reduction level and at various reduction-level
increments reasonably greater than the minimum one, based on the:
(i) Best and most representative historical fishing revenue and
expense data and any other relevant productivity measures available in
the reduction fishery, and
(ii) Projected effect of the program on the post-reduction operating
economics of typical harvesters in the reduction fishery, with
particular emphasis on the extent to which the reduction increases the
ratio of delivery value to fixed cost and improves harvesting's other
relevant productivity measures;
(6) Demonstrates how the business plan's proposed program meets, or
will meet after an appropriate reduction amendment, the requirements in
Sec. 600.1002(a);
(7) Demonstrates how the CFMP meets, or will meet after an
appropriate reduction amendment, the requirements in Sec. 600.1002(b);
(8) Includes, if a reduction amendment is necessary, the reduction
amendment specifications upon which the pre-bidding referendum will be
based;
(9) Includes an assessment of the program's potential impact on
fisheries other than the reduction fishery, including an evaluation of
the likely increase in participation or effort in such other fisheries,
the general economic impact on such other fisheries, and recommendations
that could mitigate, or
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enable such other fisheries to mitigate, any undesirable impacts;
(10) Specifies the names and addresses of record of all fish buyers
who can, after reduction, reasonably be expected to receive deliveries
of fee fish. This shall be based on the best information available,
including any information that NMFS may be able to supply to the
business planners;
(11) Specifies, after full consultation with fish buyers, any
special circumstances in the reduction fishery that may require the
implementing regulations to contain provisions in addition to, or
different from, those contained in Sec. 600.1013 and/or Sec. 600.1014
in order to accommodate the circumstances of, and practices in, the
reduction fishery while still fulfilling the intent and purpose of Sec.
600.1013 and/or Sec. 600.1014--including, but not limited to:
(i) In the case of reduction fisheries in which state data
confidentiality laws or other impediments may negatively affect the
efficient and effective conduct of the same, specification of who needs
to take what action to resolve any such impediments, and
(ii) In the case of reduction fisheries in which some fish sellers
sell unprocessed, and other fish sellers sell processed fish to fish
buyers, specification of an accurate and efficient method of
establishing the delivery value of processed fish; and
(12) Demonstrates by a survey of potential voters, or by any other
convincing means, a substantial degree of potential voter support for
the business plan and confidence in its feasibility.
(o) Include the requester's statement of belief that the business
plan, the CFMP, the reduction amendment specifications, and all other
request aspects constitute a complete, realistic, and practical prospect
for successfully completing a program in accordance with this subpart.
Sec. 600.1004 Accepting a request for, and determinations about initiating, a financed program.
(a) Accepting a request. Once it receives a request, NMFS will
review any request for a financed program to determine whether the
request conforms with the requirements of Sec. 600.1003. If the request
does not conform, NMFS will return the request with guidance on how to
make the request conform. If the request conforms, NMFS shall accept it
and publish a notice in the Federal Register requesting public comments
on the request. Such notice shall state the name and address of record
of each eligible voter, as well as the basis for having determined the
eligibility of those voters. This shall constitute notice and
opportunity to respond about adding eligible voters, deleting ineligible
voters, and/or correcting any voter's name and address of record. If, in
NMFS' discretion, the comments received in response to such notice
warrants it, or other good cause warrants it, NMFS may modify such list
by publishing another notice in the Federal Register.
(b) Determination about initiating a financed program. After receipt
of a conforming request for a financed program, NMFS will, after
reviewing and responding to any public comments received in response to
the notice published in the Federal Register under paragraph (a) of this
section, initiate the program if NMFS determines that:
(1) The program meets, or will meet after an appropriate reduction
amendment, the requirements in Sec. 600.1002(a);
(2) The CFMP meets, or will meet after an appropriate reduction
amendment, the requirements in Sec. 600.1002(b);
(3) The program, if successfully implemented, is cost effective;
(4) The reduction requested constitutes a realistic and practical
prospect for successfully completing a program in accordance with this
subpart and the borrower is capable of repaying the reduction loan. This
includes enabling NMFS to readily design, propose, and adopt a timely
and reliable implementation plan as well as propose and issue timely and
reliable implementation regulations and otherwise complete the program
in accordance with this subpart; and
(5) The program accords with all other applicable law.
Sec. 600.1005 Content of a request for a subsidized program.
A request for a subsidized program shall:
(a) Specify the reduction fishery.
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(b) Project the amount of the reduction and specify what a reduction
of that amount achieves in the reduction fishery.
(c) Project the reduction cost, the amount of reduction cost to be
funded by Federal appropriations, and the amount, if any, to be funded
by other sources.
(d) Project the availability of Federal appropriations or other
funding, if any, that completion of the program requires, including the
time at which funding from each source will be available and how that
relates to the time at which elements of the reduction process are
projected to occur.
(e) List the names and addresses of record of all fishing permit or
fishing vessel owners who are currently authorized to harvest fish from
the reduction fishery, excluding those whose authority is limited to
incidentally harvesting fish from the reduction fishery during directed
fishing for fish not in the reduction fishery. The list shall be based
on the best information available to the requester, including any
information that NMFS may supply to the requester, and take into account
any limitation by type of fishing gear operated, size of fishing vessel
operated, geographic area of operation, or other factor that the
proposed program involves.
(f) Specify the aggregate total allowable catch in the reduction
fishery during each of the preceding 5 years and the aggregate portion
of such catch harvested by the parties listed under paragraph (e) of
this section.
(g) Include a preliminary development plan that: (1) Specifies a
detailed reduction methodology that accomplishes the maximum sustained
reduction in the reduction fishery's fishing capacity at the least cost
and in a minimum period of time, and otherwise achieves the program
result that the requester specifies under paragraph (b) of this section.
The methodology shall:
(i) Be sufficiently detailed to enable NMFS to prepare a final
development plan to serve as the basis for NMFS to readily design,
propose, and adopt a timely and reliable implementation plan and propose
and issue timely and reliable implementation regulations, and
(ii) Include:
(A) The contents and terms of invitations to bid,
(B) Eligible bidders,
(C) The type of information that bidders shall supply,
(D) The criteria for accepting or rejecting bids, and
(E) The terms of bid acceptances;
(2) Specifies the criteria for determining the types and numbers of
fishing permits or fishing permits and fishing vessels that are eligible
for reduction under the program. The criteria shall take into account:
(i) The characteristics of the fishery,
(ii) Whether the program is limited to a particular gear type within
the reduction fishery, or is otherwise limited by size of fishing vessel
operated, geographic area of operation, or other factor,
(iii) Whether the program is limited to fishing permits or involves
both fishing permits and fishing vessels,
(iv) The reduction amendment required,
(v) The needs of fishing communities, and
(vi) The need to minimize the program's reduction cost; and
(3) Demonstrates the program's cost effectiveness.
(h) Demonstrate how the program meets, or will meet after an
appropriate reduction amendment, the requirements in Sec. 600.1002(a).
(i) Demonstrate how the CFMP meets, or will meet after an
appropriate reduction amendment, the requirements in Sec.
600.1002(b)(1) and (2).
(j) Specify any other information or guidance that assists NMFS in
preparing a final development plan and a proposed implementation plan
and proposed implementation regulations.
(k) Include the requester's statement of belief that the program
constitutes a reasonably realistic and practical prospect for
successfully completing a program in accordance with this subpart.
Sec. 600.1006 Accepting a request for, and determinations about conducting, a subsidized program.
(a) Accepting a request. NMFS will review any request for a
subsidized program submitted to NMFS to determine whether the request
conforms with the
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requirements of Sec. 600.1005. If the request does not conform, NMFS
will return it with guidance on how to make the request conform. If the
request conforms, NMFS shall accept it and publish a notice in the
Federal Register requesting public comments about the request.
(b) Final development plan. After receipt of a conforming request,
NMFS will prepare a final development plan if NMFS determines that the
reduction requested constitutes a realistic and practical prospect for
successfully completing a program in accordance with this subpart. This
includes enabling NMFS to readily design, propose, and adopt a timely
and reliable implementation plan as well as propose and issue timely and
reliable implementation regulations and otherwise complete the program
in accordance with this subpart. NMFS will, as far as possible, base the
final development plan on the requester's preliminary development plan.
Before completing the final development plan, NMFS will consult, as NMFS
deems necessary, with the requester, Federal agencies, state and
regional authorities, affected fishing communities, participants in the
reduction fishery, conservation organizations, and other interested
parties in preparing the final development plan.
(c) Reaffirmation of the request. After completing the final
development plan, NMFS will submit the plan to the requester for the
requester's reaffirmation of the request. Based on the final development
plan, the reaffirmation shall: (1) Certify that the final development
plan meets, or will meet after an appropriate reduction amendment, the
requirements in Sec. 600.1002(a);
(2) Certify that the CFMP meets, or will meet after an appropriate
reduction amendment, the requirements in Sec. 600.1002(b)(1) and (2);
and
(3) Project the date on which the requester will forward any
necessary reduction amendment and, if the requester is a Council,
proposed regulations to implement the reduction amendment. The requester
shall base any necessary reduction amendment on the final development
plan.
(d) Determinations about conducting a subsidized program. After
NMFS' receipt of the requester's reaffirmation, any required reduction
amendment, and any proposed regulations required to implement the
amendment, NMFS will initiate the program if NMFS determines that:
(1) The program meets, or will meet after an appropriate reduction
amendment, the requirements in Sec. 600.1002(a);
(2) The CFMP meets, or will meet after an appropriate reduction
amendment, the requirements in Sec. 600.1002(b)(1) and (2); and
(3) The program is reasonably capable of being successfully
implemented;
(4) The program, if successfully implemented, will be cost
effective; and
(5) The program is in accord with all other applicable provisions of
the Magnuson-Stevens Act and this subpart.
Sec. 600.1007 Reduction amendments.
(a) Each reduction amendment may contain provisions that are either
dependent upon or independent of a program. Each provision of a
reduction amendment is a dependent provision unless the amendment
expressly designates the provision as independent.
(b) Independent provisions are effective without regard to any
subsequent program actions.
(c) Dependent provisions are initially effective for the sole
limited purpose of enabling initiation and completion of the pre-
reduction processing stage of a program.
(d) All dependent provisions of a reduction amendment for a financed
program are fully in force and effect for all other purposes only when
NMFS either:
(1) For bidding results that conform to the fishing capacity
reduction specifications and are not subject to any other condition,
notifies bidders, under Sec. 600.1009(e)(3), that reduction contracts
then exist between the bidders and the United States; or
(2) For bidding results that do not conform to the fishing capacity
reduction specifications or are subject to any other condition, notifies
bidders whose bids NMFS had conditionally accepted, under Sec. 600.1010
(d)(8)(iii), that the condition pertaining to the reduction contracts
between them and the United States is fulfilled.
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(e) If NMFS does not, in accordance with this subpart and any
special provisions in the implementation regulations, subsequently make
all reduction payments that circumstances, in NMFS' judgment, reasonably
permit NMFS to make and, thus, complete a program, no dependent
provisions shall then have any further force or effect for any purpose
and all final regulations involving such dependent provisions shall then
be repealed.
Sec. 600.1008 Implementation plan and implementation regulations.
(a) As soon as practicable after deciding to initiate a program,
NMFS will prepare and publish, for a 60-day public comment period, a
proposed implementation plan and implementation regulations. During the
public comment period, NMFS will conduct a public hearing of the
proposed implementation plan and implementation regulations in each
state that the program affects.
(b) To the greatest extent practicable, NMFS will base the
implementation plan and implementation regulations for a financed
program on the business plan. The implementation plan for a financed
program will describe in detail all relevant aspects of implementing the
program, including:
(1) The reduction fishery;
(2) The reduction methodology;
(3) The maximum reduction cost;
(4) The maximum reduction loan amount, if different from the maximum
reduction cost;
(5) The reduction cost funding, if any, other than a reduction loan;
(6) The minimum acceptable reduction level;
(7) The potential amount of the fee;
(8) The criteria for determining the types and number of fishing
permits or fishing permits and fishing vessels eligible to participate
in the program;
(9) The invitation to bid and bidding procedures;
(10) The criteria for determining bid acceptance;
(11) The referendum procedures; and
(12) Any relevant post-referendum reduction procedures other than
those in the implementation regulations or this subpart.
(c) NMFS will base each implementation plan and implementation
regulations for a subsidized program on the final development plan. The
implementation plan will describe in detail all relevant aspects of
implementing the program, including:
(1) The reduction fishery;
(2) The reduction methodology;
(3) The maximum reduction cost;
(4) The reduction-cost funding, if any, other than Federal
appropriations;
(5) The criteria for determining the types and number of fishing
permits or fishing permits and fishing vessels eligible to participate
in the program;
(6) The invitation to bid and bidding procedures;
(7) The criteria for determining bid acceptance; and
(8) Any relevant post-bidding program procedures other than those in
the implementation regulations or this subpart.
(d) The implementation regulations will:
(1) Specify, for invitations to bid, bids, and reduction contracts
under Sec. 600.1009:
(i) Bidder eligibility,
(ii) Bid submission requirements and procedures,
(iii) A bid opening date, before which a bidder may not bid, and a
bid closing date, after which a bidder may not bid,
(iv) A bid expiration date after which the irrevocable offer
contained in each bid expires unless NMFS, before that date, accepts the
bid by mailing a written acceptance notice to the bidder at the bidder's
address of record,
(v) The manner of bid submission and the information each bidder
shall supply for NMFS to deem a bid responsive,
(vi) The conditions under which NMFS will accept or reject a bid,
(vii) The manner in which NMFS will accept or reject a bid, and
(viii) The manner in which NMFS will notify each bidder of bid
acceptance or rejection;
(2) Specify any other special referendum procedures or criteria; and
(3) Specify such other provisions, in addition to and consistent
with those in this subpart, necessary to regulate the individual terms
and conditions of each program and reduction loan. This includes, but is
not limited to:
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(i) Provisions for the payment of costs and penalties for non-
payment, non-collection, non-deposit, and/or non-disbursement of the fee
in accordance with Sec. 600.1013 and Sec. 600.1014,
(ii) Prospective fee rate determinations, and
(iii) Any other aspect of fee payment, collection, deposit,
disbursement, accounting, record keeping, and/or reporting.
(e) NMFS will issue final implementation regulations and adopt a
final implementation plan within 45 days of the close of the public-
comment period.
(f) NMFS may repeal the final implementation regulations for any
program if:
(1) For a financed program, the bidding results do not conform to
the fishing capacity reduction specifications or a post-bidding
referendum does not subsequently approve an industry fee system based on
the bidding results;
(2) For a subsidized program, NMFS does not accept bids; and
(3) For either a financed program or a subsidized program, if NMFS
is unable to make all reduction payments due to a material adverse
change.
Sec. 600.1009 Bids.
(a) Each invitation to bid, bid, bid acceptance, reduction contract,
and bidder--or any other party in any way affected by any of the
foregoing--under this subpart is subject to the terms and conditions in
this section:
(1) Each invitation to bid constitutes the entire terms and
conditions of a reduction contract under which:
(i) Each bidder makes an irrevocable offer to the United States of
fishing capacity for reduction, and
(ii) NMFS accepts or rejects, on behalf of the United States, each
bidder's offer;
(2) NMFS may, at any time before the bid expiration date, accept or
reject any or all bids;
(3) For a financed program in which bidding results do not conform
to the fishing capacity reduction specifications, NMFS' acceptance of
any bid is subject to the condition that the industry fee system
necessary to repay the reduction loan is subsequently approved by a
successful post-bidding referendum conducted under Sec. 600.1010.
Approval or disapproval of the industry fee system by post-bidding
referendum is an event that neither the United States nor the bidders
can control. Disapproval of the industry fee system by an unsuccessful
post-bidding referendum fully excuses both parties from any performance
and fully discharges all duties under any reduction contract;
(4) For a financed program in one reduction fishery that is being
conducted under appropriate implementation regulations simultaneously
with another financed program in another reduction fishery, where the
acceptance of bids for each financed program is conditional upon
successful post-bidding referenda approving industry fee systems for
both financed programs, NMFS' acceptance of all bids is, in addition to
any condition under paragraph (a)(3) of this section, also subject to
the additional conditions that both referenda approve the industry fee
systems required for both financed programs--all as otherwise provided
in paragraph (a)(3) of this section;
(5) Upon NMFS' acceptance of the bid and tender of a reduction
payment, the bidder consents to:
(i) The revocation, by NMFS, of any reduction permit, and
(ii) Where the program also involves the withdrawal of reduction
vessels from fishing:
(A) Title restrictions imposed by the U.S. Coast Guard on any
reduction vessel that is federally documented to forever prohibit and
effectively prevent any future use of the reduction vessel for fishing
in any area subject to the jurisdiction of the United States or any
state, territory, commonwealth, or possession of the United States, or
(B) Where reduction vessel scrapping is involved and the reduction
vessel's owner does not comply with the owner's obligation under the
reduction contract to scrap the reduction vessel, take such measures as
necessary to cause the reduction vessel's prompt scrapping. The
scrapping will be at the reduction vessel owner's risk and expense. Upon
completion of scrapping, NMFS will take such action as may be necessary
to recover from the reduction vessel owner any cost or expense
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NMFS incurred in causing the reduction vessel to be scrapped and any
other damages NMFS may have incurred and such owner shall be liable to
the United States for such cost, expenses, and damages;
(6) Money damages not being an adequate remedy for a bidder's breach
of a reduction contract, the United States is, in all particulars,
entitled to specific performance of each reduction contract. This
includes, but is not limited to, the scrapping of a reduction vessel;
(7) Any reduction payment is available, upon timely and adequately
documented notice to NMFS, to satisfy liens, as allowed by law, against
any reduction permit/and or reduction vessel; provided, however, that:
(i) No reduction payment to any bidder either relieves the bidder of
responsibility to discharge the obligation which gives rise to any lien
or relieves any lien holder of responsibility to protect the lien
holder's interest,
(ii) No reduction payment in any way gives rise to any
liability of the United States for the obligation underlying any
lien,
(iii) No lien holder has any right or standing, not otherwise
provided by law, against the United States in connection with the
revocation of any reduction permit or the title restriction or scrapping
of any reduction vessel under this subpart, and
(iv) This subpart does not provide any lien holder with any right or
standing to seek to set aside any revocation of any reduction permit or
the title restriction or scrapping of any reduction vessel for which the
United States made, or has agreed to make, any reduction payment. A lien
holder is limited to recovery against the holder of the reduction permit
or the owner of the reduction vessel as otherwise provided by law; and
(8) Each invitation to bid may specify such other terms and
conditions as NMFS believes necessary to enforce specific performance of
each reduction contract or otherwise to ensure completing each program.
This includes, but is not limited to, each bidder's certification,
subject to the penalties in Sec. 600.1017, of the bidder's full
authority to submit each bid and to dispose of the property involved in
the bid in the manner contemplated by each invitation to bid.
(b) NMFS will not invite bids for any program until NMFS determines
that:
(1) Any necessary reduction amendment is fully and finally approved
and all provisions except those dependent on the completion of reduction
are implemented;
(2) The final implementation plan is adopted and the final
implementation regulations are issued;
(3) All required program funding is approved and in place, including
all Federal appropriation and apportionment authority;
(4) Any reduction loan involved is fully approved;
(5) Any non-Federal funding involved is fully available at the
required time for NMFS disbursement as reduction payments; and
(6) All other actions necessary to disburse reduction payments,
except for matters involving bidding and post-bidding referenda, are
completed.
(c) After making the affirmative determinations required under
paragraph (b) of this section, NMFS will publish a Federal Register
notice inviting eligible bidders to offer to the United States, under
this subpart, fishing capacity for reduction.
(d) NMFS may extend a bid closing date and/or a bid expiration date
for a reasonable period. NMFS may also issue serial invitations to bid
if the result of previous bidding, in NMFS' judgment, warrant this.
(e) After the bid expiration date, NMFS will:
(1) Analyze responsive bids;
(2) Determine which bids, if any, NMFS accepts; and
(3) Notify, by U.S. mail at each bidder's address of
record, those bidders whose bids NMFS accepts that a reduction
contract now exists between them and the United States--subject, where
appropriate, to the conditions provided for elsewhere in this subpart.
(f) NMFS will keep confidential the identity of all bidders whose
bids NMFS does not accept. In financed programs where bidding results do
not conform to the fishing capacity reduction specifications, NMFS also
will
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keep confidential the identity of all bidders whose bids NMFS does
accept until after completing a successful post-bidding referendum under
Sec. 600.1010.
Sec. 600.1010 Referenda.
(a) Referendum success. A referendum is successful if at least two-
thirds of the ballots that qualify to be counted as referendum votes
under subparagraph (d)(6) of this section are cast in favor of an
industry fee system.
(b) Pre-bidding referendum--(1) Initial referendum. An initial pre-
bidding referendum shall be conducted for each financed program. The
business plan shall, subject to this subpart, determine the
chronological relationship of the initial pre-bidding referendum to
other pre-bidding aspects of the reduction process sequence. The initial
pre-bidding referendum shall be based on the fishing capacity reduction
specifications. If the initial pre-bidding referendum precedes the
adoption of any necessary reduction amendment, the initial pre-bidding
referendum shall also be based on the reduction amendment
specifications. If the initial pre-bidding referendum follows the
adoption of any necessary reduction amendment, the initial pre-bidding
referendum shall also be based on the adopted reduction amendment;
(2) Successful initial pre-bidding referendum. If the initial pre-
bidding referendum is successful, the reduction process will proceed as
follows:
(i) If the initial pre-bidding referendum follows reduction
amendment adoption, no second pre-bidding referendum shall be conducted,
(ii) If the initial pre-bidding referendum precedes reduction
amendment adoption, a second pre-bidding referendum shall be conducted
if, in NMFS' judgment, the reduction amendment subsequently adopted
differs, in any respect materially affecting the borrower's reduction
investment in the program and the borrower's ability to repay the
reduction loan, from the reduction amendment specifications upon which
the initial pre-bidding referendum successfully occurred. The sole
purpose of any second pre-bidding referendum shall be to determine
whether the voters authorize an industry fee system despite any such
difference between the reduction amendment specifications and a
subsequently adopted reduction amendment.
(3) Unsuccessful initial pre-bidding referendum. If the initial pre-
bidding referendum is unsuccessful, the reduction process will either
cease or NMFS may suspend the process pending an appropriate amendment
of the business plan and the request.
(c) Post-bidding referendum. A post-bidding referendum shall occur
only if, in NMFS' judgment, the result of bidding under Sec. 600.1009
does not conform, in any material respect, to the fishing capacity
reduction specifications and such result justifies, in NMFS' judgment,
conducting a post-bidding referendum. Bidding that results in reducing
fishing capacity in any amount not less than the minimum fishing
capacity reduction amount for any reduction loan amount not more than
the maximum reduction loan amount, and otherwise achieves all material
requirements of the fishing capacity reduction specifications, shall
conform to the fishing capacity reduction specifications. The sole
purpose of any post-bidding referendum shall be to determine whether
voters authorize an industry fee system for bidding that results in
reducing fishing capacity in any amount materially less than the minimum
amount in the fishing capacity reduction specifications.
(d) NMFS will conduct referenda in accordance with the following:
(1) Eligible voters. The parties eligible to vote in each referendum are
the parties whose names are listed as being eligible to vote in the
notice published in the Federal Register under Sec. 600.1004(a);
(2) Ballot issuance. NMFS will mail, by U.S. certified mail, return
receipt requested, a ballot to each eligible voter. Each ballot will
bear a randomly derived, 5-digit number assigned to each eligible voter.
Each ballot will contain a place for the voter to vote for or against
the proposed industry fee system and a place, adjacent to the 5-digit
number, for the signature of the fishing permit or fishing vessel owner
to whom the ballot is addressed or, if the fishing permit or fishing
vessel owner is an organization, the person
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having authority to vote and cast the ballot on the organization's
behalf. Each ballot will contain a place for the person signing the
ballot to print his or her name. NMFS will enclose with each ballot a
specially-marked, postage-paid, pre-addressed envelope that each voter
shall use to return the ballot to NMFS;
(3) Voter certification. Each ballot will contain a certification,
subject to the penalties set forth in Sec. 600.1017, that the person
signing the ballot is the fishing permit or fishing vessel owner to whom
the ballot is addressed or, if the fishing permit or fishing vessel
owner is an organization, the person having authority to vote and cast
the ballot on the organization's behalf;
(4) Information included on a ballot. Each ballot mailing will:
(i) Summarize the referendum's nature and purpose,
(ii) Specify the date by which NMFS must receive a ballot in order
for the ballot to be counted as a qualified vote,
(iii) Identify the place on the ballot for the voter to vote for or
against the proposed industry fee system, the place on the ballot where
the voter shall sign the ballot, and the purpose of the return envelope,
(iv) For each pre-bidding referendum, state:
(A) The fishing capacity reduction specifications,
(B) The reduction loan's repayment term, and
(C) The fee rate, or range of fee rates, prospectively necessary to
amortize the reduction loan over the loan's term,
(v) For each initial pre-bidding referendum that precedes reduction
amendment adoption, state the reduction amendment specifications,
(vi) For each initial pre-bidding referendum that follows reduction
amendment adoption, summarize the material aspects of the reduction
amendment adopted,
(vii) For each second pre-bidding referendum, summarize how the
adopted reduction amendment materially differs from the reduction
amendment specifications upon which a successful initial pre-bidding
referendum occurred and how this material difference affects the
borrower's reduction investment in the program and the borrower's
ability to repay the reduction loan,
(viii) For each post-bidding referendum, specify the actual bidding
results that do not conform to the fishing capacity reduction
specifications, and
(ix) State or include whatever else NMFS deems appropriate;
(5) Enclosures to accompany a ballot. Each ballot mailing will
include:
(i) A specially-marked, postage-paid, and pre-addressed envelope
that a voter must use to return the original of a ballot to NMFS by
whatever means of delivery the voter chooses, and
(ii) Such other materials as NMFS deems appropriate;
(6) Vote qualification. A completed ballot qualifies to be counted
as a vote if the ballot:
(i) Is physically received by NMFS on or before the last day NMFS
specifies for receipt of the ballot,
(ii) Is cast for or against the proposed industry fee system,
(iii) Is signed by the voter,
(iv) Is the original ballot NMFS sent to the voter bearing the same
5-digit number that NMFS assigned to the voter, and
(v) Was returned to NMFS in the specially-marked envelope that NMFS
provided for the ballot's return;
(6) Vote tally and notification. NMFS will:
(i) Tally all ballots qualified to be counted as referendum votes,
(ii) Notify, by U.S. mail at the address of record, all eligible
voters who received ballots of:
(A) The number of potential voters,
(B) The number of actual voters who returned a ballot,
(C) The number of returned ballots that qualified to be counted as
referendum votes,
(D) The number of votes for and the number of votes against the
industry fee system, and
(E) Whether the referendum was successful and approved the industry
fee system or unsuccessful and disapproved the industry fee system, and
(iii) If a successful referendum is a post-bidding referendum, NMFS
will, at the same time and in the same manner, also notify the bidders
whose bids
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were conditionally accepted that the condition pertaining to the
reduction contracts between them and the United States is fulfilled;
(7) Conclusiveness of referendum determinations. NMFS'
determinations about ballot qualifications and about all other
referendum matters, including, but not limited to, eligible voters and
their addresses of record, are conclusive and final as of the date NMFS
makes such determinations. No matter respecting such determinations
shall impair, invalidate, avoid, or otherwise render unenforceable any
referendum, reduction contract, reduction loan, or fee payment and
collection obligation under Sec. 600.1013 and Sec. 600.1014 necessary
to repay any reduction loan;
(8) Ballot confidentiality. NMFS will not voluntarily release the
name of any party who voted. NMFS will restrict the availability of all
voter information to the maximum extent allowed by law; and
(9) Conclusive authorization of industry fee system. Each successful
referendum conclusively authorizes NMFS' imposition of an industry fee
system--including the fee payment, collection, and other provisions
regarding fee payment and collection under Sec. 600.1013 and Sec.
600.1014--to repay the reduction loan for each financed program that
NMFS conducts under this subpart.
Sec. 600.1011 Reduction methods and other conditions.
(a) Reduction permits or reduction permits and reduction vessels.
Each program may involve either the surrender and revocation of
reduction permits or both the surrender and revocation of reduction
permits and the withdrawal from fishing either by title restriction or
by scrapping of reduction vessels. No financed program may, however,
require such title restriction or scrapping of reduction vessels unless
the business plan voluntarily includes the same.
(b) Reduction permit revocation and surrender. Each reduction permit
is, upon NMFS' tender of the reduction payment for the reduction permit,
forever revoked. Each reduction permit holder shall, upon NMFS' tender
of the reduction payment, surrender the original reduction permit to
NMFS. The reduction permit holder, upon NMFS' tender of the reduction
payment, forever relinquishes any claim associated with the reduction
permit and with the fishing vessel that was used to harvest fishery
resources under the reduction permit that could qualify the reduction
permit holder or the fishing vessel owner for any present or future
limited access system fishing permit in the reduction fishery.
(c) Reduction vessel title restriction or scrapping. For each
program that involves reduction vessel title restriction or scrapping:
(1) Each reduction vessel that is subject to title restriction only
and is thus not required to be scrapped, is, upon NMFS' tender of the
reduction payment, forever prohibited from any future use for fishing in
any area subject to the jurisdiction of the United States or any State,
territory, possession, or commonwealth of the United States. NMFS will
request that the U.S. Coast Guard permanently restrict each such
reduction vessel's title to exclude the reduction vessel's future use
for fishing in any such area;
(2) Each reduction vessel owner whose reduction vessel is required
to be scrapped shall, upon NMFS' tender of the reduction payment,
immediately cease all further use of the reduction vessel and arrange,
without delay and at the reduction vessel owner's expense, to scrap the
reduction vessel to NMFS' satisfaction, including adequate provision for
NMFS to document the physical act of scrapping; and
(3) Each reduction vessel owner, upon NMFS' tender of the reduction
payment, forever relinquishes any claim associated with the reduction
vessel and with the reduction permit that could qualify the reduction
vessel owner or the reduction permit holder for any present or future
limited access system fishing permit in the reduction fishery.
(d) Fishing permits in a non-reduction fishery. A financed program
that does not involve the withdrawal from fishing or scrapping of
reduction vessels may not require any holder of a reduction permit in a
reduction fishery to surrender any fishing permit in any non-reduction
fishery or restrict or revoke any fishing permit other than a
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reduction permit in the reduction fishery, except those fishing permits
authorizing the incidental harvesting of species in any non-reduction
fishery during, and as a consequence of, directed fishing for species in
the reduction fishery.
(e) Reduction vessels disposition. Where a business plan requires
the withdrawal from fishing of reduction vessels as well as the
revocation of reduction permits: (1) Each reduction vessel that is not
documented under Federal law must in every case always be scrapped,
without regard to whether a program is a financed program or a
subsidized program;
(2) No financed program may require any disposition of a reduction
vessel documented under Federal law other than the title restriction in
paragraph (b) of this section unless the business plan volunteers to do
otherwise; and
(3) Any subsidized program may require the scrapping of reduction
vessels documented under Federal law.
(f) Reduction payments. NMFS will disburse all reduction payments in
the amount and in the manner prescribed in reduction contracts, except
reduction payments that a bidder's reduction-contract nonperformance
prevents NMFS from disbursing. In financed programs, the reduction
loan's principal amount is the total amount of all reduction payments
that NMFS disburses from the proceeds of a reduction loan. Any reduction
payment that NMFS, because of a bidder's reduction-contract
nonperformance, disburses but subsequently recovers, shall reduce the
principal amount of the reduction loan accordingly.
(g) Effect of reduction-contract nonperformance. No referendum, no
reduction contract, no reduction loan, and no fee payment and collection
obligation under Sec. 600.1013 and Sec. 600.1014 necessary to repay
any reduction loan, shall be impaired, invalidated, avoided, or
otherwise rendered unenforceable by virtue of any reduction contract's
nonperformance. This is without regard to the cause of, or reason for,
nonperformance. NMFS shall endeavor to enforce the specific performance
of all reduction contracts, but NMFS' inability, for any reason, to
enforce specific performance for any portion of such reduction contracts
shall not relieve fish sellers of their obligation to pay, and fish
buyers of their obligation to collect, the fee necessary to fully repay
the full reduction loan balance that results from all reduction payments
that NMFS actually makes and does not recover.
(h) Program completion. Other than the payment and collection of the
fee that repays a reduction loan and any other residual matters
regarding reduction payments and the disposition of reduction permits
and reduction vessels, a program shall be completed when NMFS tenders or
makes all reduction payments under all reduction contracts that
circumstances, in NMFS' judgment, reasonably permit NMFS to make.
Sec. 600.1012 Reduction loan.
(a) Obligation. The borrower shall be obligated to repay a reduction
loan. The borrower's obligation to repay a reduction loan shall be
discharged by fish sellers paying a fee in accordance with Sec.
600.1013. Fish buyers shall be obligated to collect the fee in
accordance with Sec. 600.1013 and to deposit and disburse the fee
revenue in accordance with Sec. 600.1014.
(b) Principal amount, interest rate, repayment term, and penalties
for non-payment or non-collection. The reduction loan shall be:
(1) In a principal amount that shall be determined by subsequent
program events under this subpart, but which shall not exceed the
maximum principal amount in the fishing capacity reduction
specifications;
(2) At an annual rate, that shall be determined by subsequent
events, of simple interest on the reduction loan's principal balance
that shall equal 2 percent plus the Treasury percentage;
(3) Repayable over the repayment term specified in the business plan
or otherwise determined by subsequent events; and
(4) Subject to such provisions as implementation regulations shall
specify for the payment of costs and penalties for non-payment, non-
collection, non-deposit, and/or non-disbursement in accordance with
Sec. 600.1013 and Sec. 600.1014.
(c) Effect of prospective interest rate. Any difference between a
prospective
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interest rate projected, for the purpose of any aspect of reduction
planning or processing under this subpart, before the U.S. Treasury
determines the Treasury percentage and an interest rate first known
after the U.S. Treasury determines the Treasury percentage shall not
void, invalidate, or otherwise impair any reduction contract, any
reduction loan repayment obligation, or any other aspect of the
reduction process under this subpart. Should any such difference result
in a reduction loan that cannot, at the maximum fee rate allowed by law,
be repaid, as previously projected, within the maximum maturity, any
amount of the reduction loan remaining unpaid at maturity shall be
repaid after maturity by continuing fee payment and collection under
this subpart at such maximum fee rate until the reduction loan's unpaid
principal balance and accrued interest is fully repaid. The above
notwithstanding, at the discretion of the Secretary, the reduction
contract can be voided if a material adverse change affects the
reduction contract, reduction loan obligation, or any other aspect of
the reduction process under this subpart.
Sec. 600.1013 Fee payment and collection.
(a) Amount. The fee amount is the delivery value times the fee rate.
(b) Rate. NMFS will establish the fee rate. The fee rate may not
exceed 5 percent of the delivery value. NMFS will establish the initial
fee rate by calculating the fee revenue annually required to amortize a
reduction loan over the reduction loan's term, projecting the annual
delivery value, and expressing such fee revenue as a percentage of such
delivery value. Before each anniversary of the initial fee rate
determination, NMFS will recalculate the fee rate reasonably required to
ensure reduction loan repayment. This will include any changed delivery
value projections and any adjustment required to correct for previous
delivery values higher or lower than projected.
(c) Payment and collection. (1) The full fee is due and payable at
the time of fish delivery. Each fish buyer shall collect the fee at the
time of fish delivery by deducting the fee from the delivery value
before paying, or promising to pay, the net delivery value. Each fish
seller shall pay the fee at the time of fish delivery by receiving from
the fish buyer the net delivery value, or the fish buyer's promise to
pay the net delivery value, rather than the delivery value. Regardless
of when the fish buyer pays the net delivery value, the fish buyer shall
collect the fee at the time of fish delivery;
(2) In the event of any post-delivery payment for fee fish--
including, but not limited to bonuses--whose amount depends on
conditions that cannot be known until after fish delivery, that either
first determines the delivery value or later increases the previous
delivery value, the fish seller shall pay, and the fish buyer shall
collect, at the time the amount of such post-delivery payment first
becomes known, the fee that would otherwise have been due and payable as
if the amount of the post-delivery payment had been known, and as if the
post-delivery payment had consequently occurred, at the time of initial
fish delivery;
(3)(i) Each fish seller shall be deemed to be, for the purpose of
the fee collection, deposit, disbursement, and accounting requirements
of this subpart, both the fish seller and the fish buyer, and shall be
responsible for all requirements and liable for any penalties under this
subpart applicable to fish sellers and/or fish buyers, each time that a
fish seller sells fee fish to:
(A) Any party whose place of business is not located in the United
States, who does not take delivery or possession of the fee fish in the
United States, who is not otherwise subject to this subpart, or to whom
or against whom NMFS cannot otherwise apply or enforce this subpart,
(B) Any party who is a general food-service wholesaler or supplier,
a restaurant, a retailer, a consumer, some other type of end-user, or
some other party not engaged in the business of buying fish from fish
sellers for the purpose of reselling the fish, either with or without
processing the fish, or
(C) Any other party who the fish seller has good reason to believe
is a party not subject to this subpart or to whom or against whom NMFS
cannot otherwise apply or enforce this subpart,
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(ii) In each such case the fish seller shall, with respect to the
fee fish involved in each such case, discharge, in addition to the fee
payment requirements of this subpart, all the fee collection, deposit,
disbursement, accounting, record keeping, and reporting requirements
that this subpart otherwise imposes on the fish buyer, and the fish
seller shall be subject to all the penalties this subpart provides for a
fish buyer's failure to discharge such requirements;
(4) Fee payment begins on the date NMFS specifies under the
notification procedures of paragraph (d) of this section and continues
without interruption at the fee rates NMFS specifies in accordance this
subpart until NMFS determines that the reduction loan is fully repaid.
If a reduction loan is, for any reason, not fully repaid at the maturity
of the reduction loan's original amortization period, fee payment and
collection shall continue until the reduction loan is fully repaid,
notwithstanding that the time required to fully repay the reduction loan
exceeds the reduction loan's initially permissible maturity.
(d) Notification. (1) At least 30 days before the effective date of
any fee or of any fee rate change, NMFS will publish a Federal Register
notice establishing the date from and after which the fee or fee rate
change is effective. NMFS will then also send, by U.S. mail, an
appropriate notification to each affected fish seller and fish buyer of
whom NMFS has notice;
(2) When NMFS determines that a reduction loan is fully repaid, NMFS
will publish a Federal Register notice that the fee is no longer in
effect and should no longer be either paid or collected. NMFS will then
also send, by U.S. mail, notification to each affected fish seller and
fish buyer of whom NMFS has knowledge;
(3) If NMFS fails to notify a fish seller or a fish buyer by U.S.
mail, or if the fish seller or fish buyer otherwise does not receive the
notice, of the date fee payments start or of the fee rate in effect,
each fish seller is, nevertheless, obligated to pay the fee at the fee
rate in effect and each fish buyer is, nevertheless, obligated to
collect the fee at the fee rate in effect.
(e) Failure to pay or collect. (1) If a fish buyer refuses to
collect the fee in the amount and manner that this subpart requires, the
fish seller shall then advise the fish buyer of the fish seller's fee
payment obligation and of the fish buyer's fee collection obligation. If
the fish buyer still refuses to properly collect the fee, the fish
seller, within the next 7 calendar days, shall forward the fee to NMFS.
The fish seller at the same time shall also advise NMFS in writing of
the full particulars, including:
(i) The fish buyer's and fish seller's name, address, and telephone
number,
(ii) The name of the fishing vessel from which the fish seller made
fish delivery and the date of doing so,
(iii) The quantity and delivery value of each species of fee fish
that the fish seller delivered, and
(iv) The fish buyer's reason, if known, for refusing to collect the
fee in accordance with this subpart;
(2) If a fish seller refuses to pay the fee in the amount and manner
that this subpart requires, the fish buyer shall then advise the fish
seller of the fish buyer's collection obligation and of the fish
seller's payment obligation. If the fish seller still refuses to pay the
fee, the fish buyer shall then either deduct the fee from the delivery
value over the fish seller's protest or refuse to buy the fee fish. The
fish buyer shall also, within the next 7 calendar days, advise NMFS in
writing of the full particulars, including:
(i) The fish buyer's and fish seller's name, address, and telephone
number,
(ii) The name of the fishing vessel from which the fish seller made
or attempted to make fish delivery and the date of doing so,
(iii) The quantity and delivery value of each species of fee fish
the fish seller delivered or attempted to deliver,
(iv) Whether the fish buyer deducted the fee over the fish seller's
protest or refused to buy the fee fish, and
(v) The fish seller's reason, if known, for refusing to pay the fee
in accordance with this subpart.
(f) Implementation regulations at variance with this section. If any
special circumstances in a reduction fishery require, in NMFS's
judgment, fee payment and/or collection provisions in
[[Page 131]]
addition to, or different from, those in this section in order to
accommodate the circumstances of, and practices in, a reduction fishery
while still fulfilling the intent and purpose of this section, NMFS may,
notwithstanding this section, include such provisions in the
implementation regulations for such reduction fishery.
Sec. 600.1014 Fee collection deposits, disbursements, records, and reports.
(a) Deposit accounts. Each fish buyer that this subpart requires to
collect a fee shall maintain a segregated account at a federally insured
financial institution for the sole purpose of depositing collected fee
revenue and disbursing the fee revenue directly to NMFS in accordance
with paragraph (c) of this section.
(b) Fee collection deposits. Each fish buyer, no less frequently
than at the end of each business week, shall deposit, in the deposit
account established under paragraph (a) of this section, all fee
revenue, not previously deposited, that the fish buyer collects through
a date not more than two calendar days before the date of deposit.
Neither the deposit account nor the principal amount of deposits in the
account may be pledged, assigned, or used for any purpose other than
aggregating collected fee revenue for disbursement to the Fund in
accordance with paragraph (c) of this section. The fish buyer is
entitled, at any time, to withdraw deposit interest, if any, but never
deposit principal, from the deposit account for the fish buyer's own use
and purposes.
(c) Deposit principal disbursement. On the last business day of each
month, or more frequently if the amount in the account exceeds the
account limit for insurance purposes, the fish buyer shall disburse to
NMFS the full amount of deposit principal then in the deposit account.
The fish buyer shall do this by check made payable to the Fund
subaccount to which the deposit principal relates. The fish buyer shall
mail each such check to the Fund subaccount lockbox that NMFS
establishes for the receipt of the disbursements for each program. Each
disbursement shall be accompanied by the fish buyer's settlement sheet
completed in the manner and form that NMFS specifies. NMFS will specify
the Fund subaccount lockbox and the manner and form of settlement sheet
by means of the notification in Sec. 600.1013(d).
(d) Records maintenance. Each fish buyer shall maintain, in a secure
and orderly manner for a period of at least 3 years from the date of
each transaction involved, at least the following information:
(1) For all deliveries of fee fish that the fish buyer buys from
each fish seller:
(i) The date of delivery,
(ii) The seller's identity,
(iii) The weight, number, or volume of each species of fee fish
delivered,
(iv) The identity of the fishing vessel that delivered the fee fish,
(v) The delivery value of each species of fee fish,
(vi) The net delivery value,
(vii) The identity of the party to whom the net delivery value is
paid, if other than the fish seller,
(viii) The date the net delivery value was paid, and
(ix) The total fee amount collected;
(2) For all fee collection deposits to and disbursements from the
deposit account:
(i) The dates and amounts of deposits,
(ii) The dates and amounts of disbursements to the Fund's lockbox
account, and
(iii) The dates and amounts of disbursements to the fish buyer or
other parties of interest earned on deposits.
(e) Annual report. In each year, on the date to be specified in each
implementation regulation, succeeding the year during which NMFS first
implemented a fee, each fish buyer shall submit to NMFS a report, on or
in the form NMFS specifies, containing the following information for the
preceding year, or whatever longer period may be involved in the first
annual report, for all fee fish each fish buyer purchases from fish
sellers: (1) Total weight, number, or volume bought;
(2) Total delivery value paid;
(3) Total fee amounts collected;
(4) Total fee collection amounts deposited by month;
[[Page 132]]
(5) Dates and amounts of monthly disbursements to each Fund lockbox
account;
(6) Total amount of interest earned on deposits; and
(7) Depository account balance at year-end.
(f) State records. If landing records that a state requires from
fish sellers contain some or all of the data that this section requires
and state confidentiality laws or regulations do not prevent NMFS'
access to the records maintained for the state, then fish buyers can use
such records to meet appropriate portions of this section's
recordkeeping requirements. If, however, state confidentiality laws or
regulations make such records unavailable to NMFS, then fish buyers
shall maintain separate records for NMFS that meet the requirements of
this section. If any state law or regulation prohibits fish buyers, or
fish sellers where appropriate, from keeping, for the purpose of
complying with any requirement of this section, separate records that
involve some or all of the same data elements as the landing records
that the fish buyers also keep, for state purposes and under state law
or regulation, then a financed reduction program will not be possible.
(g) Audits. NMFS or its agents may audit, in whatever manner NMFS
believes reasonably necessary for the duly diligent administration of
reduction loans, the financial records of fish buyers and fish sellers
in each reduction fishery in order to ensure proper fee payment,
collection, deposit, disbursement, accounting, record keeping, and
reporting. Fish buyers and fish sellers shall make all records of all
program transactions involving post-reduction fish harvests, fish
deliveries, and fee payments, collections, deposits, disbursements,
accounting, record keeping, and reporting available to NMFS or NMFS'
agents at reasonable times and places and promptly provide all requested
information reasonably related to these records that such fish sellers
and fish buyers may otherwise lawfully provide. Trip tickets (or similar
accounting records establishing the pounds of fee fish that each fish
buyer buys from each fish seller each time that each fish buyer does so
and each price that each fish buyer then pays to each fish seller for
the fee fish) are essential audit documentation.
(h) Confidentiality of records. NMFS and NMFS' auditing agents shall
maintain the confidentiality of all data to which NMFS has access under
this section and shall neither release the data nor allow the data's use
for any purpose other than the purpose of this subpart; provided,
however, that NMFS may aggregate such data so as to preclude their
identification with any fish buyer or any fish seller and use them in
the aggregate for other purposes).
(i) Refunds. When NMFS determines that a reduction loan is fully
repaid, NMFS will refund any excess fee receipts, on a last-in/first-out
basis, to the fish buyers. Fish buyers shall return the refunds, on a
last-in/first-out basis, to the fish sellers who paid the amounts
refunded.
(j) Implementation regulations at variance with this section. If any
special circumstances in a reduction fishery require, in NMFS's
judgment, fee collection deposit, disbursement, or records provisions in
addition to, or different from, those in this section in order to
accommodate the circumstances of, and practices in, a reduction fishery
while still fulfilling the intent and purpose of this section, NMFS may,
notwithstanding this section, include such provisions in the
implementation regulations for such reduction fishery.
Sec. 600.1015 Late charges.
The late charge to fish buyers for fee payment, collection, deposit,
and/or disbursement shall be one and one-half (1.5) percent per month,
or the maximum rate permitted by state law, for the total amount of the
fee not paid, collected, deposited, and/or disbursed when due to be
paid, collected, deposited, and/or disbursed. The full late charge shall
apply to the fee for each month or portion of a month that the fee
remains unpaid, uncollected, undeposited, and/or undisbursed.
Sec. 600.1016 Enforcement.
In accordance with applicable law or other authority, NMFS may take
appropriate action against each fish seller and/or fish buyer
responsible for
[[Page 133]]
non-payment, non-collection, non-deposit, and/or non-disbursement of the
fee in accordance with this subpart to enforce the collection from such
fish seller and/or fish buyer of any fee (including penalties and all
costs of collection) due and owing the United States on account of the
loan that such fish seller and/or fish buyer should have, but did not,
pay, collect, deposit, and/or disburse in accordance with this subpart.
All such loan recoveries shall be applied to reduce the unpaid balance
of the loan.
Sec. 600.1017 Prohibitions and penalties.
(a) The following activities are prohibited, and it is unlawful for
any party to:
(1) Vote in any referendum under this subpart if the party is
ineligible to do so;
(2) Vote more than once in any referendum under this subpart;
(3) Sign or otherwise cast a ballot on behalf of a voter in any
referendum under this subpart unless the voter has fully authorized the
party to do so and doing so otherwise comports with this subpart;
(4) Interfere with or attempt to hinder, delay, buy, or otherwise
unduly or unlawfully influence any eligible voter's vote in any
referendum under this subpart;
(5) Submit a fraudulent, unauthorized, incomplete, misleading,
unenforceable by specific performance, or inaccurate bid in response to
an invitation to bid under this subpart or, in any other way, interfere
with or attempt to interfere with, hinder, or delay, any invitation to
bid, any bid submitted under any invitation to bid, any reduction
contract, or any other reduction process in connection with any
invitation to bid;
(6) Revoke or attempt to revoke any bid under this subpart;
(7) Fail to comply with the terms and conditions of any invitation
to bid, bid, or reduction contract under this subpart, including NMFS'
right under such reduction contracts to specific performance;
(8) Fail to fully and properly pay and collect any fee due payable,
and collectible under this subpart or otherwise avoid, decrease,
interfere with, hinder, or delay any such payment and collection,
(9) Convert, or otherwise use for any purpose other than the purpose
this subpart intends, any paid or collected fee;
(10) Fail to fully and properly deposit on time the full amount of
all fee revenue collected under this subpart into a deposit account and
disburse the full amount of all deposit principal to the Fund's lockbox
account--all as this subpart requires;
(11) Fail to maintain full, timely, and proper fee payment,
collection, deposit, and/or disbursement records or make full, timely,
and proper reports of such information to NMFS-all as this subpart
requires;
(12) Fail to advise NMFS of any fish seller's refusal to pay, or of
any fish buyer's refusal to collect, any fee due and payable under this
subpart;
(13) Refuse to allow NMFS or agents that NMFS designates to review
and audit at reasonable times all books and records reasonably pertinent
to fee payment, collection, deposit, disbursement, and accounting under
this subpart or otherwise interfere with, hinder, or delay NMFS or it
agents in the course of their activities under this subpart;
(14) Make false statements to NMFS, any of the NMFS' employees, or
any of NMFS' agents about any of the matters in this subpart;
(15) Obstruct, prevent, or unreasonably delay or attempt to
obstruct, prevent, or unreasonably delay any audit or investigation NMFS
or its agents conduct, or attempt to conduct, in connection with any of
the matters in this subpart; and/or
(16) Otherwise materially interfere with the efficient and effective
conduct of reduction and the repayment of reduction loans under this
subpart.
(b) Any party who violates one or more of the prohibitions of
paragraph (a) of this section is subject to the full range of penalties
the Magnuson-Stevens Act and 15 CFR part 904 provide--including, but not
limited to: civil penalties, sanctions, forfeitures, and punishment for
criminal offenses--and to the full penalties and punishments otherwise
provided by any other applicable law of the United States.
[[Page 134]]
(c) Additionally, NMFS may take any and all appropriate actions,
including the communication of action at law, against each party
responsible for the non-payment, non-collection, non-deposit, and/or
non-disbursement in accordance with Sec. 600.1013 and/or Sec. 600.1014
to enforce the United States' receipt from such party of any fee--
including penalties and all costs of collection--due and owing the
United States on account of the reduction loan that such party should
have, but did not, pay, collect, deposit, and/or disburse in accordance
with Sec. 600.1013 and/or Sec. 600.1014. All such reduction loan
recoveries shall be applied to reduce the unpaid balances of reduction
loans.
Subpart M_Specific Fishery or Program Fishing Capacity Reduction
Regulations
Authority: 5 U.S.C. 561, 16 U.S.C. 1801 et seq., 16 U.S.C. 1861a(b)
through (e), 46 App. U.S.C. 1279f and 1279g, section 144(d) of Division
B of Pub. L. 106-554, section 2201 of Pub. L. 107-20, section 205 of
Pub. L. 107-117, Pub. L. 107-206, and Pub. L. 108-7.
Effective Date Note: At 71 FR 57701, Sept. 29, 2006, the authority
citation for 50 CFR part 600 subpart M was revised, effective Oct. 30,
2006. For the convenience of the user, the revised text is set forth as
follows:
Authority: 5 U.S.C. 561, 16 U.S.C. 1801 et seq., 16 U.S.C. 1861a(b)
through (e), 46 App. U.S.C. 1279f and 1279g, section 144(d) of Division
B of Pub. L. 106-554, section 2201 of Pub. L. 107-20, and section 205 of
Pub. L. 107-117, Pub. L. 107-206, Pub. L. 108-7, Pub. L. 108-199, and
Pub. L. 108-447.
Source: 69 FR 53361, Sept. 1, 2004, unless otherwise noted.
Sec. 600.1100 [Reserved]
Sec. 600.1101 Inshore fee system for repayment of the loan to harvesters of
Pollock from the directed fishing allowance allocated to the inshore component
under section 206(b)(1) of the AFA.
(a) Definition. In addition to the definitions in the Magnuson-
Stevens Act and in Sec. 679.2 of this title, the terms used in this
subpart have the following meanings:
American Fisheries Act (AFA) means Title II of Pub.L. 105-277.
Borrower means (individually and collectively) all persons who,
after January 1, 2000, harvest fee fish from the IC directed fishing
allowance.
Business week means a 7-day period, Saturday through Friday.
Delivery value means the gross ex-vessel value of all fee fish at
fish delivery.
Deposit principal means all collected fee revenue that a fish buyer
deposits in a segregated deposit account maintained in a federally
chartered national bank for the sole purpose of aggregating collected
fee revenue before sending the fee revenue to NMFS for repaying the
loan.
Fee means the six-tenths (0.6) of one cent that fish buyers deduct
at fish delivery from the delivery value of each pound of round weight
fee fish.
Fee fish means all pollock harvested from the IC directed fishing
allowance beginning on February 10, 2000 and ending at such time as the
loan's principal and interest are fully repaid.
Fish buyer means the first ex-vessel fish buyer who purchases fee
fish from a fish seller.
Fish delivery means the point at which a fish buyer first takes
delivery or possession of fee fish from a fish seller.
Fish seller means the harvester who catches and first sells fee fish
to a fish buyer.
IC directed fishing allowance means the directed fishing allowance
allocated to the inshore component under section 206(b)(1) of the AFA.
Loan means the loan authorized by section 207(a) of the AFA.
Net delivery value means the delivery value minus the fee.
Subaccount means the Inshore Component Pollock Subaccount of the
Fishing Capacity Reduction Fund in the U.S. Treasury for the deposit of
all funds involving the loan.
(b) Loan--(1) Principal amount. The loan's principal amount is
$75,000,000 (seventy five million dollars).
(2) Interest. Interest shall, from December 30, 1998, when NMFS
disbursed the loan, until the date the borrower fully repays the loan,
accrue at a fixed rate of 7.09 percent. Interest shall be simple
interest and shall accrue on the basis of a 365-day year.
[[Page 135]]
(3) Repayment. The fee shall be the exclusive source of loan
repayment. The fee shall be paid on all fee fish.
(4) Application of fee receipts. NMFS shall apply all fee receipts
it receives, first, to payment of the loan's accrued interest and,
second, to reduction of the loan's principal balance.
(5) Obligation. The borrower shall repay the loan in accordance with
the AFA and this subpart.
(c) Fee payment and collection--(1) Payment and collection. (i) The
fee is due and payable at the time of fish delivery. Each fish buyer
shall collect the fee at the time of fish delivery by deducting the fee
from the delivery value before paying or promising later to pay the net
delivery value. Each fish seller shall pay the fee at the time of fish
delivery by receiving from the fish buyer the net delivery value or the
fish buyer's promise later to pay the net delivery value rather than the
delivery value. Regardless of when the fish buyer pays the net delivery
value, the fish buyer shall collect the fee at the time of fish
delivery;
(ii)(A) Each fish seller shall be deemed, for the purpose of the fee
collection, deposit, disbursement, and accounting requirements of this
subpart, to be both the fish seller and the fish buyer--and all
requirements and penalties under this subpart applicable to both a fish
seller and a fish buyer shall equally apply to the fish seller--each
time that the fish seller sells fee fish to:
(1) Any fish buyer whose place of business is not located in the
United States, who does not take delivery or possession of the fee fish
in the United States, who is not otherwise subject to this subpart, or
to whom or against whom NMFS cannot otherwise apply or enforce this
subpart,
(2) Any fish buyer who is a general food-service wholesaler or
supplier, a restaurant, a retailer, a consumer, some other type of end-
user, or some other fish buyer not engaged in the business of buying
fish from fish sellers for the purpose of reselling the fish, or
(3) Any other fish buyer who the fish seller has good reason to
believe is a fish buyer not subject to this subpart or to whom or
against whom NMFS cannot otherwise apply or enforce this subpart,
(B) In each such case the fish seller shall, with respect to the fee
fish involved in each such case, discharge, in addition to the fee
payment requirements of this subpart, all the fee collection, deposit,
disbursement, accounting, recordkeeping, and reporting requirements that
this subpart otherwise imposes on the fish buyer, and the fish seller
shall be subject to all the penalties this subpart provides for a fish
buyer's failure to discharge such requirements;
(2) Notification. (i) NMFS will send an appropriate fee payment and
collection commencement notification to each affected fish seller and
fish buyer of whom NMFS has knowledge.
(ii) When NMFS determines that the loan is fully repaid, NMFS will
publish a Federal Register notification that the fee is no longer in
effect and should no longer be either paid or collected. NMFS will then
also send an appropriate fee termination notification to each affected
fish seller and fish buyer of whom NMFS has knowledge;
(3) Failure to pay or collect. (i) If a fish buyer refuses to
collect the fee in the amount and manner that this subpart requires, the
fish seller shall then advise the fish buyer of the fish seller's fee
payment obligation and of the fish buyer's fee collection obligation. If
the fish buyer still refuses to properly collect the fee, the fish
seller, within the next 7 calendar days, shall forward the fee to NMFS.
The fish seller at the same time shall also advise NMFS in writing of
the full particulars, including:
(A) The fish buyer's and fish seller's name, address, and telephone
number,
(B) The name of the fishing vessel from which the fish seller made
fish delivery and the date of doing so,
(C) The quantity and delivery value of fee fish that the fish seller
delivered, and
(D) The fish buyer's reason (if known) for refusing to collect the
fee in accordance with this subpart;
(ii) If a fish seller refuses to pay the fee in the amount and
manner that this subpart requires, the fish buyer shall then advise the
fish seller of the fish buyer's collection obligation and of the
[[Page 136]]
fish seller's payment obligation. If the fish seller still refuses to
pay the fee, the fish buyer shall then either deduct the fee from the
delivery value over the fish seller's protest or refuse to buy the fee
fish. The fish buyer shall also, within the next 7 calendar days, advise
NMFS in writing of the full particulars, including:
(A) The fish buyer's and fish seller's name, address, and telephone
number,
(B) The name of the fishing vessel from which the fish seller made
or attempted to make fish delivery and the date of doing so,
(C) The quantity and delivery value of fee fish the fish seller
delivered or attempted to deliver,
(D) Whether the fish buyer deducted the fee over the fish seller's
protest or refused to buy the fee fish, and
(E) The fish seller's reason (if known) for refusing to pay the fee
in accordance with this subpart.
(d) Fee collection deposits, disbursements, records, and reports--
(1) Deposit accounts. Each fish buyer that this subpart requires to
collect a fee shall maintain a segregated account at a federally insured
financial institution for the sole purpose of depositing collected fee
revenue and disbursing the fee revenue directly to NMFS in accordance
with paragraph (c) of this section.
(2) Fee collection deposits. Each fish buyer, no less frequently
than at the end of each business week, shall deposit, in the deposit
account established under paragraph (a) of this section, all fee
revenue, not previously deposited, that the fish buyer has collected
through a date not more than 2 calendar days before the date of deposit.
Neither the deposit account nor the principal amount of deposits in the
account may be pledged, assigned, or used for any purpose other than
aggregating collected fee revenue for disbursement to the subaccount in
accordance with paragraph (c) of this section. The fish buyer is
entitled, at any time, to withdraw deposit interest, if any, but never
deposit principal, from the deposit account for the fish buyer's own use
and purposes.
(3) Deposit principal disbursement. On the last business day of each
month, or more frequently if the amount in the account exceeds the
account limit for insurance purposes, the fish buyer shall disburse to
NMFS the full amount of deposit principal then in the deposit account.
The fish buyer shall do this by check made payable to ``NOAA Inshore
Component Pollock Loan Subaccount.'' The fish buyer shall mail each such
check to the subaccount lockbox account that NMFS establishes for the
receipt of the disbursements of deposit principal. Each disbursement
shall be accompanied by the fish buyer's settlement sheet completed in
the manner and form that NMFS specifies. NMFS will specify the
subaccount's lockbox and the manner and form of settlement sheet by
means of the notification in Sec. 600.1101(c).
(4) Records maintenance. Each fish buyer shall maintain, in a secure
and orderly manner for a period of at least 3 years from the date of
each transaction involved, at least the following information:
(i) For all deliveries of fee fish that the fish buyer buys from
each fish seller:
(A) The date of delivery,
(B) The fish seller's identity,
(C) The round weight of fee fish delivered,
(D) The identity of the fishing vessel that delivered the fee fish,
(E) The delivery value,
(F) The net delivery value,
(G) The identity of the party to whom the net delivery value is
paid, if other than the fish seller,
(H) The date the net delivery value was paid, and
(I) The total fee amount collected;
(ii) For all fee collection deposits to and disbursements from the
deposit account:
(A) The dates and amounts of deposits,
(B) The dates and amounts of disbursements to the subaccount's
lockbox account, and
(C) The dates and amounts of disbursements to the fish buyer or
other parties of interest earned on deposits.
(5) Annual report. By January 15, 2001, and by each January 15
thereafter until the loan is fully repaid, each fish buyer shall submit
to NMFS a report, on or in the form NMFS specifies, containing
[[Page 137]]
the following information for the preceding year for all fee fish each
fish buyer purchases from fish sellers:
(i) Total round weight bought;
(ii) Total delivery value paid;
(iii) Total fee amount collected;
(iv) Total fee collection amounts deposited by month;
(v) Dates and amounts of monthly disbursements to the subaccount
lockbox;
(vi) Total amount of interest earned on deposits; and
(vii) Depository account balance at year-end.
(6) State records. If landing records that a state requires from
fish sellers contain some or all of the data that this section requires
and state confidentiality laws or regulations do not prevent NMFS'
access to the records maintained for the state, then fish buyers can use
such records to meet appropriate portions of this section's
recordkeeping requirements. If, however, state confidentiality laws or
regulations make such records unavailable to NMFS, then fish buyers
shall maintain separate records for NMFS that meet the requirements of
this section.
(7) Audits. NMFS or its agents may audit, in whatever manner NMFS
believes reasonably necessary for the duly diligent administration of
the loan, the financial records of the fish buyers and the fish sellers
in order to ensure proper fee payment, collection, deposit,
disbursement, accounting, recordkeeping, and reporting. Fish buyers and
fish sellers shall make all records of all transactions involving fee
fish catches, fish deliveries, and fee payments, collections, deposits,
disbursements, accounting, recordkeeping, and reporting available to
NMFS or its agents at reasonable times and places and promptly provide
all requested information reasonably related to these records that such
fish sellers and fish buyers may otherwise lawfully provide. Trip
tickets (or similar accounting records establishing the round weight
pounds of fee fish that each fish buyer buys from each fish seller each
time that each fish buyer does so) are essential audit documentation.
(8) Confidentiality of records. NMFS and its auditing agents shall
maintain the confidentiality of all data to which NMFS has access under
this section and shall neither release the data nor allow the data's use
for any purpose other than the purpose of this subpart, unless otherwise
required by law; provided, however, that NMFS may aggregate such data so
as to preclude their identification with any fish buyer or any fish
seller and use them in the aggregate for other purposes.
(9) Refunds. When NMFS determines that the loan is fully repaid,
NMFS will refund any excess fee receipts, on a last-in/first-out basis,
to the fish buyers. Fish buyers shall return the refunds, on a last-in/
first-out basis, to the fish sellers who paid the amounts refunded.
(e) Late charges. The late charge to fish buyers for fee payment,
collection, deposit, and/or disbursement shall be one and one-half (1.5)
percent per month, or the maximum rate permitted by state law, for the
total amount of the fee not paid, collected, deposited, and/or disbursed
when due to be paid, collected, deposited, and/or disbursed within 5
days of the date due. The full late charge shall apply to the fee for
each month or portion of a month that the fee remains unpaid,
uncollected, undeposited, and/or undisbursed.
(f) Enforcement. In accordance with applicable law or other
authority, NMFS may take appropriate action against each fish seller
and/or fish buyer responsible for non-payment, non-collection, non-
deposit, and/or non-disbursement of the fee in accordance with this
subpart to enforce the collection from such fish seller and/or fish
buyer of any fee (including penalties and all costs of collection) due
and owing the United States on account of the loan that such fish seller
and/or fish buyer should have, but did not, pay, collect, deposit, and/
or disburse in accordance with this subpart. All such loan recoveries
shall be applied to reduce the unpaid balance of the loan.
(g) Prohibitions and penalties. (1) The following activities are
prohibited, and it is unlawful for anyone to:
(i) Avoid, decrease, interfere with, hinder, or delay payment or
collection of, or otherwise fail to fully and properly pay or collect,
any fee due and
[[Page 138]]
payable under this subpart or convert, or otherwise use for any purpose
other than the purpose this subpart intends, any paid or collected fee;
(ii) Fail to fully and properly deposit on time the full amount of
all fee revenue collected under this subpart into a deposit account and
disburse the full amount of all deposit principal to the subaccount's
lockbox account--all as this subpart requires;
(iii) Fail to maintain full, timely, and proper fee payment,
collection, deposit, and/or disbursement records or make full, timely,
and proper reports of such information to NMFS-all as this subpart
requires;
(iv) Fail to advise NMFS of any fish seller's refusal to pay, or of
any fish buyer's refusal to collect, any fee due and payable under this
subpart;
(v) Refuse to allow NMFS or agents that NMFS designates to review
and audit at reasonable times all books and records reasonably pertinent
to fee payment, collection, deposit, disbursement, and accounting under
this subpart or otherwise interfere with, hinder, or delay NMFS or it
agents in the course of their activities under this subpart;
(vi) Make false statements to NMFS, any of the NMFS' employees, or
any of NMFS' agents about any of the matters in this subpart;
(vii) Obstruct, prevent, or unreasonably delay or attempt to
obstruct, prevent, or unreasonably delay any audit or investigation NMFS
or its agents conduct, or attempt to conduct, in connection with any of
the matters in this subpart; and/or
(viii) Otherwise materially interfere with the efficient and
effective repayment of the loan.
(2) Anyone who violates one or more of the prohibitions of paragraph
(a) of this section is subject to the full range of penalties the
Magnuson-Stevens Act and 15 CFR part 904 provide (including, but not
limited to: civil penalties, sanctions, forfeitures, and punishment for
criminal offenses) and to the full penalties and punishments otherwise
provided by any other applicable law of the United States.
Sec. 600.1102 Pacific Coast groundfish fee.
(a) Purpose. This section implements the fee for repaying the
reduction loan financing the Pacific Coast Groundfish Program authorized
by section 212 of Division B, Title II, of Public Law 108-7 and
implemented by a final notification in the Federal Register (July 18,
2003; 68 FR 42613).
(b) Definitions. Unless otherwise defined in this section, the terms
defined in Sec. 600.1000 of subpart L expressly apply to this section.
The following terms have the following meanings for the purpose of this
section:
Borrower means, individually and collectively, each post-reduction
fishing permit holder and/or fishing vessel owner fishing in the
reduction fishery, in any or all of the fee-share fisheries, or in both
the reduction fishery and any or all of the fee-share fisheries.
Deposit principal means all collected fee revenue that a fish buyer
deposits in an account maintained at a federally insured financial
institution for the purpose of aggregating collected fee revenue before
sending the fee revenue to NMFS for repaying the reduction loan.
Fee fish means all fish harvested from the reduction fishery during
the period in which any portion of the reduction fishery's subamount is
outstanding and all fish harvested from each of the fee-share fisheries
during the period in which any portion of each fee-share fishery's
subamount is outstanding.
Fee-share fishery means each of the fisheries for coastal Dungeness
crab and pink shrimp in each of the States of California and Oregon and
the fishery for coastal Dungeness crab and ocean pink shrimp in the
State of Washington.
Fee-share fishery subaccount means each of the six subaccounts
established in the groundfish program's fund subaccount in which each of
the six fee-share fishery subamounts are deposited.
Reduction fishery means all species in, and that portion of, the
limited entry trawl fishery under the Federal Pacific Coast Groundfish
Fishery Management Plan that is conducted under permits, excluding those
registered to whiting
[[Page 139]]
catcher-processors, which are endorsed for trawl gear operation.
Reduction fishery subaccount means the subaccount established in the
groundfish program's fund subaccount in which the reduction fishery
subamount is deposited.
Subamount means each portion of the reduction loan's original
principal amount which is allocated either to the reduction fishery or
to any one of the fee-share fisheries.
(c) Reduction loan amount. The reduction loan's original principal
amount is $35,662,471.
(d) Subamounts. The subamounts of the reduction loan amount are:
(1) Reduction fishery, $28,428,719; and
(2) Fee-share fisheries:
(i) California coastal Dungeness crab fee-share fishery, $2,334,334,
(ii) California pink shrimp fee-share fishery, $674,202,
(iii) Oregon coastal Dungeness crab fee-share fishery, $1,367,545,
(iv) Oregon pink shrimp fee-share fishery, $2,228,845,
(v) Washington coastal Dungeness crab fee-share fishery, $369,426,
and
(vi) Washington ocean pink shrimp fee-share fishery, $259,400.
(e) Interest accrual inception. Interest began accruing on each
portion of the reduction loan amount on and from the date each such
portion was disbursed.
(f) Interest rate. The reduction loan's interest rate is 6.97
percent. This is a fixed rate of interest for the full term of the
reduction loan's life.
(g) Repayment term. For the purpose of determining fee rates, the
reduction loan's repayment term shall be 30 years from March 1, 2004,
but each fee shall continue for as long as necessary to fully repay each
subamount.
(h) Reduction loan. The reduction loan shall be subject to the
provisions of Sec. 600.1012 of subpart L, except that:
(1) The borrower's obligation to repay the reduction loan shall be
discharged by fish sellers in the reduction fishery and in each of the
fee-share fisheries paying the fee applicable to each such fishery's
subamount in accordance with Sec. 600.1013 of subpart L, and
(2) Fish buyers in the reduction fishery and in each of the fee-
share fisheries shall be obligated to collect the fee applicable to each
such fishery's subamount in accordance with Sec. 600.1013 of this
subpart.
(i) Fee collection, deposits, disbursements, records, and reports.
Fish buyers in the reduction fishery and in each of the fee share
fisheries shall deposit and disburse, as well as keep records for and
submit reports about, the fees applicable to each such fishery in
accordance with Sec. 600.1014 of this subpart, except that:
(1) Deposit accounts. Each fish buyer that this section requires to
collect a fee shall maintain an account at a federally insured financial
institution for the purpose of depositing collected fee revenue and
disbursing the deposit principal directly to NMFS in accordance with
paragraph (i)(3) of this section. The fish buyer may use this account
for other operational purposes as well, but the fish buyer shall ensure
that the account separately accounts for all deposit principal collected
from the reduction fishery and from each of the six fee-share fisheries.
The fish buyer shall separately account for all fee collections as
follows:
(i) All fee collections from the reduction fishery shall be
accounted for in a reduction fishery subaccount,
(ii) All fee collections from the California pink shrimp fee-share
fishery shall be accounted for in a California shrimp fee-share fishery
subaccount,
(iii) All fee collections from the California coastal Dungeness crab
fishery shall be accounted for in a California crab fee-share fishery
subaccount,
(iv) All fee collections from the Oregon pink shrimp fee-share
fishery shall be accounted for in an Oregon shrimp fee-share fishery
subaccount,
(v) All fee collections from the Oregon coastal Dungeness crab fee-
share fishery shall be accounted for in an Oregon crab fee-share fishery
subaccount,
(vi) All fee collections from the Washington ocean pink shrimp fee-
share fishery shall be accounted for in a Washington ocean shrimp fee-
share fishery subaccount, and
(vii) All fee collections from the Washington coastal Dungeness crab
fishery shall be accounted for in a Washington crab fee-share fishery
subaccount;
[[Page 140]]
(2) Fee collection deposits. Each fish buyer, no less frequently
than at the end of each month, shall deposit, in the deposit account
established under paragraph (i)(1) of this section, all collected fee
revenue not previously deposited that the fish buyer collects through a
date not more than two calendar days before the date of deposit. The
deposit principal may not be pledged, assigned, or used for any purpose
other than aggregating collected fee revenue for disbursement to the
fund in accordance with paragraph (i)(3) of this section. The fish buyer
is entitled, at any time, to withdraw interest (if any) on the deposit
principal, but never the deposit fee principal itself, for the fish
buyer's own use and purposes;
(3) Deposit principal disbursement. Not later than the 14th calendar
day after the last calendar day of each month, or more frequently if the
amount in the account exceeds the account limit for insurance purposes,
the fish buyer shall disburse to NMFS the full deposit principal then in
the deposit account, provided that the deposit principal then totals
$100 or more. If the deposit principal then totals less than $100, the
fish buyer need not disburse the deposit principal until either the next
month during which the deposit principal then totals $100 or more, or
not later than the 14th calendar day after the last calendar day of any
year in which the deposit principal has not since the last required
disbursement totaled $100 or more, whichever comes first. The fish buyer
shall disburse deposit principal by check made payable to the groundfish
program's fund subaccount. The fish buyer shall mail each such check to
the groundfish program's fund subaccount lockbox that NMFS establishes
for the receipt of groundfish program disbursements. Each disbursement
shall be accompanied by the fish buyer's fee collection report completed
in the manner and form which NMFS specifies. NMFS will, before fee
payment and collection begins, specify the groundfish program's fund
subaccount lockbox and the manner and form of fee collection report.
NMFS will do this by means of the notification in Sec. 600.1013(d) of
subpart L. NMFS' fee collection report instructions will include
provisions for the fish buyer to specify the amount of each disbursement
which was disbursed from the reduction fishery subaccount and/or from
each of the six fee-share fishery subaccounts;
(4) Records maintenance. Each fish buyer shall maintain, in a secure
and orderly manner for a period of at least 3 years from the date of
each transaction involved, at least the following information:
(i) For all deliveries of fee fish that the fish buyer buys from
each fish seller:
(A) The date of delivery,
(B) The fish seller's identity,
(C) The weight, number, or volume of each species of fee fish
delivered,
(D) Information sufficient to specifically identify the fishing
vessel which delivered the fee fish,
(E) The delivery value of each species of fee fish,
(F) The net delivery value of each species of fee fish,
(G) The identity of the payor to whom the net delivery value is
paid, if different than the fish seller,
(H) The date the net delivery value was paid,
(I) The total fee amount collected as a result of all fee fish, and
(J) The total fee amount collected as a result of all fee fish from
the reduction fishery and/or all fee fish from each of the six fee-share
fisheries; and
(ii) For all collected fee deposits to, and disbursements of deposit
principal from, the deposit account include:
(A) The date of each deposit,
(B) The total amount deposited,
(C) The total amount deposited in the reduction fishery subaccount
and/or in each of the six fee-share fishery subaccounts,
(D) The date of each disbursement to the Fund's lockbox,
(E) The total amount disbursed,
(F) The total amount disbursed from the reduction fishery subaccount
and/or from each of the six fee-share fishery subaccounts, and
(G) The dates and amounts of disbursements to the fish buyer, or
other parties, of interest earned on deposits; and
(5) Annual report. No fish buyer needs to submit an annual report
about fee fish collection activities unless, during
[[Page 141]]
the course of an audit under Sec. 600.1014(g), NMFS requires a fish
buyer to submit such a report or reports.
(j) Other provisions. The reduction loan is, in all other respects,
subject to the provisions of Sec. 600.1012 through applicable portions
of Sec. 600.1017, except Sec. 600.1014(e).
[70 FR 40229, July 13, 2005, as amended at 71 FR 28, Jan. 3, 2006]
Sec. 600.1103 Bering Sea and Aleutian Islands (BSAI) Crab species program.
(a) Purpose. This section's purpose is to implement the program that
Section 144(d) of Division B of Pub. L. 106-554, as amended by section
2201 of Pub. L. 107-20 and section 205 of Pub. L. 107-117, enacted for
BSAI crab species.
(b) Terms. Unless otherwise defined in this section, the terms
defined in Sec. 600.1000 expressly apply to the program for BSAI crab.
Likewise, the terms defined in Sec. 679.2 of this chapter also apply to
terms not otherwise defined in either Sec. 600.1000 or this section.
The following terms used in this section have the following meanings for
the purpose of this section:
Acceptance means NMFS' acceptance, on behalf of the United States,
of a bid.
Bid means a bidder's irrevocable offer, in response to an invitation
to bid under this section, to surrender, to have revoked, to have
restricted, to relinquish, to have withdrawn, or to have extinguished by
other means, in the manner this section requires, the bidder's reduction
fishing interest.
Bid amount means the dollar amount of each bid.
Bidder means either a qualifying bidder bidding alone or a
qualifying bidder and a co-bidder bidding together who at the time of
bidding holds the reduction fishing interests specified at Sec.
600.1018(e).
Bid crab means the crab that NMFS determines each bidder's
reduction/history vessel (see definition) harvested, according to the
State of Alaska's records of the documented harvest of crab, from each
reduction endorsement fishery and from the Norton Sound fishery during
the most recent 5 calendar years in which each reduction endorsement
fishery was for any length of time open for directed crab fishing during
a 10-calendar-year period beginning on January 1, 1990, and ending on
December 31, 1999.
Bid score means the criterion by which NMFS decides in what order to
accept bids in the reverse auction this section specifies.
Co-bidder means a person who is not a qualifying bidder, but who at
the time of bidding owns the reduction/privilege vessel this section
requires to be included in a bid and is bidding together with a
qualifying bidder.
Crab means the crab species covered by the Fishery Management Plan
for the Bering Sea/Aleutian Islands King and Tanner Crabs pursuant to
Sec. 679.2 of this chapter.
Crab license means a License Limitation Program license for crab
issued pursuant to Sec. 679.4(k)(5) of this chapter.
Crab reduction permit means a non-interim crab license endorsed for
one or more reduction endorsement fisheries, regardless of whether it is
also endorsed for the Norton Sound fishery.
FSD means NMFS' Financial Services Division, located in NMFS' Silver
Spring, MD, headquarters office.
Non-crab reduction permit means a fishing license, including all of
its predecessor history, for which a bidder is the holder of record on
December 12, 2003 and which was issued based on the fishing history of
the bidder's -reduction/history vessel.
Norton Sound fishery means the non-reduction fishery defined in
Sec. 679.2 of this chapter as the area/species endorsement for Norton
Sound red king and Norton Sound blue king crab.
NVDC means the U.S. Coast Guard's National Vessel Documentation
Center located in Falling Waters, WV.
Qualifying bidder means a person who at the time of bidding is the
license holder of record of a crab reduction permit.
Qualifying voter means a person who at the time of voting in a
referendum is the license holder of record either of an interim or a
non-interim crab license, except a crab license whose sole area/species
endorsement is for the Norton Sound fishery.
RAM Program means NMFS' Restricted Access Management Program located
in NMFS' Juneau, AK, regional office.
[[Page 142]]
Reduction endorsement fishery means any of the seven fisheries that
Sec. 679.2 of this chapter defines as area/species endorsements except
the area/species endorsement for the Norton Sound fishery.
Reduction fishery means the fishery for all crab covered by the
Bering Sea/Aleutian Islands King and Tanner Crabs Fishery Management
Plan under all area/species endorsements that section 679.2 of the
chapter defines, except the area/species endorsement for the Norton
Sound fishery.
Reduction fishing history means, for each bid, the complete
documented harvest of the bidder's reduction/history vessel, upon any
part of which such harvest NMFS based issuance of the crab license
included in the bid as a crab reduction permit, plus such fishing
history, after the issuance of such crab license, of any other vessel
upon which the bidder used such crab license.
Reduction fishing interest means, for each bid, the bidder's:
(1) Reduction fishing privilege (see definition);
(2) Crab reduction permit;
(3) Non-crab reduction permit;
(4) Reduction fishing history (see definition); and
(5) Any other claim that could in any way qualify the owner, holder,
or retainer of any of the reduction components, or any person claiming
under such owner, holder, or retainer, for any present or future limited
access system fishing license or permit in any United States fishery
(including, but not limited to, any harvesting privilege or quota
allocation under any present or future individual fishing quota system).
Reduction fishing privilege means the worldwide fishing privileges
of a bid's reduction/privilege vessel (see definition).
Reduction/history vessel means the vessel or vessels which generated
the reduction fishing history.
Reduction loan sub-amount means the portion of the original
principal amount of reduction loan this section specifies each reduction
endorsement fishery must repay with interest.
Reduction/privilege vessel means the vessel designated on a crab
license on December 12, 2003.
Referendum means a referendum under this section to determine
whether voters approve the fee required to repay this program's
reduction loan.
Replacement vessel means a reduction/history vessel which replaced
the lost or destroyed one whose reduction fishing history qualified
during the general qualification period and the endorsement
qualification period and, which under the exceptions in Amendment 10,
qualified during the recent participation period.
(c) Relationship to this subpart--(1) Provisions that apply. The
provisions of Sec. 600.1000 through Sec. 600.1017 of this subpart
apply to this program except as paragraph (c)(2) of this section
provides; and
(2) Provisions that do not apply. The following sections, or
portions of them, of this subpart do not apply to this program:
(i) All of:
(A) Section 600.1001,
(B) Section 600.1002,
(C) Section 600.1003,
(D) Section 600.1004,
(E) Section 600.1005,
(F) Section 600.1006, and
(G) Section 600.1007,
(ii) The portions of Sec. 600.1008:
(A) Pertaining to an implementation plan,
(B) Pertaining to a 60-day comment period for a proposed
implementation regulation,
(C) Pertaining to public hearings in each State that the this
program affects,
(D) Pertaining to basing the implementation regulation on a business
plan,
(E) Within paragraphs (d)(1)(ii) through (viii),
(F) Within paragraph (d)(2)(ii),
(G) Within paragraph (e), and
(H) Within paragraph (f) and pertaining to fishing capacity
reduction specifications and a subsidized program,
(iii) The portions of Sec. 600.1009:
(A) Pertaining to fishing capacity reduction specifications,
(B) Within paragraph (a)(4),
[[Page 143]]
(C) Pertaining to a reduction amendment,
(D) Within paragraph (a)(5)(ii), to the extent that the paragraph is
inconsistent with the requirements of this section,
(E) Within paragraph (b)(i), and
(F) Pertaining to an implementation plan,
(iv) The portions of Sec. 600.1010:
(A) Within paragraph (b),
(B) Pertaining to fishing capacity reduction specifications,
(C) Within paragraph (d)(1), and
(D) Within paragraphs (d)(4))(iv) through (vii),
(v) The portions of Sec. 600.1011:
(A) That comprise the last sentence of paragraph (a),
(B) Within paragraph (d), and
(C) Within paragraph (e)(2),
(vi) The portions of Sec. 600.1012:
(A) Within paragraph (b)(3) following the word ``subpart'', and
(B) Within paragraph (b)(3), and
(vii) The last sentence of Sec. 600.1014(f).
(d) Reduction cost financing. NMFS will use the proceeds of a
reduction loan, authorized for this purpose, to finance 100 percent of
the reduction cost. The original principal amount of the reduction loan
will be the total of all reduction payments that NMFS makes under
reduction contracts. This amount shall not exceed $100 million.
(e) Who constitutes a bidder. A bidder is a person or persons who is
the:
(1) Holder of record and person otherwise fully and legally entitled
to offer, in the manner this section requires, the bid's crab reduction
permit and the bid's non-crab reduction permit;
(2) Reduction/privilege vessel owner, title holder of record, and
person otherwise fully and legally entitled to offer, in the manner this
section requires, the bid's reduction fishing privilege; and
(3) Retainer and person otherwise fully and legally entitled to
offer, in the manner this section requires, the bid's reduction fishing
history.
(f) How crab licenses determine qualifying bidders and qualifying
voters--(1) Non-interim crab licenses. Each person who is the record
holder of a non-interim crab license endorsed for one or more reduction
endorsement fisheries is both a qualifying bidder and a qualifying voter
and can both bid and vote;
(2) Interim crab licenses. Each person who is the record holder of
an interim crab license endorsed for one or more reduction endorsement
fisheries is a qualifying voter but not a qualifying bidder and can vote
but not bid;
(3) Crab licenses endorsed solely for the Norton Sound Fishery. Each
person who is the record holder of any crab license endorsed solely for
the Norton Sound fishery is neither a qualifying bidder nor a qualifying
voter and can neither bid nor vote; and
(4) Time at which qualifying bidders and voters must hold required
crab licenses. A qualifying bidder must be the record holder of the
required crab license at the time the qualifying bidder submits its bid.
A qualifying voter must be the record holder of the required crab
license at the time the qualifying voter submits its referendum ballot.
(g) Qualifying bidders and co-bidders--(1) Qualifying bidders
bidding alone. There is no co-bidder when a qualifying bidder owns,
holds, or retains all the required components of the reduction fishing
interest;
(2) Qualifying bidders bidding together with co-bidders. When a
qualifying bidder does not own the reduction/privilege vessel, the
person who does may be the qualifying bidder's co-bidder; and
(3) Minimum reduction components that qualifying bidders must hold
or retain when bidding with co-bidders. At a minimum, a qualifying
bidder must hold the crab reduction permit and the non-crab reduction
permit and retain the reduction fishing history. The reduction/privilege
vessel may, however, be owned by another person who is a co-bidder.
(h) Reduction fishing interest--(1) General requirements. Each
bidder must:
(i) In its bid, offer to surrender, to have revoked, to have
restricted, to relinquish, to have withdrawn, or to have extinguished by
other means, in the manner that this section requires, the reduction
fishing interest,
(ii) At the time of bidding, hold, own, or retain the reduction
fishing interest and be fully and legally entitled to offer, in the
manner that this section
[[Page 144]]
requires, the reduction fishing interest, and
(iii) Continuously thereafter hold, own, or retain the reduction
fishing interest and remain fully and legally entitled to offer, in the
manner that this section requires, the reduction fishing interest until:
(A) The bid expires without NMFS first having accepted the bid,
(B) NMFS notifies the bidder that NMFS rejects the bid,
(C) NMFS notifies the bidder that a reduction contract between the
bidder and the United States no longer exists, or
(D) NMFS tenders reduction payment to the bidder;
(2) Reduction/privilege vessel requirements. The reduction/privilege
vessel in each bid must be:
(i) The vessel designated, at the time this final rule is published
in the Federal Register, on a crab license which becomes a bid's crab
reduction permit, and
(ii) Be neither lost nor destroyed at the time of bidding;
(3) Reduction fishing privilege requirements. The reduction fishing
privilege in each bid must be the reduction/privilege vessel's:
(i) Fisheries trade endorsement under the Merchant Marine Act, 1936
(46 U.S.C.A. 12108),
(ii) Qualification for any present or future U.S. Government
approval under section (9)(c)(2) of the Shipping Act, 1916 (46 U.S.C.
App. 808(c)(2)) for placement under foreign registry or operation under
the authority of a foreign country, and
(iii) Any other privilege to ever fish anywhere in the world;
(4) Crab reduction permit requirements. (i) Except as otherwise
provided in paragraph (i) of this section, the crab reduction permit
must in each bid:
(A) Be the crab license that NMFS issued on the basis of the
bidder's reduction fishing history,
(B) Be non-interim at the time each bidder submits its bid, and
(C) Include an area/species endorsement for any one or more
reduction endorsement fisheries,
(ii) Although the Norton Sound fishery is not a reduction
endorsement fishery, an area/species endorsement for the Norton Sound
fishery occurring on a crab reduction permit must be surrendered and
revoked (and all fishing history involving it relinquished) in the same
manner as all other reduction endorsement fisheries occurring on the
crab reduction permit;
(5) Non-crab reduction permit requirements. The non-crab reduction
permit must in each bid be every license, permit, or other harvesting
privilege that:
(i) NMFS issued on the basis of the fishing history of the bidder's
reduction/history vessel, and
(ii) For which the bidder was the license holder of record on the
effective date of this section; and
(6) Reduction fishing history requirements. Except as otherwise
provided in paragraph (i) of this section, the reduction fishing history
in each bid must that of a single reduction/history vessel.
(i) Exceptions to the reduction fishing interest requirements--(1)
Lost or destroyed vessel salvaged. When a bidder has salvaged a lost or
destroyed vessel and has made from the salvaged vessel the documented
harvest of crab Sec. 679.4(k)(5)(iii)(B)(3) of this chapter requires,
the crab portion of the reduction fishing history is the salvaged
vessel's documented harvest of crab; and
(2) Lost or destroyed vessel not salvaged. When a bidder has not
salvaged the lost or destroyed vessel but has made from a replacement
vessel the documented harvest of crab Sec. 679.4(k)(5)(iii)(B)(3) of
this chapter requires:
(i) The crab portion of the reduction fishing history is the total
of the lost or destroyed vessel's documented harvest of crab through the
date of such vessel's loss or destruction plus the replacement vessel's
documented harvest of crab after such date, and
(ii) For the purposes of this program, the lost or destroyed
vessel's documented harvest of crab merges with, and becomes a part of,
the replacement vessel's documented harvest of crab; and
(3) Acquired crab fishing history. When a bidder, in the manner
Sec. 679.4(k)(5)(iv) of this chapter requires, has made a documented
harvest of crab from one vessel and has acquired a replacement vessel's
documented harvest of crab:
[[Page 145]]
(i) The crab portion of the reduction fishing history is the total
of the acquired documented harvest of crab through December 31, 1994,
plus the documented harvest of crab after December 31, 1994, of the
vessel from which the bidder made the documented crab harvest Sec.
679.4(k)(5)(iv) of this chapter requires, and
(ii) [Reserved]
(iii) For the purposes of this program, the acquired documented
harvest of crab merges with, and becomes a part of, the non-acquired
documented harvest of crab.
(j) Determining value of reduction/history vessels' bid crab--(1) In
each fishery. NMFS will determine the dollar value of each reduction/
history vessel's bid crab in each reduction endorsement fishery and in
the Norton Sound Fishery by multiplying each reduction/history vessel's
number of pounds of each species of bid crab by the average ex-vessel
price per pound that the State of Alaska annually publishes for each
crab species in the bid crab; and
(2) In all fisheries. NMFS will determine the dollar value of each
reduction/history vessel's bid crab in all reduction endorsement
fisheries and in the Norton Sound fishery by adding each of the products
of the multiplications in paragraph (j)(1) of this section; and
(3) Crab excluded from bid crab. A reduction/history vessel's bid
crab may not include, to the extent that NMFS has knowledge:
(i) Triangle tanner crab, grooved tanner crab, and any other crab
not involved in the various area/species endorsements,
(ii) Discarded crab,
(iii) Crab caught for personal use,
(iv) Unspecified crab, and
(v) Any other crab for which the dollar value, crab fishery, landing
date, or harvesting vessel NMFS cannot, for whatever reason, determine.
(k) Determining bid score. NMFS will determine each bid score by
dividing each bid amount by the sum in paragraph (j)(2) of this section.
(l) Determining reduction loan sub-amount--(1) Value of all bid crab
in each fishery. NMFS will add the dollar value of bid crab of all
accepted bidders' reduction/history vessels in each reduction
endorsement fishery;
(2) Value of all bid crab in all fisheries. NMFS will add the dollar
value of bid crab of all accepted bidders' reduction/history vessels in
all reduction endorsement fisheries plus the Norton Sound fishery;
(3) Each fishery as a percentage of all fisheries. NMFS will divide
each of the sums in paragraph (l)(1) of this section by the sum in
paragraph (l)(2) of this section. The result of this calculation will be
the dollar value of all bid crab in each reduction endorsement fishery
as a percentage of the dollar value of all bid crab in all reduction
endorsement fisheries plus the Norton Sound fishery;
(4) Applying percentages to loan amount. NMFS will multiply the
reduction loan's full original principal amount by each of the yields in
paragraph (l)(3) of this section; and
(5) Loan sub-amount. Each of the amounts resulting from the
calculation in paragraph (l)(4) of this section will be the reduction
loan subamount that a reduction endorsement fishery must repay.
(m) Prospectively qualifying bidder and voter notification--(1)
General. At the appropriate point before issuing an invitation to bid,
NMFS will publish a notification in the Federal Register listing all
persons who at the time of publishing the notification prospectively are
qualifying bidders and qualifying voters;
(2) Qualifying bidder list. The prospectively qualifying bidder list
will include the names and addresses of record of each license holder of
record for all non-interim crab licenses except only crab licenses whose
sole area/species endorsement is for the Norton Sound fishery;
(3) Qualifying voter list. The prospectively qualifying voter list
will include the names and addresses of record of each license holder of
record for all non-interim and interim crab licenses except only crab
licenses whose sole area/species endorsement is for the Norton Sound
fishery;
(4) Basis of lists. NMFS will base both the lists on the RAM
Program's license holder records for crab licenses meeting the
requirements of Sec. 679.4(k)(5) of
[[Page 146]]
this chapter as well as the requirements of this section;
(5) Purpose. The purpose of the notification is to provide the
public notice of:
(i) The prospectively qualifying bidders, and
(ii) The prospectively qualifying voters; and
(6) Public comment. Any person who wants to comment about the
notification has 30 days from the notification's publication date to do
so. Persons should send their comments to both FSD and the RAM Program
(at addresses that the notification will specify). Comments may address:
(i) Persons who appear on one or more lists but should not,
(ii) Persons who do not appear on one or more lists but should, and
(iii) Persons who believe their names and/or business mailing
addresses appearing on one or more lists are incorrect.
(n) Invitation to bid--(1) Notification. At the appropriate point
after issuing the notification in paragraph (m) of this section, NMFS
will publish the invitation to bid in the Federal Register notification
further specified in Sec. 600.1009(c) of this subpart, along with a
bidding form and terms of capacity reduction agreement. No person may,
however, bid at this stage;
(2) Notification contents. The invitation to bid notification will
state all applicable bid submission requirements and procedures
(including, but not limited to, those included in this section). In
particular, the invitation to bid notification will:
(i) State the date on which NMFS will invite bids by mailing an
invitation to bid to each person on the prospectively qualifying bidder
list,
(ii) State a bid opening date, before which a bidder may not bid,
and a bid closing date, after which a bidder may not bid,
(iii) State a bid expiration date after which each bid expires
unless, prior to that date, NMFS accepts the bid by mailing a written
acceptance notice to the bidder at the bidder's address of record,
(iv) State the manner of bid submission and the information each
bidder must submit for NMFS to deem a bid responsive,
(v) State any other information required for bid submission, and
(vi) Include a facsimile of the invitation to bid, along with a
bidding form and terms of capacity reduction agreement comprising the
entire terms and conditions of the reduction contract under which each
bidder must bid and under which NMFS must accept a bid; and
(3) Mailing. On the date specified in this notification, NMFS will
invite bids by mailing the invitation to bid and a bidding package,
including a bidding form terms of capacity reduction agreement, to each
person then on the prospectively qualifying bidder list. NMFS will not
mail the invitation to bid to any potential co-bidder because NMFS will
not then know which bids may include a co-bidder. Each qualifying bidder
is solely responsible to have any required co-bidder properly complete
the bid. No person may bid before receiving the invitation to bid and
the bidding package that NMFS mailed to that person.
(o) Bids--(1) Content. Each invitation to bid that NMFS mails to a
qualifying bidder will have a bid form requiring each bid to:
(i) Identify, by name, regular mail address, telephone number, and
(if available) electronic mail address, the qualifying bidder and each
co-bidder,
(ii) State the bid amount in U.S. dollars,
(iii) Identify, by crab license number, the qualifying bidder's crab
reduction permit and include an exact copy of this crab license (which
the RAM Program issued),
(iv) Identify, by vessel name and official number, the bidder's
reduction/privilege vessel, and include an exact copy of this vessel's
official document (which NVDC issued),
(v) Identify, by license or permit number, each of the bidder's non-
crab reduction permits; and include an exact copy of each of these
licenses or permits (which the RAM Program issued for licenses or
permits involving species under the jurisdiction of NMFS' Alaska Region
and which other NMFS
[[Page 147]]
offices issued for licenses or permits involving species under those
offices' jurisdiction),
(vi) Identify, separately for crab and for each other species:
(A) The qualifying bidder's reduction fishing history, and
(B) The dates that each portion of the reduction fishing history
encompasses; the name and official number of the reduction/history
vessel or vessels which gave rise to it; and the dates during which the
qualifying bidder owned such vessels or, if the qualifying bidder
acquired any reduction fishing history from another person, the name of
the person from which the qualifying bidder acquired such reduction
fishing history and the manner in which and the date on which the
qualifying bidder did so,
(vii) State, declare, and affirm that the qualifying bidder holds
the crab reduction permit and retains the complete reduction fishing
history, and is fully and legally entitled to offer both in the manner
this section requires,
(viii) State, declare, and affirm that either the qualifying bidder
or the co-bidder owns the reduction/privilege vessel and holds the non-
crab reduction permit and is fully and legally entitled to offer both in
the manner that this section requires, and
(ix) Provide any other information or materials that NMFS believes
is necessary and appropriate; and
(2) Rejection. NMFS, regardless of bid scores, will reject any bid
that NMFS believes is unresponsive to the invitation to bid. All bid
rejections will constitute final agency action as of the date of
rejection. Before rejection, NMFS may, however, contact any bidder to
attempt to correct a bid deficiency if NMFS, in its discretion, believes
the attempt warranted.
(p) Acceptance--(1) Reverse auction. NMFS will determine which
responsive bids NMFS accepts by using a reverse auction in which NMFS
first accepts the responsive bid with the lowest bid score and
successively accepts each additional responsive bid with the next lowest
bid score until either there are no more responsive bids to accept or
acceptance of the last responsive bid with the next lowest bid score
would cause the reduction cost to exceed $100 million. If two or more
responsive bid scores are exactly the same, NMFS will first accept the
bid that NMFS first received;
(2) Notification. NMFS will, after the conclusion of a successful
referendum, notify accepted bidders that NMFS had, before the
referendum, accepted their bids; and
(3) Post-acceptance reduction permit transfer. After NMFS has
accepted bids, neither the RAM Program (nor any other NMFS office) will
transfer to other persons any reduction permits that accepted bidders
included in the bids unless and until FSD advises the RAM Program (or
some other NMFS office) that the resulting reduction contracts are no
longer in effect because a referendum failed to approve the fee that
this section requires to repay this program's reduction loan.
(q) Reduction contracts subject to successful post-bidding
referendum condition. Although this program involves no fishing capacity
reduction specifications under this subpart, each bid, each acceptance,
and each reduction contract is nevertheless subject to the successful
post-bidding referendum condition that Sec. 600.1009(a)(3) of this
subpart specifies for bidding results that do not conform to the fishing
capacity reduction specifications.
(r) Post-bidding referendum--(1) Purpose. NMFS will conduct a post-
bidding referendum whose sole purpose is to determine whether, based on
the bidding results, qualifying voters who cast referendum ballots in
the manner that this section requires authorize the fee required to
repay this program's reduction loan;
(2) Manner of conducting. NMFS will mail a referendum ballot to each
person then on the prospectively qualifying voter list for each crab
license that the person holds and otherwise conduct the referendum as
specified in Sec. 600.1010 of this subpart;
(3) One vote per crab license. Each qualifying voter may cast only
one vote for each crab license that each qualifying voter holds;
(4) Crab license numbers on ballots. Each referendum ballot that
NMFS mails will contain the license number of the prospectively
qualifying voter's crab license to which the ballot relates;
[[Page 148]]
(5) Potential reduction results stated. Each referendum ballot that
NMFS mails will state the aggregate potential reduction results of all
the bids that NMFS accepted, including:
(i) The amount of reduction that all accepted bids potentially
effect, including:
(A) The number of crab reduction permits, together with each area/
species endorsement for which each of these licenses is endorsed,
(B) The number of reduction/privilege vessels and reduction/history
vessels, and
(C) The aggregate and average dollar value of bid crab (together
with the number of pounds of bid crab upon which NMFS based the dollar
value), in each reduction endorsement fishery and in the reduction
fishery, for all reduction/history vessels during the period for which
NMFS calculates the dollar value of bid crab,
(ii) The reduction loan sub-amount that each reduction endorsement
fishery must repay if a referendum approves the fee, and
(iii) Any other useful information NMFS may then have about the
potential sub-fee rate initially necessary in each reduction endorsement
fishery to repay each reduction loan sub-amount; and
(6) Notice that condition fulfilled. If the referendum is
successful, NMFS will notify accepted bidders, in the manner that Sec.
600.1010(d)(6)(iii) of this subpart specifies, that a successful
referendum has fulfilled the reduction contracts' successful post-
bidding referendum condition specified in paragraph (q) of this section.
(s) Reduction method. In return for each reduction payment, NMFS
will permanently:
(1) Revoke each crab reduction permit;
(2) Revoke each non-crab reduction permit;
(3) Revoke each reduction fishing privilege (which revocation will
run with the reduction/privilege vessel's title in the manner Sec.
600.1009(a)(5)(ii)(A) of this subpart requires and in accordance with 46
U.S.C. 12108(d));
(4) Effect relinquishment of each reduction fishing history for the
purposes specified in this section by noting in the RAM Program records
(or such other records as may be appropriate for reduction permits
issued elsewhere) that the reduction fishing history has been
relinquished under this section and will never again be available to
anyone for any fisheries purpose; and
(5) Otherwise restrict in accordance with this subpart each
reduction/privilege vessel and fully effect the surrender, revocation,
restriction, relinquishment, withdrawal, or extinguishment by other
means of all components of each reduction fishing interest.
(t) Reduction payment tender and disbursement--(1) Fishing continues
until tender. Each accepted bidder may continue fishing as it otherwise
would have absent the program until NMFS, after a successful referendum,
tenders reduction payment to the accepted bidder;
(2) Notification to the public. After a successful referendum but
before tendering reduction payment, NMFS will publish a notification in
the Federal Register listing all proposed reduction payments and putting
the public on notice:
(i) Of the crab reduction permits, the reduction/privilege vessels,
the reduction fishing histories, and the non-crab reduction permits upon
whose holding, owning, retaining, or other legal authority
representations accepted bidders based their bids and NMFS based its
acceptances, and
(ii) That NMFS intends, in accordance with the reduction contracts,
to tender reduction payments in return for the actions specified in
paragraph (s) of this section;
(3) Public response. The public has 30 days after the date on which
NMFS publishes the reduction payment tender notification to advise NMFS
in writing of any holding, owning, or retaining claims that conflict
with the representations upon which the accepted bidders based their
bids and on which NMFS based its acceptances;
(4) Tender and disbursement parties. NMFS will tender reduction
payments only to accepted bidders, unless otherwise provided contrary
written instructions by accepted bidders. Creditors or other parties
with secured or other interests in reduction/privilege vessels or
reduction permits are responsible to
[[Page 149]]
make their own arrangements with accepted bidders;
(5) Time of tender. At the end of the reduction payment tender
notification period, NMFS will tender reduction payments to accepted
bidders, unless NMFS then knows of a material dispute about an accepted
bidder's authority to enter into the reduction contract with respect to
any one or more components of the reduction fishing interest that
warrants, in NMFS' discretion, an alternative course of action;
(6) Method of tender and disbursement. NMFS will tender reduction
payment by requesting from each accepted bidder specific, written
instructions for paying the reduction payments. Upon receipt of these
payment instructions, NMFS will immediately disburse reduction payments
in accordance with the payment instructions; and
(7) Effect of tender. Concurrently with NMFS' tender of reduction
payment to each accepted bidder:
(i) All fishing activity for any species anywhere in the world in
any way associated with each accepted bidder's reduction fishing
interest must cease,
(ii) Each accepted bidder must retrieve all fixed fishing gear for
whose deployment the accepted bidder's reduction/privilege vessel was
responsible, and
(iii) NMFS will fully exercise its reduction contract rights with
respect to the reduction fishing interest by taking the actions
specified in paragraph (s) of this section.
(u) Fee payment and collection--(1) Fish sellers who pay the fee.
Any person who harvests any crab, but whom ADF&G's fisheries reporting
requirements do not require to record and submit an ADF&G fish ticket
for that crab, is a fish seller for the purpose of paying any fee on
that crab and otherwise complying with the requirements of Sec.
600.1013 of this subpart;
(2) Fish buyers who collect the fee. Any person whom ADF&G's
fisheries reporting requirements require to record and submit an ADF&G
fish ticket for any crab that another person harvested is a fish buyer
for the purpose of collecting the fee on that crab and otherwise
complying with the requirements of Sec. 600.1013 of this subpart; and
(3) Persons who are both fish sellers and fish buyers and both pay
and collect the fee. Any person who harvests any crab, and whom ADF&G's
fisheries reporting requirements require to record and submit an ADF&G
fish ticket for that crab, is both a fish seller and a fish buyer for
the purpose of paying and collecting the fee on that crab and otherwise
complying with the requirements of Sec. 600.1013 of this subpart.
(v) Fishing prohibition and penalties--(1) General. Fishing, for the
purpose of this section, includes the full range of activities defined
in the term ``fishing'' in the Magnuson-Stevens Fishery Conservation and
Management Act (16 U.S.C. 1801),
(2) Prohibitions. Concurrently with NMFS' tender of each reduction
payment, and with the sole exception in paragraph (t)(7)(i) of this
section, no person whatsoever may, and it is unlawful for any person to:
(i) Fish with or attempt to fish with, or allow others to fish with
or attempt to fish with, the reduction/privilege vessel anywhere in the
world for any species under any conditions and regardless of the
reduction/privilege vessel's ownership or registry for so long as the
reduction/privilege vessel exists. This prohibition includes, but is not
limited to, fishing on the high seas or in the jurisdiction of any
foreign country (to the extent prohibited by law) while operating under
U.S. flag,
(ii) Place or attempt to place, or allow others to place or attempt
to place, the reduction/privilege vessel under foreign flag or registry,
(iii) Operate or attempt to operate, or allow others to operate or
attempt to operate, the reduction/privilege vessel under the authority
of a foreign country to the extent prohibited by law,
(iv) Otherwise avoid or attempt to avoid, or allow others to avoid
or attempt to avoid, the revocation of the reduction fishing privilege
with respect to any reduction/privilege vessel, and
(v) Make any claim or attempt to make any claim, or allow others to
claim or attempt to make any claim, for any present or future limited
access fishing license or permit in any U.S. fishery (including, but not
limited to, any quota allocation under any present
[[Page 150]]
or future individual quota allocation system) based in any way on any
portion of a reduction fishing interest surrendered, revoked,
restricted, relinquished, withdrawn, or extinguished by other means
under this section; and
(3) Penalties. The activities that this paragraph prohibits are
subject to the full penalties provided in Sec. 600.1017 of this
subpart, and immediate cause for NMFS to take action to, among other
things:
(i) At the reduction/privilege vessel owner's expense, seize and
scrap the reduction/privilege vessel, and
(ii) Pursue such other remedies and enforce such other penalties as
may be applicable.
(w) Program administration--(1) FSD responsibilities. FSD is
responsible for implementing and administering this program. FSD will:
(i) Issue all notifications and mailings that this section requires,
(ii) Prepare and issue the invitation to bid,
(iii) Receive bids,
(iv) Reject bids,
(v) Score bids,
(vi) Make acceptances,
(vii) Prepare and issue referendum ballots,
(viii) Receive referendum ballots,
(ix) Tally referendum ballots,
(x) Determine referendum success or failure,
(xi) Tender and disburse reduction payments,
(xii) Administer reduction contracts,
(xiii) Administer fees and reduction loan repayment, and
(xiv) Discharge all other management and administration functions
that this section requires;
(2) RAM Program responsibilities. Upon FSD's advice, the RAM Program
(for fishing licenses under the jurisdiction of NMFS's Alaska Region)
and any other appropriate NMFS authority (for fishing licenses under the
jurisdiction of any other NMFS office) will revoke reduction permits and
effect the surrender of fishing histories in accordance with this
section; and
(3) NVDC and MARAD responsibilities. FSD will advise NVDC, MARAD,
such other agency or agencies as may be involved, or all of them to
revoke reduction/privilege vessels' fisheries trade endorsements and
otherwise restrict reduction/privilege vessels in accordance with this
section.
(x) Reduction loan and reduction loan sub-amounts. [Reserved]
[68 FR 69337, Dec. 12, 2003. Redesignated at 69 FR 53362, Sept. 1, 2004]
Sec. 600.1104 Bering Sea and Aleutian Islands (BSAI) crab species fee payment and collection system.
(a) Purpose. As authorized by Public Law 106-554, this section's
purpose is to:
(1) In accordance with Sec. 600.1012 of subpart L, establish:
(i) The borrower's obligation to repay a reduction loan, and
(ii) The loan's principal amount, interest rate, and repayment term;
and
(2) In accordance with Sec. 600.1013 through Sec. 600.1016 of
subpart L, implement an industry fee system for the reduction fishery.
(b) Definitions. Unless otherwise defined in this section, the terms
defined in Sec. 600.1000 of subpart L and Sec. 600.1103 of this
subpart expressly apply to this section. The following terms have the
following meanings for the purpose of this section:
Crab rationalization crab means the same as in Sec. 680.2 of this
chapter.
Crab rationalization fisheries means the same as in Sec. 680.2 of
this chapter.
Reduction endorsement fishery means any of the seven fisheries that
Sec. 679.2 of this chapter formerly (before adoption of part 680 of
this chapter) defined as crab area/species endorsements, except the
area/species endorsement for Norton Sound red king. More specifically,
the reduction endorsement fisheries, and the crab rationalization
fisheries which (after adoption of part 680 of this chapter) correspond
to the reduction endorsement fisheries, are:
(1) Bristol Bay red king (the corresponding crab rationalization
fishery is Bristol Bay red king crab),
(2) Bering Sea and Aleutian Islands Area C. opilio and C. bairdi
(the corresponding crab rationalization fisheries are two separate
fisheries, one for Bering Sea snow crab and another for Bering Sea
Tanner crab),
(3) Aleutian Islands brown king (the corresponding crab
rationalization fisheries are the two separate fisheries,
[[Page 151]]
one for Eastern Aleutian Islands golden king crab and another for
Western Aleutian Islands golden king crab),
(4) Aleutian Islands red king (the corresponding crab
rationalization fishery is Western Aleutian Islands red king crab),
(5) Pribilof red king and Pribilof blue king (the corresponding crab
rationalization fishery is Pribilof red king and blue king crab), and
(6) St. Matthew blue king (the corresponding crab rationalization
fishery is also St. Matthew blue king crab).
Reduction fishery means the fishery for all crab rationalization
crab, excluding CDQ allocations, in all crab rationalization fisheries.
Sub-amount means the portion of the reduction loan amount for whose
repayment the borrower in each reduction endorsement fishery is
obligated.
(c) Reduction loan amount. The reduction loan's original principal
amount is $97,399,357.11.
(d) Sub-amounts. The sub-amounts are:
(1) For Bristol Bay red king, $17,129,957.23;
(2) For Bering Sea and Aleutian Islands Area C. opilio and C.
bairdi, $66,410,767.20;
(3) For Aleutian Islands brown king, $6,380,837.19;
(4) For Aleutian Islands red king, $237,588.04;
(5) For Pribilof red king and Pribilof blue king, $1,571,216.35; and
(6) For St. Matthew blue king, $5,668,991.10.
(e) Interest accrual from inception. Interest began accruing on each
portion of the reduction loan amount on and from the date on which NMFS
disbursed each such portion.
(f) Interest rate. The reduction loan's interest rate shall be the
applicable rate which the U.S. Treasury determines at the end of fiscal
year 2005 plus 2 percent.
(g) Repayment term. For the purpose of determining fee rates, the
reduction loan's repayment term is 30 years from January 19, 2005, but
each fee shall continue indefinitely for as long as necessary to fully
repay each subamount.
(h) Reduction loan repayment. (1) The borrower shall, in accordance
with Sec. 600.1012, repay the reduction loan;
(2) Fish sellers in each reduction endorsement fishery shall, in
accordance with Sec. 600.1013, pay the fee at the rate applicable to
each such fishery's subamount;
(3) Fish buyers in each reduction endorsement fishery shall, in
accordance with Sec. 600.1013, collect the fee at the rate applicable
to each such fishery;
(4) Fish buyers in each reduction endorsement fishery shall in
accordance with Sec. 600.1014, deposit and disburse, as well as keep
records for and submit reports about, the fees applicable to each such
fishery; except the requirements specified under paragraph (c) of this
section concerning the deposit principal disbursement shall be made to
NMFS not later than the 7th calendar day of each month; and the
requirements specified under paragraph (e) of this section concerning
annual reports which shall be submitted to NMFS by July 1 of each
calendar year; and,
(5) The reduction loan is, in all other respects, subject to the
provisions of Sec. 600.1012 through Sec. 600.1017.
[70 FR 54656, Sept. 16, 2005, as amended at 71 FR 27210, May 10, 2006]
Sec. 600.1105 Longline catcher processor subsector of the Bering Sea and Aleutian Islands (BSAI) non-pollock groundfish fishery program.
(a) Purpose. This section implements the capacity reduction program
that Title II, Section 219(e) of Public Law 108-447 enacted for the
longline catcher processor subsector of the Bering Sea and Aleutian
Islands (BSAI) non-pollock groundfish fishery.
(b) Definitions. Unless otherwise defined in this section, the terms
defined in Sec. 600.1000 of subpart L of this part expressly apply to
this section. The following terms have the following meanings for the
purpose of this section:
Act means Title II, Section 219 of Public Law 108-447.
AI means the Aleutian Islands.
Application Form means the form published on the FLCC's website that
sets forth whether the qualifying LLP License is a Latent License and
identifies the individual(s) authorized to execute and deliver Offers
and Offer Ranking Ballots on behalf of the Subsector Member.
[[Page 152]]
Auditor means Jack V. Tagart, Ph.D., d.b.a. Tagart Consulting.
Authorized Party means the individuals authorized by Subsector
Members on the application form to execute and submit Offers, Rankings,
protests and other documents and/or notices on behalf of Subsector
Member.
Ballot means the form found on the auditor's website used to cast a
vote in favor of, or in opposition to, the currently Selected Offers.
BS means the Bering Sea.
BSAI means the Bering Sea and the Aleutian Islands.
BSAI Pacific Cod ITAC means the Total Allowable Catch for Pacific
cod after the subtraction of the 7.5 percent Community Development
Program reserve.
Capacity Reduction Agreement or Reduction Agreement means an
agreement entered into by the Subsector Members and the FLCC under which
the FLCC is permitted to develop and submit a Capacity Reduction Plan to
the Secretary.
Certificate of Documentation (COD) means a document issued by the
U.S. Coast Guard's National Documentation Center that registers the
vessel with the United States Government.
Closing Vote means a vote held pursuant to paragraph (d)(7) of this
section, after two-thirds (\2/3\) or more of the Nonoffering Subsector
Members submit Ranking Forms electing to accept the Selected Offerors
and close the Selection Process, and there are no unresolved Protests or
Arbitrations.
Current Offer means an Offer submitted by a Subsector Member to the
Auditor during any Submission Period and, with regard to such Offer,
Offeror has not become a Rejected Offeror. The term ``Current Offer''
includes Selected Offers.
Current Offeror means an Offering Subsector Member that has
submitted an Offer to the Auditor during any Submission Period and, with
regard to such Offer, Offeror has not become a Rejected Offeror. The
term ``Current Offeror'' includes Selected Offerors.
Database means the online LLP License database maintained by NMFS as
downloaded by the Auditor pursuant to paragraph (c)(1) of this section.
Effective Date means the date the Capacity Reduction Agreement
becomes effective pursuant to section 4.e of the Capacity Reduction
Agreement.
Fishing Capacity Reduction Contract or Reduction Contract means the
contract that any Current Offeror must sign and agree to abide by if
NMFS accepts the offer by signing the Reduction Contract.
FLCC Counsel means Bauer Moynihan & Johnson LLP or other counsel
representing the FLCC in any review or arbitration under the Capacity
Reduction Agreement.
Latent License means an LLP License on which a vessel was not
designated at the time an Offer is submitted.
LLP License means a Federal License Limitation Program groundfish
license issued pursuant to Sec. 679.4(k) of this chapter or successor
regulation that is noninterim and transferable, or that is interim and
subsequently becomes noninterim and transferable, and that is endorsed
for BS or AI catcher processor fishing activity, C/P, Pacific cod and
hook and line gear.
Longline Subsector means the longline catcher processor subsector of
the BSAI non-pollock groundfish fishery as defined in the Act.
Longline Subsector ITAC means the longline catcher processor
subsector remainder of the Total Allowable Catch after the subtraction
of the 7.5 percent Community Development Program reserve.
Nonoffering Subsector Member shall have the meaning ascribed thereto
in paragraph (d)(5)(i) of this section.
Offer Content means all information included in Offers submitted to
the Auditor pursuant to paragraph (d)(2)(ii) of this section.
Offer Form means the form found on the Auditor's website used to
make an offer.
Offer(s) means a binding offer(s) from a Subsector Member to sell
its LLP, right to participate in the fisheries, the fishing history
associated with such LLP, and any vessel set forth on the Offer Form
submitted by Offeror pursuant to the terms of this Capacity Reduction
Agreement.
Opening Date means the first Monday following the Effective Date set
forth in paragraph (c)(3) of this section.
[[Page 153]]
Person includes any natural person(s) and any corporation,
partnership, limited partnership, limited liability company, association
or any other entity whatsoever, organized under the laws of the United
States or of a state.
Prequalification Offer shall have the meaning ascribed thereto in
paragraph (d)(2)(iii) of this section.
Ranking Form means the form posted by the Auditor pursuant to
paragraph (d)(5)(iii) of this section.
Ranking Period shall have the meaning ascribed thereto in paragraph
(d)(5)(ii) of this section.
Reduction Fishery means the BSAI non-pollock groundfish fishery.
Reduction Fishing Interests shall have the meaning ascribed thereto
in the Fishing Capacity Reduction Contract.
Reduction Plan means a business plan prepared by the Subsector
Members in accordance with Section 1 of the Capacity Reduction Agreement
and forwarded to the Secretary for approval.
Reduction Privilege Vessel means the vessel listed on the Offeror's
License Limitation Program license.
Rejected Offer means an Offer that has been through one or more
Rankings and is not a Selected Offer following the latest Ranking
Period, with respect to which the Offering Subsector Member's
obligations have terminated pursuant to paragraphs (d)(2)(i) and
(d)(6)(v) of this section.
Rejected Offeror means a Subsector Member that has submitted an
Offer which has been ranked and was not posted as a Selected Offer
pursuant to paragraph (d)(6)(ii) of this section.
Restricted Access Management (RAM) means the Restricted Access
Management Program in the Alaska Region, NMFS, located in Juneau,
Alaska.
Secretary means the Secretary of Commerce or a designee.
Selected Offer shall have the meaning ascribed thereto in paragraph
(d)(6)(iv) of this section.
Selected Offeror means a Subsector Member that has submitted an
Offer which has been ranked and is posted as a Selected Offer pursuant
to paragraph (d)(6)(ii) of this section.
Selection Process means the process set forth in paragraph (d) of
this section for selecting the fishing capacity to be removed by the
Reduction Plan.
Submission Period(s) or Submitting Period(s) shall have the meaning
ascribed thereto in paragraph (d)(3)(ii) of this section.
Subsector Member(s) means a member(s) of the Longline Subsector.
Web site means the internet Web site developed and maintained on
behalf of the FLCC for implementation of the Selection Process described
herein with a URL address of http://www.freezerlonglinecoop.org.
(c) Qualification and enrollment of subsector members--(1)
Distribution. A copy of the Reduction Agreement, Application Form, and
Reduction Contract shall be mailed to each holder of record of an LLP
License endorsed for BS or AI catcher processor activity, C/P, Pacific
cod and hook and line gear, as the Auditor determines from the Database
downloaded by the Auditor as of January 30, 2006, regardless of whether
the LLP License is indicated in the Database as noninterim and
transferable or otherwise.
(2) Application. Any person, regardless of whether having received
the mailing described in paragraph (c)(1) of this section, may as a
Subsector Member apply to enroll with the FLCC to participate in the
Reduction Program, by submitting all of the following documents:
(i) Fully executed Reduction Agreement;
(ii) Photocopy of the LLP License(s) evidencing Subsector Member's
qualification as a member of the Longline Subsector;
(iii) Unless applying as the holder of a Latent License, a photocopy
of Federal Fisheries Permit for the vessel(s) designated on the LLP
License(s) on the date the Reduction Agreement is signed by the
Subsector Member;
(iv) Unless applying as the holder of a Latent License, a photocopy
of the Certificate of Documentation (COD) for the vessel(s) designated
on the LLP License(s) on the date the Reduction Agreement is signed by
the Subsector Member; and
(v) An executed Application Form which sets forth whether the
qualifying LLP License is a Latent License and identifies the
individual(s) authorized to execute and deliver Offers and Offer
[[Page 154]]
Ranking Ballots on behalf of the Subsector Member.
(3) Examination by Auditor--(i) In general. Each application must be
submitted to the Auditor who will examine applications for completeness
and inconsistencies, whether on the face of the documents or with the
Database. Any application which is incomplete or which contains
inconsistencies shall be invalid. The Auditor shall notify by e-mail or
mail an applicant of the basis for the Auditor's finding an application
invalid. An applicant may resubmit a revised application. If the
application meets all requirements, the Auditor may accept the
application as valid and enroll the applicant.
(ii) Interim LLP Licenses. If an LLP License is interim and/or
nontransferable, the applicant's enrollment shall be accepted as a
Subsector Member and may fully participate in the Selection Process.
However, any posting of an Offer submitted with respect to such LLP
License shall note the status of such LLP License until that Subsector
Member submits to the Auditor a letter from the RAM confirming that it
is within the Subsector Member's control to cause the qualifying LLP
License to be issued as noninterim and transferable upon withdrawal of
all applicable appeals.
(4) Enrollment period. Applications that meet all requirements will
be accepted until the Selection Process is completed.
(5) Effective date. The Effective Date of any Reduction Agreement
shall be ten (10) calendar days after written notice is sent by the
Auditor to each holder of record of an LLP License endorsed for BS or AI
catcher processor activity, C/P, Pacific cod and hook and line gear (as
determined by the Auditor from the Auditor's examination of the
Database) advising that the number of Subsector Members that have
delivered to the Auditor a complete Application, including a fully
executed Reduction Agreement, exceeds seventy percent (70 percent) of
the members of the Longline Subsector (as determined by the Auditor from
the Auditor's examination of the Database).
(6) Notice. All notices related to the effective date of the
Reduction Agreement shall be sent by the Auditor via registered mail.
(7) Withdrawal. A Subsector Member, unless such Subsector Member is
a Current Offeror or Selected Offeror, may terminate the Reduction
Agreement at any time with respect to that Subsector Member by giving
ten (10) calendar days written notice to the Auditor preferably via e-
mail. Withdrawal of a Subsector Member shall not affect the validity of
the Reduction Agreement with respect to any other Subsector Members.
Once effective, the Reduction Agreement shall continue in full force and
effect regardless of whether subsequent withdrawals reduce the number of
Subsector Members below that level required to effectuate the Reduction
Agreement. Attempted withdrawal by a Current Offeror or Selected Offeror
shall be invalid, and such Offer shall remain a binding, irrevocable
Offer, unaffected by the attempted withdrawal.
(d) Selection of fishing capacity to be removed by Reduction Plan.
The fishing capacity removed by the Reduction Plan will be the Reduction
Fishing Interests voluntarily offered through the Reduction Plan by
offering Subsector Members and as selected by the Nonoffering Subsector
Members, up to an aggregate amount of thirty six million dollars
($36,000,000) as set forth in this paragraph (d).
(1) Overview. The Selection Process will begin upon the Effective
Date of the Reduction Agreement. The Selection Process will alternate on
a weekly basis between:
(i) Submitting Periods, during which individual Subsector Members
may submit Offers of fishing capacity they wish to include in the
Reduction Plan; and
(ii) Ranking Periods, during which Nonoffering Subsector Members
will rank the submitted Offers.
(2) Offers--(i) Binding agreement. An Offer from a Subsector Member
shall be a binding, irrevocable offer from a Subsector Member to
relinquish to NMFS the Reduction Fishing Interests for the price set
forth on the Offer contingent on such Offer being a Selected Offer at
the closing of the Selection Process. Once submitted, an Offer may not
be revoked or withdrawn while
[[Page 155]]
that Offer is a Current Offer or Selected Offer. An Offer that is
submitted by a Subsector Member, but is not a Selected Offer during the
subsequent Ranking Period, shall be deemed to be terminated and the
Subsector Member shall have no further obligation with respect to
performance of that Offer.
(ii) Offer content. All Offers submitted to the Auditor shall
include the following information: LLP License number; LLP License
number(s) of any linked crab LLP Licenses; license MLOA (MLOA--maximum
length overall of a vessel is defined at Sec. 679.2 of this chapter);
the license area, gear and species endorsements; a summary of the
Pacific cod catch history for the calendar years 1995-2004; and the
offered price. The Offer shall also state whether a vessel is currently
designated on the LLP License and as such will be withdrawn from all
fisheries if the Offer is selected for reduction in the Reduction Plan.
If so, the Offer shall identify such vessel by name, official number,
and current owner. In addition, the Offer shall provide a summary of the
Pacific cod catch history for the calendar years 1995-2004 of the vessel
to be retired from the fisheries. All summary catch histories included
in Offers shall be calculated utilizing both the weekly production
report and best blend methodology and shall separately state for each
methodology the Pacific cod catch in metric tons and as a percentage of
the overall catch for the longline catcher processor subsector on an
annual basis for each of the required years. If the vessel stated to be
withdrawn from the fisheries is not owned by the LLP License owner of
record, the Offer shall be countersigned by the owner of record of the
vessel. An Offer offering a Latent License shall state on the Offer Form
that the offered LLP License is a Latent License. The Offer Form shall
also include a comment section for any additional information that
Offerors wish to provide to the Subsector Members concerning the Offer.
(iii) Prequalification of Offers. A Subsector Member may submit a
Prequalification Offer to the Auditor at any time prior to the Opening
Date. A Prequalification Offer shall contain all elements of an Offer,
except that a price need not be provided. The Auditor shall notify the
Subsector Member submitting a Prequalification Offer as to any
deficiencies as soon as practicable. All details of a Prequalification
Offer shall be kept confidential by the Auditor.
(3) Submitting an Offer--(i) Offer submission. Commencing on the
first Tuesday following the Opening Date and during all Submission
Periods until the Selection Process is closed, any Subsector Member may
submit an Offer. All Offers are to be on the applicable form provided on
the FLCC website, executed by an Authorized Party and submitted to the
Auditor by facsimile. Any Subsector Member may submit an Offer during
any Submission Period, even if that Subsector Member has not submitted
an Offer in any previous Submission Period. If a Subsector Member holds
more than one LLP License, such Subsector Member may, but is not
required to, submit an Offer for each LLP License held during a
Submission Period.
(ii) Submission Periods. The initial Submission Period shall
commence at 9 a.m. (Pacific time) on the Tuesday following the Opening
Date and end at 5 p.m. (Pacific time) on the Friday of that week.
Subsequent Submission Periods shall commence at 9 a.m. (Pacific time) on
the first Tuesday following the preceding Ranking Period and end at 5
p.m. (Pacific time) on the Friday of that week. All times set forth in
the Reduction Agreement and used in the Offer process shall be the time
kept in the Pacific time zone as calculated by the National Institute of
Standards and Technology.
(iii) Validity of Offer. The Auditor shall examine each Offer for
consistency with the Database and information contained in the
enrollment documents. If there is an inconsistency in the information
contained in the Offer, any of the elements required of an Offer
pursuant to paragraph (d)(2)(ii) of this section are missing, or the
Auditor does not receive the original Offer Form before the Offers are
to be posted pursuant to paragraph (d)(4) of this section, the Auditor
shall notify the offering Subsector Member by e-mail or mail that the
Offer is nonconforming as soon as practicable after discovering
[[Page 156]]
the basis of invalidity. The Subsector Member may submit a revised,
conforming Offer prior to the close of that Submission Period or, in any
subsequent Submission Period. Only one Offer may be submitted with
respect to an LLP License during a Submission Period. In the event a
Subsector Member submits more than one Offer with respect to an LLP
License during a Submission Period, the first conforming Offer received
by the Auditor shall be binding and irrevocable and any subsequent
Offers shall be deemed invalid.
(iv) Warranty. By submitting an Offer, the Offering Subsector
Member, warrants and represents that the Offering Subsector Member has
read and understands the terms of the Reduction Agreement, the Offer,
and the Reduction Contract and has had the opportunity to seek
independent legal counsel regarding such documents and/or agreements and
the consequences of submitting an Offer.
(4) Posting Offers--(i) Current offers. For each Offer received
during a Submission Period, the Auditor shall post on the Website no
later than 5 p.m. (Pacific time) on the following Tuesday all of the
details of such Offer as set forth on the Offer Form. In addition, the
Auditor shall post, as available to Auditor, a summary by year of up to
ten (10) years catch history during the period 1995-2004 in total round
weight equivalents and percentage of Longline Subsector ITAC harvested
for any vessel that is included in the Offer. Subsector Member (or
vessel owner, if other than the Subsector Member) expressly authorizes
Auditor to release the catch history summary information previously
prepared for that Subsector Member or vessel owner by the Auditor as
part of the analysis of FLCC's membership's catch history previously
conducted by the Auditor on behalf of the FLCC.
(ii) Posting order. Offers shall be posted on the Website by the
Auditor in alphabetical order of the Offering Subsector Member's name.
(iii) Questions as to Offer. The Auditor shall respond to no
questions from Subsector Member regarding Offers except to confirm that
the posting accurately reflects the details of the Offer. If an Offering
Subsector Member notices an error in an Offer posting on the Website,
such Subsector Member shall notify the Auditor as soon as practicable.
The Auditor shall review such notice, the posting and the original
Offer. If an error was made in posting the Auditor shall correct the
posting as soon as practicable and notify the Subsector Members via e-
mail or mail of the correction. In the event such an error is not
discovered prior to Ranking, an Offering Subsector Member shall be bound
to the terms of the submitted Offer, not the terms of the posted Offer.
(iv) Archive. The Auditor shall maintain on the Website an archive
of prior Offers posted, which shall be available for review by all
Subsector Members.
(5) Ranking--(i) Eligibility. Each Subsector Member that has not
submitted an Offer during the preceding Submission Period, or whose
vessel is not included as a withdrawing vessel in an Offer during the
preceding Submission Period (i.e., a Nonoffering Subsector Member), may
submit to the Auditor a Ranking Form during a Ranking Period. With
respect to Ranking, a Subsector Member that holds more than one LLP
License may participate in the Ranking process for each LLP License not
included in an Offer.
(ii) Ranking Period. The initial Ranking Period shall commence
immediately after the Offers from the preceding Submission Period have
been posted and end at 5 p.m. (Pacific time) on the Friday of that week.
Subsequent Ranking Periods shall commence immediately after the Offers
from the preceding Submission Period have been posted and end at 5 p.m.
(Pacific time) on the Friday of that week.
(iii) Ranking Form. Prior to each Ranking Period, the Auditor will
post a Ranking Form on the Website in ``pdf'' file format. Each eligible
Subsector Member wishing to rank the current Offers shall rank the
Offers on the Ranking Form numerically in the Subsector Member's
preferred order of purchase. The Offer that Subsector Member would most
like to have accepted should be ranked number one (1), and subsequent
Offers ranked sequentially until the Offer that the Subsector Member
would least like to see
[[Page 157]]
accepted is ranked with the highest numerical score. A Subsector Member
wishing to call for a Closing Vote shall, in lieu of ranking the Current
Offers, mark the Ranking Form to accept the Selected Offers selected
during the prior Ranking Period and close the Selection Process. To be
valid, the Ranking Form must rank each Current Offer listed on the
Ranking Form or, if applicable, be marked to call for a Closing Vote.
Ranking Forms shall be submitted by sending a completed Ranking Form,
signed by an Authorized Party, to the Auditor by facsimile or mail prior
to the end of the Ranking Period. A Subsector Member is not required to
rank the Offers during a Ranking Period or call for a Closing Vote.
(iv) Validity of Subsector Member Ranking. The Auditor shall examine
each Ranking Form for completeness, whether the form either ranks the
Offers or calls for a Closing Vote (but not both), and authorized
signature. Any incomplete or otherwise noncompliant Ranking Form(s)
shall be invalid, and shall not be included in the Rankings of the
Current Offers. The Auditor shall notify the Subsector Member of the
reason for declaring any Ranking Form invalid as soon as practicable. A
Subsector Member may cure the submission of an invalid Ranking Form by
submitting a complying Ranking Form if accomplished before the end of
the applicable Ranking Period.
(6) Ranking results--(i) Compiling the rankings. Unless two-thirds
(\2/3\) of the Nonoffering Subsector Members have called for a Closing
Vote, the Auditor shall compile the results of the Ranking Forms by
assigning one point for each position on a Ranking Form. That is, the
Offer ranked number one (1) on a Ranking Form shall be awarded one (1)
point, the Offer ranked two (2) shall receive two (2) points, and
continuing on in this manner until all Offers have been assigned points
correlating to its ranking on each valid Ranking Form. The Offer with
the least number of total points assigned shall be the highest ranked
Offer, and the Offer with the greatest total points assigned shall be
the lowest ranked Offer.
(ii) Posting rankings. The Auditor shall post the results of the
compilation of the Ranking Forms on the Website in alphabetical order
based on the Offering Subsector Member's name no later than 5 p.m.
(Pacific time) on the Monday following the Ranking Period. The Auditor
shall post the highest consecutive ranking Offers that total thirty six
million dollars ($36,000,000) or less. Those Offering Subsector Members
whose Offers are posted shall be deemed Selected Offerors and their
Offers shall be deemed Selected Offers. Those Offering Subsector Members
whose Offers are not posted shall be deemed Rejected Offerors.
(iii) Selected Offer information or confidentiality. The Auditor
shall post the name of the Offering Subsector Member, the amount of the
Offer, and a summary of the total number of Ranking Forms received and
the number of such forms on which the Members called for a Closing Vote.
Other than the foregoing, the Auditor shall not post any details of the
compilation of the Ranking Forms.
(iv) Selected Offerors. Selected Offerors may not withdraw their
Offers unless in subsequent rankings their Offers no longer are within
the highest ranking Offers and they become Rejected Offerors. A Selected
Offeror may, however, modify a Selected Offer solely to the extent such
modification consists of a reduction in the Offer price. A Selected
Offeror may submit a modified Offer to the Auditor during the next
Offering Period as set forth in paragraph (d)(3) of this section. Unless
a Selected Offeror becomes a Rejected Offeror in a subsequent Ranking, a
Selected Offeror shall be bound by the terms of the lowest Selected
Offer submitted as if such modified Offer had been the original Selected
Offer. In the event a Selected Offeror submits a modified Offer and such
Offer is not ranked because sufficient votes are received to call for a
Closing Vote, the previously Selected Offer shall remain the Selected
Offer.
(v) Rejected Offerors. The Offer of a Rejected Offeror is terminated
and the Rejected Offeror is no longer bound by the terms of its Offer. A
Rejected Offeror may, at its sole discretion, resubmit the same Offer,
submit a revised Offer, or elect not to submit an Offer during
[[Page 158]]
any subsequent Submission Period until the Selection Process is closed.
(vi) Ties. In the event there is a tie with respect to Offers which
results in the tied Offers exceeding thirty-six million dollars
($36,000,000), the tied Offers and all Offers ranked lower than the tied
Offers shall be deemed to be rejected and the Rejected Offerors may, at
their option, submit an Offer in a subsequent Submission Period.
(vii) Archive. Auditor shall maintain on the Website an archive of
prior Offer Rankings as posted over the course of the Selection Process,
which shall be available for Subsector Member review.
(7) Closing. The Selection Process will close when two-thirds (\2/
3\) or more of the Nonoffering Subsector Members of the Longline
Subsector, as determined by the Auditor, affirmatively vote to accept
the Selected Offerors selected during the prior Ranking Period as part
of the Reduction Plan to be submitted to the Secretary.
(i) Call for Vote. A Closing Vote will be held when: at least two-
thirds (\2/3\) of the Nonoffering Subsector Members submit Ranking Forms
electing to accept the Selected Offerors and close the Selection Process
in lieu of Ranking the current Offers; and there are no unresolved
Protests or Arbitrations. The Auditor shall notify all Subsector Members
by e-mail or mail and posting a notice on the Website as soon as
practicable that a Closing Vote is to be held. Such notice shall state
the starting and ending dates and times of the voting period, which
shall be not less than three (3) nor more than seven (7) calendar days
from the date of such notice. A voting period shall commence at 9 a.m.
(Pacific time) on Monday and end at 5 p.m. on the Friday of that week.
(ii) Voting. No less than three (3) calendar days prior to the
voting period, the Auditor will post a Closing Ballot on the Website in
``pdf'' file format. Each eligible Nonoffering Subsector Member wishing
to vote shall print out the Closing Ballot, and, with respect to each of
the currently Selected Offers on the Closing Ballot, vote either in
favor of or opposed to accepting that Selected Offer and submit a
completed and signed Closing Ballot to the Auditor preferably by
facsimile prior to the end of the Voting Period.
(iii) Ballot verification. The Auditor shall examine each submitted
Closing Ballot for completeness and authorized signature. Any incomplete
Closing Ballot shall be void, and shall not be included in the voting
results. The Auditor shall not notify the Subsector Member of an invalid
Closing Ballot.
(iv) Voting results. The Auditor shall post the results of the Vote
as soon as practicable after voting closes. Each Offer on the Closing
Ballot that receives votes approving acceptance of such Offer from two-
thirds (\2/3\) or more of the total number of Nonoffering Subsector
Members shall be a Selected Offeror and shall be the basis for the
Reduction Plan submitted to NMFS. Any Offer on the Closing Ballot that
does not receive such two-thirds (\2/3\) approval shall be rejected and
shall not be included among the Offers included among the Reduction Plan
submitted to NMFS.
(v) Notification to NMFS. Upon closing of the Selection Process,
FLCC shall notify NMFS in writing of the identities of the Selected
Offerors and provide to NMFS a completed and fully executed original
Reduction Agreement from each of the Selected Offerors and a certified
copy of the fully executed Reduction Agreement and Reduction Contract.
(e) Submission of Reduction Plan, including repayment. Upon
completion of the offering process, the FLCC on behalf of the Subsector
Members shall submit to NMFS the Reduction Plan which shall include the
provisions set forth in this paragraph (e).
(1) Capacity reduction. The Reduction Plan shall identify as the
proposed capacity reduction, without auction process, the LLP Licenses
as well as the vessels and the catch histories related to the LLP
Licenses, linked crab LLP Licenses, and any other fishing rights or
other interests associated with the LLP Licenses and vessels included in
the Selected Offers. The aggregate of all Reduction Agreements and
Reduction Contracts signed by Subsector Members whose offers to
participate in this buyback were accepted by votes of the Subsector
Members, will together with the FLCC's supporting documents
[[Page 159]]
and rationale for recognizing that these offers represent the
expenditure of the least money for the greatest capacity reduction,
constitute the Reduction Plan to be submitted to NMFS for approval on
behalf of the Secretary of Commerce.
(2) Loan repayment--(i) Term. As authorized by Section 219(B)(2) of
the Act, the capacity reduction loan (the ``Reduction Loan'') shall be
amortized over a thirty (30) year term. The Reduction Loan's original
principal amount may not exceed thirty-six million dollars
($36,000,000), but may be less if the reduction cost is less. Subsector
Members acknowledge that in the event payments made under the Reduction
Plan are insufficient to repay the actual loan, the term of repayment
shall be extended by NMFS until the loan is paid in full.
(ii) Interest. The Reduction Loan's interest rate will be the U.S.
Treasury's cost of borrowing equivalent maturity funds plus 2 percent.
NMFS will determine the Reduction Loan's initial interest rate when NMFS
borrows from the U.S. Treasury the funds with which to disburse
reduction payments. The initial interest rate will change to a final
interest rate at the end of the Federal fiscal year in which NMFS
borrows the funds from the U.S. Treasury. The final interest rate will
be 2 percent plus a weighted average, throughout that fiscal year, of
the U.S. Treasury's cost of borrowing equivalent maturity funds. The
final interest rate will be fixed, and will not vary over the remainder
of the reduction loan's 30-year term. The Reduction loan will be subject
to a level debt amortization. There is no prepayment penalty.
(iii) Fees. The Reduction Loan shall be repaid by fees collected
from the Longline Subsector. The fee amount will be based upon: The
principal and interest due over the next twelve months divided by the
product of the Hook & Line, Catcher Processor (Longline Subsector;
sometimes referred to as the ``H&LCP Subsector'') portion of the BSAI
Pacific cod ITAC (in metric tons) set by the North Pacific Fishery
Management Council (NPFMC) in December of each year multiplied by 2,205
(i.e., the number of pounds in a metric ton). In the event that the
Longline Subsector portion for the ensuing year is not available, the
Longline Subsector portion forecast from the preceding year will be used
to calculate the fee.
(A) The fee will be expressed in cents per pound rounded up to the
next one-tenth of a cent. For example: If the principal and interest due
equal $2,900,000 and the Longline Subsector portion equals 100,000
metric tons, then the fee per round weight pound of Pacific cod will
equal 1.4 cents per pound. [2,900,000 /(100,000 x 2,205) = .01315]. The
fee will be accessed and collected on Pacific cod to the extent possible
and if not, will be accessed and collected as provided for in this
paragraph (e).
(B) Fees must be accessed and collected on Pacific cod used for bait
or discarded. Although the fee could be up to 5 percent of the ex-vessel
production value of all post-reduction Longline Subsector landings, the
fee will be less than 5 percent if NMFS projects that a lesser rate can
amortize the fishery's reduction loan over the reduction loan's 30-year
term. In the event that the total principal and interest due exceeds 5
percent of the ex-vessel Pacific cod revenues, a penny per pound round
weight fee will be calculated based on the latest available revenue
records and NMFS conversion factors for pollock, arrowtooth flounder,
Greenland turbot, skate, yellowfin sole and rock sole.
(C) The additional fee will be limited to the amount necessary to
amortize the remaining twelve months principal and interest in addition
to the 5 percent fee accessed against Pacific cod. The additional fee
will be a minimum of one cent per pound. In the event that collections
exceed the total principal and interest needed to amortize the payment
due, the principal balance of the loan will be reduced. To verify that
the fees collected do not exceed 5 percent of the fishery revenues, the
annual total of principal and interest due will be compared to the
latest available annual Longline Subsector revenues to ensure it is
equal to or less than 5 percent of the total ex-vessel production
revenues. In the event that any of the components necessary to calculate
the next year's fee are not available, or for any other reason
[[Page 160]]
NMFS believes the calculation must be postponed, the fee will remain at
the previous year's amount until such a time that new calculations are
made and communicated to the post reduction fishery participants.
(D) It is possible that the fishery may not open during some years
and no Longline Subsector portion of the ITAC is granted. Consequently,
the fishery will not produce fee revenue with which to service the
reduction loan during those years. However, interest will continue to
accrue on the principal balance. When this happens, if the fee rate is
not already at the maximum 5 percent, NMFS will increase the fisheries'
fee rate to the maximum 5 percent of the revenues for Pacific cod and
the species mentioned in paragraph (e)(2)(iii)(B), apply all subsequent
fee revenue first to the payment of accrued interest, and continue the
maximum fee rates until all principal and interest payments become
current. Once all principal and interest payments are current, NMFS will
make a determination about adjusting the fee rate.
(iv) Reduction loan. NMFS has promulgated framework regulations
generally applicable to all fishing capacity reduction programs (Sec.
600.1000 et seq.). The reduction loan shall be subject to the provisions
of Sec. 600.1012, except that: the borrower's obligation to repay the
reduction loan shall be discharged by the owner of the Longline
Subsector license regardless of which vessel catches fish under this
license and regardless of who processes the fish in the reduction
fishery in accordance with Sec. 600.1013. Longline Subsector license
owners in the reduction fishery shall be obligated to collect the fee in
accordance with Sec. 600.1013.
(v) Collection. The LLP License holder of the vessel harvesting in
the post-capacity reduction plan Longline Subsector shall be responsible
for self-collecting the repayment fees owed by that LLP License holder.
Fees shall be submitted to NMFS monthly and shall be due no later than
fifteen (15) calendar days following the end of each calendar month.
(vi) Record keeping and Reporting. The holder of the LLP License on
which a vessel harvesting in the post-capacity reduction plan Longline
Subsector is designated shall be responsible for compliance with the
applicable record keeping and reporting requirements.
(3) Agreement with Secretary. Each Selected Offeror, and vessel
owner if not the Subsector Member, that has submitted a Selected Offer
shall complete and deliver to the FLCC for inclusion in the Reduction
Plan submitted to NMFS, designee for the Secretary, a completed and
fully executed Reduction Contract. Any and all LLP License(s) and or
vessels set forth on a Selected Offer shall be included as Reduction
Fishing Interests in such Reduction Contract.
(f) Decisions of the Auditor and the FLCC. Time is of the essence in
developing and implementing a Reduction Plan and, accordingly, the
Offerors shall be limited to, and bound by, the decisions of the Auditor
and the FLCC.
(1) The Auditor's examination of submitted applications, Offers,
Prequalification Offers and Rankings shall be solely ministerial in
nature. That is, the Auditor will verify whether the documents submitted
by Subsector Members are, on their face, consistent with each other and
the Database, in compliance with the requirements set forth in the
Reduction Agreement, and, signed by an Authorized Party. The Auditor may
presume the validity of all signatures on documents submitted. The
Auditor shall not make substantive decisions as to compliance (e.g.,
whether an interim LLP License satisfies the requirements of the Act, or
whether a discrepancy in the name appearing on LLP Licenses and other
documents is material).
(2) [Reserved]
(g) Enforcement/specific performance. The parties to the Reduction
Agreement have agreed that the opportunity to develop and submit a
capacity reduction program for the Longline Subsector under the terms of
the Act is both unique and finite and that failure of a Selected
Offeror, and vessel owner, if not a Subsector Member, to perform the
obligations provided by the Reduction Agreement will result in
irreparable damage to the FLCC, the Subsector Members and other Selected
Offerors. Accordingly, the parties to
[[Page 161]]
the Reduction Agreement expressly acknowledge that money damages are an
inadequate means of redress and agree that upon the failure of the
Selected Offeror, and vessel owner if not a Subsector Member, to fulfill
its obligations under the Reduction Agreement that specific performance
of those obligations may be obtained by suit in equity brought by the
FLCC in any court of competent jurisdiction without obligation to
arbitrate such action.
(h) Miscellaneous--(1) Time/Holidays. All times related to the
Selection Process shall be the time kept in the Pacific time zone as
calculated by the National Institute of Standards and Technology. In the
event that any date occurring within the Selection Process is a Federal
holiday, the date shall roll over to the next occurring business day.
(2) Termination. The Reduction Agreement shall automatically
terminate if no vote of acceptance is completed by December 31, 2007.
The Reduction Agreement may be terminated at any time prior to approval
of the Reduction Plan by NMFS, on behalf of the Secretary, by written
notice from 50 percent of Subsector Members.
(3) Choice of law/venue. The Reduction Agreement shall be construed
and enforced in accordance with the laws of the State of Washington
without regard to its choice of law provisions. The parties submit to
the exclusive personal jurisdiction of the United States District Court
located in Seattle, Washington, with respect to any litigation arising
out of or relating to the Reduction Agreement or out of the performance
of services hereunder.
(4) Incorporation. All executed counterparts of the Reduction
Agreement, Application Forms and Offers constitute the agreement between
the parties with respect to the subject matter of the Reduction
Agreement and are incorporated into the Reduction Agreement as if fully
written.
(5) Counterparts. The Reduction Agreement may be executed in
multiple counterparts and will be effective as to signatories on the
Effective Date. The Reduction Agreement may be executed in duplicate
originals, each of which shall be deemed to be an original instrument.
All such counterparts and duplicate originals together shall constitute
the same agreement, whether or not all parties execute each counterpart.
(i) The facsimile signature of any party to the Reduction Agreement
shall constitute the duly authorized, irrevocable execution and delivery
of the Reduction Agreement as fully as if the Reduction Agreement
contained the original ink signatures of the party or parties supplying
a facsimile signature.
(ii) [Reserved]
(i) Amendment. Subsector Member acknowledges that the Reduction
Agreement, the Reduction Contract, and the Reduction Plan may be subject
to amendment to conform to the requirements for approval of the
Reduction Plan by NMFS on behalf of the Secretary. The Auditor shall
distribute to each Subsector Member in electronic format the amended
form of the Reduction Agreement, the Reduction Contract, and the
Reduction Plan, which amended documents in the form distributed by the
Auditor and identified by the Auditor by date and version, the version
of each such document then in effect at the time of any dispute arising
or action taken shall be deemed binding upon the parties with respect to
such dispute and/or action.
(j) Warranties. Subsector Member must expressly warrant and
represent in the Reduction Agreement that:
(1) Subsector Member has had an opportunity to consult with
Subsector Member's attorney or other advisors of Subsector Member with
respect to the Reduction Agreement, the Reduction Contract, and the Act
and the ramifications of the ratification of the Reduction Plan
contemplated therein;
(2) Subsector Member has full understanding and appreciation of the
ramifications of executing and delivering the Reduction Agreement and,
free from coercion of any kind by the FLCC or any of its members,
officers, agents and/or employees, executes and delivers the Reduction
Agreement as the free and voluntary act of Subsector Member;
(3) The execution and delivery of the Reduction Agreement, does not
and will not conflict with any provisions of
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the governing documents of Subsector Member;
(4) The person executing the Reduction Agreement has been duly
authorized by Subsector Member to execute and deliver the Reduction
Agreement and to undertake and perform the actions contemplated herein;
and
(5) Subsector Member has taken all actions necessary for the
Reduction Agreement to constitute the valid and binding obligation of
Subsector Member, enforceable in accordance with its terms.
(k) Approval of the Reduction Plan. Acceptance of the Offers are at
the sole discretion of NMFS on behalf of the Secretary of Commerce. To
be approved by NMFS, on behalf of the Secretary, any Reduction Plan
developed and submitted in accordance with this section and Subpart M to
this part must be found by the Assistant Administrator of NMFS, to:
(1) Be consistent with the requirements of Section 219(e) of the FY
2005 Appropriations Act (Public Law 108-447);
(2) Be consistent with the requirements of Section 312(b) of the
Magnuson-Stevens Fishery Conservation and Management Act (16 U.S.C.
1861(a)) except for the requirement that a Council or Governor of a
State request such a program (as set out in section 312(b)(1)) and for
the requirements of section 312(b)(4);
(3) Contain provisions for a fee system that provides for full and
timely repayment of the capacity reduction loan by the Longline
Subsector and that it provide for the assessment of such fees;
(4) Not require a bidding or auction process;
(5) Result in the maximum sustained reduction in fishing capacity at
the least cost and in the minimum amount of time; and
(6) Permit vessels in the Longline Subsector to be upgraded to
achieve efficiencies in fishing operations provided that such upgrades
do not result in the vessel exceeding the applicable length, tonnage, or
horsepower limitations set out in Federal law or regulation.
(l) Referenda. The provisions of Sec. 600.1010 (including
Sec. Sec. 600.1004(a), 600.1008, 600.1009, 600.1013, 600.1014, and
600.1017(a)(5), (6) and (7)) shall apply to the Reduction Plan of this
section to the extent that they do not conflict with this section or
with subpart M of this part.
Appendix to Sec. 600.1105--Fishing Capacity Reduction Contract: Bering
Sea and Aleutian Islands Longline Catcher Processor Subsector
Fishing Capacity Reduction Contract: Bering Sea and Aleutian Islands
Longline Catcher Processor Subsector
This agreement, (the ``Reduction Contract'') is entered into by and
between the party or parties named in section 46 of this contract
entitled, ``Fishing Capacity Reduction Offer Submission Form and
Reduction Fishing Interests Identification,'' as the qualifying Offeror
and as the co-Offeror (if there is a co-Offeror) (collectively the
``Offeror'') and the United States of America, acting by and through the
Secretary of Commerce, National Oceanic and Atmospheric Administration,
National Marine Fisheries Service, Financial Services Division
(``NMFS''). The Reduction Contract is effective when NMFS signs the
Reduction Contract and, thereby, accepts the Offeror's offer, subject to
the condition subsequent of NMFS' formal notification of a successful
referendum.
Witnesseth
Whereas, Section 219, Title II, Division B of the Consolidated
Appropriations Act, 2005, as enacted on December 8, 2004, (the ``Act'')
authorizes a fishing capacity reduction program implementing capacity
reduction plans submitted to NMFS by catcher processor subsectors of the
Bering Sea and Aleutian Islands (``BSAI'') non-pollock groundfish
fishery as set forth in the Act;
Whereas, the longline catcher processor subsector (the ``Longline
Subsector'') is among the catcher processor subsectors eligible to
submit to NMFS a capacity reduction plan under the terms of the Act;
Whereas, the Freezer Longline Conservation Cooperative (the
``FLCC'') has developed and is submitting to NMFS concurrently with this
Reduction Contract a capacity reduction plan for the Longline Subsector
(the ``Reduction Plan'');
Whereas, the selection process will be pursuant to the fishing
capacity Reduction Contract and the Reduction Plan;
Whereas, the term ``Reduction Fishery'' is defined by the Reduction
Plan as the longline catcher processor subsector of the BSAI non-pollock
groundfish fishery;
Whereas, the Reduction Plan's express objective is to permanently
reduce harvesting
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capacity in the Reduction Fishery; Whereas, NMFS implements the
Reduction Plan pursuant to Section 219 of the Act as well as the
Magnuson-Stevens Fishery Conservation and Management Act (16 U.S.C.
1861a(b)-(e))(as excepted by the Act, including inter alia, any
requirement that the Reduction Plan include a bidding or auction
process) and other applicable law;
Whereas, NMFS has promulgated framework regulations generally
applicable to all fishing capacity reduction programs, portions of which
are applicable to the Reduction Plan, (50 CFR 600.1000 et seq.);
Whereas, NMFS can implement the Reduction Plan only after giving
notice to all members of the Longline Subsector of the Reduction Plan
pursuant to Section 219(3)(b) of the Act and approval of the Reduction
Plan by referendum of the Longline Subsector; and
Whereas, this Reduction Contract is submitted by Offeror and the
FLCC as an integral element of the Reduction Plan and is expressly
subject to the terms and conditions set forth herein, the framework
regulations, the final rule (as used in this contract ``final rule''
means the final rule promulgated by NMFS which sets forth the
regulations implementing the Reduction Plan for the Longline Subsector)
and applicable law.
Now therefore, for good and valuable consideration and the premises
and covenants hereinafter set forth the receipt and sufficiency of which
the parties to the Reduction Contract hereby acknowledge, and intending
to be legally bound hereby, the parties hereto agree as follows:
1. Incorporation of Recitals. The foregoing recitals are true and
correct and are expressly incorporated herein by this reference.
2. Further Incorporation. The Act, framework regulations, final rule
and any other rule promulgated pursuant to the Act are expressly
incorporated herein by this reference. In the event of conflicting
language, the framework regulations, the final rule and any other rule
promulgated pursuant to the Act, take precedence over the Reduction
Contract.
3. Contract Form. By completing and submitting the Reduction
Contract to NMFS the Offeror hereby irrevocably offers to relinquish its
Reduction Fishing Interests. If NMFS discovers any deficiencies in the
Offeror's submission to NMFS, NMFS may, at its sole discretion, contact
the Offeror in an attempt to correct such offer deficiency. ``Reduction
Fishing Interests'' means all of Offeror(s) rights, title and interest
to the Groundfish Reduction Permit, Reduction Permit(s), Reduction
Fishing Privilege and Reduction Fishing History as defined in this
Reduction Contract.
4. Groundfish Reduction Permit. Offeror expressly acknowledges that
it hereby offers to permanently surrender, relinquish, and have NMFS
permanently revoke the valid non-interim Federal License Limitation
Program groundfish license issued pursuant to 50 CFR 679.4(k) (or
successor regulation) endorsed for Bering Sea or Aleutian Islands
catcher processor fishing activity, C/P, Pacific cod, and hook and line
gear identified in section 46 of this contract as well as any present or
future claims of eligibility for any fishery privilege based upon such
permit, including any Latent License and any offered and accepted
interim permit that Offeror causes to become a non-interim permit, (the
``Groundfish Reduction Permit'').
5. Reduction Permit(s). Offeror hereby acknowledges that it offers
to permanently surrender, relinquish, and have NMFS permanently revoke
any and all Federal fishery licenses, fishery permits, and area and
species endorsements issued for any vessel named on the Groundfish
Reduction Permit as well as any present or future claims of eligibility
for any fishery privilege based upon such permit, including any Latent
License, (the ``Reduction Permits'').
6. Reduction Privilege Vessel. The Reduction Privilege Vessel is the
vessel listed on the Offeror's License Limitation Program license.
7. Reduction Fishing Privilege. If a vessel is specified in section
46 of this contract (the ``Reduction Privilege Vessel''), Offeror hereby
acknowledges that Offeror offers to relinquish and surrender the
Reduction Privilege Vessel's fishing privilege and consents to the
imposition of Federal vessel documentation restrictions that have the
effect of permanently revoking the Reduction Privilege Vessel's legal
ability to fish anywhere in the world as well as its legal ability to
operate under foreign registry or control--including the Reduction
Privilege Vessel's: fisheries trade endorsement under the Commercial
Fishing Industry Vessel Anti-Reflagging Act (46 U.S.C. 12108);
eligibility for the approval required under section 9(c)(2) of the
Shipping Act, 1916 (46 U.S.C. App. 808(c)(2)), for the placement of a
vessel under foreign flag or registry, as well as its operation under
the authority of a foreign country; and the privilege otherwise to ever
fish again anywhere in the world (the ``Reduction Fishing Privilege'').
Offeror agrees to instruct the United States Coast Guard's Vessel
Documentation Center to remove the fishery endorsement from the
Reduction Privilege Vessel. If the Reduction Privilege Vessel is not a
federally documented vessel, the Offeror offers to promptly scrap the
vessel and allow NMFS whatever access to the scrapping NMFS deems
reasonably necessary to document and confirm the scrapping.
8. Reduction Fishing History. Offeror surrenders, relinquishes, and
consents to NMFS'
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permanent revocation of the following Reduction Fishing History (the
``Reduction Fishing History''):
a. The Reduction Privilege Vessel's full and complete documented
harvest of groundfish;
b. For any documented harvest of the Reduction Privilege Vessel
whatsoever, including that specified in section 8 of this contract, any
right or privilege to make any claim in any way related to any fishery
privilege derived in whole or in part from any such other and documented
harvest which could ever qualify any party for any future limited access
system fishing license, permit, and other harvest authorization of any
kind; including without limitation crab LLP licenses linked to License
Limitation Program (``LLP'') licenses, state fishing rights appurtenant
to Reduction Fishing Vessels, and all fishing history associated
therewith, but without prejudice to any party who before submission of
this offer may have for value independently acquired the fishing history
involving any such documented harvest;
c. Any documented harvest on any other vessel (Reduction Fishing
Vessel) that gave rise to the Groundfish Reduction Permit; and
d. All fishing history associated with the latent LLP license
identified on the Selected Offer and any fishing history associated with
the fishing vessel that gave rise to the latent LLP license that remains
in the Offeror's possession as of August 11, 2006 (i.e., date of
publication of the proposed rule in the Federal Register).
9. Halibut, Sablefish and Crab IFQs Excluded. Notwithstanding any
other provision of this Reduction Contract, no right, title and/or
interest to harvest, process or otherwise utilize individual fishing
quota (``IFQ'') quota share in the halibut, sablefish and crab fisheries
pursuant to 50 CFR parts 679 and 680, nor crab LLP license history to
the extent necessary for the issuance of crab IFQ pursuant to 50 CFR
part 680 as in effect as of the date of this Contract, shall be included
among Offeror's Reduction Fishing Interests.
10. Representations and Warranties. Offeror represents and warrants
that, as of the date of submission of this Reduction Contract, Offeror
is:
a. The holder of record, according to NMFS' official fishing license
records, at the time of offer, of the Groundfish Reduction Permit and
the Reduction Permit(s).
b. The Reduction Privilege Vessel's owner of record, according to
the National Vessel Documentation Center's official vessel documentation
records, at the time of offer, and that the Reduction Privilege Vessel
is neither lost nor destroyed at the time of offer.
c. In retention of and fully and legally entitled to offer and
dispose of hereunder, full and complete rights to the Reduction
Privilege Vessel's full and complete Reduction Fishing History necessary
to fully and completely comply with the requirements of section 8 of
this contract.
11. Offer Amount. NMFS' payment to Offeror in the exact amount of
the amount set forth by Offeror in section 46 of this contract is full
and complete consideration for the Offeror's offer.
12. Additional Offer Elements. Offeror shall include with its offer
an exact photocopy of the Reduction Privilege Vessel's official vessel
documentation or registration (i.e., the certificate of documentation
the U.S. Coast Guard's National Vessel Documentation Center issued for
federally documented vessels or the registration a State issues for
State registered vessels) and an exact photocopy of the Groundfish
Reduction Permit and all Reduction Permit(s). The Offeror shall also
include with the offer all other information required in this Reduction
Contract and otherwise comply with Reduction Contract requirements.
13. Use of Official Fishing License or Permit Databases. Offeror
expressly acknowledges that NMFS shall use the appropriate official
governmental fishing license or permit database to:
Determine the Offeror's address of record; verify the Offeror's
qualification to offer; determine the holder of record of the Groundfish
Reduction Permit and Reduction Permit(s); and verify the Offeror's
inclusion in the offer of all permits and licenses required to be
offered in the Offer.
14. Use of National Vessel Documentation Center Database. Offeror
expressly acknowledges that NMFS shall use the records of the National
Vessel Documentation Center to determine the owner of record for a
federally documented Reduction Privilege Vessel and the appropriate
State records to determine the owner of record of a non-federally
documented Reduction Privilege Vessel.
15. Offeror to Ensure Accurate Records. Offeror shall, to the best
of its ability, ensure that the records of the databases relevant to
sections 13 and 14 of this contract are true, accurate, and complete.
16. Submissions are Irrevocable. The parties hereto expressly
acknowledge as the essence hereof that the Offeror voluntarily submits
to NMFS this firm and irrevocable offer. The Offeror expressly
acknowledges that it hereby waives any privilege or right to withdraw,
change, modify, alter, rescind, or cancel any portion of the Reduction
Contract and that the receipt date and time which NMFS marks on the
Reduction Contract constitutes the date and time of the offer's
submission.
17. Offer Rejection. NMFS shall reject an offer that NMFS deems is
in any way unresponsive or not in conformance with the Reduction
Contract, and the applicable law or regulations unless the Offeror
corrects the
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defect and NMFS, in its sole discretion, accepts the correction.
18. Notarized Offeror Signature(s) Required. NMFS shall deem as non-
responsive and reject an offer whose Offer Submission Form does not
contain the notarized signatures of all persons required to sign the
form on behalf of the Offeror.
19. Offer Rejections Constitute Final Agency Action. NMFS's offer
rejections are conclusive and constitute final agency action as of the
rejection date.
20. Effect of Offer Submission. Submitting an irrevocable offer
conforming to the requirements stated herein entitles the Offeror to
have NMFS accept the offer if NMFS, in its sole discretion, deems that
the offer is fully responsive and complies with the Act, the final rule
and any other rule promulgated pursuant to the Act.
21. Offeror Retains Use. After submitting an offer, the Offeror
shall continue to hold, own, or retain unimpaired every aspect of any
and all LLP License(s) and or vessels set forth on an Offer included as
Reduction Fishing Interests, until such time as: NMFS notifies the
Offeror that the Reduction Plan is not in compliance with the Act or
other applicable law and will not be approved by NMFS; notifies the
Offeror that the referendum was unsuccessful; NMFS tenders the reduction
payment and the Offeror complies with its obligations under the
Reduction Contract; or NMFS otherwise excuses the Offeror's performance.
22. Acceptance by Referendum. NMFS shall formally notify the Offeror
in writing whether the referendum is successful, which written notice
shall inform Offeror that the condition subsequent has been satisfied.
Therefore, Offeror expressly acknowledges that all parties must perform
under the Reduction Contract and the Reduction Contract is enforceable
against, and binding on, the Reduction Contract parties in accordance
with the terms and conditions herein.
23. Reduction Contract Subject to Federal Law. The Reduction
Contract is subject to Federal law.
24. Notice to Creditors. Upon NMFS' offer acceptance notice to the
Offeror, Offeror agrees to notify all parties with secured interests in
the Reduction Fishing Interests that the Offeror has entered into the
Reduction Contract.
25. Referendum. Offeror acknowledges that the outcome of the
referendum of the Reduction Plan is an occurrence over which NMFS has no
control.
26. Unsuccessful Referendum Excuses Performance. An unsuccessful
referendum excuses all parties hereto from every obligation to perform
under the Reduction Contract. In such event, NMFS need not tender
reduction payment and the Offeror need not surrender and relinquish or
allow the revocation or restriction of any element of the Reduction
Fishing Interest specified in the Reduction Contract. An unsuccessful
referendum shall cause the Reduction Contract to have no further force
or effect.
27. Offeror Responsibilities upon Successful Referendum. Upon NMFS'
formal notification to the Offeror that the referendum was successful
and that NMFS had accepted the Reduction Contract, Offeror shall
immediately become ready to surrender and relinquish and allow the
revocation or restriction of (as NMFS deems appropriate) the Reduction
Fishing Interests.
28. Written Payment Instructions. After a successful referendum,
NMFS shall tender reduction payment by requesting the Offeror to provide
to NMFS, and the Offeror shall subsequently so provide, written payment
instructions for NMFS' disbursement of the reduction payment to the
Offeror or to the Offeror's order.
29. Request for Written Payment Instructions Constitutes Tender.
NMFS' request to the Offeror for written payment instructions
constitutes reduction payment tender, as specified in 50 CFR 600.1011.
30. Offeror Responsibilities upon Tender. Upon NMFS' reduction
payment tender to the Offeror, the Offeror shall immediately surrender
and relinquish and allow the revocation or restriction of (as NMFS deems
appropriate) the Reduction Fishing Interests. The Offeror must then
return the original of its Groundfish Reduction Permit and Reduction
Permit(s) to NMFS. Concurrently with NMFS' reduction payment tender, the
Offeror shall forever cease all fishing for any species with the
Reduction Privilege Vessel and immediately retrieve all fishing gear,
irrespective of ownership, previously deployed from the Reduction
Privilege Vessel. Offeror agrees to authorize the United States Coast
Guard to cancel the fishery endorsement in the Reduction Privilege
Vessel.
31. Reduction Privilege Vessel Lacking Federal Documentation. Upon
NMFS' reduction payment tender to the Offeror, the Offeror shall
immediately scrap any vessel which the Offeror specified as a Reduction
Privilege Vessel and which is documented solely under state law or
otherwise lacks documentation under Federal law. The Offeror shall scrap
such vessel at the Offeror's expense. The Offeror shall allow NMFS, its
agents, or its appointees reasonable opportunity to observe and confirm
such scrapping. The Offeror shall conclude such scrapping within a
reasonable time.
32. Future Harvest Privilege and Reduction Fishing History
Extinguished. Upon NMFS' reduction payment tender to the Offeror, the
Offeror shall surrender and relinquish and consent to the revocation,
restriction, withdrawal, invalidation, or extinguishment by other means
(as NMFS deems appropriate), of any claim in any way related to any
fishing privilege derived, in whole or in part,
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from the use or holdership of the Groundfish Reduction Permits and the
Reduction Permit(s), from the use or ownership of the Reduction
Privilege Vessel (subject to and in accordance with the provisions of
section 8 of this contract), and from any documented harvest fishing
history arising under or associated with the same which could ever
qualify the Offeror for any future limited access fishing license,
fishing permit, and other harvest authorization of any kind.
33. Post Tender Use of Federally Documented Reduction Privilege
Vessel. After NMFS' reduction payment tender to the Offeror, the Offeror
may continue to use a federally documented Reduction Privilege Vessel
for any lawful purpose except ``fishing'' as defined under the Magnuson-
Stevens Act and may transfer--subject to all restrictions in the
Reduction Contract, other applicable regulations, and the applicable
law--the vessel to a new owner. The Offeror or any subsequent owner
shall only operate the Reduction Privilege Vessel under the United
States flag and shall not operate such vessel under the authority of a
foreign country. In the event the Offeror fails to abide by such
restrictions, the Offeror expressly acknowledges and hereby agrees to
allow NMFS to pursue any and all remedies available to it, including,
but not limited to, recovering the reduction payment and seizing the
Reduction Privilege Vessel and scrapping it at the Offeror's expense.
34. NMFS' Actions upon Tender. Contemporaneously with NMFS'
reduction payment tender to the Offeror, and without regard to the
Offeror's refusal or failure to perform any of its Reduction Contract
duties and obligations, NMFS shall: Permanently revoke the Offeror's
Groundfish Reduction Permit and Reduction Permit(s); notify the National
Vessel Documentation Center to permanently revoke the Reduction
Privilege Vessel's fishery trade endorsement; notify the U.S. Maritime
Administration to make the Reduction Privilege Vessel permanently
ineligible for the approval of requests to place the vessel under
foreign registry or operate the vessel under a foreign country's
authority; record in the appropriate NMFS records that the Reduction
Fishing History represented by any documented harvest fishing history
accrued on, under, or as a result of the operation of the Reduction
Privilege Vessel and/or Reduction Fishing Vessel (subject to and in
accordance with the provisions of section 8 of this contract), the
Groundfish Reduction Permit, and the Reduction Permit(s) which could
ever qualify the Offeror for any future limited access fishing license,
fishing permit, or other harvesting privilege of any kind shall never
again be available to anyone for any fisheries purpose; and implement
any other restrictions the applicable law or regulations impose.
35. Material Disputes to be Identified. Members of the public shall,
up until NMFS receives the Offeror's written payment instructions, be
able to advise NMFS in writing of any material dispute with regard to
any aspect of any accepted Reduction Contract. Such a material dispute
shall neither relieve the Offeror of any Reduction Contract duties or
obligations nor affect NMFS' right to enforce performance of the
Reduction Contract terms and conditions.
36. Reduction Payment Disbursement. Once NMFS receives the Offeror's
written payment instructions and certification of compliance with the
Reduction Contract, NMFS shall as soon as practicable disburse the
reduction payment to the Offeror. Reduction payment disbursement shall
be in strict accordance with the Offeror's written payment instructions.
Unless the Offeror's written payment instructions direct NMFS to the
contrary, NMFS shall disburse the whole of the reduction payment to the
Offeror. If the qualifying Offeror offers with a co-Offeror, both the
qualifying Offeror and the co-Offeror must approve and sign the written
payment instructions.
37. Reduction Payment Withheld for Scrapping or for Other Reasons.
In the event that a Reduction Privilege Vessel which is not under
Federal documentation must be scrapped, NMFS shall withhold from
reduction payment disbursement an amount sufficient to scrap such
vessel. NMFS shall withhold such sum until the vessel is completely
scrapped before disbursing any amount withheld. NMFS may confirm, if
NMFS so chooses, that the vessel has been scrapped before disbursing any
amount withheld. If NMFS has reason to believe the Offeror has failed to
comply with any of the Reduction Contract terms and conditions, NMFS
shall also withhold reduction payment disbursement until such time as
the Offeror performs in accordance with the Reduction Contract terms and
conditions.
38. Offeror Assistance with Restriction. The Offeror shall, upon
NMFS' request, furnish such additional documents, undertakings,
assurances, or take such other actions as may be reasonably required to
enable NMFS' revocation, restriction, invalidation, withdrawal, or
extinguishment by other means (as NMFS deems appropriate) of all
components of the Reduction Contract's Reduction Fishing Interest in
accordance with the requirements of the Reduction Contract terms and
conditions, applicable regulations and the applicable law.
39. Recordation of Restrictions. Upon the Reduction Fishing
Privilege's revocation, the Offeror shall do everything reasonably
necessary to ensure that such revocation is recorded on the Reduction
Privilege Vessel's Federal documentation (which the National Vessel
Documentation Center maintains in accordance with Federal maritime law
and
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regulations) in such manner as is acceptable to NMFS and as shall
prevent the Reduction Privilege Vessel, regardless of its subsequent
ownership, from ever again being eligible for a fishery trade
endorsement or ever again fishing. The term ``fishing'' includes the
full range of activities defined in the Magnuson-Stevens Fishery
Conservation and Management Act (16 U.S.C. 1802).
40. Reduction Element Omission. In the event NMFS accepts the offer
and the Offeror has failed, for any reason, to specify in the Reduction
Contract any Groundfish Reduction Permit, non-Groundfish Reduction
Permit(s), Reduction Privilege Vessel, Reduction Fishing Vessel,
Reduction Fishing History, or any other element of the Reduction Fishing
Interest which the Offeror should under Reduction Contract, applicable
regulations and the applicable law have specified in Reduction Contract,
such omitted element shall nevertheless be deemed to be included in the
Reduction Contract and to be subject to the Reduction Contract's terms
and conditions; and all Reduction Contract terms and conditions which
should have applied to such omitted element had it not be omitted shall
apply as if such element had not been omitted. Upon the Offeror
discovering any such omission, the Offeror shall immediately and fully
advise NMFS of such omission. Upon either NMFS or the Offeror
discovering any such omission, the Offeror shall act in accordance with
the Reduction Contract, applicable regulations and the applicable law.
41. Remedy for Breach. Because money damages are not a sufficient
remedy for the Offeror breaching any one or more of the Reduction
Contract terms and conditions, the Offeror explicitly agrees to and
hereby authorizes specific performance of the Reduction Contract, in
addition to any money damages, as a remedy for such breach. In the event
of such breach, NMFS shall take any reasonable action, including
requiring and enforcing specific performance of the Reduction Contract,
NMFS deems necessary to carry out the Reduction Contract, applicable
regulations and the applicable law.
42. Waiver of Data Confidentiality. The Offeror consents to the
public release of any information provided in connection with the
Reduction Contract or pursuant to Reduction Plan requirements, including
any information provided in the Reduction Contract or by any other means
associated with, or necessary for evaluation of, the Offeror's Reduction
Contract if NMFS finds that the release of such information is necessary
to achieve the Reduction Plan's authorized purpose. The Offeror hereby
explicitly waives any claim of confidentiality otherwise afforded to
catch, or harvest data and fishing histories otherwise protected from
release under the Magnuson-Stevens Fishery Conservation and Management
Act (16 U.S.C. 1881 a(b)) or any other law. In the event of such
information release, the Offeror hereby forever fully and
unconditionally releases and holds harmless the United States and its
officers, agents, employees, representatives, of and from any and all
claims, demands, debts, damages, duties, causes of action, actions and
suits whatsoever, in law or equity, on account of any act, failure to
act or event arising from, out of, or in any way related to, the release
of any information associated with the Reduction Program.
43. Oral Agreement Invalid. The Reduction Contract, any addendums to
section 46 of this contract, and enclosures of photocopies of licenses
and permits required under section 46 of this contract, contain the
final terms and conditions of the agreement between the Offeror and NMFS
and represent the entire and exclusive agreement between them. NMFS and
the Offeror forever waive all right to sue, or otherwise counterclaim
against each other, based on any claim of past, present, or future oral
agreement between them.
44. Severable Provisions. The Reduction Contract provisions are
severable; and, in the event that any portion of the Reduction Contract
is held to be void, invalid, non-binding, or otherwise unenforceable,
the remaining portion thereof shall remain fully valid, binding, and
enforceable against the Offeror and NMFS.
45. Disputes. Any and all disputes involving the Reduction Contract,
and any other Reduction Plan aspect affecting them shall in all respects
be governed by the Federal laws of the United States; and the Offeror
and all other parties claiming under the Offeror irrevocably submit
themselves to the jurisdiction of the Federal courts of the United
States and/or to any other Federal administrative body which the
applicable law authorizes to adjudicate such disputes.
46. Fishing Capacity Reduction Offer Submission Form and Reduction
Fishing Interests Identification.
a. Completion and Submission. The Offeror must fully, faithfully,
and accurately complete this section 46 of this contract and thereafter
submit the full and complete Reduction Contract to NMFS in accordance
with the Reduction Contract. If completing this section requires
inserting more information than the places provided for the insertion of
such information allows, the Offeror should attach an addendum to the
Reduction Contract that: Includes and identifies the additional
information, states that the addendum is a part of the Reduction Fishing
Interests Identification portion of the Reduction Contract, states (as a
means of identifying the Reduction Contract to which the addendum
relates) the NMFS license number designated on the Reduction Contract's
Groundfish Reduction Permit, and is signed by all persons who signed the
Reduction Contract as the Offeror.
[[Page 168]]
b. Offeror Information.
(1) Offeror name(s). Insert in the table provided under this section
46.b(1) of this contract the name(s) of the qualifying Offeror and of
the co-Offeror (if there is a co-Offeror), and check the appropriate box
for each name listed.
Each name the Offeror inserts must be the full and exact legal name
of record of each person, partnership, corporation or other business
entity identified on the offer. If any Reduction Fishing Interest
element is co-owned by more than one person, partnership, corporation or
other business entity, the Offeror must insert each co-owner's name.
In each case, the Offeror is the holder of record, at the time of
Offeror's execution of this Reduction Contract, of the Groundfish
Reduction Permit and the Reduction Permit(s). A co-Offeror is not
allowed for either the Groundfish Reduction Permit or the Reduction
Permit(s). If the Offeror is also the owner of record, at the time of
offering, of the Reduction Privilege Vessel, the qualifying Offeror is
the sole Offeror. If, however, the owner of record, at the time of
execution of this Reduction Contract, of the Reduction Privilege Vessel
is not exactly the same as the Offeror, then the owner of record is the
co-Offeror; and the Offeror and the co-Offeror jointly offer together as
the Offeror.
------------------------------------------------------------------------
OFFEROR NAME(S) If Offeror or Check appropriate box for each name
co-Offeror consists of more than listed in the adjacent column
one owner, use one row of this ---------------------------------------
column to name each co-Offeror.
If not, use only one row for Co-Offeror (if
Offeror and one row for any co- Offeror any)
Offeror
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
(2) Offeror address(s) of record. Insert in the table provided under
this section 46.b(2) of this contract the Offeror's and the co-Offeror's
(if there is a co-Offeror) full and exact address(s) of record, and
check the appropriate box for each address listed.
------------------------------------------------------------------------
OFFEROR ADDRESS(S) If Offeror Check appropriate box for each address
or co-Offeror consists of more listed in the adjacent column
than one owner, use one row of ---------------------------------------
this column for address of each
co-owner. If not, use only one
row for Offeror and one row for
any co-Offeror. Always use the
same row order as is Offeror Co-Offeror (if
Name(s) table in section Offeror any)
46.b(1), i.e., address (1) is
for name (1), address (2) is for
name (2), address (3) is for
name (3), etc.
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
(3) Offeror business telephone number(s). Insert in the table
provided under this section 46.b(3) the Offeror's and the co-Offeror's
(if there is a co-Offeror) full and exact business telephone number(s),
and check the appropriate box for each number listed.
------------------------------------------------------------------------
OFFEROR BUSINESS TELEPHONE Check appropriate box for each
NUMBER(S) If Offeror or co- telephone number listed in the
Offeror consists of more than adjacent column
one owner, use one row of this ---------------------------------------
column for the telephone number
of each co-owner. If not, use
only one row for Offeror and one
row for any co-Offeror. Always
use the same row order as is
Offeror Name(s) table in section Offeror Co-Offeror (if
46.b(1), i.e., telephone number any)
(1) is for name (1), telephone
number (2) is for name (2),
telephone number (3) is for name
(3), etc.
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
[[Page 169]]
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
(4) Offeror electronic mail address(s) (if available). Insert in the
table printed under this section 46.b(4) the Offeror's and the co-
Offeror's (if there is a co-Offeror) full and exact electronic mail (e-
mail) address(s), and check the appropriate box for each address.
------------------------------------------------------------------------
OFFEROR E-MAIL ADDRESS(S) If Check appropriate box for each e-mail
Offeror or co-Offeror consists address listed in the adjacent column
of more than one owner, use one ---------------------------------------
row of this column for the e-
mail address of each co-owner.
If not, use only one row for
Offeror and one row for any co-
Offeror. Always use the same row
order as is Offeror Name in Offeror Co-Offeror (if
section 46.b(1) of this any)
contract, i.e., e-mail (1) is
for name (1), e-mail (2) is for
name (2), e-mail (3) is for name
(3), etc
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
c. LLP license number for Groundfish Reduction Permit. Insert in the
place this section 46.c provides the full and exact license number which
NMFS designated on the LLP license which the Offeror specifies as the
Groundfish Reduction Permit. Attach with the Reduction Contract an exact
photocopy of such license.
------------------------------------------------------------------------
LLP LICENSE NUMBER(S) AND FISHERY(S) OF Of LLP LICENSE(S) SPECIFIED AS
GROUNDFISH REDUCTION PERMIT(S)
-------------------------------------------------------------------------
License number(s) Fishery(s)
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
d. License number(s) for Reduction Permit(s). Insert in the place
this section 46.d provides the fishery(s) involved in, and the full and
exact license number(s) with NMFS designated on the license(s) which the
Offeror specifies in the Reduction Contract as the Reduction Permit(s).
Enclose with the Reduction Contract an exact photocopy of each such
license.
------------------------------------------------------------------------
LLP LICENSE NUMBER(S) AND FISHERY OF LICENSE(S) SPECIFIED AS REDUCTION
PERMITS
-------------------------------------------------------------------------
License number(s) Fishery(s)
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
e. Reduction Fishing History. For all Reduction Fishing History
insert in the place provided in the table under this section 46.e the
chronological and other information with each column heading therein
requires. The information required does not include any actual landing
data. Any Offeror whose Groundfish Reduction Permit whose issuance NMFS
based on the fishing history of a lost or destroyed vessel plus a
replacement vessel
[[Page 170]]
must insert information for both vessels and meet the requirements of
the framework regulations, final rule and any other regulations
promulgated pursuant to the Act. Any Offeror whose Groundfish Reduction
Permit whose issuance NMFS in any part based on acquisition of fishing
history from another party must insert information regarding such catch
history.
------------------------------------------------------------------------
FOR EACH FISHING HISTORY IN 2ND
COLUMN
NAMES(S) AND -----------------------------------
OFFICIAL NUMBER FOR EACH If Reduction
OF REDUCTION REDUCTION License No. of Privilege Vessel
PRIVILEGE VESSEL PRIVILEGE VESSEL each Groundfish acquired fishing
AND NAME(S) AND IN 1ST COLUMN Reduction Permit history from
OFFICIAL PROVIDE FROM TO and Reduction another party,
NUMBER(S) OF ANY DATE OF EACH Permit(s) provide name of
VESSEL FROM WHICH FISHING HISTORY associated with party, manner in
FISHING HISTORY OFFEROR POSSESSES each vessel which acquired,
WAS ACQUIRED involved and date
acquired
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
(4)
------------------------------------------------------------------------
(5)
------------------------------------------------------------------------
f. Reduction Privilege Vessel. Insert the full and exact name and
official number which the National Vessel Documentation Center
designated for the Reduction Privilege Vessel which the Offeror or the
co-Offeror (if there is a co-Offeror) specifies in the Reduction
Contract, and check the box appropriate for the vessel's ownership of
record.
Enclose with the Reduction Contract an exact photocopy of such
vessel's official certificate of documentation.
----------------------------------------------------------------------------------------------------------------
REDUCTION PRIVILEGE VESSEL Check appropriate ownership box below
----------------------------------------------------------------------------------------------------------------
Official name Official No. Offeror Co-Offeror (if any)
----------------------------------------------------------------------------------------------------------------
........................ ....................... .......................
-------------------------------------------------
----------------------------------------------------------------------------------------------------------------
g. Offer Amount. Insert in the place this section 46.g provides the
Offeror's full and exact offer amount, both in words and in numbers.
------------------------------------------------------------------------
OFFER AMOUNT [U.S. DOLLARS]
-------------------------------------------------------------------------
In words In numbers
------------------------------------------------------------------------
------------------------------------------------------------------------
h. Reduction Contract Signature. In compliance with the Reduction
Contract, applicable regulations and the applicable law, the Offeror
submits the Reduction Contract as the Offeror's irrevocable offer to
NMFS for the permanent surrender and relinquishment and revocation,
restriction, withdrawal, invalidation, or extinguishment by other means
(as NMFS deems appropriate) of the Groundfish Reduction Permit, any
Reduction Permit(s), the Reduction Fishing Privilege, and the Reduction
Fishing History--all as identified in the Reduction Contract or as
required under applicable regulations, or the applicable law.
The Offeror expressly acknowledges that NMFS' acceptance of the
Offeror's offer hereunder and NMFS' tender, following a successful
referendum, of a reduction payment in the same amount specified in
section 46.g of this contract (less any sum withheld for scrapping any
Reduction Privilege Vessel lacking Federal documentation or for any
other purpose) to the Offeror shall, among other things, render the
Reduction Privilege Vessel permanently ineligible or any fishing
worldwide, including, but not limited to, fishing on the high seas or in
the jurisdiction of any foreign country while operating under United
States flag, and shall impose or create other legal and contractual
restrictions, impediments, limitations, obligations, or other provisions
which restrict, revoke, withdraw, invalidate, or extinguish by other
means (as NMFS deems appropriate) the complete Reduction Fishing
Interest and any other fishery privileges or claims associated with the
Groundfish Reduction Permit, any Reduction Permit(s), the Reduction
Privilege Vessel, and the Reduction Fishing History--all as more fully
set forth in the Reduction Contract, applicable regulations, and the
applicable law.
By completing and signing the Reduction Contract, the Offeror
expressly acknowledges that the Offeror has fully and completely
[[Page 171]]
read the entire Reduction Contract. The Offeror expressly states,
declares, affirms, attests, warrants, and represents to NMFS that the
Offeror is fully able to enter into the Reduction Contract and that the
Offeror legally holds, owns, or retains, and is fully able under the
Reduction Contract provisions to offer and dispose of, the full
Reduction Fishing Interest which the Reduction Contract specifies and
the applicable regulations, and the applicable law requires that any
person or entity completing the Reduction Contract and/or signing the
Reduction Contract on behalf of another person or entity, expressly
attests, warrants, and represents to NMFS that such completing and/or
signing person or entity has the express and written permission or other
grant of authority to bind such other person or entity to the Reduction
Contract's terms and conditions. The Offeror expressly attests,
warrants, and represents to NMFS that every co-owner of the Offeror
necessary to constitute the Offeror's full and complete execution of the
Reduction Contract has signed the Reduction Contract. The Offeror
expressly attests, warrants, and represents to NMFS that the Offeror:
Fully understands the consequences of submitting the completed Reduction
Contract of which it is a party to NMFS; pledges to abide by the terms
and conditions of the Reduction Contract; and is aware of, understands,
and consents to, any and all remedies available to NMFS for the
Offeror's breach of the Reduction Contract or submission of an offer
which fails to conform with the Reduction Contract, final rule,
applicable regulations and the applicable law. The Offeror expressly
attests, warrants, and represents to NMFS that all information which the
Offeror inserted in the Reduction Contract is true, accurate, complete,
and fully in accordance with the Reduction Contract, final rule, other
applicable regulations and the applicable law.
In witness whereof, the Offeror has, in the place provided below,
executed the Reduction Contract either as an Offeror offering alone or
as an Offeror and co-Offeror (if there is a co-Offeror) jointly offering
together, in accordance with the requirements specified above, and on
the date written below. The Reduction Contract is effective as of the
date NMFS accepts the Offeror's offer by signing the Reduction Contract.
The Offeror and co-Offeror (if there is a co-Offeror) must each sign
the Reduction Contract exactly as instructed herein. Each co-owner (if
there is a co-owner) of each Offeror and co-Offeror (if there is a co-
Offeror) must also sign the Reduction Contract exactly as instructed
herein. A notary public must, for each person or entity signing on
behalf of the Offeror, complete and sign the acknowledgment and
certification provision associated with each such person or entity's
signature.
I. Offeror and co-Offeror's (if there is a co-Offeror) signature(s)
and notary's acknowledgment(s) and certification(s).
------------------------------------------------------------------------
OFFEROR'S SIGNATURE AND NOTARY'S ACKNOWLEDGMENT AND CERTIFICATION If
Offeror or co-Offeror consists of more than one owner, use one row of
column 1 for each co-owner's signature. If not, use only one row for
Offeror and one row for co-Offeror (if any). Always use same Offeror
row order as in Offeror Name in the table under section 46.b(1) of this
contract (i.e., signature (1) is for name (1), signature (2) is for name
(2) signature (3) is for name (3), etc.)
-------------------------------------------------------------------------
OFFEROR SIGNATURE Check appropriate column for each NOTARY SIGNATURE
(1) Sign. (2) signature in 1st column (1) Sign. (2)
Print: the ------------------------------------ Print: the
following: (a) following: (a)
signer's name, name, (b) signing
(b) signer's date, (3) date
title (if signing commission
for corporation expires, and (4)
or other business State and county.
entity), and (c) Each notary
signing date signature attests
------------------ to the following:
``I certify that
I know or have
satisfactory
evidence that the
person who signed
in the 1st column
Qualifying Co-Offeror (if of this same row
Offeror any) is the person who
appeared before
me and: (1)
acknowledged his/
her signature;
(2) on oath,
stated that he/
she was
authorized to
sign; and (3)
acknowledged that
he/she did so
freely and
voluntarily.''
------------------
------------------------------------------------------------------------
(1)
------------------------------------------------------------------------
(2)
------------------------------------------------------------------------
(3)
------------------------------------------------------------------------
II. United States of America's signature. United States of America,
Acting by and through the Secretary of Commerce, National Oceanic and
Atmospheric Administration, National Marine Fisheries Service, Financial
Services Division.
[[Page 172]]
[fxsp0]Dated:___________________________________________________________
[fxsp0]By:______________________________________________________________
Leo C. Erwin, Chief,
Financial Services Division, National Marine Fisheries Service.
[71 FR 57701, Sept. 29, 2006]
Effective Date Note: At 71 FR 57701, Sept. 29, 2006, Sec. 600.1105
was added, effective Oct. 30, 2006.
Subpart N_Shark Finning
Source: 67 FR 6200, Feb. 11, 2002, unless otherwise noted.
Redesignated at 69 FR 53361, Sept. 1, 2004.
Sec. 600.1200 Purpose and scope.
The regulations in this subpart govern ``shark finning'' (the
removal of shark fins and discarding of the carcass), the possession of
shark fins, and the landing into U.S. ports of shark fins without
corresponding carcasses under the authority of the Magnuson-Stevens Act.
They implement the Shark Finning Prohibition Act of 2000.
Sec. 600.1201 Relation to other laws.
(a) The relation of this subpart to other laws is set forth in Sec.
Sec. 600.514 and 600.705 and in paragraphs (b) and (c) of this section.
(b) Regulations pertaining to shark conservation and management for
certain shark fisheries are also set forth in this subpart and in parts
635 (for Federal Atlantic Ocean, Gulf of Mexico, and Caribbean shark
fisheries), 648 (for spiny dogfish fisheries), and 660 (for fisheries
off West Coast states and in the western Pacific) of this chapter
governing those fisheries.
(c) Nothing in this regulation supercedes more restrictive state
laws or regulations regarding shark finning in state waters.
(d) A person who owns or operates a vessel that has been issued an
Atlantic Federal commercial shark limited access permit or a spiny
dogfish permit is subject to the reporting and recordkeeping
requirements found at parts 635 and 648 of this chapter, respectively.
Sec. 600.1202 Definitions.
(a) In addition to the definitions in the Magnuson-Stevens Act and
in Sec. 600.10, the terms used in this subpart have the following
meanings:
Land or landing means offloading fish, or causing fish to be
offloaded, from a fishing vessel, either to another vessel or to a
shoreside location or facility, or arriving in port, or at a dock,
berth, beach, seawall, or ramp to begin offloading fish.
Shark finning means taking a shark, removing a fin or fins (whether
or not including the tail), and returning the remainder of the shark to
the sea.
(b) If there is any difference between a definition in this section
and in Sec. 600.10, the definition in this section is the operative
definition for the purposes of this subpart.
Sec. 600.1203 Prohibitions.
(a) In addition to the prohibitions in Sec. Sec. 600.505 and
600.725, it is unlawful for any person to do, or attempt to do, any of
the following:
(1) Engage in shark finning, as provided in Sec. 600.1204(a) and
(i).
(2) Possess shark fins without the corresponding carcasses while on
board a U.S. fishing vessel, as provided in Sec. 600.1204(b) and (j).
(3) Land shark fins without the corresponding carcasses, as provided
in Sec. 600.1204(c) and (k).
(4) Fail to have all shark fins and carcasses from a U.S. or foreign
fishing vessel landed at one time and weighed at the time of the
landing, as provided in Sec. 600.1204(d).
(5) Possess, purchase, offer to sell, or sell shark fins taken,
landed, or possessed in violation of this section, as provided in Sec.
600.1204(e) and (l).
(6) When requested, fail to allow an authorized officer or any
employee of NMFS designated by a Regional Administrator access to and/or
inspection or copying of any records pertaining to the landing, sale,
purchase, or other disposition of shark fins and/or shark carcasses, as
provided in Sec. 600.1204(f).
(7) Fail to have shark fins and carcasses recorded as specified in
Sec. 635.30(c)(3) of this chapter.
(8) Fail to have all shark carcasses and fins landed and weighed at
the same time if landed in an Atlantic coastal port, and to have all
weights recorded on the weighout slips specified in Sec. 635.5(a)(2) of
this chapter.
[[Page 173]]
(9) Fail to maintain a shark intact through landing as specified in
Sec. Sec. 600.1204(h) and 635.30(c)(4) of this chapter.
(b)(1) For purposes of this section, it is a rebuttable presumption
that shark fins landed by a U.S. or foreign fishing vessel were taken,
held, or landed in violation of this section if the total weight of the
shark fins landed exceeds 5 percent of the total dressed weight of shark
carcasses on board or landed from the fishing vessel.
(2) For purposes of this section, it is a rebuttable presumption
that shark fins possessed by a U.S. fishing vessel were taken and held
in violation of this section if the total weight of the shark fins on
board, or landed, exceeds 5 percent of the total dressed weight of shark
carcasses on board or landed from the fishing vessel.
Sec. 600.1204 Shark finning; possession at sea and landing of shark fins.
(a)(1) No person aboard a U.S. fishing vessel shall engage in shark
finning in waters seaward of the inner boundary of the U.S. EEZ.
(2) No person aboard a foreign fishing vessel shall engage in shark
finning in waters shoreward of the outer boundary of the U.S. EEZ.
(b) No person aboard a U.S. fishing vessel shall possess on board
shark fins harvested seaward of the inner boundary of the U.S. EEZ
without the corresponding carcass(es), as may be determined by the
weight of the shark fins in accordance with Sec. 600.1203(b)(2), except
that sharks may be dressed at sea.
(c) No person aboard a U.S. or foreign fishing vessel (including any
cargo vessel that received shark fins from a fishing vessel at sea)
shall land shark fins harvested in waters seaward of the inner boundary
of the U.S. EEZ without corresponding shark carcasses, as may be
determined by the weight of the shark fins in accordance with Sec.
600.1203(b)(1).
(d) Except as provided in paragraphs (g) and (h) of this section, a
person who operates a U.S. or foreign fishing vessel and who lands shark
fins harvested in waters seaward of the inner boundary of the U.S. EEZ
shall land all fins and corresponding carcasses from the vessel at the
same point of landing and shall have all fins and carcasses weighed at
that time.
(e) A person may not purchase, offer to sell, or sell shark fins
taken, landed, or possessed in violation of this section.
(f) Upon request, a person who owns or operates a vessel or a dealer
shall allow an authorized officer or any employee of NMFS designated by
a Regional Administrator access to, and/or inspection or copying of, any
records pertaining to the landing, sale, purchase, or other disposition
of shark fins and/or shark carcasses.
(g) A person who owns or operates a vessel that has been issued a
Federal Atlantic commercial shark limited access permit and who lands
shark in an Atlantic coastal port must have all fins weighed in
conjunction with the weighing of the carcasses at the vessel's first
point of landing. Such weights must be recorded on the ``weighout
slips'' specified in Sec. 635.5(a)(2) of this chapter.
(h) A person who owns or operates a vessel that has not been issued
a Federal Atlantic commercial shark limited access permit and who lands
shark in or from the U.S. EEZ in an Atlantic coastal port must comply
with regulations found at Sec. 635.30(c)(4) of this chapter.
(i) No person aboard a vessel that has been issued a Federal
Atlantic commercial shark limited access permit shall engage in shark
finning.
(j) No person aboard a vessel that has been issued a Federal
Atlantic commercial shark limited access permit shall possess on board
shark fins without the corresponding carcass(es), as may be determined
by the weight of the shark fins in accordance with Sec. 600.1203(b)(2),
except that sharks may be dressed at sea.
(k) No person aboard a vessel that has been issued a Federal
Atlantic commercial shark limited access permit shall land shark fins
without the corresponding carcass(es).
(l) A dealer may not purchase from an owner or operator of a fishing
vessel issued a Federal Atlantic commercial shark limited access permit
who lands shark in an Atlantic coastal port fins whose wet weight
exceeds 5 percent of the dressed weight of the carcasses.
[[Page 174]]
PART 622_FISHERIES OF THE CARIBBEAN, GULF, AND SOUTH ATLANTIC--Table of Contents
Subpart A_General Provisions
Sec.
622.1 Purpose and scope.
622.2 Definitions and acronyms.
622.3 Relation to other laws and regulations.
622.4 Permits and fees.
622.5 Recordkeeping and reporting.
622.6 Vessel and gear identification.
622.7 Prohibitions.
622.8 At-sea observer coverage.
622.9 Vessel monitoring systems (VMSs).
622.10 Conservation measures for protected resources.
Subpart B_Effort Limitations
622.15 Wreckfish individual transferable quota (ITQ) system.
622.16 Red snapper individual transferable quota (ITQ) system.
622.17 South Atlantic golden crab controlled access.
622.18 South Atlantic snapper-grouper limited access.
622.19 South Atlantic rock shrimp limited access.
Subpart C_Management Measures
622.30 Fishing years.
622.31 Prohibited gear and methods.
622.32 Prohibited and limited-harvest species.
622.33 Caribbean EEZ seasonal and/or area closures.
622.34 Gulf EEZ seasonal and/or area closures.
622.35 Atlantic EEZ seasonal and/or area closures.
622.36 Seasonal harvest limitations.
622.37 Size limits.
622.38 Landing fish intact.
622.39 Bag and possession limits.
622.40 Limitations on traps and pots.
622.41 Species specific limitations.
622.42 Quotas.
622.43 Closures.
622.44 Commercial trip limits.
622.45 Restrictions on sale/purchase.
622.46 Prevention of gear conflicts.
622.47 Gulf groundfish trawl fishery.
622.48 Adjustment of management measures.
Appendix A to Part 622--Species Tables
Appendix B to Part 622--Gulf Areas
Appendix C to Part 622--Fish Length Measurements
Appendix D to Part 622--Specifications for Certified BRDs
Authority: 16 U.S.C. 1801 et seq.
Source: 61 FR 34934, July 3, 1996, unless otherwise noted.
Editorial Note: Nomenclature changes to part 622 appear at 70 FR
73389, Dec. 12, 2005.
Subpart A_General Provisions
Sec. 622.1 Purpose and scope.
(a) The purpose of this part is to implement the FMPs prepared under
the Magnuson Act by the CFMC, GMFMC, and/or SAFMC listed in Table 1 of
this section.
(b) This part governs conservation and management of species
included in the FMPs in or from the Caribbean, Gulf, Mid-Atlantic, South
Atlantic, or Atlantic EEZ, as indicated in Table 1 of this section. For
the FMPs noted in the following table, conservation and management
extends to adjoining state waters for the purposes of data collection
and monitoring.
Table 1--FMPs Implemented Under Part 622
------------------------------------------------------------------------
Responsible fishery
FMP title management Geographical
council(s) area
------------------------------------------------------------------------
Atlantic Coast Red Drum FMP..... SAFMC Mid-Atlantic and
South Atlantic.
FMP for Coastal Migratory GMFMC/SAFMC Gulf,\1\ Mid-
Pelagic Resources. Atlantic \1,2\
and South
Atlantic. \1,3\
FMP for Coral and Coral Reefs of GMFMC Gulf.
the Gulf of Mexico.
FMP for Coral, Coral Reefs, and SAFMC South Atlantic.
Live/Hard Bottom Habitats of
the South Atlantic Region.
FMP for Corals and Reef CFMC Caribbean.
Associated Plants and
Invertebrates of Puerto Rico
and the U.S. Virgin Islands.
FMP for the Dolphin and Wahoo SAFMC Atlantic.
Fishery off the Atlantic States.
FMP for the Golden Crab Fishery SAFMC South Atlantic
of the South Atlantic Region.
FMP for Queen Conch Resources of CFMC Caribbean.
Puerto Rico and the U.S. Virgin
Islands.
FMP for Pelagic Sargassum SAFMC South Atlantic
Habitat of the South Atlantic
Region.
FMP for the Red Drum Fishery of GMFMC Gulf. \1\
the Gulf of Mexico.
FMP for the Reef Fish Fishery of CFMC Caribbean.
Puerto Rico and the U.S. Virgin
Islands.
[[Page 175]]
FMP for the Reef Fish Resources GMFMC Gulf. \1\
of the Gulf of Mexico.
FMP for the Shrimp Fishery of GMFMC Gulf. \1\
the Gulf of Mexico.
FMP for the Shrimp Fishery of SAFMC South Atlantic.
the South Atlantic Region.
FMP for the Snapper-Grouper SAFMC South Atlantic.
Fishery of the South Atlantic \1,4\
Region.
FMP for the Spiny Lobster CFMC Caribbean.
Fishery of Puerto Rico and the
U.S. Virgin Islands.
------------------------------------------------------------------------
\1\ Regulated area includes adjoining state waters for purposes of data
collection and quota monitoring.
\2\ Only king and Spanish mackerel and cobia are managed under the FMP
in the Mid-Atlantic.
\3\ Bluefish are not managed under the FMP in the South Atlantic.
\4\ Bank, rock, and black sea bass and scup are not managed by the FMP
or regulated by this part north of 35[deg]15.19[min] N. lat., the
latitude of Cape Hatteras Light, NC.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43956, Aug. 27, 1996; 61
FR 65483, Dec. 13, 1996; 63 FR 10565, Mar. 4, 1998; 67 FR 22362, May 3,
2002; 68 FR 57378, Oct. 3, 2003; 69 FR 30240, May 27, 2004]
Sec. 622.2 Definitions and acronyms.
In addition to the definitions in the Magnuson Act and in Sec.
600.10 of this chapter, and the acronyms in Sec. 600.15 of this
chapter, the terms and acronyms used in this part have the following
meanings:
Allowable chemical means a substance, generally used to immobilize
marine life so that it can be captured alive, that, when introduced into
the water, does not take Gulf and South Atlantic prohibited coral and is
allowed by Florida for the harvest of tropical fish (e.g., quinaldine,
quinaldine compounds, or similar substances).
Allowable octocoral means an erect, nonencrusting species of the
subclass Octocorallia, except the seafans Gorgonia flabellum and G.
ventalina, plus the attached substrate within 1 inch (2.54 cm) of an
allowable octocoral.
Note: An erect, nonencrusting species of the subclass Octocorallia,
except the seafans Gorgonia flabellum and G. ventalina, with attached
substrate exceeding 1 inch (2.54 cm) is considered to be live rock and
not allowable octocoral.
Aquacultured live rock means live rock that is harvested under a
Federal aquacultured live rock permit, as required under Sec.
622.4(a)(3)(iii).
Atlantic means the North Atlantic, Mid-Atlantic, and South Atlantic.
Authorized statistical reporting agent means:
(1) Any person so designated by the SRD; or
(2) Any person so designated by the head of any Federal or State
agency that has entered into an agreement with the Assistant
Administrator to collect fishery data.
Automatic reel means a reel that remains attached to a vessel when
in use from which a line and attached hook(s) are deployed. The line is
payed out from and retrieved on the reel electrically or hydraulically.
Bandit gear means a rod and reel that remain attached to a vessel
when in use from which a line and attached hook(s) are deployed. The
line is payed out from and retrieved on the reel manually, electrically,
or hydraulically.
BRD means bycatch reduction device.
Buoy gear means fishing gear consisting of a float and one or more
weighted lines suspended therefrom, generally long enough to reach the
bottom. A hook or hooks (usually 6 to 10) are on the lines at or near
the end. The float and line(s) drift freely and are retrieved
periodically to remove catch and rebait hooks.
Carapace length means the straight-line distance from the orbital
notch inside the orbital spine, in a line parallel to the lateral
rostral sulcus, to the posterior margin of the cephalothorax. (See
Figure 1 in Appendix C of this part.)
Caribbean means the Caribbean Sea around Puerto Rico and the U.S.
Virgin Islands.
Caribbean coral reef resource means one or more of the species, or a
part thereof, listed in Table 1 in Appendix A of this part, whether
living or dead.
[[Page 176]]
Caribbean prohibited coral means, in the Caribbean; a gorgonian,
that is, a Caribbean coral reef resource of the Class Anthozoa, Subclass
Octocorallia, Order Gorgonacea; a live rock; or a stony coral, that is,
a Caribbean coral reef resource of the Class Hydrozoa (fire corals and
hydrocorals) or of the Class Anthozoa, Subclass Hexacorallia, Orders
Scleractinia (stony corals) and Antipatharia (black corals); or a part
thereof.
Caribbean queen conch or queen conch means the species, Strombus
gigus, or a part thereof.
Caribbean reef fish means one or more of the species, or a part
thereof, listed in Table 2 in Appendix A of this part.
Caribbean spiny lobster means the species Panulirus argus, or a part
thereof.
CFMC means the Caribbean Fishery Management Council.
Charter vessel means a vessel less than 100 gross tons (90.8 mt)
that is subject to the requirements of the USCG to carry six or fewer
passengers for hire and that engages in charter fishing at any time
during the calendar year. A charter vessel with a commercial permit, as
required under Sec. 622.4(a)(2), is considered to be operating as a
charter vessel when it carries a passenger who pays a fee or when there
are more than three persons aboard, including operator and crew.
However, a charter vessel that has a charter vessel permit for Gulf reef
fish, a commercial vessel permit for Gulf reef fish, and a valid
Certificate of Inspection (COI) issued by the USCG to carry passengers
for hire will not be considered to be operating as a charter vessel
provided--
(1) It is not carrying a passenger who pays a fee; and
(2) When underway for more than 12 hours, that vessel meets, but
does not exceed the minimum manning requirements outlined in its COI for
vessels underway over 12 hours; or when underway for not more than 12
hours, that vessel meets the minimum manning requirements outlined in
its COI for vessels underway for not more than 12-hours (if any), and
does not exceed the minimum manning requirements outlined in its COI for
vessels that are underway for more than 12 hours.
Coastal migratory pelagic fish means one or more of the following
species, or a part thereof:
(1) Bluefish, Pomatomus saltatrix (Gulf of Mexico only).
(2) Cero, Scomberomorus regalis.
(3) Cobia, Rachycentron canadum.
(4) Dolphin, Coryphaena hippurus (Gulf of Mexico only).
(5) King mackerel, Scomberomorus cavalla.
(6) Little tunny, Euthynnus alletteratus.
(7) Spanish mackerel, Scomberomorus maculatus.
Coral area means marine habitat in the Gulf or South Atlantic EEZ
where coral growth abounds, including patch reefs, outer bank reefs,
deep water banks, and hard bottoms.
Dealer, in addition to the definition specified in Sec. 600.10 of
this chapter, means the person who first receives rock shrimp harvested
from the EEZ or dolphin or wahoo harvested from the Atlantic EEZ upon
transfer ashore.
Dolphin means the species Coryphaena equiselis or C. hippurus, or a
part thereof, in the Atlantic. (See the definition of Coastal migratory
pelagic fish for dolphin in the Gulf of Mexico.)
Drift gillnet, for the purposes of this part, means a gillnet, other
than a long gillnet or a run-around gillnet, that is unattached to the
ocean bottom, regardless of whether attached to a vessel.
Fish trap means--
(1) In the Caribbean EEZ, a trap and its component parts (including
the lines and buoys), regardless of the construction material, used for
or capable of taking finfish.
(2) In the Gulf EEZ, a trap and its component parts (including the
lines and buoys), regardless of the construction material, used for or
capable of taking finfish, except a trap historically used in the
directed fishery for crustaceans (that is, blue crab, stone crab, and
spiny lobster).
(3) In the South Atlantic EEZ, a trap and its component parts
(including the lines and buoys), regardless of the construction
material, used for or capable of taking fish, except a sea bass pot, a
golden crab trap, or a crustacean trap (that is, a type of trap
historically used in the directed fishery for blue crab,
[[Page 177]]
stone crab, red crab, jonah crab, or spiny lobster and that contains at
any time not more than 25 percent, by number, of fish other than blue
crab, stone crab, red crab, jonah crab, and spiny lobster).
Fork length means the straight-line distance from the tip of the
head (snout) to the rear center edge of the tail (caudal fin). (See
Figure 2 in Appendix C of this part.)
Golden crab means the species Chaceon fenneri, or a part thereof.
Golden crab trap means any trap used or possessed in association
with a directed fishery for golden crab in the South Atlantic EEZ,
including any trap that contains a golden crab in or from the South
Atlantic EEZ or any trap on board a vessel that possesses golden crab in
or from the South Atlantic EEZ.
GMFMC means the Gulf of Mexico Fishery Management Council.
Gulf means the Gulf of Mexico. The line of demarcation between the
Atlantic Ocean and the Gulf of Mexico is specified in Sec. 600.105(c)
of this chapter.
Gulf reef fish means one or more of the species, or a part thereof,
listed in Table 3 in Appendix A of this part.
Gulf and South Atlantic prohibited coral means, in the Gulf and
South Atlantic, one or more of the following, or a part thereof:
(1) Coral belonging to the Class Hydrozoa (fire corals and
hydrocorals).
(2) Coral belonging to the Class Anthozoa, Subclass Hexacorallia,
Orders Scleractinia (stony corals) and Antipatharia (black corals).
(3) A seafan, Gorgonia flabellum or G. ventalina.
(4) Coral in a coral reef, except for allowable octocoral.
(5) Coral in an HAPC, including allowable octocoral.
Handline means a line with attached hook(s) that is tended directly
by hand.
HAPC means habitat area of particular concern.
Headboat means a vessel that holds a valid Certificate of Inspection
(COI) issued by the USCG to carry more than six passengers for hire.
(1) A headboat with a commercial vessel permit, as required under
Sec. 622.4(a)(2), is considered to be operating as a headboat when it
carries a passenger who pays a fee or--
(i) In the case of persons aboard fishing for or possessing South
Atlantic snapper-grouper, when there are more persons aboard than the
number of crew specified in the vessel's COI; or
(ii) In the case of persons aboard fishing for or possessing coastal
migratory pelagic fish, when there are more than three persons aboard,
including operator and crew.
(2) However a vessel that has a headboat permit for Gulf reef fish,
a commercial vessel permit for Gulf reef fish, and a valid COI issued by
the USCG to carry passengers for hire will not be considered to be
operating as a headboat provided--
(i) It is not carrying a passenger who pays a fee; and
(ii) When underway for more than 12 hours, that vessel meets, but
does not exceed the minimum manning requirements outlined in its COI for
vessels underway over 12 hours; or when underway for not more than 12
hours, that vessel meets the minimum manning requirements outlined in
its COI for vessels underway for not more than 12-hours (if any), and
does not exceed the minimum manning requirements outlined in its COI for
vessels that are underway for more than 12 hours.
Headrope length means the distance, measured along the forwardmost
webbing of a trawl net, between the points at which the upper lip (top
edge) of the mouth of the net are attached to sleds, doors, or other
devices that spread the net.
Hook-and-line gear means automatic reel, bandit gear, buoy gear,
handline, longline, and rod and reel.
Live rock means living marine organisms, or an assemblage thereof,
attached to a hard substrate, including dead coral or rock (excluding
individual mollusk shells).
Long gillnet means a gillnet that has a float line that is more than
1,000 yd (914 m) in length.
Longline means a line that is deployed horizontally to which
gangions and hooks are attached. A longline may be a bottom longline,
i.e., designed for use on the bottom, or a pelagic longline, i.e.,
designed for use off the bottom. The longline hauler may
[[Page 178]]
be manually, electrically, or hydraulically operated.
MAFMC means the Mid-Atlantic Fishery Management Council.
Mid-Atlantic means the Atlantic Ocean off the Atlantic coastal
states from the boundary between the New England Fishery Management
Council and the MAFMC, as specified in Sec. 600.105(a) of this chapter,
to the boundary between the MAFMC and the SAFMC, as specified in Sec.
600.105(b) of this chapter.
Migratory group, for king and Spanish mackerel, means a group of
fish that may or may not be a separate genetic stock, but that is
treated as a separate stock for management purposes. King and Spanish
mackerel are divided into migratory groups--the Atlantic migratory group
and the Gulf migratory group. The boundaries between these groups are as
follows:
(1) King mackerel--(i) Summer separation. From April 1 through
October 31, the boundary separating the Gulf and Atlantic migratory
groups of king mackerel is 25[deg]48[min] N. lat., which is a line
directly west from the Monroe/Collier County, FL, boundary to the outer
limit of the EEZ.
(ii) Winter separation. From November 1 through March 31, the
boundary separating the Gulf and Atlantic migratory groups of king
mackerel is 29[deg]25[min] N. lat., which is a line directly east from
the Volusia/Flagler County, FL, boundary to the outer limit of the EEZ.
(2) Spanish mackerel. The boundary separating the Gulf and Atlantic
migratory groups of Spanish mackerel is 25[deg]20.4[min] N. lat., which
is a line directly east from the Miami-Dade/Monroe County, FL, boundary
to the outer limit of the EEZ.
North Atlantic means the Atlantic Ocean off the Atlantic coastal
states from the boundary between the United States and Canada to the
boundary between the New England Fishery Management Council and the
MAFMC, as specified in Sec. 600.105(a) of this chapter.
Off Florida means the waters in the Gulf and South Atlantic from
30[deg]42[min]45.6[sec] N. lat., which is a line directly east from the
seaward terminus of the Georgia/Florida boundary, to
87[deg]31[min]06[sec] W. long., which is a line directly south from the
Alabama/Florida boundary.
Off Georgia means the waters in the South Atlantic from a line
extending in a direction of 104[deg] from true north from the seaward
terminus of the South Carolina/Georgia boundary to
30[deg]42[min]45.6[sec] N. lat., which is a line directly east from the
seaward terminus of the Georgia/Florida boundary.
Official sunrise or official sunset means the time of sunrise or
sunset as determined for the date and location in The Nautical Almanac,
prepared by the U.S. Naval Observatory.
Off Louisiana, Mississippi, and Alabama means the waters in the Gulf
other than off Florida and off Texas.
Off North Carolina means the waters in the South Atlantic from
36[deg]34[min]55[sec] N. lat., which is a line directly east from the
Virginia/North Carolina boundary, to a line extending in a direction of
135[deg]34[min]55[sec] from true north from the North Carolina/South
Carolina boundary, as marked by the border station on Bird Island at
33[deg]51[min]07.9[sec] N. lat., 78[deg]32[min]32.6[sec] W. long.
Off South Carolina means the waters in the South Atlantic from a
line extending in a direction of 135[deg]34[min]55[sec] from true north
from the North Carolina/South Carolina boundary, as marked by the border
station on Bird Island at 33[deg]51[min]07.9[sec] N. lat.,
78[min]32[min]32.6[sec] W. long., to a line extending in a direction of
104[deg] from true north from the seaward terminus of the South
Carolina/Georgia boundary.
Off Texas means the waters in the Gulf west of a rhumb line from
29[deg]32.1[min] N. lat., 93[deg]47.7[min] W. long. to 26[deg]11.4[min]
N. lat., 92[deg]53[min] W. long., which line is an extension of the
boundary between Louisiana and Texas.
Pelagic longline means a longline that is suspended by floats in the
water column and that is not fixed to or in contact with the ocean
bottom.
Pelagic sargassum means the species Sargassum natans or S. fluitans,
or a part thereof.
Penaeid shrimp means one or more of the following species, or a part
thereof:
(1) Brown shrimp, Farfantepenaeus aztecus.
(2) Pink shrimp, Farfantepenaeus duorarum.
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(3) White shrimp, Litopenaeus setiferus.
Penaeid shrimp trawler means any vessel that is equipped with one or
more trawl nets whose on-board or landed catch of penaeid shrimp is more
than 1 percent, by weight, of all fish comprising its on-board or landed
catch.
Powerhead means any device with an explosive charge, usually
attached to a speargun, spear, pole, or stick, that fires a projectile
upon contact.
Processor means a person who processes fish or fish products, or
parts thereof, for commercial use or consumption.
Purchase means the act or activity of buying, trading, or bartering,
or attempting to buy, trade, or barter.
Red drum, also called redfish, means Sciaenops ocellatus, or a part
thereof.
Red snapper means Lutjanus campechanus, or a part thereof, one of
the Gulf reef fish species.
Regional Administrator (RA), for the purposes of this part, means
the Administrator, Southeast Region, NMFS, 9721 Executive Center Drive
N., St. Petersburg, FL 33702, or a designee.
Rod and reel means a rod and reel unit that is not attached to a
vessel, or, if attached, is readily removable, from which a line and
attached hook(s) are deployed. The line is payed out from and retrieved
on the reel manually, electrically, or hydraulically.
Run-around gillnet means a gillnet, other than a long gillnet,
that, when used, encloses an area of water.
SAFMC means the South Atlantic Fishery Management Council.
Sale or sell means the act or activity of transferring property for
money or credit, trading, or bartering, or attempting to so transfer,
trade, or barter.
Science and Research Director (SRD), for the purposes of this part,
means the Science and Research Director, Southeast Fisheries Science
Center, NMFS (see Table 1 of Sec. 600.502 of this chapter).
Sea bass pot means a trap has six rectangular sides and does not
exceed 25 inches (63.5 cm) in height, width, or depth.
Shrimp means one or more of the following species, or a part
thereof:
(1) Brown shrimp, Farfantepenaeus aztecus.
(2) White shrimp, Litopenaeus setiferus.
(3) Pink shrimp, Farfantepenaeus duorarum.
(4) Royal red shrimp, Hymenopenaeus robustus.
(5) Rock shrimp, Sicyonia brevirostris.
(6) Seabob shrimp, Xiphopenaeus kroyeri.
Shrimp trawler means any vessel that is equipped with one or more
trawl nets whose on-board or landed catch of shrimp is more than 1
percent, by weight, of all fish comprising its on-board or landed catch.
SMZ means special management zone.
South Atlantic means the Atlantic Ocean off the Atlantic coastal
states from the boundary between the MAFMC and the SAFMC, as specified
in Sec. 600.105(b) of this chapter, to the line of demarcation between
the Atlantic Ocean and the Gulf of Mexico, as specified in Sec.
600.105(c) of this chapter.
South Atlantic snapper-grouper means one or more of the species, or
a part thereof, listed in Table 4 in Appendix A of this part.
Stab net means a gillnet, other than a long gillnet, or trammel net
whose weight line sinks to the bottom and submerges the float line.
Total length (TL), for the purposes of this part, means the
straight-line distance from the tip of the snout to the tip of the tail
(caudal fin), excluding any caudal filament, while the fish is lying on
its side. The mouth of the fish may be closed and/or the tail may be
squeezed together to give the greatest overall measurement. (See Figure
2 in Appendix C of this part.)
Toxic chemical means any substance, other than an allowable
chemical, that, when introduced into the water, can stun, immobilize, or
take marine life.
Trammel net means two or more panels of netting, suspended
vertically in the water by a common float line and a common weight line,
with one panel having a larger mesh size than the other(s), to entrap
fish in a pocket of netting.
Trip means a fishing trip, regardless of number of days duration,
that begins with departure from a dock, berth,
[[Page 180]]
beach, seawall, or ramp and that terminates with return to a dock,
berth, beach, seawall, or ramp.
Try net, also called test net, means a net pulled for brief periods
by a shrimp trawler to test for shrimp concentrations or determine
fishing conditions (e.g., presence or absence of bottom debris,
jellyfish, bycatch, seagrasses).
Wahoo means the species Acanthocybium solandri, or a part thereof,
in the Atlantic.
Wild live rock means live rock other than aquacultured live rock.
Wreckfish means the species Polyprion americanus, or a part thereof,
one of the South Atlantic snapper-grouper species.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43956, Aug. 27, 1996; 61
FR 47448, Sept. 9, 1996; 61 FR 65483, Dec. 13, 1996; 62 FR 18539, Apr.
16, 1997; 63 FR 10565, Mar. 4, 1998; 63 FR 18144, Apr. 14, 1998; 64 FR
59125, Nov. 2, 1999; 65 FR 52957, Aug. 31, 2000; 67 FR 51078, Aug. 7,
2002; 68 FR 57378, Oct. 3, 2003; 69 FR 30240, May 27, 2004; 70 FR 62080,
Oct. 28, 2005; 70 FR 73387, Dec. 12, 2005; 71 FR 45433, Aug. 9, 2006]
Sec. 622.3 Relation to other laws and regulations.
(a) The relation of this part to other laws is set forth in Sec.
600.705 of this chapter and paragraphs (b) and (c) of this section.
(b) Except for regulations on allowable octocoral, Gulf and South
Atlantic prohibited coral, and live rock, this part is intended to apply
within the EEZ portions of applicable National Marine Sanctuaries and
National Parks, unless the regulations governing such sanctuaries or
parks prohibit their application. Regulations on allowable octocoral,
Gulf and South Atlantic prohibited coral, and live rock do not apply
within the EEZ portions of the following National Marine Sanctuaries and
National Parks:
(1) Florida Keys National Marine Sanctuary (15 CFR part 922, subpart
P).
(2) Gray's Reef National Marine Sanctuary (15 CFR part 922, subpart
I).
(3) Monitor National Marine Sanctuary (15 CFR part 922, subpart F).
(4) Everglades National Park (36 CFR 7.45).
(5) Biscayne National Park (16 U.S.C. 410gg).
(6) Fort Jefferson National Monument (36 CFR 7.27).
(c) For allowable octocoral, if a state has a catch, landing, or
gear regulation that is more restrictive than a catch, landing, or gear
regulation in this part, a person landing in such state allowable
octocoral taken from the Gulf or South Atlantic EEZ must comply with the
more restrictive state regulation.
(d) General provisions on facilitation of enforcement, penalties,
and enforcement policy applicable to all domestic fisheries are set
forth in Sec. Sec. 600.730, 600.735, and 600.740 of this chapter,
respectively.
(e) An activity that is otherwise prohibited by this part may be
conducted if authorized as scientific research activity, exempted
fishing, or exempted educational activity, as specified in Sec. 600.745
of this chapter.
[61 FR 34934, July 3, 1996, as amended at 71 FR 28284, May 16, 2006]
Sec. 622.4 Permits and fees.
(a) Permits required. To conduct activities in fisheries governed in
this part, valid permits, licenses, and endorsements are required as
follows:
(1) Charter vessel/headboat permits. (i) For a person aboard a
vessel that is operating as a charter vessel or headboat to fish for or
possess, in or from the EEZ, species in any of the following species
groups, a valid charter vessel/headboat permit for that species group
must have been issued to the vessel and must be on board--
(A) Gulf coastal migratory pelagic fish.
(B) South Atlantic coastal migratory pelagic fish.
(C) Gulf reef fish.
(D) South Atlantic snapper-grouper.
(E) Atlantic dolphin and wahoo. (See paragraph (a)(5) of this
section for the requirements for operator permits in the dolphin and
wahoo fishery.)
(ii) See paragraph (r) of this section regarding a limited access
system for charter vessel/headboat permits for Gulf reef fish and Gulf
coastal migratory pelagic fish.
(iii) A charter vessel or headboat may have both a charter vessel/
headboat permit and a commercial vessel permit. However, when a vessel
is operating as a charter vessel or headboat, a person aboard must
adhere to the bag limits. See the definitions of
[[Page 181]]
``Charter vessel'' and ``Headboat'' in Sec. 622.2 for an explanation of
when vessels are considered to be operating as a charter vessel or
headboat, respectively.
(2) Commercial vessel permits, licenses, and endorsements--(i) Fish
traps in the Gulf. For a person to possess or use a fish trap in the EEZ
in the Gulf of Mexico, a commercial vessel permit for Gulf reef fish
with a fish trap endorsement must have been issued to the vessel and
must be on board. See paragraph (n) of this section regarding fish trap
endorsements.
(ii) Gillnets for king mackerel in the southern Florida west coast
subzone. For a person aboard a vessel to use a run-around gillnet for
king mackerel in the southern Florida west coast subzone (see Sec.
622.42(c)(1)(i)(A)(3)), a commercial vessel permit for king mackerel and
a king mackerel gillnet permit must have been issued to the vessel and
must be on board. See paragraph (o) of this section regarding a limited
access system applicable to king mackerel gillnet permits and
restrictions on transferability of king mackerel gillnet permits.
(iii) King mackerel. For a person aboard a vessel to be eligible for
exemption from the bag limits and to fish under a quota for king
mackerel in or from the Gulf, Mid-Atlantic, or South Atlantic EEZ, a
commercial vessel permit for king mackerel must have been issued to the
vessel and must be on board. To obtain or renew a commercial vessel
permit for king mackerel, at least 25 percent of the applicant's earned
income, or at least $10,000, must have been derived from commercial
fishing (i.e., harvest and first sale of fish) or from charter fishing
during one of the three calendar years preceding the application. See
paragraph (q) of this section regarding a limited access system
applicable to commercial vessel permits for king mackerel, transfers of
permits under the limited access system, and limited exceptions to the
earned income or gross sales requirement for a permit.
(iv) Spanish mackerel. For a person aboard a vessel to be eligible
for exemption from the bag limits and to fish under a quota for Spanish
mackerel in or from the Gulf, Mid-Atlantic, or South Atlantic EEZ, a
commercial vessel permit for Spanish mackerel must have been issued to
the vessel and must be on board. To obtain or renew a commercial vessel
permit for Spanish mackerel, at least 25 percent of the applicant's
earned income, or at least $10,000, must have been derived from
commercial fishing (i.e., harvest and first sale of fish) or from
charter fishing during one of the 3 calendar years preceding the
application.
(v) Gulf reef fish. For a person aboard a vessel to be eligible for
exemption from the bag limits, to fish under a quota, or to sell Gulf
reef fish in or from the Gulf EEZ, a commercial vessel permit for Gulf
reef fish must have been issued to the vessel and must be on board. To
obtain or renew a commercial vessel permit for Gulf reef fish, more than
50 percent of the applicant's earned income must have been derived from
commercial fishing (i.e., harvest and first sale of fish) or from
charter fishing during either of the 2 calendar years preceding the
application. See paragraph (m) of this section regarding a limited
access system for commercial vessel permits for Gulf reef fish and
limited exceptions to the earned income requirement for a permit.
(vi) South Atlantic snapper-grouper. For a person aboard a vessel to
be eligible for exemption from the bag limits for South Atlantic
snapper-grouper in or from the South Atlantic EEZ, to engage in the
directed fishery for tilefish in the South Atlantic EEZ, to use a
longline to fish for South Atlantic snapper-grouper in the South
Atlantic EEZ, or to use a sea bass pot in the South Atlantic EEZ between
35[deg]15.19[min] N. lat. (due east of Cape Hatteras Light, NC) and
28[deg]35.1[min] N. lat. (due east of the NASA Vehicle Assembly
Building, Cape Canaveral, FL), a commercial vessel permit for South
Atlantic snapper-grouper must have been issued to the vessel and must be
on board. A vessel with longline gear and more than 200 lb (90.7 kg) of
tilefish on board is considered to be in the directed fishery for
tilefish. It is a rebuttable presumption that a fishing vessel with more
than 200 lb (90.7 kg) of tilefish on board harvested such tilefish in
the EEZ. See Sec. 622.18 for limitations on the use, transfer, and
renewal of a commercial
[[Page 182]]
vessel permit for South Atlantic snapper-grouper.
(vii) Wreckfish. For a person aboard a vessel to fish for wreckfish
in the South Atlantic EEZ, possess wreckfish in or from the South
Atlantic EEZ, offload wreckfish from the South Atlantic EEZ, or sell
wreckfish in or from the South Atlantic EEZ, a commercial vessel permit
for wreckfish must have been issued to the vessel and must be on board.
To obtain a commercial vessel permit for wreckfish, the applicant must
be a wreckfish shareholder; and either the shareholder must be the
vessel owner or the owner or operator must be an employee, contractor,
or agent of the shareholder. (See Sec. 622.15 for information on
wreckfish shareholders.)
(viii) South Atlantic rock shrimp. (A) For a person aboard a vessel
to fish for rock shrimp in the South Atlantic EEZ or possess rock shrimp
in or from the South Atlantic EEZ, a commercial vessel permit for rock
shrimp must be issued to the vessel and must be on board. (See paragraph
(a)(5) of this section for the requirements for operator permits for the
South Atlantic rock shrimp fishery.)
(B) In addition, for a person aboard a vessel to fish for rock
shrimp in the South Atlantic EEZ off Georgia or off Florida or possess
rock shrimp in or from the South Atlantic EEZ off Georgia or off
Florida, a limited access endorsement for South Atlantic rock shrimp
must be issued to the vessel and must be on board. See Sec. 622.19 for
limitations on the issuance, transfer, renewal, and reissuance of a
limited access endorsement for South Atlantic rock shrimp.
(ix) Gulf red snapper. For a person aboard a vessel for which a
commercial vessel permit for Gulf reef fish has been issued to retain
red snapper under the trip limits specified in Sec. 622.44(d)(1) or
(2), a Class 1 or Class 2 Gulf red snapper license must have been issued
to the vessel and must be on board. See paragraph (p) of this section
regarding initial issue of red snapper licenses.
(x) South Atlantic golden crab. For a person aboard a vessel to fish
for golden crab in the South Atlantic EEZ, possess golden crab in or
from the South Atlantic EEZ, off-load golden crab from the South
Atlantic EEZ, or sell golden crab in or from the South Atlantic EEZ, a
commercial vessel permit for golden crab must be issued to the vessel
and must be on board. It is a rebuttable presumption that a golden crab
on board a vessel in the South Atlantic or off-loaded from a vessel in a
port adjoining the South Atlantic was harvested from the South Atlantic
EEZ. See Sec. 622.17 for limitations on the use, transfer, and renewal
of a commercial vessel permit for golden crab.
(xi) Gulf shrimp. For a person aboard a vessel to fish for shrimp in
the Gulf EEZ or possess shrimp in or from the Gulf EEZ, a valid
commercial vessel permit for Gulf shrimp must have been issued to the
vessel and must be on board.
(xii) Atlantic dolphin and wahoo. (A) For a person aboard a vessel
to be eligible for exemption from the bag and possession limits for
dolphin or wahoo in or from the Atlantic EEZ or to sell such dolphin or
wahoo, a commercial vessel permit for Atlantic dolphin and wahoo must be
issued to the vessel and must be on board, except as provided in
paragraph (a)(2)(xii)(B) of this section. (See paragraph (a)(5) of this
section for the requirements for operator permits in the Atlantic
dolphin and wahoo fishery).
(B) The provisions of paragraph (a)(2)(xii)(A) of this section
notwithstanding, a fishing vessel, except a vessel operating as a
charter vessel or headboat, that does not have a commercial vessel
permit for Atlantic dolphin and wahoo but has a Federal commercial
vessel permit in any other fishery, is exempt from the bag and
possession limits for dolphin and wahoo and may sell dolphin and wahoo,
subject to the trip and geographical limits specified in Sec.
622.44(f)(2). (A charter vessel/headboat permit is not a commercial
vessel permit.)
(xiii) South Atlantic penaeid shrimp. For a person aboard a trawler
to fish for penaeid shrimp in the South Atlantic EEZ or possess penaeid
shrimp in or from the South Atlantic EEZ, a valid commercial vessel
permit for South Atlantic penaeid shrimp must have been issued to the
vessel and must be on board.
[[Page 183]]
(3) Coral permits--(i) Allowable chemical. For an individual to take
or possess fish or other marine organisms with an allowable chemical in
a coral area, other than fish or other marine organisms that are landed
in Florida, a Federal allowable chemical permit must have been issued to
the individual. Such permit must be available when the permitted
activity is being conducted and when such fish or other marine organisms
are possessed, through landing ashore.
(ii) Allowable octocoral. For an individual to take or possess
allowable octocoral in the Gulf or South Atlantic EEZ, other than
allowable octocoral that is landed in Florida, a Federal allowable
octocoral permit must have been issued to the individual. Such permit
must be available for inspection when the permitted activity is being
conducted and when allowable octocoral is possessed, through landing
ashore.
(iii) Aquacultured live rock. For a person to take or possess
aquacultured live rock in the Gulf or South Atlantic EEZ, a Federal
aquacultured live rock permit must have been issued for the specific
harvest site. Such permit, or a copy, must be on board a vessel
depositing or possessing material on an aquacultured live rock site or
harvesting or possessing live rock from an aquacultured live rock site.
(iv) Prohibited coral. A Federal permit may be issued to take or
possess Gulf and South Atlantic prohibited coral or Caribbean prohibited
coral only as scientific research activity, exempted fishing, or
exempted educational activity. See Sec. 600.745 of this chapter for the
procedures and limitations for such activities and fishing.
(v) Florida permits. Appropriate Florida permits and endorsements
are required for the following activities, without regard to whether
they involve activities in the EEZ or Florida's waters:
(A) Landing in Florida fish or other marine organisms taken with an
allowable chemical in a coral area.
(B) Landing allowable octocoral in Florida.
(C) Landing live rock in Florida.
(4) Dealer permits. For a dealer to receive Gulf reef fish, golden
crab harvested from the South Atlantic EEZ, South Atlantic snapper-
grouper, rock shrimp harvested from the South Atlantic EEZ, dolphin or
wahoo harvested from the Atlantic EEZ, or wreckfish, a dealer permit for
Gulf reef fish, golden crab, South Atlantic snapper-grouper, rock
shrimp, Atlantic dolphin and wahoo, or wreckfish, respectively, must be
issued to the dealer. To obtain a dealer permit, the applicant must have
a valid state wholesaler's license in the state(s) where the dealer
operates, if required by such state(s), and must have a physical
facility at a fixed location in such state(s).
(5) Operator permits. (i) The following persons are required to have
operator permits:
(A) An operator of a vessel that has or is required to have a valid
permit for South Atlantic rock shrimp issued under this section.
(B) An operator of a vessel that has or is required to have a
charter vessel/headboat or commercial permit for Atlantic dolphin and
wahoo issued under this section.
(ii) A person required to have an operator permit under paragraph
(a)(5)(i) of this section must carry on board such permit and one other
form of personal identification that includes a picture (driver's
license, passport, etc.).
(iii) An owner of a vessel that is required to have a permitted
operator under paragraph (a)(5)(i) of this section must ensure that at
least one person with a valid operator permit is aboard while the vessel
is at sea or offloading.
(iv) An owner of a vessel that is required to have a permitted
operator under paragraph (a)(5)(i) of this section and the operator of
such vessel are responsible for ensuring that a person whose operator
permit is suspended, revoked, or modified pursuant to subpart D of 15
CFR part 904 is not aboard that vessel.
(b) Applications for permits. Application forms for all permits are
available from the RA. Completed application forms and all required
supporting documents must be submitted to the RA at least 30 days prior
to the date on which the applicant desires to have the permit made
effective. All vessel permits are mailed to owners, whether the
applicant is an owner or an operator.
[[Page 184]]
(1) Coral permits. (i) The applicant for a coral permit must be the
individual who will be conducting the activity that requires the permit.
In the case of a corporation or partnership that will be conducting live
rock aquaculture activity, the applicant must be the principal
shareholder or a general partner.
(ii) An applicant must provide the following:
(A) Name, address, telephone number, and other identifying
information of the applicant.
(B) Name and address of any affiliated company, institution, or
organization.
(C) Information concerning vessels, harvesting gear/methods, or
fishing areas, as specified on the application form.
(D) Any other information that may be necessary for the issuance or
administration of the permit.
(E) If applying for an aquacultured live rock permit, identification
of each vessel that will be depositing material on or harvesting
aquacultured live rock from the proposed aquacultured live rock site,
specification of the port of landing of aquacultured live rock, and a
site evaluation report prepared pursuant to generally accepted industry
standards that--
(1) Provides accurate coordinates of the proposed harvesting site so
that it can be located using LORAN or Global Positioning System
equipment;
(2) Shows the site on a chart in sufficient detail to determine its
size and allow for site inspection;
(3) Discusses possible hazards to safe navigation or hindrance to
vessel traffic, traditional fishing operations, or other public access
that may result from aquacultured live rock at the site;
(4) Describes the naturally occurring bottom habitat at the site;
and
(5) Specifies the type and origin of material to be deposited on the
site and how it will be distinguishable from the naturally occurring
substrate.
(2) Dealer permits. (i) The application for a dealer permit must be
submitted by the owner (in the case of a corporation, an officer or
shareholder; in the case of a partnership, a general partner).
(ii) An applicant must provide the following:
(A) A copy of each state wholesaler's license held by the dealer.
(B) Name, address, telephone number, date the business was formed,
and other identifying information of the business.
(C) The address of each physical facility at a fixed location where
the business receives fish.
(D) Name, address, telephone number, other identifying information,
and official capacity in the business of the applicant.
(E) Any other information that may be necessary for the issuance or
administration of the permit, as specified on the application form.
(3) Vessel permits. (i) The application for a commercial vessel
permit, other than for wreckfish, or for a charter vessel/headboat
permit must be submitted by the owner (in the case of a corporation, an
officer or shareholder; in the case of a partnership, a general partner)
or operator of the vessel. A commercial vessel permit that is issued
based on the earned income qualification of an operator is valid only
when that person is the operator of the vessel. The applicant for a
commercial vessel permit for wreckfish must be a wreckfish shareholder.
(ii) An applicant must provide the following:
(A) A copy of the vessel's valid USCG certificate of documentation
or, if not documented, a copy of its valid state registration
certificate.
(B) Vessel name and official number.
(C) Name, address, telephone number, and other identifying
information of the vessel owner and of the applicant, if other than the
owner.
(D) Any other information concerning the vessel, gear
characteristics, principal fisheries engaged in, or fishing areas, as
specified on the application form.
(E) Any other information that may be necessary for the issuance or
administration of the permit, as specified on the application form.
(F) If applying for a commercial vessel permit, documentation, as
specified in the instructions accompanying each
[[Page 185]]
application form, showing that applicable eligibility requirements of
paragraph (a)(2) of this section have been met.
(G) If a fish trap or sea bass pot will be used, the number,
dimensions, and estimated cubic volume of the traps/pots that will be
used and the applicant's desired color code for use in identifying his
or her vessel and buoys (white is not an acceptable color code).
(4) Operator permits. An applicant for an operator permit must
provide the following:
(i) Name, address, telephone number, and other identifying
information specified on the application.
(ii) Two recent (no more than 1-yr old), color, passport-size
photographs.
(iii) Any other information that may be necessary for the issuance
or administration of the permit, as specified on the application form.
(c) Change in application information. The owner or operator of a
vessel with a permit, a person with a coral permit, a person with an
operator permit, or a dealer with a permit must notify the RA within 30
days after any change in the application information specified in
paragraph (b) of this section. The permit is void if any change in the
information is not reported within 30 days.
(d) Fees. A fee is charged for each application for a permit,
license, or endorsement submitted under this section, for each request
for transfer or replacement of such permit, license, or endorsement, and
for each fish trap or sea bass pot identification tag required under
Sec. 622.6(b)(1)(i)(B). The amount of each fee is calculated in
accordance with the procedures of the NOAA Finance Handbook, available
from the RA, for determining the administrative costs of each special
product or service. The fee may not exceed such costs and is specified
with each application form. The appropriate fee must accompany each
application, request for transfer or replacement, or request for fish
trap/sea bass pot identification tags.
(e) Initial issuance. (1) The RA will issue an initial permit at any
time to an applicant if the application is complete and the specific
requirements for the requested permit have been met. An application is
complete when all requested forms, information, and documentation have
been received.
(2) Upon receipt of an incomplete application, the RA will notify
the applicant of the deficiency. If the applicant fails to correct the
deficiency within 30 days of the date of the RA's letter of
notification, the application will be considered abandoned.
(f) Duration. A permit remains valid for the period specified on it
unless it is revoked, suspended, or modified pursuant to subpart D of 15
CFR part 904 or, in the case of a vessel or dealer permit, the vessel or
dealership is sold.
(g) Transfer--(1) Vessel permits, licenses, and endorsements and
dealer permits. A vessel permit, license, or endorsement or a dealer
permit issued under this section is not transferable or assignable,
except as provided in paragraph (m) of this section for a commercial
vessel permit for Gulf reef fish, in paragraph (n) of this section for a
fish trap endorsement, in paragraph (o) of this section for a king
mackerel gillnet permit, in paragraph (p) of this section for a red
snapper license, in paragraph (q) of this section for a commercial
vessel permit for king mackerel, in paragraph (r) of this section for a
charter vessel/headboat permit for Gulf coastal migratory pelagic fish
or Gulf reef fish, in Sec. 622.17(c) for a commercial vessel permit for
golden crab, in Sec. 622.18(e) for a commercial vessel permit for South
Atlantic snapper-grouper, or in Sec. 622.19(e) for a commercial vessel
permit for South Atlantic rock shrimp. A person who acquires a vessel or
dealership who desires to conduct activities for which a permit,
license, or endorsement is required must apply for a permit, license, or
endorsement in accordance with the provisions of this section. If the
acquired vessel or dealership is currently permitted, the application
must be accompanied by the original permit and a copy of a signed bill
of sale or equivalent acquisition papers.
(2) Operator permits. An operator permit is not transferable.
(h) Renewal--(1) Vessel permits, licenses, and endorsements and
dealer permits. A vessel owner or dealer who has been issued a permit,
license, or endorsement under this section must
[[Page 186]]
renew such permit, license, or endorsement on an annual basis. The RA
will mail a vessel owner or dealer whose permit, license, or endorsement
is expiring an application for renewal approximately 2 months prior to
the expiration date. A vessel owner or dealer who does not receive a
renewal application from the RA by 45 days prior to the expiration date
of the permit, license, or endorsement must contact the RA and request a
renewal application. The applicant must submit a completed renewal
application form and all required supporting documents to the RA prior
to the applicable deadline for renewal of the permit, license, or
endorsement and at least 30 days prior to the date on which the
applicant desires to have the permit made effective. If the RA receives
an incomplete application, the RA will notify the applicant of the
deficiency. If the applicant fails to correct the deficiency within 30
days of the date of the RA's letter of notification, the application
will be considered abandoned. A permit, license, or endorsement that is
not renewed within the applicable deadline will not be reissued.
(i) If eligible for automatic renewal. If the RA's notification
indicates that the owner's or dealer's permit, license, or endorsement
is eligible for automatic renewal, the RA will mail the automatically
renewed permit, license, or endorsement approximately 1 month prior to
expiration of the old permit, license, or endorsement.
(ii) If ineligible for automatic renewal. If the RA's notification
indicates that the owner's or dealer's permit, license, or endorsement
is ineligible for automatic renewal, the notification will specify the
reasons and, if applicable, will provide an opportunity for correction
of any deficiencies. If the owner or dealer does not correct such
deficiencies within 60 days after the date of the RA's notification, the
renewal will be considered abandoned. A permit, license, or endorsement
that is not renewed within the applicable deadline will not be reissued.
(iii) If new application is required. If the RA's notification
indicates that a new application is required, the notification will
include a preprinted renewal application. If the RA receives an
incomplete application, the RA will notify the applicant of the
deficiency. If the applicant fails to correct the deficiency within 30
days of the date of the RA's letter of notification, the application
will be considered abandoned. A permit, license, or endorsement that is
not renewed within the applicable deadline will not be reissued.
(iv) If notification is not received. A vessel owner or dealer must
contact the RA if he/she does not receive a notification from the RA
regarding status of renewal of a permit, license, or endorsement by 45
days prior to expiration of the current permit.
(2) Operator permits. An operator permit required by this section is
issued for a period not longer than 3 years. A permit not renewed
immediately upon its expiration would expire at the end of the
operator's birth month that is between 2 and 3 years after issuance. For
renewal, a new application must be submitted in accordance with
paragraph (b)(4) of this section.
(i) Display. A vessel permit, license, or endorsement issued under
this section must be carried on board the vessel. A dealer permit issued
under this section, or a copy thereof, must be available on the dealer's
premises. In addition, a copy of the dealer's permit must accompany each
vehicle that is used to pick up from a fishing vessel reef fish
harvested from the Gulf EEZ. The operator of a vessel must present the
vessel permit, license, or endorsement for inspection upon the request
of an authorized officer. A dealer or a vehicle operator must present
the permit or a copy for inspection upon the request of an authorized
officer. An operator of a vessel in a fishery in which an operator
permit is required must present his/her operator permit and one other
form of personal identification that includes a picture (driver's
license, passport, etc.) for inspection upon the request of an
authorized officer.
(j) Sanctions and denials. (1) A permit, license, or endorsement
issued pursuant to this section may be revoked, suspended, or modified,
and a permit, license, or endorsement application may be denied, in
accordance with the
[[Page 187]]
procedures governing enforcement-related permit sanctions and denials
found at subpart D of 15 CFR part 904.
(2) A person whose operator permit is suspended, revoked, or
modified may not be aboard any fishing vessel subject to Federal fishing
regulations in any capacity, if so sanctioned by NOAA, while the vessel
is at sea or offloading. The vessel's owner and operator are responsible
for compliance with this measure. A list of operators whose permits are
revoked or suspended may be obtained from the RA.
(k) Alteration. A permit, license, or endorsement that is altered,
erased, or mutilated is invalid.
(l) Replacement. A replacement permit, license, or endorsement may
be issued. An application for a replacement permit, license, or
endorsement is not considered a new application. An application for a
replacement operator permit must include two new photographs, as
specified in paragraph (b)(4)(ii) of this section.
(m) Limited access system for commercial vessel permits for Gulf
reef fish. (1) No applications for additional commercial vessel permits
for Gulf reef fish will be accepted. Existing vessel permits may be
renewed, are subject to the restrictions on transfer or change in
paragraphs (m)(2) through (5) of this section, and are subject to the
requirement for timely renewal in paragraph (m)(6) of this section.
(2) An owner of a permitted vessel may transfer the commercial
vessel permit for Gulf reef fish to another vessel owned by the same
entity.
(3) An owner whose earned income qualified for the commercial vessel
permit for Gulf reef fish may transfer the permit to the owner of
another vessel, or to the new owner when he or she transfers ownership
of the permitted vessel. Such owner of another vessel, or new owner, may
receive a commercial vessel permit for Gulf reef fish for his or her
vessel, and renew it through April 15 following the first full calendar
year after obtaining it, without meeting the earned income requirement
of paragraph (a)(2)(v) of this section. However, to further renew the
commercial vessel permit, the owner of the other vessel, or new owner,
must meet the earned income requirement not later than the first full
calendar year after the permit transfer takes place.
(4) An owner of a permitted vessel, the permit for which is based on
an operator's earned income and, thus, is valid only when that person is
the operator of the vessel, may transfer the permit to the income
qualifying operator when such operator becomes an owner of a vessel.
(5) An owner of a permitted vessel, the permit for which is based on
an operator's earned income and, thus, is valid only when that person is
the operator of the vessel, may have the operator qualification on the
permit removed, and renew it without such qualification through April 15
following the first full calendar year after removing it, without
meeting the earned income requirement of paragraph (a)(2)(v) of this
section. However, to further renew the commercial vessel permit, the
owner must meet the earned income requirement not later than the first
full calendar year after the operator qualification is removed. To have
an operator qualification removed from a permit, the owner must return
the original permit to the RA with an application for the changed
permit.
(6) A commercial vessel permit for Gulf reef fish that is not
renewed or that is revoked will not be reissued. A permit is considered
to be not renewed when an application for renewal is not received by the
RA within 1 year of the expiration date of the permit.
(n) Endorsements for fish traps in the Gulf. The provisions of this
paragraph (n) are applicable through February 7, 2007. After February 7,
2007, no fish trap endorsements are valid.
(1) Only those fish trap endorsements that are valid on February 7,
1997, may be renewed. Such endorsements are subject to the restrictions
on transfer in paragraphs (n)(2) and (3) of this section and are subject
to the requirement for timely renewal in paragraph (n)(5) of this
section.
(2) Through February 7, 1999, a fish trap endorsement may be
transferred only to a vessel that has a commercial permit for reef fish.
(3) After February 7, 1999, a fish trap endorsement is not
transferable except as follows:
[[Page 188]]
(i) An owner of a vessel with a fish trap endorsement may transfer
the endorsement to another vessel owned by the same entity.
(ii) A fish trap endorsement is transferable upon a change of
ownership of a permitted vessel with such endorsement from one to
another of the following: Husband, wife, son, daughter, brother, sister,
mother, or father.
(iii) When a change of ownership of a vessel with a fish trap
endorsement is directly related to the disability or death of the owner,
the RA may issue such endorsement, temporarily or permanently, with the
commercial vessel permit for Gulf reef fish that is issued for the
vessel under the new owner. Such new owner will be the person specified
by the owner or his/her legal guardian, in the case of a disabled owner,
or by the will or executor/administrator of the estate, in the case of a
deceased owner. (Paragraphs (m)(3) and (4) of this section apply for the
transfer of a commercial vessel permit for Gulf reef fish upon
disability or death of an owner.)
(iv) A fish trap endorsement may be transferred to a vessel with a
commercial vessel permit for Gulf reef fish whose owner has a record of
landings of reef fish from fish traps in the Gulf EEZ, as reported on
fishing vessel logbooks received by the SRD, from November 20, 1992,
through February 6, 1994, and who was unable to obtain a fish trap
endorsement for the vessel with the reported landings.
(4) The owner of a vessel that is to receive a transferred
endorsement must return the originals of the endorsed commercial vessel
permit for Gulf reef fish and the unendorsed permit to the RA with an
application for a fish trap endorsement for his or her vessel.
(5) A fish trap endorsement that is not renewed or that is revoked
will not be reissued. Such endorsement is considered to be not renewed
when an application for renewal is not received by the RA within 1 year
of the expiration date of the permit.
(o) Limited access system for king mackerel gillnet permits
applicable in the southern Florida west coast subzone. Except for
applications for renewals of king mackerel gillnet permits, no
applications for king mackerel gillnet permits will be accepted.
Application forms for permit renewal are available from the RA.
(1) An owner of a vessel with a king mackerel gillnet permit issued
under this limited access system may transfer that permit upon a change
of ownership of a permitted vessel with such permit from one to another
of the following: Husband, wife, son, daughter, brother, sister, mother,
or father. Such permit also may be transferred to another vessel owned
by the same entity.
(2) A king mackerel gillnet permit that is not renewed or that is
revoked will not be reissued. A permit is considered to be not renewed
when an application for renewal is not received by the RA within one
year after the expiration date of the permit.
(p) Gulf red snapper licenses--(1) Class 1 licenses. To be eligible
for the 2,000-lb (907-kg) trip limit for Gulf red snapper specified in
Sec. 622.44(d)(1), a vessel must have been issued both a valid
commercial vessel permit for Gulf reef fish and a valid Class 1 Gulf red
snapper license, and such permit and license must be on board.
(2) Class 2 licenses. To be eligible for the 200-lb (91-kg) trip
limit for Gulf red snapper specified in Sec. 622.44(d)(2), a vessel
must have been issued both a valid commercial vessel permit for Gulf
reef fish and a valid Class 2 Gulf red snapper license, and such permit
and license must be on board.
(3) Operator restriction. An initial Gulf red snapper license that
is issued for a vessel based on the qualification of an operator or
historical captain is valid only when that operator or historical
captain is the operator of the vessel. When applicable, this operator
restriction is shown on the license.
(4) Transfer of Gulf red snapper licenses. A red snapper license may
be transferred independently of a commercial vessel permit for Gulf reef
fish. To request the transfer of a red snapper license, complete the
transfer information on the reverse of the license and return it to the
RA.
(5) Initial issue of Gulf red snapper licenses--(i) Class 1
licenses. (A) An initial Class 1 license will be issued for the vessel
specified by the holder of a valid red snapper endorsement on March 1,
1997, and to a historical captain. In the
[[Page 189]]
event of death or disability of such holder between March 1, 1997, and
the date Class 1 licenses are issued, a Class 1 license will be issued
for the vessel specified by the person to whom the red snapper
endorsement was transferred.
(B) Status as a historical captain is based on information collected
under Amendment 9 to the Fishery Management Plan for the Reef Fish
Resources of the Gulf of Mexico (FMP) (59 FR 39301, August 2, 1994). A
historical captain is an operator who--
(1) From November 6, 1989, through 1993, fished solely under verbal
or written share agreements with an owner, and such agreements provided
for the operator to be responsible for hiring the crew, who was paid
from the share under his or her control;
(2) Landed from that vessel at least 5,000 lb (2,268 kg) of red
snapper per year in 2 of the 3 years 1990, 1991, and 1992;
(3) Derived more than 50 percent of his or her earned income from
commercial fishing, that is, sale of the catch, in each of the years
1989 through 1993; and
(4) Landed red snapper prior to November 7, 1989.
(ii) Class 2 licenses. (A) An initial Class 2 license will be issued
for the vessel specified by an owner or operator whose income qualified
for a commercial vessel permit for reef fish that was valid on March 1,
1997, and such owner or operator was the person whose earned income
qualified for a commercial vessel permit for reef fish that had a
landing of red snapper during the period from January 1, 1990, through
February 28, 1997.
(B) For the purpose of paragraph (p)(5)(ii)(A) of this section,
landings of red snapper are as recorded in the information collected
under Amendment 9 to the FMP (59 FR 39301, August 2, 1994) for the
period 1990 through 1992 and in fishing vessel logbooks, as required
under Sec. 622.5(a)(1)(ii), received by the SRD not later than March
31, 1997, for the period from January 1, 1993, through February 28,
1997.
(C) A vessel's red snapper landings record during the period from
January 1, 1990, through February 28, 1997, is retained by the owner at
the time of the landings if the vessel's permit was transferred to
another vessel owned by him or her. When a vessel has had a change of
ownership and concurrent transfer of its permit, the vessel's red
snapper landings record is credited to the owner of that vessel on March
1, 1997, unless there is a legally binding agreement under which a
previous owner retained the landings record. An owner who claims such
retention of a landings record must submit a copy of the agreement to
the RA postmarked or hand delivered not later than January 30, 1998.
However, an owner who submits a copy of such agreement after January 6,
1998, is not assured that a red snapper license will be issued before
the opening of the commercial fishery for red snapper on February 1,
1998.
(6) Implementation procedures--(i) Initial notification. The RA will
notify each owner of a vessel that had a valid permit for Gulf reef fish
on March 1, 1997, each operator whose earned income qualified for a
valid permit on that date, and each potential historical captain of his
or her eligibility for a Class 1 or Class 2 red snapper license. Initial
determinations of eligibility will be based on NMFS' records of red
snapper endorsements, red snapper landings during the period from
January 1, 1990, through February 28, 1997, and applications for
historical captain status under Amendment 9 to the FMP (59 FR 39301,
August 2, 1994). An owner, operator, or potential historical captain who
concurs with NMFS' initial determination of eligibility need take no
further action. Each owner, operator, and historical captain who is
initially determined to be eligible will be issued an appropriate
license not later than January 23, 1998.
(ii) Reconsideration. (A) An owner, operator, or potential
historical captain who does not concur with NMFS' initial determination
of eligibility for historical captain status or for a Class 2 red
snapper license may request reconsideration of that initial
determination by the RA.
(B) A written request for reconsideration must be submitted to the
RA postmarked or hand delivered not later than February 10, 1998, and
must provide written documentation supporting
[[Page 190]]
the basis for reconsideration. However, an owner who submits such
request after January 13, 1998, is not assured that a red snapper
license will be issued before the opening of the commercial fishery for
red snapper on February 1, 1998. Upon request by the owner, operator, or
potential historical captain, the RA will forward the initial
determination, the request for reconsideration, and pertinent records to
a committee consisting of the principal state officials who are members
of the GMFMC, or their designees. An owner, operator, or potential
historical captain may request to make a personal appearance before the
committee in his or her request for reconsideration. If an owner,
operator, or potential historical captain requests that his or her
request be forwarded to the committee, such a request constitutes the
applicant's written authorization under section 402(b)(1)(F) of the
Magnuson-Stevens Fishery Conservation and Management Act (16 U.S.C. 1801
et seq.) for the RA to make available to the committee members such
confidential catch and other records as are pertinent to the matter
under reconsideration.
(C) Members of the committee will provide their individual
recommendations for each application for reconsideration referred to the
committee to the RA. The committee may only deliberate whether the
eligibility criteria specified in paragraph (p)(5) of this section were
applied correctly in the applicant's case, based solely on the available
record, including documentation submitted by the applicant. Neither the
committee nor the RA may consider whether a person should have been
eligible for historical captain status or a Class 2 license because of
hardship or other factors. The RA will make a final decision based on
the initial eligibility criteria in paragraph (p)(5) of this section and
the available record, including documentation submitted by the
applicant, and, if the request is considered by the committee, the
recommendations and comments from each member of the committee. The RA
will notify the applicant of the decision and the reason therefore, in
writing, within 15 days of receiving the recommendations of the
committee members. If the application is not considered by the
committee, the RA will provide such notification within 15 days of the
RA's receipt of the request for reconsideration. The RA's decision will
constitute the final administrative action by NMFS on an application for
reconsideration.
(q) Limited access system for commercial vessel permits for king
mackerel. (1) No applications for additional commercial vessel permits
for king mackerel will be accepted. Existing vessel permits may be
renewed, are subject to the restrictions on transfer or change in
paragraphs (q)(2) through (q)(5) of this section, and are subject to the
requirement for timely renewal in paragraph (q)(6) of this section.
(2) An owner of a permitted vessel may transfer the commercial
vessel permit for king mackerel issued under this limited access system
to another vessel owned by the same entity.
(3) An owner whose percentage of earned income or gross sales
qualified him/her for the commercial vessel permit for king mackerel
issued under this limited access system may request that NMFS transfer
that permit to the owner of another vessel, or to the new owner when he
or she transfers ownership of the permitted vessel. Such owner of
another vessel, or new owner, may receive a commercial vessel permit for
king mackerel for his or her vessel, and renew it through April 15
following the first full calendar year after obtaining it, without
meeting the percentage of earned income or gross sales requirement of
paragraph (a)(2)(iii) of this section. However, to further renew the
commercial vessel permit, the owner of the other vessel, or new owner,
must meet the earned income or gross sales requirement not later than
the first full calendar year after the permit transfer takes place.
(4) An owner of a permitted vessel, the permit for which is based on
an operator's earned income and, thus, is valid only when that person is
the operator of the vessel, may request that NMFS transfer the permit to
the income-qualifying operator when such operator becomes an owner of a
vessel.
(5) An owner of a permitted vessel, the permit for which is based on
an operator's earned income and, thus, is
[[Page 191]]
valid only when that person is the operator of the vessel, may have the
operator qualification on the permit removed, and renew it without such
qualification through April 15 following the first full calendar year
after removing it, without meeting the earned income or gross sales
requirement of paragraph (a)(2)(iii) of this section. However, to
further renew the commercial vessel permit, the owner must meet the
earned income or gross sales requirement not later than the first full
calendar year after the operator qualification is removed. To have an
operator qualification removed from a permit, the owner must return the
original permit to the RA with an application for the changed permit.
(6) NMFS will not reissue a commercial vessel permit for king
mackerel if the permit is revoked or if the RA does not receive an
application for renewal within one year of the permit's expiration date.
(r) Limited access system for charter vessel/headboat permits for
Gulf coastal migratory pelagic fish and Gulf reef fish. No applications
for additional charter vessel/headboat permits for Gulf coastal
migratory pelagic fish or Gulf reef fish will be accepted. Existing
permits may be renewed, are subject to the restrictions on transfer in
paragraph (r)(1) of this section, and are subject to the renewal
requirements in paragraph (r)(2) of this section.
(1) Transfer of permits--(i) Permits without a historical captain
endorsement. A charter vessel/headboat permit for Gulf coastal migratory
pelagic fish or Gulf reef fish that does not have a historical captain
endorsement is fully transferable, with or without sale of the permitted
vessel, except that no transfer is allowed to a vessel with a greater
authorized passenger capacity than that of the vessel to which the
moratorium permit was originally issued, as specified on the face of the
permit being transferred. An application to transfer a permit to an
inspected vessel must include a copy of that vessel's current USCG
Certificate of Inspection (COI). A vessel without a valid COI will be
considered an uninspected vessel with an authorized passenger capacity
restricted to six or fewer passengers.
(ii) Permits with a historical captain endorsement. A charter
vessel/headboat permit for Gulf coastal migratory pelagic fish or Gulf
reef fish that has a historical captain endorsement may only be
transferred to a vessel operated by the historical captain, cannot be
transferred to a vessel with a greater authorized passenger capacity
than that of the vessel to which the moratorium permit was originally
issued, as specified on the face of the permit being transferred, and is
not otherwise transferable.
(iii) Procedure for permit transfer. To request that the RA transfer
a charter vessel/headboat permit for Gulf coastal migratory pelagic fish
or Gulf reef fish, the owner of the vessel who is transferring the
permit and the owner of the vessel that is to receive the transferred
permit must complete the transfer information on the reverse side of the
permit and return the permit and a completed application for transfer to
the RA. See paragraph (g)(1) of this section for additional transfer-
related requirements applicable to all permits issued under this
section.
(2) Renewal. (i) Renewal of a charter vessel/headboat permit for
Gulf coastal migratory pelagic fish or Gulf reef fish is contingent upon
the permitted vessel and/or captain, as appropriate, being included in
an active survey frame for, and, if selected to report, providing the
information required in one of the approved fishing data surveys.
Surveys include, but are not limited to--
(A) NMFS' Marine Recreational Fishing Vessel Directory Telephone
Survey (conducted by the Gulf States Marine Fisheries Commission);
(B) NMFS' Southeast Headboat Survey (as required by Sec.
622.5(b)(1);
(C) Texas Parks and Wildlife Marine Recreational Fishing Survey; or
(D) A data collection system that replaces one or more of the
surveys in paragraph (r)(2)(i)(A),(B), or (C) of this section.
(ii) A charter vessel/headboat permit for Gulf coastal migratory
pelagic fish or Gulf reef fish that is not renewed or that is revoked
will not be reissued. A permit is considered to be not renewed
[[Page 192]]
when an application for renewal, as required, is not received by the RA
within 1 year of the expiration date of the permit.
(3) Requirement to display a vessel decal. Upon renewal or transfer
of a charter vessel/headboat permit for Gulf coastal migratory pelagic
fish or Gulf reef fish, the RA will issue the owner of the permitted
vessel a vessel decal for the applicable permitted fishery or fisheries.
The vessel decal must be displayed on the port side of the deckhouse or
hull and must be maintained so that it is clearly visible.
[61 FR 34937, July 3, 1996, as amended at 61 FR 43956, Aug. 27, 1996; 61
FR 47448, Sept 9, 1996; 61 FR 48414, Sept. 13, 1996; 62 FR 13986, Mar.
25, 1997; 62 FR 67721, 67722, Dec. 30, 1997; 63 FR 10565, 10569, Mar. 4,
1998; 63 FR 38301, July 16, 1998; 63 FR 57590, Oct. 28, 1998; 64 FR
59126, Nov. 2, 1999; 65 FR 16339, Mar. 28, 2000; 65 FR 41017, July 3,
2000; 65 FR 52956, Aug. 31, 2000; 65 FR 61115, Oct. 16, 2000; 67 FR
22362, May 3, 2002; 67 FR 43562, June 28, 2002; 67 FR 51078, Aug. 7,
2002; 68 FR 2192, Jan. 16, 2003; 68 FR 26235, May 15, 2003; 69 FR 30240,
May 27, 2004; 68 FR 38232, June 27, 2003; 69 FR 30240, May 27, 2004; 70
FR 32271, June 2, 2005; 70 FR 39189, July 7, 2005; 70 FR 41163, July 18,
2005; 70 FR 73387, Dec. 12, 2005; 71 FR 28284, May 16, 2006; 71 FR
45434, Aug. 9, 2006]
Effective Date Notes: 1. At 71 FR 45434, Aug. 9, 2006, Sec.
622.4(m)(1) was amended by adding a sentence to the end of the
paragraph, effective Dec. 7, 2006. For the convenience of the user, the
added text is set forth as follows:
Sec. 622.4 Permits and fees.
* * * * *
(m) * * *
(1) * * * An application for renewal or transfer of a commercial
vessel permit for Gulf reef fish will not be considered complete until
proof of purchase, installation, activation, and operational status of
an approved VMS for the vessel receiving the permit has been verified by
NMFS VMS personnel.
* * * * *
2. At 71 FR 56046, Sept. 26, 2006, Sec. 622.4 was amended by
revising paragraphs (a)(2)(xi) and (g)(1), and by adding paragraph (s),
effective Oct. 26, 2006. For the convenience of the user, the added and
revised text is set forth as follows:
Sec. 622.4 Permits and fees.
(a) * * *
(2) * * *
(xi) Gulf shrimp fisheries--(A) Gulf shrimp permit. For a person
aboard a vessel to fish for shrimp in the Gulf EEZ or possess shrimp in
or from the Gulf EEZ, a commercial vessel permit for Gulf shrimp must
have been issued to the vessel and must be on board. See paragraph (s)
of this section regarding a moratorium on commercial vessel permits for
Gulf shrimp and the associated provisions. See the following paragraph,
(a)(2)(xi)(B) of this section, regarding an additional endorsement
requirement related to royal red shrimp.
(B) Gulf royal red shrimp endorsement. Effective March 26, 2007, for
a person aboard a vessel to fish for royal red shrimp in the Gulf EEZ or
possess royal red shrimp in or from the Gulf EEZ, a commercial vessel
permit for Gulf shrimp with a Gulf royal red shrimp endorsement must be
issued to the vessel and must be on board.
* * * * *
(g) * * *
(1) Vessel permits, licenses, and endorsements and dealer permits. A
vessel permit, license, or endorsement or a dealer permit issued under
this section is not transferable or assignable, except as provided in
paragraph (m) of this section for a commercial vessel permit for Gulf
reef fish, in paragraph (n) of this section for a fish trap endorsement,
in paragraph (o) of this section for a king mackerel gillnet permit, in
paragraph (p) of this section for a red snapper license, in paragraph
(q) of this section for a commercial vessel permit for king mackerel, in
paragraph (r) of this section for a charter vessel/headboat permit for
Gulf coastal migratory pelagic fish or Gulf reef fish, in paragraph (s)
of this section for a commercial vessel moratorium permit for Gulf
shrimp, in Sec. 622.17(c) for a commercial vessel permit for golden
crab, in Sec. 622.18(e) for a commercial vessel permit for South
Atlantic snapper-grouper, or in Sec. 622.19(e) for a commercial vessel
permit for South Atlantic rock shrimp. A person who acquires a vessel or
dealership who desires to conduct activities for which a permit,
license, or endorsement is required must apply for a permit, license, or
endorsement in accordance with the provisions of this section. If the
acquired vessel or dealership is currently permitted, the application
must be accompanied by the original permit and a copy of a signed bill
of sale or equivalent acquisition papers. In those cases where a permit,
license, or endorsement is transferable, the seller must sign the back
of the permit, license, or endorsement and have the signed transfer
document notarized.
* * * * *
[[Page 193]]
(s) Moratorium on commercial vessel permits for Gulf shrimp. The
provisions of this paragraph (s) are applicable through October 26,
2016.
(1) Date moratorium permits are required. Beginning March 26, 2007,
the only valid commercial vessel permits for Gulf shrimp are those
issued under the moratorium criteria in this paragraph (s).
(2) Initial eligibility for a moratorium permit. Initial eligibility
for a commercial vessel moratorium permit for Gulf shrimp is limited to
a person who
(i) Owns a vessel that was issued a Federal commercial vessel permit
for Gulf shrimp on or before December 6, 2003; or
(ii) On or before December 6, 2003, owned a vessel that was issued a
Federal commercial vessel permit for Gulf shrimp and, prior to September
26, 2006, owns a vessel with a Federal commercial permit for Gulf shrimp
that is equipped for offshore shrimp fishing, is at least 5 net tons
(4.54 metric tons), is documented by the Coast Guard, and is the vessel
for which the commercial vessel moratorium permit is being applied.
(3) Application deadline and procedures. An applicant who desires a
commercial vessel moratorium permit for Gulf shrimp must submit an
application to the RA postmarked or hand delivered not later than
October 26, 2007. After that date, no applications for additional
commercial vessel moratorium permits for Gulf shrimp will be accepted.
Application forms are available from the RA. Failure to apply in a
timely manner will preclude permit issuance even when the applicant
otherwise meets the permit eligibility criteria.
(4) Determination of eligibility. NMFS' permit records are the sole
basis for determining eligibility based on permit history. An applicant
who believes he/she meets the permit eligibility criteria based on
ownership of a vessel under a different name, as may have occurred when
ownership has changed from individual to corporate or vice versa, must
document his/her continuity of ownership.
(5) Incomplete applications. If an application that is postmarked or
hand-delivered in a timely manner is incomplete, the RA will notify the
applicant of the deficiency. If the applicant fails to correct the
deficiency within 30 days of the date of the RA's notification, the
application will be considered abandoned.
(6) Notification of ineligibility. If the applicant does not meet
the applicable eligibility requirements of paragraph (s)(2) of this
section, the RA will notify the applicant, in writing, of such
determination and the reasons for it.
(7) Permit transferability. Commercial vessel moratorium permits for
Gulf shrimp are fully transferable, with or without the sale of the
vessel. To request that the RA transfer a commercial vessel moratorium
permit for Gulf shrimp, the owner of a vessel that is to receive the
transferred permit must complete the transfer information on the reverse
of the permit and return the permit and a completed application for
transfer to the RA. Transfer documents must be notarized as specified in
paragraph (g)(1) of this section.
(8) Renewal. (i) Renewal of a commercial vessel moratorium permit
for Gulf shrimp is contingent upon compliance with the recordkeeping and
reporting requirements for Gulf shrimp specified in Sec.
622.5(a)(1)(iii).
(ii) A commercial vessel moratorium permit for Gulf shrimp that is
not renewed will be terminated and will not be reissued during the
moratorium. A permit is considered to be not renewed when an application
for renewal, as required, is not received by the RA within 1 year of the
expiration date of the permit.
* * * * *
Sec. 622.5 Recordkeeping and reporting.
Participants in fisheries governed in this part are required to keep
records and report as follows.
(a) Commercial vessel owners and operators--(1) Requirements by
species--(i) Coastal migratory pelagic fish. The owner or operator of a
vessel that fishes for or lands coastal migratory pelagic fish for sale
in or from the Gulf, Mid-Atlantic, or South Atlantic EEZ or adjoining
state waters, or whose vessel is issued a commercial permit for king or
Spanish mackerel, as required under Sec. 622.4(a)(2)(iii) or (iv), who
is selected to report by the SRD, must maintain a fishing record on a
form available from the SRD and must submit such record as specified in
paragraph (a)(2) of this section.
(ii) Gulf reef fish. The owner or operator of a vessel for which a
commercial permit for Gulf reef fish has been issued, as required under
Sec. 622.4(a)(2)(v), or whose vessel fishes for or lands reef fish in
or from state waters adjoining the Gulf EEZ, who is selected to report
by the SRD must maintain a fishing record on a form available from the
SRD and must submit such record as specified in paragraph (a)(2) of this
section.
(A) Fish traps. In addition to the other reporting requirements in
paragraph (a)(1)(ii) of this section, the owner or operator of a vessel
for which a fish trap endorsement has been
[[Page 194]]
issued, as required under Sec. 622.4(a)(2)(i), must comply with the
following requirements.
(1) Inspection. The RA will establish a 1-month period for mandatory
inspection of all fish trap gear, permits, and vessels. The RA will
provide written notification of the inspection period to each owner of a
vessel for which a fish trap endorsement has been issued as required
under Sec. 622.4(a)(2)(i). Each such owner or operator must contact the
Special Agent-in-Charge, NMFS, Office of Enforcement, Southeast Region,
St. Petersburg, FL (SAC) or his designee by telephone (727-570-5344) to
schedule an inspection during the 1-month period. Requests for
inspection must be made between 8:00 a.m. and 4:30 p.m. Monday through
Friday and must be made at least 72 hours in advance of the desired
inspection date. Inspections will be conducted Monday through Friday
between 8:00 a.m. and 4:30 p.m. only. On the inspection date, the owner
or operator must make all fish trap gear with attached trap tags and
buoys and all applicable permits available for inspection on land.
Vessels must also be made available for inspection as directed by the
SAC or his designee. Upon completion of the inspection and a
determination that all fish trap gear, permits, and vessels are in
compliance, an owner or operator may resume fishing with the lawful
gear. However, an owner or operator who fails to comply with the
inspection requirements during the 1-month inspection period or during
any other random inspection may not use or possess a fish trap in the
Gulf EEZ until the required inspection or reinspection, as directed by
the SAC, has been completed and all fish trap gear, permits, and vessels
are determined to be in compliance with all applicable regulations.
(2) Trip reports. For each fishing trip on which a fish trap will be
used or possessed, an owner or operator of a vessel for which a fish
trap endorsement has been issued, as required under Sec.
622.4(a)(2)(i), must submit a trip initiation report and a trip
termination report to the SAC or his designee, by telephone, using the
following 24-hour toll-free number--800-305-0697.
(i) Trip initiation report. The trip initiation report must be
submitted before beginning the trip and must include: vessel name;
official number; number of traps to be deployed; sequence of trap tag
numbers; date, time, and point of departure; and intended time and date
of trip termination.
(ii) Trip termination report. The trip termination report must be
submitted immediately upon returning to port and prior to any offloading
of catch or fish traps. The trip termination report must include: vessel
name; official number; name and address of dealer where catch will be
offloaded and sold; the time offloading will begin; notification of any
lost traps; and notification of any traps left deployed for any reason.
(B) [Reserved]
(iii) Gulf shrimp. The owner or operator of a vessel that fishes for
shrimp in the Gulf EEZ or in adjoining state waters, or that lands
shrimp in an adjoining state, must provide information for any fishing
trip, as requested by the SRD, including, but not limited to, vessel
identification, gear, effort, amount of shrimp caught by species, shrimp
condition (heads on/heads off), fishing areas and depths, and person to
whom sold.
(iv) South Atlantic snapper-grouper. (A) The owner or operator of a
vessel for which a commercial permit for South Atlantic snapper-grouper
has been issued, as required under Sec. 622.4(a)(2)(vi), or whose
vessel fishes for or lands South Atlantic snapper-grouper in or from
state waters adjoining the South Atlantic EEZ, who is selected to report
by the SRD must maintain a fishing record on a form available from the
SRD and must submit such record as specified in paragraph (a)(2) of this
section.
(B) The wreckfish shareholder under Sec. 622.15, or operator of a
vessel for which a commercial permit for wreckfish has been issued, as
required under Sec. 622.4(a)(2)(vii), must maintain a fishing record on
a form available from the SRD and must submit such record as specified
in paragraph (a)(2) of this section.
(C) The wreckfish shareholder under Sec. 622.15, or operator of a
vessel for which a commercial permit for wreckfish has been issued, as
required under Sec. 622.4(a)(2)(vii), must make
[[Page 195]]
available to an authorized officer upon request all records of
offloadings, purchases, or sales of wreckfish.
(v) South Atlantic golden crab. The owner or operator of a vessel
for which a commercial permit for golden crab has been issued, as
required under Sec. 622.4(a)(2)(x), who is selected to report by the
SRD must maintain a fishing record on a form available from the SRD.
(vi) Atlantic dolphin and wahoo. The owner or operator of a vessel
for which a commercial permit for Atlantic dolphin and wahoo has been
issued, as required under Sec. 622.4 (a)(2)(xii), or whose vessel
fishes for or lands Atlantic dolphin or wahoo in or from state waters
adjoining the Atlantic EEZ, who is selected to report by the SRD must
maintain a fishing record on a form available from the SRD and must
submit such record as specified in paragraph (a)(2) of this section.
(vii) South Atlantic rock or penaeid shrimp. The owner or operator
of a vessel for which a commercial permit for South Atlantic rock shrimp
or South Atlantic penaeid shrimp has been issued, as required under
Sec. 622.4(a)(2)(viii) or (xiii), respectively, or whose vessel fishes
for or lands South Atlantic rock shrimp or South Atlantic penaeid shrimp
in or from state waters adjoining the Atlantic EEZ, who is selected to
report by the SRD must maintain a fishing record on a form available
from the SRD and must submit such record as specified in paragraph
(a)(2) of this section.
(2) Reporting deadlines. (i) Completed fishing records required by
paragraphs (a)(1)(i), (ii), (iv), (vi), and (vii) of this section must
be submitted to the SRD postmarked not later than 7 days after the end
of each fishing trip. If no fishing occurred during a calendar month, a
report so stating must be submitted on one of the forms postmarked not
later than 7 days after the end of that month. Information to be
reported is indicated on the form and its accompanying instructions.
(ii) Reporting forms required in paragraph (a)(1)(v) of this section
must be submitted to the SRD postmarked not later than 30 days after
sale of the golden crab offloaded from a trip. If no fishing occurred
during a calendar month, a report so stating must be submitted on one of
the forms postmarked not later than 7 days after the end of that month.
Information to be reported is indicated on the form and its accompanying
instructions.
(b) Charter vessel/headboat owners and operators--(1) Coastal
migratory pelagic fish, reef fish, snapper-grouper, and Atlantic dolphin
and wahoo. The owner or operator of a vessel for which a charter vessel/
headboat permit for Gulf coastal migratory pelagic fish, South Atlantic
coastal migratory pelagic fish, Gulf reef fish, South Atlantic snapper-
grouper, or Atlantic dolphin and wahoo has been issued, as required
under Sec. 622.4(a)(1), or whose vessel fishes for or lands such
coastal migratory pelagic fish, reef fish, snapper-grouper, or Atlantic
dolphin or wahoo in or from state waters adjoining the applicable Gulf,
South Atlantic, or Atlantic EEZ, who is selected to report by the SRD
must maintain a fishing record for each trip, or a portion of such trips
as specified by the SRD, on forms provided by the SRD and must submit
such record as specified in paragraph (b)(2) of this section.
(2) Reporting deadlines--(i) Charter vessels. Completed fishing
records required by paragraph (b)(1) of this section for charter vessels
must be submitted to the SRD weekly, postmarked not later than 7 days
after the end of each week (Sunday). Information to be reported is
indicated on the form and its accompanying instructions.
(ii) Headboats. Completed fishing records required by paragraph
(b)(1) of this section for headboats must be submitted to the SRD
monthly and must either be made available to an authorized statistical
reporting agent or be postmarked not later than 7 days after the end of
each month. Information to be reported is indicated on the form and its
accompanying instructions.
(c) Dealers--(1) Coastal migratory pelagic fish. (i) A person who
purchases coastal migratory pelagic fish from a fishing vessel, or
person, that fishes for or lands such fish in or from the EEZ or
adjoining state waters who is selected to report by the SRD must submit
information on forms provided by the SRD. This information must be
[[Page 196]]
submitted to the SRD at monthly intervals, postmarked not later than 5
days after the end of each month. Reporting frequency and reporting
deadlines may be modified upon notification by the SRD. If no coastal
migratory pelagic fish were received during a calendar month, a report
so stating must be submitted on one of the forms, in accordance with the
instructions on the form, and must be postmarked not later than 5 days
after the end of the month. The information to be reported is as
follows:
(A) Dealer's or processor's name and address.
(B) County where fish were landed.
(C) Total poundage of each species received during that month, or
other requested interval.
(D) Average monthly price paid for each species.
(E) Proportion of total poundage landed by each gear type.
(ii) Alternate SRD. For the purposes of paragraph (c)(1)(i) of this
section, in the states from New York through Virginia, or in the waters
off those states, ``SRD'' means the Science and Research Director,
Northeast Fisheries Science Center, NMFS (see Table 1 of Sec. 600.502
of this chapter), or a designee.
(2) Gulf red drum. A dealers or processor who purchases red drum
harvested from the Gulf who is selected to report by the SRD must report
to the SRD such information as the SRD may request and in the form and
manner as the SRD may require. The information required to be submitted
must include, but is not limited to, the following:
(i) Dealer's or processor's name and address.
(ii) State and county where red drum were landed.
(iii) Total poundage of red drum received during the reporting
period, by each type of gear used for harvest.
(3) Gulf reef fish. A person who purchases Gulf reef fish from a
fishing vessel, or person, that fishes for or lands such fish in or from
the EEZ or adjoining state waters must maintain records and submit
information as follows:
(i) A dealer must maintain at his/her principal place of business a
record of Gulf reef fish that he/she receives. The record must contain
the name of each fishing vessel from which reef fish were received and
the date, species, and quantity of each receipt. A dealer must retain
such record for at least 1 year after receipt date and must provide such
record for inspection upon the request of an authorized officer or the
SRD.
(ii) When requested by the SRD, a dealer must provide information
from his/her record of Gulf reef fish received the total poundage of
each species received during the month, average monthly price paid for
each species by market size, and proportion of total poundage landed by
each gear type. This information must be provided on forms available
from the SRD and must be submitted to the SRD at monthly intervals,
postmarked not later than 5 days after the end of the month. Reporting
frequency and reporting deadlines may be modified upon notification by
the SRD. If no reef fish were received during a calendar month, a report
so stating must be submitted on one of the forms, postmarked not later
than 5 days after the end of the month.
(iii) The operator of a car or truck that is used to pick up from a
fishing vessel reef fish harvested from the Gulf must maintain a record
containing the name of each fishing vessel from which reef fish on the
car or truck have been received. The vehicle operator must provide such
record for inspection upon the request of an authorized officer.
(4) Gulf shrimp. A person who purchases shrimp from a vessel, or
person, that fishes for shrimp in the Gulf EEZ or in adjoining state
waters, or that lands shrimp in an adjoining state, must provide the
following information when requested by the SRD:
(i) Name and official number of the vessel from which shrimp were
received or the name of the person from whom shrimp were received, if
received from other than a vessel.
(ii) Amount of shrimp received by species and size category for each
receipt.
(iii) Exvessel value, by species and size category, for each
receipt.
(5) South Atlantic snapper-grouper. (i) A person who purchases South
Atlantic snapper-grouper that were harvested from the EEZ or from
adjoining state waters and who is selected to report by
[[Page 197]]
the SRD and a dealer who has been issued a dealer permit for wreckfish,
as required under Sec. 622.4(a)(4), must provide information on
receipts of South Atlantic snapper-grouper and prices paid, by species,
on forms available from the SRD. The required information must be
submitted to the SRD at monthly intervals, postmarked not later than 5
days after the end of the month. Reporting frequency and reporting
deadlines may be modified upon notification by the SRD. If no South
Atlantic snapper-grouper were received during a calendar month, a report
so stating must be submitted on one of the forms, postmarked not later
than 5 days after the end of the month. However, during complete months
encompassed by the wreckfish spawning-season closure (that is, February
and March), a wreckfish dealer is not required to submit a report
stating that no wreckfish were received.
(ii) A dealer reporting South Atlantic snapper-grouper other than
wreckfish may submit the information required in paragraph (c)(5)(i) of
this section via facsimile (fax).
(iii) A dealer who has been issued a dealer permit for wreckfish, as
required under Sec. 622.4(a)(4), must make available to an authorized
officer upon request all records of offloadings, purchases, or sales of
wreckfish.
(6) South Atlantic golden crab. A dealer who receives from a fishing
vessel golden crab harvested from the South Atlantic EEZ and who is
selected by the SRD must provide information on receipts of, and prices
paid for, South Atlantic golden crab to the SRD at monthly intervals,
postmarked not later than 5 days after the end of each month. Reporting
frequency and reporting deadlines may be modified upon notification by
the SRD.
(7) South Atlantic rock shrimp. (i) A dealer who has been issued a
permit for rock shrimp, as required under Sec. 622.4(a)(4), and who is
selected by the SRD must provide information on receipts of rock shrimp
and prices paid on forms available from the SRD. The required
information must be submitted to the SRD at monthly intervals postmarked
not later than 5 days after the end of each month. Reporting frequencies
and reporting deadlines may be modified upon notification by the SRD.
(ii) On demand, a dealer who has been issued a dealer permit for
rock shrimp, as required under Sec. 622.4(a)(4), must make available to
an authorized officer all records of offloadings, purchases, or sales of
rock shrimp.
(8) Atlantic dolphin and wahoo. (i) A dealer who has been issued a
permit for Atlantic dolphin and wahoo, as required under Sec.
622.4(a)(4), and who is selected by the SRD must provide information on
receipts of Atlantic dolphin and wahoo and prices paid on forms
available from the SRD. The required information must be submitted to
the SRD at monthly intervals postmarked not later than 5 days after the
end of each month. Reporting frequencies and reporting deadlines may be
modified upon notification by the SRD.
(ii) For the purposes of paragraph (c)(8)(i) of this section, in the
states from Maine through Virginia, or in the waters off those states,
``SRD'' means the Science and Research Director, Northeast Fisheries
Science Center, NMFS, (see Table 1 of Sec. 600.502 of this chapter), or
a designee.
(iii) On demand, a dealer who has been issued a dealer permit for
Atlantic dolphin and wahoo, as required under Sec. 622.4(a)(4), must
make available to an authorized officer all records of offloadings,
purchases, or sales of dolphin and wahoo.
(d) Individuals with coral or live rock permits. (1) An individual
with a Federal allowable octocoral permit must submit a report of
harvest to the SRD. Specific reporting requirements will be provided
with the permit.
(2) A person with a Federal aquacultured live rock permit must
report to the RA each deposition of material on a site. Such reports
must be postmarked not later than 7 days after deposition and must
contain the following information:
(i) Permit number of site and date of deposit.
(ii) Geological origin of material deposited.
(iii) Amount of material deposited.
(iv) Source of material deposited, that is, where obtained, if
removed from another habitat, or from whom purchased.
[[Page 198]]
(3) A person who takes aquacultured live rock must submit a report
of harvest to the RA. Specific reporting requirements will be provided
with the permit. This reporting requirement is waived for aquacultured
live rock that is landed in Florida.
(e) Additional data and inspection. Additional data will be
collected by authorized statistical reporting agents and by authorized
officers. A person who fishes for or possesses species in or from the
EEZ governed in this part is required to make the applicable fish or
parts thereof available for inspection by the SRD or an authorized
officer upon request.
(f) Commercial vessel, charter vessel, and headboat inventory. The
owner or operator of a commercial vessel, charter vessel, or headboat
operating in a fishery governed in this part who is not selected to
report by the SRD under paragraph (a) or (b) of this section must
provide the following information when interviewed by the SRD:
(1) Name and official number of vessel and permit number, if
applicable.
(2) Length and tonnage.
(3) Current home port.
(4) Fishing areas.
(5) Ports where fish were offloaded during the last year.
(6) Type and quantity of gear.
(7) Number of full- and part-time fishermen or crew members.
[61 FR 34940, July 3, 1996, as amended at 61 FR 43956, Aug. 27, 1996; 61
FR 47448, Sept. 9, 1996; 63 FR 10567, Mar. 4, 1998; 63 FR 57590, Oct.
28, 1998; 64 FR 59126, Nov. 2, 1999; 64 FR 68935, Dec. 9, 1999; 67 FR
43565, June 28, 2002; 69 FR 30241, May 27, 2004; 70 FR 73387, Dec. 12,
2005]
Effective Date Note: At 71 FR 56047, Sept. 26, 2006, Sec. 622.5 was
amended by revising paragraph (a)(1)(iii), effective Oct. 26, 2006. For
the convenience of the user, the revised text is set forth as follows:
Sec. 622.5 Recordkeeping and reporting.
* * * * *
(a) * * *
(1) * * *
(iii) Gulf shrimp--(A) General reporting requirement. The owner or
operator of a vessel that fishes for shrimp in the Gulf EEZ or in
adjoining state waters, or that lands shrimp in an adjoining state, must
provide information for any fishing trip, as requested by the SRD,
including, but not limited to, vessel identification, gear, effort,
amount of shrimp caught by species, shrimp condition (heads on/heads
off), fishing areas and depths, and person to whom sold.
(B) Electronic logbook reporting. The owner or operator of a vessel
for which a Federal commercial vessel permit for Gulf shrimp has been
issued and who is selected by the SRD must participate in the NMFS-
sponsored electronic logbook reporting program as directed by the SRD.
In addition, such owner or operator must provide information regarding
the size and number of shrimp trawls deployed and the type of BRD and
turtle excluder device used, as directed by the SRD. Compliance with the
reporting requirements of this paragraph (a)(1)(iii)(B) is required for
permit renewal.
(C) Vessel and Gear Characterization Form. All owners or operators
of vessels applying for or renewing a commercial vessel moratorium
permit for Gulf shrimp must complete an annual Gulf Shrimp Vessel and
Gear Characterization Form. The form will be provided by NMFS at the
time of permit application and renewal. Compliance with this reporting
requirement is required for permit issuance and renewal.
(D) Landings report. The owner or operator of a vessel for which a
Federal commercial vessel permit for Gulf shrimp has been issued must
annually report the permitted vessel's total annual landings of shrimp
and value, by species, on a form provided by the SRD. Compliance with
this reporting requirement is required for permit renewal.
* * * * *
Sec. 622.6 Vessel and gear identification.
(a) Vessel identification--(1) Applicability--(i) Official number. A
vessel for which a permit has been issued under Sec. 622.4, and a
vessel that fishes for or possesses pelagic sargassum in the South
Atlantic EEZ, must display its official number--
(A) On the port and starboard sides of the deckhouse or hull and,
for vessels over 25 ft (7.6 m) long, on an appropriate weather deck, so
as to be clearly visible from an enforcement vessel or aircraft.
(B) In block arabic numerals permanently affixed to or painted on
the vessel in contrasting color to the background.
(C) At least 18 inches (45.7 cm) in height for vessels over 65 ft
(19.8 m) long; at least 10 inches (25.4 cm) in height for vessels over
25 ft (7.6 m) long; and at least 3 inches (7.6 cm) in
[[Page 199]]
height for vessels 25 ft (7.6 m) long or less.
(ii) Official number and color code. The following vessels must
display their official number as specified in paragraph (a)(1)(i) of
this section and, in addition, must display their assigned color code: A
vessel for which a fish trap endorsement has been issued, as required
under Sec. 622.4(a)(2)(i); a vessel for which a permit has been issued
to fish with a sea bass pot, as required under Sec. 622.4(a)(2)(vi); a
vessel in the commercial Caribbean reef fish fishery fishing with traps;
and a vessel in the Caribbean spiny lobster fishery. Color codes
required for the Caribbean reef fish fishery and Caribbean spiny lobster
fishery are assigned by Puerto Rico or the U.S. Virgin Islands,
whichever is applicable; color codes required in all other fisheries are
assigned by the RA. The color code must be displayed--
(A) On the port and starboard sides of the deckhouse or hull and,
for vessels over 25 ft (7.6 m) long, on an appropriate weather deck, so
as to be clearly visible from an enforcement vessel or aircraft.
(B) In the form of a circle permanently affixed to or painted on the
vessel.
(C) At least 18 inches (45.7 cm) in diameter for vessels over 65 ft
(19.8 m) long; at least 10 inches (25.4 cm) in diameter for vessels over
25 ft (7.6 m) long; and at least 3 inches (7.6 cm) in diameter for
vessels 25 ft (7.6 m) long or less.
(2) Duties of operator. The operator of a vessel specified in
paragraph (a)(1) of this section must keep the official number and the
color code, if applicable, clearly legible and in good repair and must
ensure that no part of the fishing vessel, its rigging, fishing gear, or
any other material on board obstructs the view of the official number or
the color code, if applicable, from an enforcement vessel or aircraft.
(b) Gear identification--(1) Traps/pots and associated buoys--(i)
Traps or pots--(A) Caribbean EEZ. A fish trap or spiny lobster trap used
or possessed in the Caribbean EEZ must display the official number
specified for the vessel by Puerto Rico or the U.S. Virgin Islands so as
to be easily identified.
(B) Gulf and South Atlantic EEZ. A fish trap used or possessed in
the Gulf EEZ and a sea bass pot used or possessed in the South Atlantic
EEZ between 35[deg]15.19[min] N. lat. (due east of Cape Hatteras Light,
NC) and 28[deg]35.1[min] N. lat. (due east of the NASA Vehicle Assembly
Building, Cape Canaveral, FL), or a fish trap or sea bass pot on board a
vessel with a commercial permit for Gulf reef fish or South Atlantic
snapper-grouper, must have a valid identification tag issued by the RA
attached. A golden crab trap used or possessed in the South Atlantic EEZ
or on board a vessel with a commercial permit for golden crab must have
the commercial vessel permit number permanently affixed so as to be
easily distinguished, located, and identified; an identification tag
issued by the RA may be used for this purpose but is not required.
(ii) Associated buoys. A buoy that is attached to a trap or pot must
display the official number and assigned color code so as to be easily
distinguished, located, and identified as follows:
(A) Caribbean EEZ. Traps or pots used in the Caribbean spiny lobster
or Caribbean reef fish fisheries that are fished individually, rather
than tied together in a trap line, must have at least one buoy attached
that floats on the surface. Traps or pots used in the Caribbean spiny
lobster or Caribbean reef fish fisheries that are tied together in a
trap line must have at least one buoy that floats at the surface
attached at each end of the trap line. Each buoy must display the
official number and color code assigned to the vessel by Puerto Rico or
the U.S. Virgin Islands, whichever is applicable.
(B) Gulf and South Atlantic EEZ. Each buoy must display the official
number and color code assigned by the RA. In the Gulf EEZ, a buoy must
be attached to each trap, or each end trap if traps are connected by a
line. In the South Atlantic EEZ, buoys are not required to be used, but,
if used, each buoy must display the official number and color code.
However, no color code is required on a buoy attached to a golden crab
trap.
(iii) Presumption of ownership. A Caribbean spiny lobster trap, a
fish trap, a golden crab trap, or a sea bass pot in the EEZ will be
presumed to be the
[[Page 200]]
property of the most recently documented owner. This presumption will
not apply with respect to such traps and pots that are lost or sold if
the owner reports the loss or sale within 15 days to the RA.
(iv) Unmarked traps, pots, or buoys. An unmarked Caribbean spiny
lobster trap, a fish trap, a golden crab trap, a sea bass pot, or a buoy
deployed in the EEZ where such trap, pot, or buoy is required to be
marked is illegal and may be disposed of in any appropriate manner by
the Assistant Administrator or an authorized officer.
(2) Gillnet buoys. On board a vessel with a valid Spanish mackerel
permit that is fishing for Spanish mackerel in, or that possesses
Spanish mackerel in or from, the South Atlantic EEZ off Florida north of
25[deg]20.4[min] N. lat., which is a line directly east from the Miami-
Dade/Monroe County, FL, boundary, the float line of each gillnet
possessed, including any net in use, must have a maximum of nine
distinctive floats, i.e., different from the usual net buoys, spaced
uniformly at a distance of 100 yd (91.4 m) or less. Each such
distinctive float must display the official number of the vessel.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43957, Aug. 27, 1996; 63
FR 10567, Mar. 4, 1998; 63 FR 57590, Oct. 28, 1998; 64 FR 59126, Nov. 2,
1999; 65 FR 52957, Aug. 31, 2000; 67 FR 22362, May 3, 2002; 67 FR 51078,
Aug. 7, 2002; 68 FR 57378, Oct. 3, 2003; 70 FR 62080, Oct. 28, 2005]
Sec. 622.7 Prohibitions.
In addition to the general prohibitions in Sec. 600.725 of this
chapter, it is unlawful for any person to do any of the following:
(a) Engage in an activity for which a valid Federal permit, license,
or endorsement is required under Sec. 622.4 without such permit,
license, or endorsement.
(b) Falsify information on an application for a permit, license, or
endorsement or submitted in support of such application, as specified in
Sec. 622.4(b), (g), (p), (q), or (r) or in Sec. Sec. 622.18 or 622.19.
(c) Fail to display a permit, license, or endorsement, or other
required identification, as specified in Sec. 622.4(i).
(d) Falsify or fail to maintain, submit, or provide information or
fail to comply with inspection requirements or restrictions, as
specified in Sec. 622.5(a) through (f).
(e) Fail to make a fish, or parts thereof, available for inspection,
as specified in Sec. 622.5(e).
(f) Falsify or fail to display and maintain vessel and gear
identification, as specified in Sec. 622.6(a) and (b) or Sec.
622.4(r)(11).
(g) Fail to comply with any requirement or restriction regarding ITQ
coupons, as specified in Sec. 622.15(c)(3), (c)(5), (c)(6), or (c)(7).
(h) Possess wreckfish as specified in Sec. 622.15(c)(4), receive
wreckfish except as specified in Sec. 622.15(c)(7), or offload a
wreckfish except as specified in Sec. 622.15 (d)(3) and (d)(4).
(i) Transfer--
(1) A wreckfish, as specified in Sec. 622.15(d)(1);
(2) A limited-harvest species, as specified in Sec. 622.32(c)
introductory text;
(3) A species/species group subject to a bag limit, as specified
Sec. 622.39(a)(1);
(4) South Atlantic snapper-grouper from a vessel with unauthorized
gear on board, as specified in Sec. 622.41(d)(2)(iii); or
(5) A species subject to a commercial trip limit, as specified in
Sec. 622.44.
(j) Use or possess prohibited gear or methods or possess fish in
association with possession or use of prohibited gear, as specified in
Sec. 622.31.
(k) Fish for, harvest, or possess a prohibited species, or a
limited-harvest species in excess of its limitation, sell or purchase
such species, fail to comply with release requirements, or molest or
strip eggs from a Caribbean spiny lobster, as specified in Sec. 622.32.
(l) Fish in violation of the prohibitions, restrictions, and
requirements applicable to seasonal and/or area closures, including but
not limited to: Prohibition of all fishing, gear restrictions,
restrictions on take or retention of fish, fish release requirements,
and restrictions on use of an anchor or grapple, as specified in Sec.
622.33, Sec. 622.34, or Sec. 622.35, or as may be specified under
Sec. 622.46 (b) or (c).
(m) Harvest, possess, offload, sell, or purchase fish in excess of
the seasonal harvest limitations, as specified in Sec. 622.36.
[[Page 201]]
(n) Except as allowed under Sec. 622.37(c) (2) and (3) for king and
Spanish mackerel, possess undersized fish, fail to release undersized
fish, or sell or purchase undersized fish, as specified in Sec. 622.37.
(o) Fail to maintain a fish intact through offloading ashore, as
specified in Sec. 622.38.
(p) Exceed a bag or possession limit, as specified in Sec. 622.39.
(q) Fail to comply with the limitations on traps and pots, including
but not limited to: Tending requirements, constructions requirements,
and area specific restrictions, as specified in Sec. 622.40.
(r) Fail to comply with the species-specific limitations, as
specified in Sec. 622.41.
(s) Fail to comply with the restrictions that apply after closure of
a fishery, as specified in Sec. 622.43.
(t) Possess on board a vessel or land, purchase, or sell fish in
excess of the commercial trip limits, as specified in Sec. 622.44.
(u) Fail to comply with the restrictions on sale/purchase, as
specified in Sec. 622.45.
(v) Interfere with fishing or obstruct or damage fishing gear or the
fishing vessel of another, as specified in Sec. 622.46(a).
(w) Fail to comply with the requirements for observer coverage as
specified in Sec. 622.10.
(x) Assault, resist, oppose, impede, intimidate, or interfere with a
NMFS-approved observer aboard a vessel.
(y) Prohibit or bar by command, impediment, threat, coercion, or
refusal of reasonable assistance, an observer from conducting his or her
duties aboard a vessel.
(z) Fish for or possess golden crab in or from a fishing zone or
sub-zone of the South Atlantic EEZ other than the zone or sub-zone for
which the vessel is permitted or authorized, as specified in Sec.
622.17(b).
(aa) Falsify information submitted regarding an application for
testing a BRD or regarding testing of a BRD, as specified in Sec.
622.41(g)(3)(i) or (h)(3).
(bb) Make a false statement, oral or written, to an authorized
officer regarding the installation, use, operation, or maintenance of a
vessel monitoring system (VMS) unit or communication service provider.
(cc) Operate or own a vessel that is required to have a permitted
operator aboard when the vessel is at sea or offloading without such
operator aboard, as specified in Sec. 622.4(a)(5)(i) through (iv).
(dd) When a vessel that is subject to Federal fishing regulations is
at sea or offloading, own or operate such vessel with a person aboard
whose operator permit is revoked, suspended, or modified.
(ee) Fail to comply with any provision related to a vessel
monitoring system as specified in Sec. 622.9, including but not limited
to, requirements for use, installation, activation, access to data,
procedures related to interruption of VMS operation, and prohibitions on
interference with the VMS.
(ff) Fail to comply with the protected species conservation measures
as specified in Sec. 622.10.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43957, Aug. 27, 1996; 61
FR 48415, Sept. 13, 1996; 62 FR 67722, Dec. 30, 1997; 63 FR 38301, July
16, 1998; 63 FR 57590, Oct. 28, 1998; 64 FR 37693, July 13, 1999; 64 FR
43941, Aug. 12, 1999; 64 FR 68935, Dec. 9, 1999; 67 FR 22361, May 3,
2002; 67 FR 43565, June 28, 2002; 68 FR 2194, Jan. 16, 2003; 70 FR
73387, Dec. 12, 2005; 71 FR 45434, Aug. 9, 2006]
Sec. 622.8 At-sea observer coverage.
(a) Required coverage--(1) Pelagic sargassum. A vessel that harvests
or possesses pelagic sargassum on any trip in the South Atlantic EEZ
must carry a NMFS-approved observer.
(2) Golden crab. A vessel for which a Federal commercial permit for
golden crab has been issued must carry a NMFS-approved observer, if the
vessel's trip is selected by the SRD for observer coverage.
(3) Gulf reef fish. A vessel for which a Federal commercial vessel
permit for Gulf reef fish or a charter vessel/headboat permit for Gulf
reef fish has been issued must carry a NMFS-approved observer, if the
vessel's trip is selected by the SRD for observer coverage. Vessel
permit renewal is contingent upon compliance with this paragraph (a)(3).
(4) South Atlantic rock or penaeid shrimp. A vessel for which a
Federal commercial permit for South Atlantic
[[Page 202]]
rock shrimp or South Atlantic penaeid shrimp has been issued must carry
a NMFS-approved observer, if the vessel's trip is selected by the SRD
for observer coverage.
(b) Notification to the SRD. When observer coverage is required, an
owner or operator must advise the SRD in writing not less than 5 days in
advance of each trip of the following:
(1) Departure information (port, dock, date, and time).
(2) Expected landing information (port, dock, and date).
(c) Observer accommodations and access. An owner or operator of a
vessel on which a NMFS-approved observer is embarked must:
(1) Provide accommodations and food that are equivalent to those
provided to the crew.
(2) Allow the observer access to and use of the vessel's
communications equipment and personnel upon request for the transmission
and receipt of messages related to the observer's duties.
(3) Allow the observer access to and use of the vessel's navigation
equipment and personnel upon request to determine the vessel's position.
(4) Allow the observer free and unobstructed access to the vessel's
bridge, working decks, holding bins, weight scales, holds, and any other
space used to hold, process, weigh, or store fish.
(5) Allow the observer to inspect and copy the vessel's log,
communications logs, and any records associated with the catch and
distribution of fish for that trip.
[61 FR 43957, Aug. 27, 1996, as amended at 63 FR 57590, Oct. 28, 1998;
68 FR 57378, Oct. 3, 2003; 70 FR 32272, June 2, 2005; 70 FR 73387, Dec.
12, 2005]
Effective Date Note: At 71 FR 56047, Sept. 26, 2006, Sec. 622.8 was
amended by adding paragraph (a)(5), effective Oct. 26, 2006. For the
convenience of the user, the added and revised text is set forth as
follows:
Sec. 622.8 At-sea observer coverage.
(a) * * *
(5) Gulf shrimp. A vessel for which a Federal commercial vessel
permit for Gulf shrimp has been issued must carry a NMFS-approved
observer, if the vessel's trip is selected by the SRD for observer
coverage. Vessel permit renewal is contingent upon compliance with this
paragraph (a)(5).
* * * * *
Sec. 622.9 Vessel monitoring systems (VMSs).
(a) Requirement for use. An owner or operator of a vessel that has
been issued a limited access endorsement for South Atlantic rock shrimp
must ensure that such vessel has a NMFS-approved, operating VMS on board
when on a trip in the South Atlantic. An operating VMS includes an
operating mobile transmitting unit on the vessel and a functioning
communication link between the unit and NMFS as provided by a NMFS-
approved communication service provider.
(b) Installing and activating the VMS. Only a VMS that has been
approved by NMFS for use in the South Atlantic rock shrimp fishery may
be used. When installing and activating the NMFS-approved VMS, or when
reinstalling and reactivating such VMS, the vessel owner or operator
must--
(1) Follow procedures indicated on an installation and activation
checklist, which is available from NMFS, Office of Enforcement,
Southeast Region, St. Petersburg, FL; phone: 727-570-5344; and
(2) Submit to NMFS, Office of Enforcement, Southeast Region, St.
Petersburg, FL, a statement certifying compliance with the checklist, as
prescribed on the checklist.
(c) Interference with the VMS. No person may interfere with, tamper
with, alter, damage, disable, or impede the operation of the VMS, or
attempt any of the same.
(d) Interruption of operation of the VMS. When a vessel's VMS is not
operating properly, the owner or operator must immediately contact NMFS,
Office of Enforcement, Southeast Region, St. Petersburg, FL, and follow
instructions from that office. If notified by NMFS that a vessel's VMS
is not operating properly, the owner and operator must follow
instructions from that office. In either event, such instructions may
include, but are not limited to, manually communicating to a location
[[Page 203]]
designated by NMFS the vessel's positions or returning to port until the
VMS is operable.
(e) Access to position data. As a condition of authorized fishing
for or possession of South Atlantic rock shrimp in or from the South
Atlantic EEZ, a vessel owner or operator subject to the requirements for
a VMS in this section must allow NMFS, the USCG, and their authorized
officers and designees access to the vessel's position data obtained
from the VMS.
[68 FR 2194, Jan. 16, 2003, as amended at 70 FR 73387, Dec. 12, 2005]
Effective Date Note: At 71 FR 45434, Aug. 9, 2006, Sec. 622.9 was
revised, effective Dec. 7, 2006. For the convenience of the user, the
added and revised text is set forth as follows:
Sec. 622.9 Vessel monitoring systems (VMSs).
(a) Requirements for use of a VMS--(1) South Atlantic rock shrimp.
An owner or operator of a vessel that has been issued a limited access
endorsement for South Atlantic rock shrimp must ensure that such vessel
has an operating VMS approved by NMFS for use in the South Atlantic rock
shrimp fishery on board when on a trip in the South Atlantic. An
operating VMS includes an operating mobile transmitting unit on the
vessel and a functioning communication link between the unit and NMFS as
provided by a NMFS-approved communication service provider.
(2) Gulf reef fish. An owner or operator of a vessel that has been
issued a commercial vessel permit for Gulf reef fish, including a
charter vessel/headboat issued such a permit even when under charter,
must ensure that such vessel has an operating VMS approved by NMFS for
use in the Gulf reef fish fishery on board at all times whether or not
the vessel is underway, unless exempted by NMFS under the power down
exemption of the NOAA Enforcement Draft Vessel Monitoring System
Requirements as included in Appendix E to Final Amendment 18A to the
Fishery Management Plan for the Reef Fish Resources of the Gulf of
Mexico. The NOAA Enforcement Draft Vessel Monitoring System Requirements
document is available from NMFS, Office of Enforcement, Southeast
Region, 263 13\th\ Avenue South, St. Petersburg, FL 33701; phone: 800-
758-4833. An operating VMS includes an operating mobile transmitting
unit on the vessel and a functioning communication link between the unit
and NMFS as provided by a NMFS-approved communication service provider.
Unless exempted under the power down exemption, a VMS must transmit a
signal indicating the vessel's accurate position at least once an hour,
24 hours a day every day. Prior to departure for each trip, a vessel
owner or operator must report to NMFS any fishery the vessel will
participate in on that trip and the specific type(s) of fishing gear,
using NMFS-defined gear codes, that will be on board the vessel. This
information may be reported to NMFS using the toll-free number, 888-219-
9228, or via an attached VMS terminal. The VMS requirements of this
paragraph apply throughout the Gulf of Mexico. An owner or operator of a
vessel that has been issued a commercial vessel permit for Gulf reef
fish with a fish trap endorsement and that fishes exclusively with fish
traps is exempt from the VMS requirements of this paragraph through
February 7, 2007.
(b) Installation and activation of a VMS. Only a VMS that has been
approved by NMFS for the applicable fishery may be used, and the VMS
must be installed by a qualified marine electrician. When installing and
activating the NMFS-approved VMS, or when reinstalling and reactivating
such VMS, the vessel owner or operator must--
(1) Follow procedures indicated on a NMFS-approved installation and
activation checklist for the applicable fishery, which is available from
NMFS, Office of Enforcement, Southeast Region, 263 13\th\ Avenue South,
St. Petersburg, FL 33701; phone: 800-758-4833; and
(2) Submit to NMFS, Office of Enforcement, Southeast Region, 263
13\th\ Avenue South, St. Petersburg, FL 33701, a statement certifying
compliance with the checklist, as prescribed on the checklist.
(3) Submit to NMFS, Office of Enforcement, Southeast Region, 263
13\th\ Avenue South, St. Petersburg, FL 33701, a vendor-completed
installation certification checklist, which is available from NMFS,
Office of Enforcement, Southeast Region, 263 13\th\ Avenue South, St.
Petersburg, FL 33701; phone: 800-758-4833.
(c) Interference with the VMS. No person may interfere with, tamper
with, alter, damage, disable, or impede the operation of the VMS, or
attempt any of the same.
(d) Interruption of operation of the VMS. When a vessel's VMS is not
operating properly, the owner or operator must immediately contact NMFS,
Office of Enforcement, Southeast Region, 263 13\th\ Avenue South, St.
Petersburg, FL 33701, phone: 800-758-4833, and follow instructions from
that office. If notified by NMFS that a vessel's VMS is not operating
properly, the owner and operator must follow instructions from that
office. In either event, such instructions may include, but are not
limited to, manually communicating to a location designated by NMFS the
vessel's positions or returning to port until the VMS is operable.
(e) Access to position data. As a condition of authorized fishing
for or possession of fish in a fishery subject to VMS requirements in
this section, a vessel owner or operator subject to the requirements for
a VMS in this section must allow NMFS, the USCG, and
[[Page 204]]
their authorized officers and designees access to the vessel's position
data obtained from the VMS.
Sec. 622.10 Conservation measures for protected resources.
(a) Atlantic dolphin and wahoo pelagic longliners. The owner or
operator of a vessel for which a commercial permit for Atlantic dolphin
and wahoo has been issued, as required under Sec. 622.4(a)(2)(xii), and
that has on board a pelagic longline must post inside the wheelhouse the
sea turtle handling and release guidelines provided by NMFS. Such owner
or operator must also comply with the sea turtle bycatch mitigation
measures, including gear requirements and sea turtle handling
requirements, as specified in Sec. 635.21(c)(5)(i) and (ii) of this
chapter, respectively. For the purpose of this paragraph, a vessel is
considered to have pelagic longline gear on board when a power-operated
longline hauler, a mainline, floats capable of supporting the mainline,
and leaders (gangions) with hooks are on board. Removal of any one of
these elements constitutes removal of pelagic longline gear.
(b) Gulf reef fish commercial vessels and charter vessels/
headboats--(1) Sea turtle conservation measures. The owner or operator
of a vessel for which a commercial vessel permit for Gulf reef fish or a
charter vessel/headboat permit for Gulf reef fish has been issued, as
required under Sec. Sec. 622.4(a)(2)(v) and 622.4(a)(1)(i),
respectively, must post inside the wheelhouse, or within a waterproof
case if no wheelhouse, a copy of the document provided by NMFS titled,
``Careful Release Protocols for Sea Turtle Release With Minimal
Injury,'' and must post inside the wheelhouse, or in an easily viewable
area if no wheelhouse, the sea turtle handling and release guidelines
provided by NMFS. Those permitted vessels with a freeboard height of 4
ft (1.2 m) or less must have on board a dipnet, short-handled dehooker,
long-nose or needle-nose pliers, bolt cutters, monofilament line
cutters, and at least two types of mouth openers/mouth gags. This
equipment must meet the specifications described in 50 CFR
635.21(c)(5)(i)(E) through (L) with the following modifications: the
dipnet handle can be of variable length, only one NMFS approved short-
handled dehooker is required (i.e., CFR 635.21(c)(5)(i)(G) or (H)); and
life rings, seat cushions, life jackets, and life vests may be used as
alternatives to tires for cushioned surfaces as specified in 50 CFR
635.21(c)(5)(i)(F). Those permitted vessels with a freeboard height of
greater than 4 ft (1.2 m) must have on board a dipnet, long-handled line
clipper, a short-handled and a long-handled dehooker, long-nose or
needle-nose pliers, bolt cutters, monofilament line cutters, and at
least two types of mouth openers/mouth gags. This equipment must meet
the specifications described in 50 CFR 635.21(c)(5)(i)(A) through (L)
with the following modifications: only one NMFS approved long-handled
dehooker (50 CFR 635.21(c)(5)(i)(B) or (C)) and one NMFS-approved short-
handled dehooker (50 CFR 635.21(c)(5)(i)(G) or (H)) are required; and
life rings, seat cushions, life jackets, and life vests may be used as
alternatives to tires for cushioned surfaces as specified in 50 CFR
635.21(c)(5)(i)(F).
(2) Smalltooth sawfish conservation measures. The owner or operator
of a vessel for which a commercial vessel permit for Gulf reef fish or a
charter vessel/headboat permit for Gulf reef fish has been issued, as
required under Sec. Sec. 622.4(a)(2)(v) and 622.4(a)(1)(i),
respectively, that incidentally catches a smalltooth sawfish must--
(i) Keep the sawfish in the water at all times;
(ii) If it can be done safely, untangle the line if it is wrapped
around the saw;
(iii) Cut the line as close to the hook as possible; and
(iv) Not handle the animal or attempt to remove any hooks on the
saw, except for with a long-handled dehooker.
[71 FR 45435, Aug. 9, 2006]
Subpart B_Effort Limitations
Sec. 622.15 Wreckfish individual transferable quota (ITQ) system.
The provisions of this section apply to wreckfish in or from the
South Atlantic EEZ.
(a) Percentage shares. (1) In accordance with the procedure
specified in
[[Page 205]]
the Fishery Management Plan for the Snapper-Grouper Fishery of the South
Atlantic Region, percentage shares of the quota for wreckfish have been
assigned. Each person has been notified by the RA of his or her
percentage share and shareholder certificate number.
(2) All or a portion of a person's percentage shares may be
transferred to another person. Transfer of shares must be reported on a
form available from the RA. The RA will confirm, in writing, each
transfer of shares. The effective date of each transfer is the
confirmation date provided by the RA. The confirmation date will
normally be not later than 3 working days after receipt of a properly
completed transfer form. A fee is charged for each transfer of shares.
The amount of the fee is calculated in accordance with the procedures of
the NOAA Finance Handbook, available from the RA, for determining the
administrative costs of each special product or service provided by NOAA
to non-Federal recipients. The fee may not exceed such costs and is
specified with each transfer form. The appropriate fee must accompany
each transfer form.
(b) Lists of wreckfish shareholders and permitted vessels. Annually,
on or about March 1, the RA will provide each wreckfish shareholder with
a list of all wreckfish shareholders and their percentage shares,
reflecting share transactions on forms received through February 15.
Annually by April 15, the RA will provide each dealer who holds a dealer
permit for wreckfish, as required under Sec. 622.4(a)(4), with a list
of vessels for which wreckfish permits have been issued, as required
under Sec. 622.4(a)(2)(vii). Annually, by April 15, the RA will provide
each wreckfish shareholder with a list of dealers who have been issued
dealer permits for wreckfish. From April 16 through January 14, updated
lists will be provided when required. Updated lists may be obtained at
other times or by a person who is not a wreckfish shareholder or
wreckfish dealer permit holder by written request to the RA.
(c) ITQs. (1) Annually, as soon after March 1 as the TAC for
wreckfish for the fishing year that commences April 16 is known, the RA
will calculate each wreckfish shareholder's ITQ. Each ITQ is the product
of the wreckfish TAC, in round weight, for the ensuing fishing year, the
factor for converting round weight to eviscerated weight, and each
wreckfish shareholder's percentage share, reflecting share transactions
reported on forms received by the RA through February 15. Thus, the ITQs
will be in terms of eviscerated weight of wreckfish.
(2) The RA will provide each wreckfish shareholder with ITQ coupons
in various denominations, the total of which equals his or her ITQ, and
a copy of the calculations used in determining his or her ITQ. Each
coupon will be coded to indicate the initial recipient.
(3) An ITQ coupon may be transferred from one wreckfish shareholder
to another by completing the sale endorsement thereon (that is, the
signature and shareholder certificate number of the buyer). An ITQ
coupon may be possessed only by the shareholder to whom it has been
issued, or by the shareholder's employee, contractor, or agent, unless
the ITQ coupon has been transferred to another shareholder. An ITQ
coupon that has been transferred to another shareholder may be possessed
only by the shareholder whose signature appears on the coupon as the
buyer, or by the shareholder's employee, contractor, or agent, and with
all required sale endorsements properly completed.
(4) Wreckfish may not be possessed on board a fishing vessel--
(i) In an amount exceeding the total of the ITQ coupons on board the
vessel;
(ii) That does not have on board a commercial vessel permit for
wreckfish, as required under Sec. 622.4(a)(2)(vii); or
(iii) That does not have on board logbook forms for that fishing
trip, as required under Sec. 622.5(a)(1)(iv)(B).
(5) Prior to termination of a trip, a signature and date signed must
be affixed in ink to the ``Fisherman'' part of ITQ coupons in
denominations equal to the eviscerated weight of the wreckfish on board.
The ``Fisherman'' part of each such coupon must be separated from the
coupon and submitted with the logbook forms required by Sec.
622.5(a)(1)(iv)(B) for that fishing trip.
[[Page 206]]
(6) The ``Fish House'' part of each such coupon must be given to the
dealer to whom the wreckfish are transferred in amounts totaling the
eviscerated weight of the wreckfish transferred to that dealer. A
wreckfish may be transferred only to a dealer who holds a dealer permit
for wreckfish, as required under Sec. 622.4(a)(4).
(7) A dealer may receive a wreckfish only from a vessel for which a
commercial permit for wreckfish has been issued, as required under Sec.
622.4(a)(2)(vii). A dealer must receive the ``Fish House'' part of ITQ
coupons in amounts totaling the eviscerated weight of the wreckfish
received; enter the permit number of the vessel from which the wreckfish
were received, enter the date the wreckfish were received, enter the
dealer's permit number, and sign each such ``Fish House'' part; and
submit all such parts with the dealer reports required by Sec.
622.5(c)(5)(i).
(8) An owner or operator of a vessel and a dealer must make
available to an authorized officer all ITQ coupons in his or her
possession upon request.
(d) Wreckfish limitations. (1) A wreckfish taken in the South
Atlantic EEZ may not be transferred at sea, regardless of where the
transfer takes place; and a wreckfish may not be transferred in the
South Atlantic EEZ.
(2) A wreckfish possessed by a fisherman or dealer shoreward of the
outer boundary of the South Atlantic EEZ or in a South Atlantic coastal
state will be presumed to have been harvested from the South Atlantic
EEZ unless accompanied by documentation that it was harvested from other
than the South Atlantic EEZ.
(3) A wreckfish may be offloaded from a fishing vessel only between
8 a.m. and 5 p.m., local time.
(4) If a wreckfish is to be offloaded at a location other than a
fixed facility of a dealer who holds a dealer permit for wreckfish, as
required under Sec. 622.4(a)(4), the wreckfish shareholder or the
vessel operator must advise the NMFS, Office of Enforcement, Southeast
Region, St. Petersburg, FL, by telephone (1-800-853-1964), of the
location not less than 24 hours prior to offloading.
[61 FR 34934, July 3, 1996, as amended at 64 FR 59126, Nov. 2, 1999]
Sec. 622.16 Red snapper individual transferable quota (ITQ) system.
The ITQ system established by this section will remain in effect
through March 31, 2000, during which time NMFS and the GMFMC will
evaluate the effectiveness of the system. Based on the evaluation, the
system may be modified, extended, or terminated.
(a) Percentage shares. (1) Initial percentage shares of the annual
quota of red snapper are assigned to persons in accordance with the
procedure specified in Amendment 8 to the Fishery Management Plan for
the Reef Fish Fishery of the Gulf of Mexico (FMP) and in paragraphs
(c)(1) through (c)(4) of this section. Each person is notified by the RD
of his or her initial percentage shares. If additional shares become
available to NMFS, such as by forfeiture pursuant to subpart F of 15 CFR
part 904 for rule violations, such shares will be proportionately
reissued to shareholders based on their shares as of November 1, after
the additional shares become available. If NMFS is required to issue
additional shares, such as may be required in the resolution of
disputes, existing shares will be proportionately reduced. This
reduction of shares will be based on shares as of November 1 after the
required addition of shares.
(2) All or a portion of a person's percentage shares may be
transferred to another person who is a U.S. citizen or permanent
resident alien. (See paragraph (c)(5) of this section for restrictions
on the transfer of shares in the initial months under the ITQ system.)
Transfer of shares must be reported on a form available from the RD. The
RD will confirm, in writing, the registration of each transfer. The
effective date of each transfer is the confirmation date provided by the
RD. The confirmation of registration date will normally be not later
than 3 working days after receipt of a properly completed transfer form.
However, reports of share transfers received by the RD from November 1
through December 31 will not be recorded or confirmed until
[[Page 207]]
after January 1. A fee is charged for each transfer of percentage
shares. The amount of the fee is calculated in accordance with the
procedures of the NOAA Finance Handbook for determining the
administrative costs of each special product or service provided by NOAA
to non-Federal recipients. The fee may not exceed such costs and is
specified with each transfer form. The appropriate fee must accompany
each transfer form.
(3) On or about January 1 each year, the RD will provide each red
snapper shareholder with a list of all red snapper shareholders and
their percentage shares, reflecting share transfers as indicated on
properly completed transfer forms received through October 31. Updated
lists may be obtained at other times, and by persons who are not red
snapper shareholders, by written request to the RD.
(b) ITQs. (1) Annually, as soon after November 15 as the following
year's red snapper quota is established, the RD will calculate each red
snapper shareholder's ITQ in terms of eviscerated weight. Each ITQ is
the product of the red snapper quota, in round weight, for the ensuing
fishing year, the factor for converting round weight to eviscerated
weight, and each red snapper shareholder's percentage share, reflecting
share transfers reported on forms received by the RD through October 31.
(2) The RD will provide each red snapper shareholder with ITQ
coupons in various denominations, the total of which equals his or her
ITQ, and a copy of the calculations used in determining his or her ITQ.
Each coupon will be coded to indicate the initial recipient.
(3) An ITQ coupon may be transferred. If the transfer is by sale,
the seller must enter the sale price on the coupon.
(4) Except when the red snapper bag limit applies, red snapper in or
from the EEZ or on board a vessel that has been issued a commercial
permit for Gulf reef fish, as required under Sec. 622.4(a)(2)(v), may
not be possessed in an amount, in eviscerated weight, exceeding the
total of ITQ coupons on board. (See Sec. 622.39(a) for applicability of
the bag limit.)
(5) Prior to termination of a trip, the operator's signature and the
date signed must be written in ink on the ``Vessel'' part of ITQ coupons
totaling at least the eviscerated weight of the red snapper on board. An
owner or operator of a vessel must separate the ``Vessel'' part of each
such coupon, enter thereon the permit number of the dealer to whom the
red snapper are transferred, and submit the ``Vessel'' parts with the
logbook forms for that fishing trip. An owner or operator of a vessel
must make available to an authorized officer all ITQ coupons in his or
her possession upon request.
(6) Red snapper harvested from the EEZ or possessed by a vessel with
a commercial permit for Gulf reef fish, as required under Sec.
622.4(a)(2)(v), may be transferred only to a dealer with a Gulf reef
fish permit, as required under Sec. 622.4(a)(4). The ``Fish House''
part of each ITQ coupon must be given to such dealer, or the agent or
employee of such dealer, in amounts totaling at least the eviscerated
weight of the red snapper transferred to that dealer.
(7) A dealer with a Gulf reef fish permit may receive red snapper
only from a vessel that has on board a commercial permit for Gulf reef
fish. A dealer, or the agent or employee of a dealer, must receive the
``Fish House'' part of ITQ coupons totaling at least the eviscerated
weight of the red snapper received. Immediately upon receipt of red
snapper, the dealer, or the agent or employee of the dealer, must enter
the permit number of the vessel received from and date and sign each
such ``Fish House'' part. The dealer must submit all such parts as
required by paragraph (d)(6) of this section. A dealer, agent, or
employee must make available to an authorized officer all ITQ coupons in
his or her possession upon request.
(c) Procedures for implementation--(1) Initial shareholders. The
following persons are initial shareholders in the red snapper ITQ
system:
(i) Either the owner or operator of a vessel with a valid permit on
August 29, 1995, provided such owner or operator had a landing of red
snapper during the period 1990 through 1992. If the earned income of an
operator was used to qualify for the permit that is valid on August 29,
1995, such operator is the initial shareholder rather than the owner. In
the case of an owner, the
[[Page 208]]
term ``person'' includes a corporation or other legal entity; and
(ii) A historical captain. A historical captain means an operator
who meets all of the following qualifications:
(A) From November 6, 1989, through 1993, fished solely under verbal
or written share agreements with an owner, and such agreements provided
for the operator to be responsible for hiring the crew, who was paid
from the share under his or her control.
(B) Landed from that vessel at least 5,000 lb (2,268 kg) of red
snapper per year in 2 of the 3 years 1990, 1991, and 1992.
(C) Derived more than 50 percent of his or her earned income from
commercial fishing, that is, sale of the catch, in each of the years
1989 through 1993.
(D) Landed red snapper prior to November 7, 1989.
(2) Initial shares. (i) Initial shares are apportioned to initial
shareholders based on each shareholder's average of the top 2 years'
landings in 1990, 1991, and 1992. However, no person who is an initial
shareholder under paragraph (c)(1) of this section will receive an
initial percentage share that will amount to less than 100 lb (45.36
kg), round weight, of red snapper (90 lb (41 kg), eviscerated weight).
(ii) The percentage shares remaining after the minimum shares have
been calculated under paragraph (c)(2)(i) of this section are
apportioned based on each remaining shareholder's average of the top 2
years' landings in 1990, 1991, and 1992. In a case where a landing is
associated with an owner and a historical captain, such landing is
apportioned between the owner and historical captain in accordance with
the share agreement in effect at the time of the landing.
(iii) The determinations of landings of red snapper during the
period 1990 through 1992 and historical captain status are made in
accordance with the data collected under Amendment 9 to the FMP. Those
data identify each red snapper landing during the period 1990 through
1992. Each landing is associated with an owner and, when an operator's
earned income was used to qualify for the vessel permit at the time of
the landing, with such operator. Where appropriate, a landing is also
associated with a historical captain. However, a red snapper landings
record during that period that is associated solely with an owner may be
retained by that owner or transferred as follows:
(A) An owner of a vessel with a valid commercial permit for Gulf
reef fish on August 29, 1995, who transferred a vessel permit to another
vessel owned by him or her will retain the red snapper landings record
for the previous vessel.
(B) An owner of a vessel with a valid commercial permit for Gulf
reef fish on August 29, 1995, will retain the landings record of a
permitted vessel if the vessel had a change of ownership to another
entity without a substantive change in control of the vessel. It will be
presumed that there was no substantive change in control of a vessel if
a successor in interest received at least a 50 percent interest in the
vessel as a result of the change of ownership whether the change of
ownership was--
(1) From a closely held corporation to its majority shareholder;
(2) From an individual who became the majority shareholder of a
closely held corporation receiving the vessel;
(3) Between closely held corporations with a common majority
shareholder; or
(4) From one to another of the following: Husband, wife, son,
daughter, brother, sister, mother, or father.
(C) In other cases of transfer of a permit through change of
ownership of a vessel, an owner of a vessel with a valid commercial
permit for Gulf reef fish on August 29, 1995, will receive credit for
the landings record of the vessel before his or her ownership only if
there is a legally binding agreement for transfer of the landings
record.
(iv) Requests for transfers of landings records must be submitted to
the RD and must be postmarked not later than December 14, 1995. The RD
may require documentation supporting such request. After considering
requests for transfers of landings records, the RD will advise each
initial shareholder or applicant of his or her tentative allocation of
shares.
(3) Notification of status. The RD will advise each owner, operator,
and historical captain for whom NMFS has a record of a red snapper
landing during the period 1990 through 1992, including
[[Page 209]]
those who submitted such record under Amendment 9 to the FMP, of his or
her tentative status as an initial shareholder and the tentative
landings record that will be used to calculate his or her initial share.
(4) Appeals. (i) A special advisory panel, appointed by the GMFMC to
function as an appeals board, will consider written requests from
persons who contest their tentative status as an initial shareholder,
including historical captain status, or tentative landings record. In
addition to considering written requests, the board may allow personal
appearances by such persons before the board.
(ii) The panel is only empowered to consider disputed calculations
or determinations based on documentation submitted under Amendment 9 to
the FMP regarding landings of red snapper during the period 1990 through
1992, including transfers of such landings records, or regarding
historical captain status. In addition, the panel may consider
applications and documentation of landings not submitted under Amendment
9 if, in the board's opinion, there is justification for the late
application and documentation. The board is not empowered to consider an
application from a person who believes he or she should be eligible
because of hardship or other factors.
(iii) A written request for consideration by the board must be
submitted to the RD, postmarked not later than December 27, 1995, and
must contain documentation supporting the allegations that form the
basis for the request.
(iv) The board will meet as necessary to consider each request that
is submitted in a timely manner. Members of the appeals board will
provide their individual recommendations for each appeal to the GMFMC,
which will in turn submit its recommendation to the RD. The board and
the GMFMC will recommend whether the eligibility criteria, specified in
Amendment 8 to the FMP and paragraphs (c)(1) and (c)(2) of this section,
were correctly applied in each case, based solely on the available
record including documentation submitted by the applicant. The GMFMC
will also base its recommendation on the recommendations of the board.
The RD will decide the appeal based on the above criteria and the
available record, including documentation submitted by the applicant and
the recommendation of the GMFMC. The RD will notify the appellant of his
decision and the reason therefor, in writing, normally within 45 days of
receiving the GMFMC's recommendation. The RD's decision will constitute
the final administrative action by NMFS on an appeal.
(v) Upon completion of the appeal process, the RD will issue share
certificates to initial shareholders.
(5) Transfers of shares. The following restrictions apply to the
transfer of shares:
(i) The transfer of shares is prohibited through September 30, 1996.
(ii) From October 1, 1996, through September 30, 1997, shares may be
transferred only to other persons who are initial shareholders and are
U.S. citizens or permanent resident aliens.
(d) Exceptions/additions to general measures. Other provisions of
this part notwithstanding--
(1) Management of the red snapper ITQ system extends to adjoining
state waters in the manner stated in paragraphs (d)(2) and (d)(3) of
this section.
(2) For a dealer to receive red snapper harvested from state waters
adjoining the Gulf EEZ by or possessed on board a vessel with a
commercial permit for Gulf reef fish, the dealer permit for Gulf reef
fish specified in Sec. 622.4(a)(4) must have been issued to the dealer.
(3) A copy of the dealer's permit must accompany each vehicle that
is used to pick up from a fishing vessel red snapper from adjoining
state waters harvested by or possessed on board a vessel with a
commercial permit for Gulf reef fish.
(4) As a condition of a commercial vessel permit for Gulf reef fish,
without regard to where red snapper are harvested or possessed, a vessel
with such permit must comply with the red snapper ITQ requirements of
paragraph (b) of this section; may not transfer or receive red snapper
at sea; and must maintain red snapper with head and fins intact through
landing, and the exceptions to that requirement contained in Sec.
622.38(d) do not apply to red snapper. Red snapper may be eviscerated,
[[Page 210]]
gilled, and scaled but must otherwise be maintained in a whole
condition.
(5) As a condition of a dealer permit for Gulf reef fish, as
required under Sec. 622.4(a)(4) or under paragraph (d)(2) of this
section, without regard to where red snapper are harvested or possessed,
a permitted dealer must comply with the red snapper ITQ requirements of
paragraph (b) of this section.
(6) In any month that a red snapper is received, a dealer must
submit the report required under Sec. 622.5(c)(3)(ii). The ``Fish
House'' parts of red snapper individual transferable coupons, received
during the month in accordance with paragraph (b) of this section, must
be submitted to the SRD with the report.
(7) It is unlawful for a person to do any of the following:
(i) Receive red snapper from a fishing vessel without a dealer
permit for Gulf reef fish.
(ii) Fail to carry a copy of the dealer's permit, as specified in
paragraph (d)(3) of this section.
(iii) Fail to comply with a condition of a permit, as specified in
paragraph (d)(4) or (d)(5) of this section.
(iv) Fail to report red snapper received, as specified in paragraph
(d)(6) of this section.
Effective Date Note: At 61 FR 48415, Sept. 13, 1996, Sec. 622.16
was stayed indefinitely.
Sec. 622.17 South Atlantic golden crab controlled access.
(a) General. In accordance with the procedures specified in the
Fishery Management Plan for the Golden Crab Fishery of the South
Atlantic Region, initial commercial vessel permits have been issued for
the fishery. All permits in the fishery are issued on a fishing-year
(calendar-year) basis. No additional permits may be issued except for
the northern zone as follows:
(1) The RA will issue up to two new vessel permits for the northern
zone. Selection will be made from the list of historical participants in
the South Atlantic golden crab fishery. Such list was used at the
October 1995 meeting of the South Atlantic Fishery Management Council
and was prioritized based on pounds of golden crab landed, without
reference to a specific zone. Individuals on the list who originally
received permits will be deleted from the list.
(2) The RA will offer in writing an opportunity to apply for a
permit for the northern zone to the individuals highest on the list
until two individuals accept and apply in a timely manner. An offer that
is not accepted within 30 days after it is received will no longer be
valid.
(3) An application for a permit from an individual who accepts the
RA's offer must be received by the RA no later than 30 days after the
date of the individual's acceptance. Application forms are available
from the RA.
(4) A vessel permit for the northern zone issued under paragraph
(a)(1) of this section, and any successor permit, may not be changed to
another zone. A successor permit includes a permit issued to that vessel
for a subsequent owner and a permit issued via transfer from that vessel
to another vessel.
(b) Fishing zones--(1) Designation of fishing zones. The South
Atlantic EEZ is divided into three fishing zones for golden crab as
follows:
(i) Northern zone--the South Atlantic EEZ north of 28[deg] N. lat.
(ii) Middle zone--the South Atlantic EEZ from 28[deg] N. lat. to
25[deg] N. lat.
(iii) Southern zone--the South Atlantic EEZ south of 25[deg] N. lat.
(2) Authorization to fish in zones. Each vessel permit indicates one
of the zones specified in paragraph (b)(1) of this section. A vessel
with a permit to fish for golden crab in the northern zone or the middle
zone may fish only in that zone. A vessel with a documented length
overall greater than 65 ft (19.8 m) with a permit to fish for golden
crab in the southern zone may fish in that zone, consistent with the
provisions of paragraph (b)(3) of this section, and, through May 3,
2005, may also fish in the northern zone. A vessel may possess golden
crab only in a zone in which it is authorized to fish, except that other
zones may be transited if the vessel notifies NMFS, Office of
Enforcement, Southeast Region, St. Petersburg, FL, by telephone (727-
570-5344) in advance and does not fish in a zone in which it is not
authorized to fish.
(3) Small-vessel sub-zone. Within the southern zone, a small-vessel
sub-zone
[[Page 211]]
is established bounded on the north by 24[deg]15[min] N. lat., on the
south by 24[deg]07[min] N. lat., on the east by 81[deg]22[min] W. long.,
and on the west by 81[deg]56[min] W. long. No vessel with a documented
length overall greater than 65 ft (19.8 m) may fish for golden crab in
this sub-zone, and a vessel with a documented length overall of 65 ft
(19.8 m) or less that is permitted for the southern zone may fish for
golden crab only in this sub-zone.
(4) Procedure for changing zones. (i) Upon request from an owner of
a permitted vessel, the RA will change the zone specified on a permit
from the middle or southern zone to the northern zone. No other changes
in the zone specified on a permit are allowed, except as specified in
paragraph (b)(4)(ii) of this section. An owner of a permitted vessel who
desires a change to the northern zone must submit his/her request with
the existing permit to the RA.
(ii) Through May 3, 2005, upon request, the RA will change a vessel
permit back to the southern zone for an owner of a vessel, or the
subsequent owner of a vessel, whose permit was changed from the southern
zone to the northern zone provided that the documented length overall of
the vessel to be used in the southern zone is not more than 20 percent
greater than the vessel whose permit was originally changed from the
southern zone to the northern zone.
(c) Transferring permits between vessels--(1) Procedure for
transferring. An owner of a vessel who desires a golden crab permit may
request that NMFS transfer an existing permit or permits to his or her
vessel by returning an existing permit or permits to the RA with an
application for a permit for the replacement vessel.
(2) Vessel size limitations on transferring. (i) To obtain a permit
for the middle or southern zone via transfer, the documented length
overall of the replacement vessel may not exceed the documented length
overall, or aggregate documented lengths overall, of the replaced
vessel(s) by more than 20 percent. The owner of a vessel permitted for
the middle or southern zone who has requested that NMFS transfer that
permit to a smaller vessel (i.e., downsized) may subsequently request
NMFS transfer that permit to a vessel of a length calculated from the
length of the permitted vessel immediately prior to downsizing.
(ii) There are no vessel size limitations to obtain a permit for the
northern zone via transfer.
(d) Permit renewal. NMFS will not renew a commercial vessel permit
for South Atlantic golden crab if the permit is revoked or if the RA
does not receive a required application for renewal within 6 months
after the permit's expiration. See Sec. 622.4(h) for the applicable
general procedures and requirements for permit renewals.
[67 FR 22361, May 3, 2002, as amended at 70 FR 73388, Dec. 12, 2005]
Sec. 622.18 South Atlantic snapper-grouper limited access.
(a) General. The only valid commercial vessel permits for South
Atlantic snapper-grouper are those that have been issued under the
limited access criteria specified in the Fishery Management Plan for the
Snapper-Grouper Fishery of the South Atlantic Region. A commercial
vessel permit for South Atlantic snapper-grouper is either a
transferable commercial permit or a trip-limited commercial permit.
(b) Transfers of permits. A snapper-grouper limited access permit is
valid only for the vessel and owner named on the permit. To change
either the vessel or the owner, an application for transfer must be
submitted to the RA.
(1) Transferable permits. (i) An owner of a vessel with a
transferable permit may request that the RA transfer the permit to
another vessel owned by the same entity.
(ii) A transferable permit may be transferred upon a change of
ownership of a permitted vessel with such permit from one to another of
the following: husband, wife, son, daughter, brother, sister, mother, or
father.
(iii) Except as provided in paragraphs (b)(1)(i) and (ii) of this
section, a person desiring to acquire a limited access, transferable
permit for South Atlantic snapper-grouper must obtain and exchange two
such permits for one new permit.
(iv) A transfer of a permit that is undertaken under paragraph
(b)(1)(ii) of this section will constitute a transfer
[[Page 212]]
of the vessel's entire catch history to the new owner.
(2) Trip-limited permits. An owner of a vessel with a trip- limited
permit may request that the RA transfer the permit to another vessel
owned by the same entity.
(c) Renewal. NMFS will not reissue a commercial vessel permit for
South Atlantic snapper-grouper if the permit is revoked or if the RA
does not receive an application for renewal within 60 days of the
permit's expiration date.
[70 FR 73388, Dec. 12, 2005]
Sec. 622.19 South Atlantic rock shrimp limited access.
(a) Applicability. For a person aboard a vessel to fish for rock
shrimp in the South Atlantic EEZ off Georgia or off Florida or possess
rock shrimp in or from the South Atlantic EEZ off Georgia or off
Florida, a limited access endorsement for South Atlantic rock shrimp
must be issued to the vessel and must be on board.
(b) Transfer of an endorsement. A limited access endorsement for
South Atlantic rock shrimp is valid only for the vessel and owner named
on the permit/endorsement. To change either the vessel or the owner, an
application for transfer must be submitted to the RA. An owner of a
vessel with an endorsement may request that the RA transfer the
endorsement to another vessel owned by the same entity, to the same
vessel owned by another entity, or to another vessel with another owner.
A transfer of an endorsement under this paragraph will include the
transfer of the vessel's entire catch history of South Atlantic rock
shrimp to a new owner; no partial transfers are allowed.
(c) Renewal. The RA will not reissue a limited access endorsement
for South Atlantic rock shrimp if the endorsement is revoked or if the
RA does not receive a complete application for renewal of the
endorsement within 1 year after the endorsement's expiration date.
(d) Non-renewal of inactive endorsements. In addition to the
sanctions and denials specified in Sec. 622.4(j)(1), a limited access
endorsement for South Atlantic rock shrimp that is inactive for a period
of 4 consecutive calendar years will not be renewed. For the purpose of
this paragraph, ``inactive'' means that the vessel with the endorsement
has not landed at least 15,000 lb (6,804 kg) of rock shrimp from the
South Atlantic EEZ in a calendar year.
(e) Reissuance of non-renewed permits. A permit that is not renewed
under paragraph (d) of this section will be made available to a vessel
owner randomly selected from a list of owners who had documented
landings of rock shrimp from the South Atlantic EEZ prior to 1996 but
who did not qualify for an initial limited access endorsement. Owners'
names have been placed on the list in accordance with the procedures
specified in the FMP for the Shrimp Fishery of the South Atlantic
Region.
[70 FR 73388, Dec. 12, 2005]
Subpart C_Management Measures
Sec. 622.30 Fishing years.
The fishing year for species or species groups governed in this part
is January 1 through December 31 except for the following:
(a) Allowable octocoral-- October 1 through September 30.
(b) King and Spanish mackerel. The fishing year for the king and
Spanish mackerel bag limits specified in Sec. 622.39(c)(1) is January 1
through December 31. The following fishing years apply only for the king
and Spanish mackerel quotas specified in Sec. 622.42(c):
(1) Gulf migratory group king mackerel-- July 1 through June 30.
(2) Gulf migratory group Spanish mackerel--April through March.
(3) South Atlantic migratory group king and Spanish mackerel--March
through February.
(c) Wreckfish-- April 16 through April 15.
(d) South Atlantic greater amberjack--May 1 through April 30.
[61 FR 34934, July 3, 1996, as amended at 64 FR 3627, Jan. 25, 1999; 70
FR 39190, July 7, 2005]
Effective Date Note: At 71 FR 55106, Sept. 21, 2006, Sec. 622.30
paragraph (e) was added, effective Oct. 23, 2006. For the convenience of
the user, the added text is set forth as follows:
[[Page 213]]
Sec. 622.30 Fishing years.
* * * * *
(e) South Atlantic black sea bass--June 1 through May 31.
Sec. 622.31 Prohibited gear and methods.
In addition to the prohibited gear/methods specified in this
section, see Sec. Sec. 622.33, 622.34, and 622.35 for seasonal/area
prohibited gear/methods and Sec. 622.41 for species specific authorized
and unauthorized gear/methods.
(a) Explosives. An explosive (except an explosive in a powerhead)
may not be used to fish in the Caribbean, Gulf, or South Atlantic EEZ. A
vessel fishing in the EEZ for a species governed in this part, or a
vessel for which a permit has been issued under Sec. 622.4, may not
have on board any dynamite or similar explosive substance.
(b) Chemicals and plants. A toxic chemical may not be used or
possessed in a coral area, and a chemical, plant, or plant-derived toxin
may not be used to harvest a Caribbean coral reef resource in the
Caribbean EEZ.
(c) Fish traps. (1) A fish trap may not be used in the South
Atlantic EEZ.
(2) A fish trap may not be used or possessed in the Gulf EEZ west of
85[deg]30[min] W. long. and, after February 7, 2007, may not be used or
possessed in the Gulf EEZ.
(3) A fish trap used other than where authorized in paragraph (c)
(1) or (2) of this section may be disposed of in any appropriate manner
by the Assistant Administrator or an authorized officer.
(d) Longlines for wreckfish. A bottom longline may not be used to
fish for wreckfish in the South Atlantic EEZ. A person aboard a vessel
that has a longline on board may not retain a wreckfish in or from the
South Atlantic EEZ. For the purposes of this paragraph, a vessel is
considered to have a longline on board when a power-operated longline
hauler, a cable of diameter suitable for use in the longline fishery
longer than 1.5 mi (2.4 km) on any reel, and gangions are on board.
Removal of any one of these three elements constitutes removal of a
longline.
(e) Poisons. (1) A poison, drug, or other chemical may not be used
to fish for Caribbean reef fish in the Caribbean EEZ.
(2) A poison may not be used to take Gulf reef fish in the Gulf EEZ.
(3) A poison may not be used to fish for South Atlantic snapper-
grouper in the South Atlantic EEZ.
(f) Power-assisted tools. A power-assisted tool may not be used in
the Caribbean EEZ to take a Caribbean coral reef resource or in the Gulf
or South Atlantic EEZ to take allowable octocoral, prohibited coral, or
live rock.
(g) Powerheads. A powerhead may not be used in the Caribbean EEZ to
harvest Caribbean reef fish or in the EEZ off South Carolina to harvest
South Atlantic snapper-grouper. The possession of a mutilated Caribbean
reef fish in or from the Caribbean EEZ, or a mutilated South Atlantic
snapper-grouper in or from the EEZ off South Carolina, and a powerhead
is prima facie evidence that such fish was harvested by a powerhead.
(h) Rebreathers and spearfishing gear. In the South Atlantic EEZ, a
person using a rebreather may not harvest South Atlantic snapper-grouper
with spearfishing gear. The possession of such snapper-grouper while in
the water with a rebreather is prima facie evidence that such fish was
harvested with spearfishing gear while using a rebreather.
(i) Sea bass pots. A sea bass pot may not be used in the South
Atlantic EEZ south of 28[deg]35.1[min] N. lat. (due east of the NASA
Vehicle Assembly Building, Cape Canaveral, FL). A sea bass pot deployed
in the EEZ south of 28[deg]35.1[min] N. lat. may be disposed of in any
appropriate manner by the Assistant Administrator or an authorized
officer.
(j) Spears and hooks. A spear, hook, or similar device may not be
used in the Caribbean EEZ to harvest a Caribbean spiny lobster. The
possession of a speared, pierced, or punctured Caribbean spiny lobster
in or from the Caribbean EEZ is prima facie evidence of violation of
this section.
(k) Traps for royal red shrimp in the Gulf EEZ and transfer at sea.
A trap may not be used to fish for royal red shrimp in the Gulf EEZ.
Possession of a trap and royal red shrimp on board a vessel is
prohibited. A trap used to fish
[[Page 214]]
for royal red shrimp in the Gulf EEZ may be disposed of in any
appropriate manner by the Assistant Administrator or an authorized
officer. In addition, royal red shrimp cannot be transferred in the Gulf
EEZ, and royal red shrimp taken in the Gulf EEZ cannot be transferred at
sea regardless of where the transfer takes place.
(l) Gillnets and trammel nets in the Caribbean EEZ. A gillnet or
trammel net may not be used in the Caribbean EEZ to fish for Caribbean
reef fish or Caribbean spiny lobster. Possession of a gillnet or trammel
net and any Caribbean reef fish or Caribbean spiny lobster in or from
the Caribbean EEZ is prima facie evidence of violation of this paragraph
(l). A gillnet or trammel net used in the Caribbean EEZ to fish for any
other species must be tended at all times.
(m) Weak link. A bottom trawl that does not have a weak link in the
tickler chain may not be used to fish in the Gulf EEZ. For the purposes
of this paragraph, a weak link is defined as a length or section of the
tickler chain that has a breaking strength less than the chain itself
and is easily seen as such when visually inspected.
(n) Gulf reef fish other than sand perch or dwarf sand perch may not
be used as bait in any fishery, except that, when purchased from a fish
processor, the filleted carcasses and offal of Gulf reef fish may be
used as bait in trap fisheries for blue crab, stone crab, deep-water
crab, and spiny lobster.
[61 FR 34934, July 3, 1996, as amended at 62 FR 13987, Mar. 25, 1997; 63
FR 10567, Mar. 4, 1998; 63 FR 57590, Oct. 28, 1998; 67 FR 51079, Aug. 7,
2002; 70 FR 62080, Oct. 28, 2005; 70 FR 76219, Dec. 23, 2005; 71 FR
45435, Aug. 9, 2006]
Sec. 622.32 Prohibited and limited-harvest species.
(a) General. The harvest and possession restrictions of this section
apply without regard to whether the species is harvested by a vessel
operating under a commercial vessel permit. The operator of a vessel
that fishes in the EEZ is responsible for the limit applicable to that
vessel.
(b) Prohibited species. Prohibited species, by geographical area,
are as follows:
(1) Caribbean. (i) Caribbean prohibited coral may not be fished for
or possessed in or from the Caribbean EEZ. The taking of Caribbean
prohibited coral in the Caribbean EEZ is not considered unlawful
possession provided it is returned immediately to the sea in the general
area of fishing.
(ii) No person may fish for or possess goliath grouper and Nassau
grouper in or from the Caribbean EEZ. Such fish caught in the Caribbean
EEZ must be released immediately with a minimum of harm.
(iii) Egg-bearing spiny lobster in the Caribbean EEZ must be
returned to the water unharmed. An egg-bearing spiny lobster may be
retained in a trap, provided the trap is returned immediately to the
water. An egg-bearing spiny lobster may not be stripped, scraped,
shaved, clipped, or in any other manner molested, in order to remove the
eggs.
(iv) No person may fish for, or possess on board a fishing vessel, a
Caribbean queen conch in or from the Caribbean EEZ, except during
October 1 through June 30 in the area east of 64[deg]34[min] W.
longitude which includes Lang Bank east of St. Croix, U.S. Virgin
Islands.
(2) Gulf. (i) Gulf and South Atlantic prohibited coral taken as
incidental catch in the Gulf EEZ must be returned immediately to the sea
in the general area of fishing. In fisheries where the entire catch is
landed unsorted, such as the scallop and groundfish fisheries, unsorted
prohibited coral may be landed ashore; however, no person may sell or
purchase such prohibited coral.
(ii) Goliath grouper may not be harvested or possessed in or from
the Gulf EEZ.
(iii) Red drum and Nassau grouper may not be harvested or possessed
in or from the Gulf EEZ. Such fish caught in the Gulf EEZ must be
released immediately with a minimum of harm.
(3) Mid-Atlantic. Red drum may not be harvested or possessed in or
from the Mid-Atlantic EEZ south of a line extending in a direction of
115[deg] from true north commencing at a point at 40[deg]29.6[min] N.
lat., 73[deg]54.1[min] W. long., such point being the intersection of
the New Jersey/New York boundary with the 3- nm line denoting the
seaward limit of
[[Page 215]]
state waters. Red drum caught in such portion of the Mid-Atlantic EEZ
must be released immediately with a minimum of harm.
(4) South Atlantic. (i) Gulf and South Atlantic prohibited coral
taken as incidental catch in the South Atlantic EEZ must be returned
immediately to the sea in the general area of fishing. In fisheries
where the entire catch is landed unsorted, such as the scallop and
groundfish fisheries, unsorted prohibited coral may be landed ashore;
however, no person may sell or purchase such prohibited coral.
(ii) Goliath grouper and Nassau grouper may not be harvested or
possessed in or from the South Atlantic EEZ. Goliath grouper and Nassau
grouper taken in the South Atlantic EEZ incidentally by hook-and-line
must be released immediately by cutting the line without removing the
fish from the water.
(iii) Red drum may not be harvested or possessed in or from the
South Atlantic EEZ. Red drum caught in the South Atlantic EEZ must be
released immediately with a minimum of harm.
(iv) Wild live rock may not be harvested or possessed in the South
Atlantic EEZ.
(v) It is intended that no female golden crabs in or from the South
Atlantic EEZ be retained on board a vessel and that any female golden
crab in or from the South Atlantic EEZ be released in a manner that will
ensure maximum probability of survival. However, to accommodate
legitimate incidental catch and retention, the number of female golden
crabs in or from the South Atlantic EEZ retained on board a vessel may
not exceed 0.5 percent, by number, of all golden crabs on board. See
Sec. 622.45(f)(1) regarding the prohibition of sale of female golden
crabs.
(vi) South Atlantic snapper-grouper may not be possessed in whole,
gutted, or filleted form by a person aboard a vessel fishing for or
possessing golden crab in or from the South Atlantic EEZ or possessing a
golden crab trap in the South Atlantic. Only the head, fins, and
backbone (collectively the ``rack'') of South Atlantic snapper-grouper
may be possessed for use as bait.
(c) Limited-harvest species. A person who fishes in the EEZ may not
combine a harvest limitation specified in this paragraph (c) with a
harvest limitation applicable to state waters. A species subject to a
harvest limitation specified in this paragraph (c) taken in the EEZ may
not be transferred at sea, regardless of where such transfer takes
place, and such species may not be transferred in the EEZ.
(1) Cobia. No person may possess more than two cobia per day in or
from the Gulf, Mid-Atlantic, or South Atlantic EEZ, regardless of the
number of trips or duration of a trip.
(2) Cubera snapper. No person may harvest more than two cubera
snapper measuring 30 inches (76.2 cm), TL, or larger, per day in the
South Atlantic EEZ off Florida and no more than two such cubera snapper
in or from the South Atlantic EEZ off Florida may be possessed on board
a vessel at any time.
(3) Speckled hind and warsaw grouper. The possession of speckled
hind and warsaw grouper in or from the South Atlantic EEZ is limited to
one of each per vessel per trip.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43959, Aug. 27, 1996; 62
FR 13988, Mar. 25, 1997; 63 FR 10567, Mar. 4, 1998; 70 FR 62081, Oct.
28, 2005]
Sec. 622.33 Caribbean EEZ seasonal and/or area closures.
(a) Seasonal closures. In addition to the other restrictions
specified in this paragraph (a), fishing with pots, traps, bottom
longlines, gillnets or trammel nets is prohibited year-round in the
closed areas specified in paragraphs (a)(1), (a)(2), and (a)(3) of this
section.
(1) Mutton snapper spawning aggregation area. From March 1 through
June 30, each year, fishing is prohibited in that part of the following
area that is in the EEZ. The area is bounded by rhumb lines connecting,
in order, the points listed.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 17[deg]37.8[ 64[deg]53.0[
min] min]
B........................................... 17[deg]39.0[ 64[deg]53.0[
min] min]
C........................................... 17[deg]39.0[ 64[deg]50.5[
min] min]
D........................................... 17[deg]38.1[ 64[deg]50.5[
min] min]
E........................................... 17[deg]37.8[ 64[deg]52.5[
min] min]
A........................................... 17[deg]37.8[ 64[deg]53.0[
min] min]
------------------------------------------------------------------------
[[Page 216]]
(2) Red hind spawning aggregation areas. From December 1 through
February 28, each year, fishing is prohibited in those parts of the
following areas that are in the EEZ. Each area is bounded by rhumb lines
connecting, in order, the points listed.
(i) East of St. Croix.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 17[deg]50.2[ 64[deg]27.9[
min] min]
B........................................... 17[deg]50.1[ 64[deg]26.1[
min] min]
C........................................... 17[deg]49.2[ 64[deg]25.8[
min] min]
D........................................... 17[deg]48.6[ 64[deg]25.8[
min] min]
E........................................... 17[deg]48.1[ 64[deg]26.1[
min] min]
F........................................... 17[deg]47.5[ 64[deg]26.9[
min] min]
A........................................... 17[deg]50.2[ 64[deg]27.9[
min] min]
------------------------------------------------------------------------
(ii) West of Puerto Rico--(A) Bajo de Cico.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 18[deg]15.7[ 67[deg]26.4[
min] min]
B........................................... 18[deg]15.7[ 67[deg]23.2[
min] min]
C........................................... 18[deg]12.7[ 67[deg]23.4[
min] min]
D........................................... 18[deg]12.7[ 67[deg]26.4[
min] min]
A........................................... 18[deg]15.7[ 67[deg]26.47
min]
------------------------------------------------------------------------
(B) Tourmaline Bank.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 18[deg]11.2[ 67[deg]22.4[
min] min]
B........................................... 18[deg]11.2[ 67[deg]19.2[
min] min]
C........................................... 18[deg]08.2[ 67[deg]19.2[
min] min]
D........................................... 18[deg]08.2[ 67[deg]22.4[
min] min]
A........................................... 18[deg]11.2[ 67[deg]22.4[
min] min]
------------------------------------------------------------------------
(C) Abrir La Sierra Bank.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 18[deg]06.5[ 67[deg]26.9[
min] min]
B........................................... 18[deg]06.5[ 67[deg]23.9[
min] min]
C........................................... 18[deg]03.5[ 67[deg]23.9[
min] min]
D........................................... 18[deg]03.5[ 67[deg]26.9[
min] min]
A........................................... 18[deg]06.5[ 67[deg]26.9[
min] min]
------------------------------------------------------------------------
(3) Grammanik Bank closed area. (i) The Grammanik Bank closed area
is bounded by rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 18[deg]11.89 64[deg]56.32
8[min] 8[min]
B........................................... 18[deg]11.64 64[deg]56.22
5[min] 5[min]
C........................................... 18[deg]11.05 64[deg]57.81
8[min] 0[min]
D........................................... 18[deg]11.31 64[deg]57.91
1[min] 3[min]
A........................................... 18[deg]11.89 64[deg]56.32
8[min] 8[min]
------------------------------------------------------------------------
(ii) From February 1 through April 30, each year, no person may fish
for or possess any species of fish, except highly migratory species, in
or from the Grammanik Bank closed area. This prohibition on possession
does not apply to such fish harvested and landed ashore prior to the
closure. For the purpose of paragraph (a)(4) of this section, ``fish''
means finfish, mollusks, crustaceans, and all other forms of marine
animal and plant life other than marine mammals and birds. ``Highly
migratory species'' means bluefin, bigeye, yellowfin, albacore, and
skipjack tunas; swordfish; sharks (listed in Appendix A to part 635 of
this title); and white marlin, blue marlin, sailfish, and longbill
spearfish.
(4) Red, black, tiger, yellowfin, or yellowedge grouper. From
February 1 through April 30, each year, no person may fish for or
possess red, black, tiger, yellowfin, or yellowedge grouper in or from
the Caribbean EEZ. This prohibition on possession does not apply to such
grouper harvested and landed ashore prior to the closure.
(5) Additional red hind closure. From December 1 through the last
day of February, each year, no person may fish for or possess red hind
in or from the Caribbean EEZ west of 67[deg]10[min] W. longitude. This
prohibition on possession does not apply to red hind harvested and
landed ashore prior to the closure.
(6) Vermilion, black, silk, or blackfin snapper. From October 1
through December 31, each year, no person may fish for or possess
vermilion, black, silk, or blackfin snapper in or from the Caribbean
EEZ. This prohibition on possession does not apply to such snapper
harvested and landed ashore prior to the closure.
(7) Lane or mutton snapper. From April 1 through June 30, each year,
no person may fish for or possess lane or mutton snapper in or from the
Caribbean EEZ. This prohibition on possession does not apply to such
snapper harvested and landed ashore prior to the closure.
(b) Year-round area closures--(1) Hind Bank Marine Conservation
District (MCD). The following activities are prohibited within the Hind
Bank MCD: Fishing for any species, and anchoring by fishing vessels. The
Hind Bank MCD is bounded by rhumb lines connecting, in order, the points
listed.
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 18[deg]13.2[ 65[deg]06.0[
min] min]
[[Page 217]]
B........................................... 18[deg]13.2[ 64[deg]59.0[
min] min]
C........................................... 18[deg]11.8[ 64[deg]59.0[
min] min]
D........................................... 18[deg]10.7[ 65[deg]06.0[
min] min]
A........................................... 18[deg]13.2[ 65[deg]06.0[
min] min]
------------------------------------------------------------------------
(2) [Reserved]
[64 FR 60133, Nov. 4, 1999, as amended at 70 FR 62081, Oct. 28, 2005]
Sec. 622.34 Gulf EEZ seasonal and/or area closures.
(a) Alabama SMZ. The Alabama SMZ consists of artificial reefs and
surrounding areas. In the Alabama SMZ, fishing by a vessel that is
operating as a charter vessel or headboat, a vessel that does not have a
commercial permit for Gulf reef fish, as required under Sec.
622.4(a)(2), or a vessel with such a permit fishing for Gulf reef fish
is limited to hook-and-line gear with three or fewer hooks per line and
spearfishing gear. A person aboard a vessel that uses on any trip gear
other than hook-and-line gear with three or fewer hooks per line and
spearfishing gear in the Alabama SMZ is limited on that trip to the bag
limits for Gulf reef fish specified in Sec. 622.39(b) and, for Gulf
reef fish for which no bag limit is specified in Sec. 622.39(b), the
vessel is limited to 5 percent, by weight, of all fish on board or
landed. The Alabama SMZ is bounded by rhumb lines connecting, in order,
the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 30[deg]02.5[ 88[deg]07.7[
min] min]
B........................................... 30[deg]02.6[ 87[deg]59.3[
min] min]
C........................................... 29[deg]55.0[ 87[deg]55.5[
min] min]
D........................................... 29[deg]54.5[ 88[deg]07.5[
min] min]
A........................................... 30[deg]02.5[ 88[deg]07.7[
min] min]
------------------------------------------------------------------------
(b) Florida middle grounds HAPC. Fishing with a bottom longline,
bottom trawl, dredge, pot, or trap is prohibited year round in the area
bounded by rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 28[deg]42.5[ 84[deg]24.8[
min] min]
B........................................... 28[deg]42.5[ 84[deg]16.3[
min] min]
C........................................... 28[deg]11.0[ 84[deg]00.0[
min] min]
D........................................... 28[deg]11.0[ 84[deg]07.0[
min] min]
E........................................... 28[deg]26.6[ 84[deg]24.8[
min] min]
A........................................... 28[deg]42.5[ 84[deg]24.8[
min] min]
------------------------------------------------------------------------
(c) Reef fish longline and buoy gear restricted area. A person
aboard a vessel that uses, on any trip, longline or buoy gear in the
longline and buoy gear restricted area is limited on that trip to the
bag limits for Gulf reef fish specified in Sec. 622.39(b)(1) and, for
Gulf reef fish for which no bag limit is specified in Sec.
622.39(b)(1), the vessel is limited to 5 percent, by weight, of all fish
on board or landed. The longline and buoy gear restricted area is that
part of the Gulf EEZ shoreward of rhumb lines connecting, in order, the
points listed in Table 1, in Appendix B of this part.
(d) Tortugas marine reserves HAPC. The following activities are
prohibited within the Tortugas marine reserves HAPC: Fishing for any
species and bottom anchoring by fishing vessels.
(1) EEZ portion of Tortugas North. The area is bounded by rhumb
lines connecting the following points: From point A at
24[deg]40[min]00[sec] N. lat., 83[deg]06[min]00[sec] W. long. to point B
at 24[deg]46[min]00[sec] N. lat., 83[deg]06[min]00[sec] W. long. to
point C at 24[deg]46[min]00[sec] N. lat., 83[deg]00[min]00[sec] W.
long.; thence along the line denoting the seaward limit of Florida[min]s
waters, as shown on the current edition of NOAA chart 11434, to point A
at 24[deg]40[min]00[sec] N. lat., 83[deg]06[min]00[sec] W. long.
(2) Tortugas South. The area is bounded by rhumb lines connecting,
in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 24[deg]33[mi 83[deg]09[mi
n]00[sec] n]00[sec]
B........................................... 24[deg]33[mi 83[deg]05[mi
n]00[sec] n]00[sec]
C........................................... 24[deg]18[mi 83[deg]05[mi
n]00[sec] n]00[sec]
D........................................... 24[deg]18[mi 83[deg]09[mi
n]00[sec] n]00[sec]
A........................................... 24[deg]33[mi 83[deg]09[mi
n]00[sec] n]00[sec]
------------------------------------------------------------------------
(e) Shrimp/stone crab separation zones. Five zones are established
in the Gulf EEZ and Florida's waters off Citrus and Hernando Counties
for the separation of shrimp trawling and stone crab trapping. Although
Zone II is entirely within Florida's waters, it is included in this
paragraph (e) for the convenience of fishermen. Restrictions that apply
to Zone II and those parts of the other zones that are in Florida's
waters are contained in Rule 46-38.001, Florida Administrative Code.
Geographical coordinates of the points referred to in this paragraph (e)
are as follows:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 28[deg]59[mi 82[deg]45[mi
n]30[sec] n]36[sec]
B........................................... 28[deg]59[mi 83[deg]00[mi
n]30[sec] n]10[sec]
C........................................... 28[deg]26[mi 82[deg]59[mi
n]01[sec] n]47[sec]
[[Page 218]]
D........................................... 28[deg]26[mi 82[deg]56[mi
n]01[sec] n]54[sec]
E........................................... 28[deg]41[mi 82[deg]55[mi
n]39[sec] n]25[sec]
F........................................... 28[deg]41[mi 82[deg]56[mi
n]39[sec] n]09[sec]
G........................................... 28[deg]48[mi 82[deg]56[mi
n]56[sec] n]19[sec]
H........................................... 28[deg]53[mi 82[deg]51[mi
n]51[sec] n]19[sec]
I \1\....................................... 28[deg]54[mi 82[deg]44[mi
n]43[sec] n]52[sec]
J \2\....................................... 28[deg]51[mi 82[deg]44[mi
n]09[sec] n]00[sec]
K........................................... 28[deg]50[mi 82[deg]54[mi
n]59[sec] n]16[sec]
L........................................... 28[deg]41[mi 82[deg]53[mi
n]39[sec] n]56[sec]
M \3\....................................... 28[deg]41[mi 82[deg]38[mi
n]39[sec] n]46[sec]
N........................................... 28[deg]41[mi 82[deg]53[mi
n]39[sec] n]12[sec]
O........................................... 28[deg]30[mi 82[deg]55[mi
n]51[sec] n]11[sec]
P........................................... 28[deg]40[mi 82[deg]53[mi
n]00[sec] n]08[sec]
Q........................................... 28[deg]40[mi 82[deg]47[mi
n]00[sec] n]58[sec]
R........................................... 28[deg]35[mi 82[deg]47[mi
n]14[sec] n]47[sec]
S........................................... 28[deg]30[mi 82[deg]52[mi
n]51[sec] n]55[sec]
T........................................... 28[deg]27[mi 82[deg]55[mi
n]46[sec] n]09[sec]
U........................................... 28[deg]30[mi 82[deg]52[mi
n]51[sec] n]09[sec]
------------------------------------------------------------------------
\1\ Crystal River Entrance Light 1A.
\2\ Long Pt. (southwest tip).
\3\ Shoreline.
(1) Zone I is enclosed by rhumb lines connecting, in order, points
A, B, C, D, T, E, F, G, H, I, and J, plus the shoreline between points A
and J. It is unlawful to trawl in that part of Zone I that is in the EEZ
from October 5 through May 20, each year.
(2) Zone II is enclosed by rhumb lines connecting, in order, points
J, I, H, K, L, and M, plus the shoreline between points J and M.
(3) Zone III is enclosed by rhumb lines connecting, in order, points
P, Q, R, U, S, and P. It is unlawful to trawl in that part of Zone III
that is in the EEZ from October 5 through May 20, each year.
(4) Zone IV is enclosed by rhumb lines connecting, in order, points
E, N, S, O, and E.
(i) It is unlawful to place a stone crab trap in that part of Zone
IV that is in the EEZ from October 5 through December 1 and from April 2
through May 20, each year.
(ii) It is unlawful to trawl in that part of Zone IV that is in the
EEZ from December 2 through April 1, each year.
(5) Zone V is enclosed by rhumb lines connecting, in order, points
F, G, K, L, and F.
(i) It is unlawful to place a stone crab trap in that part of Zone V
that is in the EEZ from October 5 through November 30 and from March 16
through May 20, each year.
(ii) It is unlawful to trawl in that part of Zone V that is in the
EEZ from December 1 through March 15, each year.
(f) Southwest Florida seasonal trawl closure. From January 1 to 1
hour after official sunset on May 20, each year, trawling, including
trawling for live bait, is prohibited in that part of the Gulf EEZ
shoreward of rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
B \1\....................................... 26[deg]16.0[ 81[deg]58.5[
min] min]
C........................................... 26[deg]00.0[ 82[deg]04.0[
min] min]
D........................................... 25[deg]09.0[ 81[deg]47.6[
min] min]
E........................................... 24[deg]54.5[ 81[deg]50.5[
min] min]
M \1\....................................... 24[deg]49.3[ 81[deg]46.4[
min] min]
------------------------------------------------------------------------
\1\ On the seaward limit of Florida's waters.
(g) Reef fish stressed area. The stressed area is that part of the
Gulf EEZ shoreward of rhumb lines connecting, in order, the points
listed in Table 2, in Appendix B of this part.
(1) A powerhead may not be used in the stressed area to take Gulf
reef fish. Possession of a powerhead and a mutilated Gulf reef fish in
the stressed area or after having fished in the stressed area
constitutes prima facie evidence that such reef fish was taken with a
powerhead in the stressed area. The provisions of this paragraph do not
apply to the following species: dwarf sand perch, hogfish, and sand
perch.
(2) A roller trawl may not be used in the stressed area. Roller
trawl means a trawl net equipped with a series of large, solid rollers
separated by several smaller spacer rollers on a separate cable or line
(sweep) connected to the footrope, which makes it possible to fish the
gear over rough bottom, that is, in areas unsuitable for fishing
conventional shrimp trawls. Rigid framed trawls adapted for shrimping
over uneven bottom, in wide use along the west coast of Florida, and
shrimp trawls with hollow plastic rollers for fishing on soft bottoms,
are not considered roller trawls.
(3) A fish trap may not be used in the stressed area. A fish trap
used in the stressed area will be considered unclaimed or abandoned
property and may be disposed of in any appropriate manner by the
Assistant Administrator (including an authorized officer).
(h) Texas closure. (1) From 30 minutes after official sunset on May
15 to 30 minutes after official sunset on July
[[Page 219]]
15, trawling, except trawling for royal red shrimp beyond the 100-fathom
(183-m) depth contour, is prohibited in the Gulf EEZ off Texas.
(2) In accordance with the procedures and restrictions of the
Fishery Management Plan for the Shrimp Fishery of the Gulf of Mexico,
the RA may adjust the closing and/or opening date of the Texas closure
to provide an earlier, later, shorter, or longer closure, but the
duration of the closure may not exceed 90 days or be less than 45 days.
Notification of the adjustment of the closing or opening date will be
published in the Federal Register.
(i) Tortugas shrimp sanctuary. (1) The Tortugas shrimp sanctuary is
closed to trawling. The Tortugas shrimp sanctuary is that part of the
EEZ off Florida shoreward of rhumb lines connecting, in order, the
following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
N \1\....................................... 25[deg]52.9[ 81[deg]37.9[
min] min]
F........................................... 24[deg]50.7[ 81[deg]51.3[
min] min]
G \2\....................................... 24[deg]40.1[ 82[deg]26.7[
min] min]
H \3\....................................... 24[deg]34.7[ 82[deg]35.2[
min] min]
P \4\....................................... 24[deg]35.0[ 82[deg]08.0[
min] min]
------------------------------------------------------------------------
\1\ Coon Key Light.
\2\ New Ground Rocks Light.
\3\ Rebecca Shoal Light.
\4\ Marquessas Keys.
(2) The provisions of paragraph (i)(1) of this section
notwithstanding--
(i) Effective from April 11 through September 30, each year, that
part of the Tortugas shrimp sanctuary seaward of rhumb lines connecting
the following points is open to trawling: From point T at
24[deg]47.8[min] N. lat., 82[deg]01.0[min] W. long. to point U at
24[deg]43.83[min] N. lat., 82[deg]01.0[min] W. long. (on the line
denoting the seaward limit of Florida's waters); thence along the
seaward limit of Florida's waters, as shown on the current edition of
NOAA chart 11439, to point V at 24[deg]42.55[min] N. lat.,
82[deg]15.0[min] W. long.; thence north to point W at 24[deg]43.6[min]
N. lat., 82[deg]15.0[min] W. long.
(ii) Effective from April 11 through July 31, each year, that part
of the Tortugas shrimp sanctuary seaward of rhumb lines connecting the
following points is open to trawling: From point W to point V, both
points as specified in paragraph (i)(2)(i) of this section, to point G,
as specified in paragraph (i)(1) of this section.
(iii) Effective from May 26 through July 31, each year, that part of
the Tortugas shrimp sanctuary seaward of rhumb lines connecting the
following points is open to trawling: From point F, as specified in
paragraph (i)(1) of this section, to point Q at 24[deg]46.7[min] N.
lat., 81[deg]52.2[min] W. long. (on the line denoting the seaward limit
of Florida's waters); thence along the seaward limit of Florida's
waters, as shown on the current edition of NOAA chart 11439, to point U
and north to point T, both points as specified in paragraph (i)(2)(i) of
this section.
(j) West and East Flower Garden Banks HAPC. The following activities
are prohibited year-round in the HAPC: Fishing with a bottom longline,
bottom trawl, buoy gear, dredge, pot, or trap and bottom anchoring by
fishing vessels.
(1) West Flower Garden Bank. West Flower Garden Bank is bounded by
rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A 27[deg]55[mi 93[deg]53[mi
n]22.8[sec] n]09.6[sec]
B 27[deg]55[mi 93[deg]46[mi
n]22.8[sec] n]46.0[sec]
C 27[deg]49[mi 93[deg]46[mi
n]03.0[sec] n]46.0[sec]
D 27[deg]49[mi 93[deg]53[mi
n]03.0[sec] n]09.6[sec]
A 27[deg]55[mi 93[deg]53[mi
n]22.8[sec] n]09.6[sec]
------------------------------------------------------------------------
(2) East Flower Garden Bank. East Flower Garden Bank is bounded by
rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A 27[deg]59[mi 93[deg]38[mi
n]14.4[sec] n]58.2[sec]
B 27[deg]59[mi 93[deg]34[mi
n]14.4[sec] n]03.5[sec]
C 27[deg]52[mi 93[deg]34[mi
n]36.5[sec] n]03.5[sec]
D 27[deg]52[mi 93[deg]38[mi
n]36.5[sec] n]58.2[sec]
A 27[deg]59[mi 93[deg]38[mi
n]14.4[sec] n]58.2[sec]
------------------------------------------------------------------------
(k) Closure provisions applicable to the Madison and Swanson sites
and Steamboat Lumps. (1)(i) The Madison and Swanson sites are bounded by
rhumb lines connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 29[deg]17[mi 85[deg]50[mi
n] n]
B........................................... 29[deg]17[mi 85[deg]38[mi
n] n]
C........................................... 29[deg]06[mi 85[deg]38[mi
n] n]
D........................................... 29[deg]06[mi 85[deg]50[mi
n] n]
A........................................... 29[deg]17[mi 85[deg]50[mi
n] n]
------------------------------------------------------------------------
[[Page 220]]
(ii) Steamboat Lumps is bounded by rhumb lines connecting, in order,
the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 28[deg]14[mi 84[deg]48[mi
n] n]
B........................................... 28[deg]14[mi 84[deg]37[mi
n] n]
C........................................... 28[deg]03[mi 84[deg]37[mi
n] n]
D........................................... 28[deg]03[mi 84[deg]48[mi
n] n]
A........................................... 28[deg]14[mi 84[deg]48[mi
n] n]
------------------------------------------------------------------------
(iii) The provisions of paragraphs (k)(2) through (6) of this
section apply within the Madison and Swanson sites and Steamboat Lumps
through June 16, 2010.
(2) Possession of Gulf reef fish is prohibited, except for such
possession aboard a vessel in transit with fishing gear stowed as
specified in paragraph (k)(4) of this section.
(3) During November through April, all fishing is prohibited, and
possession of any fish species is prohibited, except for such possession
aboard a vessel in transit with fishing gear stowed as specified in
paragraph (k)(4) of this section. The provisions of this paragraph,
(k)(3), do not apply to highly migratory species.
(4) For the purpose of paragraph (k) of this section, transit means
non-stop progression through the area; fishing gear appropriately stowed
means -
(i) A longline may be left on the drum if all gangions and hooks are
disconnected and stowed below deck. Hooks cannot be baited. All buoys
must be disconnected from the gear; however, buoys may remain on deck.
(ii) A trawl net may remain on deck, but trawl doors must be
disconnected from the trawl gear and must be secured.
(iii) A gillnet must be left on the drum. Any additional gillnets
not attached to the drum must be stowed below deck.
(iv) A rod and reel must be removed from the rod holder and stowed
securely on or below deck. Terminal gear (i.e., hook, leader, sinker,
flasher, or bait) must be disconnected and stowed separately from the
rod and reel. Sinkers must be disconnected from the down rigger and
stowed separately.
(5) During May through October, surface trolling is the only
allowable fishing activity. For the purpose of this paragraph (k)(5),
surface trolling is defined as fishing with lines trailing behind a
vessel which is in constant motion at speeds in excess of four knots
with a visible wake. Such trolling may not involve the use of down
riggers, wire lines, planers, or similar devices.
(6) For the purpose of paragraph (k) of this section, fish means
finfish, mollusks, crustaceans, and all other forms of marine animal and
plant life other than marine mammals and birds. Highly migratory species
means tuna species, marlin (Tetrapturus spp. and Makaira spp.), oceanic
sharks, sailfishes (Istiophorus spp.), and swordfish (Xiphias gladius).
(l) Closures of the commercial fishery for red snapper. The
commercial fishery for red snapper in or from the Gulf EEZ is closed
from January 1 to noon on February 1 and thereafter from noon on the
10th of each month to noon on the first of each succeeding month until
the quota specified in Sec. 622.42(a)(1)(i)(A) is reached or until noon
on October 1, whichever occurs first. From October 1 to December 1, the
commercial fishery for red snapper in or from the Gulf EEZ is closed
from noon on the 10th of each month to noon on the first of each
succeeding month until the quota specified in Sec. 622.42(a)(1)(i)(B)
is reached or until the end of the fishing year, whichever occurs first.
All times are local times. During these closed periods, the possession
of red snapper in or from the Gulf EEZ and in the Gulf on board a vessel
for which a commercial permit for Gulf reef fish has been issued, as
required under Sec. 622.4(a)(2)(v), without regard to where such red
snapper were harvested, is limited to the bag and possession limits, as
specified in Sec. 622.39(b)(1)(iii) and (b)(2), respectively, and such
red snapper are subject to the prohibition on sale or purchase of red
snapper possessed under the bag limit, as specified in Sec.
622.45(c)(1). However, when the recreational quota for red snapper has
been reached and the bag and possession limit has been reduced to zero,
the limit for such possession during a closed period is zero. Also note
that if commercial quantities of Gulf reef fish, i.e., Gulf reef fish in
excess of applicable bag/possession limits, are on board the vessel, no
bag limit of Gulf reef fish
[[Page 221]]
may be possessed, as specified in Sec. 622.39(a)(5).
(m) Closures of the recreational fishery for red snapper. The
recreational fishery for red snapper in or from the Gulf EEZ is closed
from January 1 through April 20 and from November 1 through December 31.
During a closure, the bag and possession limit for red snapper in or
from the Gulf EEZ is zero.
(n) Seasonal closure of the commercial fishery for vermilion
snapper. The commercial fishery for vermilion snapper in or from the
Gulf EEZ is closed from April 22 through May 31, each year. During the
closure, no person aboard a vessel for which a valid Federal commercial
permit for Gulf reef fish has been issued may fish for or possess
vermilion snapper in the Gulf, regardless of where harvested. However, a
person aboard a vessel for which the permit indicates both charter
vessel/headboat for Gulf reef fish and commercial Gulf reef fish may
continue to retain vermilion snapper under the bag and possession limits
specified in Sec. 622.39(b)(1)(v) and (b)(2), respectively, provided
the vessel is operating as a charter vessel or headboat. During the
closure, the sale or purchase of vermilion snapper is prohibited as
specified in Sec. 622.45(c)(5).
(o) Seasonal closure of the commercial fishery for gag, red grouper,
and black grouper. From February 15 to March 15, each year, no person
aboard a vessel for which a valid Federal commercial permit for Gulf
reef fish has been issued may possess gag, red grouper, or black grouper
in the Gulf, regardless of where harvested. However, a person aboard a
vessel for which the permit indicates both charter vessel/headboat for
Gulf reef fish and commercial Gulf reef fish may continue to retain gag,
red grouper, and black grouper under the bag and possession limit
specified in Sec. 622.39(b), provided the vessel is operating as a
charter vessel or headboat. From February 15 until March 15, each year,
the sale or purchase of gag, red grouper, or black grouper is prohibited
as specified in Sec. 622.45(c)(4).
(p) Closures of the Gulf group king mackerel gillnet fishery. The
gillnet fishery for Gulf group king mackerel in or from the Gulf EEZ is
closed each fishing year from July 1 until 6:00 a.m. on the day after
the Martin Luther King Jr. Federal holiday. The gillnet fishery also is
closed during all subsequent weekends and observed Federal holidays,
except for the first weekend following the Martin Luther King Jr.
holiday which will remain open to the gillnet fishery provided a
notification of closure of that fishery has not been filed under Sec.
622.43(a). Weekend closures are effective from 6:00 a.m. Saturday to
6:00 a.m. Monday. Holiday closures are effective from 6:00 a.m. on the
observed Federal holiday to 6:00 a.m. the following day. All times are
eastern standard time. During these closures, a person aboard a vessel
using or possessing a gillnet with a stretched-mesh size of 4.75 inches
(12.1 cm) or larger in the southern Florida west coast subzone may not
fish for or possess Gulf group king mackerel.
(q) [Reserved]
(r) Pulley Ridge HAPC. Fishing with a bottom longline, bottom trawl,
buoy gear, pot, or trap and bottom anchoring by fishing vessels are
prohibited year-round in the area of the HAPC bounded by rhumb lines
connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A 24[deg]58[mi 83[deg]38[mi
n]18[sec] n]33[sec]
B 24[deg]58[mi 83[deg]37[mi
n]18[sec] n]00[sec]
C 24[deg]41[mi 83[deg]37[mi
n]11[sec] n]00[sec]
D 24[deg]40[mi 83[deg]41[mi
n]00[sec] n]22[sec]
E 24[deg]43[mi 83[deg]47[mi
n]55[sec] n]15[sec]
A 24[deg]58[mi 83[deg]38[mi
n]18[sec] n]33[sec]
------------------------------------------------------------------------
(s) Stetson Bank HAPC. Fishing with a bottom longline, bottom trawl,
buoy gear, pot, or trap and bottom anchoring by fishing vessels are
prohibited year-round in the HAPC, which is bounded by rhumb lines
connecting, in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A 28[deg]10[mi 94[deg]18[mi
n]38.3[sec] n]36.5[sec]
B 28[deg]10[mi 94[deg]17[mi
n]38.3[sec] n]06.3[sec]
C 28[deg]09[mi 94[deg]17[mi
n]18.6[sec] n]06.3[sec]
D 28[deg]09[mi 94[deg]18[mi
n]18.6[sec] n]36.5[sec]
A 28[deg]10[mi 94[deg]18[mi
n]38.3[sec] n]36.5[sec]
------------------------------------------------------------------------
(t) McGrail Bank HAPC. Fishing with a bottom longline, bottom trawl,
buoy gear, pot, or trap and bottom anchoring by fishing vessels are
prohibited year-round in the HAPC, which is bounded by rhumb lines
connecting, in order, the following points:
[[Page 222]]
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A 27[deg]59[mi 92[deg]37[mi
n]06.0[sec] n]19.2[sec]
B 27[deg]59[mi 92[deg]32[mi
n]06.0[sec] n]17.4[sec]
C 27[deg]55[mi 92[deg]32[mi
n]55.5[sec] n]17.4[sec]
D 27[deg]55[mi 92[deg]37[mi
n]55.5[sec] n]19.2[sec]
A 27[deg]59[mi 92[deg]37[mi
n]06.0[sec] n]19.2[sec]
------------------------------------------------------------------------
[61 FR 34934, July 3, 1996, as amended at 61 FR 48642, Sept. 16, 1996;
62 FR 46679, Sept. 4, 1997; 62 FR 47767, Sept. 11, 1997; 62 FR 67722,
Dec. 30, 1997; 64 FR 47713, Sept. 1, 1999; 64 FR 57404, Oct. 25, 1999;
64 FR 59126, Nov. 2, 1999; 65 FR 30363, May 11, 2000; 65 FR 31830, May
19, 2000; 65 FR 50162, Aug. 17, 2000; 67 FR 47468, July 19, 2002; 69 FR
24535, May 4, 2004; 70 FR 33389, June 8, 2005; 70 FR 76219, Dec. 23,
2005; 71 FR 45435, Aug. 9, 2006]
Sec. 622.35 Atlantic EEZ seasonal and/or area closures.
(a) Allowable octocoral closed area. No person may harvest or
possess allowable octocoral in the South Atlantic EEZ north of
28[deg]35.1[min] N. lat. (due east of the NASA Vehicle Assembly
Building, Cape Canaveral, FL).
(b) Longline closed areas. A longline may not be used to fish in the
EEZ for South Atlantic snapper-grouper south of 27[deg]10[min] N. lat.
(due east of the entrance to St. Lucie Inlet, FL); or north of
27[deg]10[min] N. lat. where the charted depth is less than 50 fathoms
(91.4 m), as shown on the latest edition of the largest scale NOAA chart
of the location. A person aboard a vessel with a longline on board that
fishes on a trip in the South Atlantic EEZ south of 27[deg]10[min] N.
lat., or north of 27[deg]10[min] N. lat. where the charted depth is less
than 50 fathoms (91.4 m), is limited on that trip to the bag limit for
South Atlantic snapper-grouper for which a bag limit is specified in
Sec. 622.39(d)(1), and to zero for all other South Atlantic snapper-
grouper. For the purpose of this paragraph, a vessel is considered to
have a longline on board when a power-operated longline hauler, a cable
or monofilament of diameter and length suitable for use in the longline
fishery, and gangions are on board. Removal of any one of these three
elements constitutes removal of a longline.
(c) Oculina Bank--(1) HAPC. The Oculina Bank HAPC encompasses an
area bounded on the north by 28[deg]30[min] N. lat., on the south by
27[deg]30[min] N. lat., on the east by the 100-fathom (183-m) contour,
as shown on the latest edition of NOAA chart 11460, and on the west by
80[deg]00[min] W. long.; and two adjacent areas: the first bounded on
the north by 28[deg]30[min] N. lat., on the south by 28[deg]29[min] N.
lat., on the east by 80[deg]00[min] W. long., and on the west by
80[deg]03[min] W. long.; and the second bounded on the north by
28[deg]17[min] N. lat., on the south by 28[deg]16[min] N. lat., on the
east by 80[deg]00[min] W. long., and on the west by 80[deg]03[min] W.
long. In the Oculina Bank HAPC, no person may:
(i) Use a bottom longline, bottom trawl, dredge, pot, or trap.
(ii) If aboard a fishing vessel, anchor, use an anchor and chain, or
use a grapple and chain.
(iii) Fish for rock shrimp or possess rock shrimp in or from the
area on board a fishing vessel.
(2) Experimental closed area. Within the Oculina Bank HAPC, the
experimental closed area is bounded on the north by 27[deg]53[min] N.
lat., on the south by 27[deg]30[min] N. lat., on the east by
79[deg]56[min] W. long., and on the west by 80[deg]00[min] W. long. No
person may fish for South Atlantic snapper-grouper in the experimental
closed area, and no person may retain South Atlantic snapper-grouper in
or from the area. In the experimental closed area, any South Atlantic
snapper-grouper taken incidentally by hook-and-line gear must be
released immediately by cutting the line without removing the fish from
the water.
(d) South Atlantic shrimp cold weather closure. (1) Pursuant to the
procedures and criteria established in the FMP for the Shrimp Fishery of
the South Atlantic Region, when Florida, Georgia, North Carolina, or
South Carolina closes all or a portion of its waters of the South
Atlantic to the harvest of brown, pink, and white shrimp, the Assistant
Administrator may concurrently close the South Atlantic EEZ adjacent to
the closed state waters by filing a notification of closure with the
Office of the Federal Register. Closure of the adjacent EEZ will be
effective until the ending date of the closure in state waters, but may
be ended earlier based on the state's request. In the latter case, the
Assistant Administrator will terminate a closure of the EEZ by filing a
notification to that effect with the Office of the Federal Register.
(2) During a closure, as specified in paragraph (d)(1) of this
section--
[[Page 223]]
(i) No person may trawl for brown shrimp, pink shrimp, or white
shrimp in the closed portion of the EEZ (closed area); and no person may
possess on board a fishing vessel brown shrimp, pink shrimp, or white
shrimp in or from a closed area, except as authorized in paragraph
(d)(2)(iii) of this section.
(ii) No person aboard a vessel trawling in that part of a closed
area that is within 25 nm of the baseline from which the territorial sea
is measured may use or have on board a trawl net with a mesh size less
than 4 inches (10.2 cm), as measured between the centers of opposite
knots when pulled taut.
(iii) Brown shrimp, pink shrimp, or white shrimp may be possessed on
board a fishing vessel in a closed area, provided the vessel is in
transit and all trawl nets with a mesh size less than 4 inches (10.2
cm), as measured between the centers of opposite knots when pulled taut,
are stowed below deck while transiting the closed area. For the purpose
of this paragraph, a vessel is in transit when it is on a direct and
continuous course through a closed area.
(e) SMZs. (1) The SMZs consist of artificial reefs and surrounding
areas as follows:
(i) Paradise Reef is bounded on the north by 33[deg]31.59[min] N.
lat.; on the south by 33[deg]30.51[min] N. lat.; on the east by
78[deg]57.55[min] W. long.; and on the west by 78[deg]58.85[min] W.
long.
(ii) Ten Mile Reef is bounded on the north by 33[deg]26.65[min] N.
lat.; on the south by 33[deg]24.80[min] N. lat.; on the east by
78[deg]51.08[min] W. long.; and on the west by 78[deg]52.97[min] W.
long.
(iii) Pawleys Island Reef is bounded on the north by
33[deg]26.58[min] N. lat.; on the south by 33[deg]25.76[min] N. lat.; on
the east by 79[deg]00.29[min] W. long.; and on the west by
79[deg]01.24[min] W. long.
(iv) Georgetown Reef is bounded on the north by 33[deg]14.90[min] N.
lat.; on the south by 33[deg]13.85[min] N. lat.; on the east by
78[deg]59.45[min] W. long.; and on the west by 79[deg]00.65[min] W.
long.
(v) Capers Reef is bounded on the north by 32[deg]45.45[min] N.
lat.; on the south by 32[deg]43.91[min] N. lat.; on the east by
79[deg]33.81[min] W. long.; and on the west by 79[deg]35.10[min] W.
long.
(vi) Kiawah Reef is bounded on the north by 32[deg]29.78[min] N.
lat.; on the south by 32[deg]28.25[min] N. lat.; on the east by
79[deg]59.00[min] W. long.; and on the west by 80[deg]00.95[min] W.
long.
(vii) Edisto Offshore Reef is bounded on the north by
32[deg]15.30[min] N. lat.; on the south by 32[deg]13.90[min] N. lat.; on
the east by 79[deg]50.25[min] W. long.; and on the west by
79[deg]51.45[min] W. long.
(viii) Hunting Island Reef is bounded on the north by
32[deg]13.72[min] N. lat.; on the south by 32[deg]12.30[min] N. lat.; on
the east by 80[deg]19.23[min] W. long.; and on the west by
80[deg]21.00[min] W. long.
(ix) Fripp Island Reef is bounded on the north by 32[deg]15.92[min]
N. lat.; on the south by 32[deg]14.75[min] N. lat.; on the east by
80[deg]21.62[min] W. long.; and on the west by 80[deg]22.90[min] W.
long.
(x) Betsy Ross Reef is bounded on the north by 32[deg]03.60[min] N.
lat.; on the south by 32[deg]02.88[min] N. lat.; on the east by
80[deg]24.57[min] W. long.; and on the west by 80[deg]25.50[min] W.
long.
(xi) Hilton Head Reef/Artificial Reef--T is bounded on the north by
32[deg]00.71[min] N. lat.; on the south by 31[deg]59.42[min] N. lat.; on
the east by 80[deg]35.23[min] W. long.; and on the west by
80[deg]36.37[min] W. long.
(xii) Artificial Reef--A is bounded on the north by 30[deg]57.4[min]
N. lat.; on the south by 30[deg]55.4[min] N. lat.; on the east by
81[deg]13.9[min] W. long.; and on the west by 81[deg]16.3[min] W. long.
(xiii) Artificial Reef--C is bounded on the north by
30[deg]52.0[min] N. lat.; on the south by 30[deg]50.0[min] N. lat.; on
the east by 81[deg]08.5[min] W. long.; and on the west by
81[deg]10.9[min] W. long.
(xiv) Artificial Reef--G is bounded on the north by 31[deg]00.0[min]
N. lat.; on the south by 30[deg]58.0[min] N. lat.; on the east by
80[deg]56.8[min] W. long.; and on the west by 80[deg]59.2[min] W. long.
(xv) Artificial Reef--F is bounded on the north by 31[deg]06.8[min]
N. lat.; on the south by 31[deg]04.8[min] N. lat.; on the east by
81[deg]10.5[min] W. long.; and on the west by 81[deg]13.4[min] W. long.
(xvi) Artificial Reef--J is bounded on the north by 31[deg]36.7[min]
N. lat.; on the south by 31[deg]34.7[min] N. lat.; on the east by
80[deg]47.3[min] W. long.; and on the west by 80[deg]50.1[min] W. long.
(xvii) Artificial Reef--L is bounded on the north by
31[deg]46.0[min] N. lat.; on the south by 31[deg]44.0[min] N. lat.; on
the east by
[[Page 224]]
80[deg]34.7[min] W. long.; and on the west by 80[deg]37.1[min] W. long.
(xviii) Artificial Reef--KC is bounded on the north by
31[deg]51.2[min] N. lat.; on the south by 31[deg]49.2[min] N. lat.; on
the east by 80[deg]45.3[min] W. long.; and on the west by
80[deg]47.7[min] W. long.
(xix) Ft. Pierce Inshore Reef is bounded on the north by
27[deg]26.8[min] N. lat.; on the south by 27[deg]25.8[min] N. lat.; on
the east by 80[deg]09.24[min] W. long.; and on the west by
80[deg]10.36[min] W. long.
(xx) Ft. Pierce Offshore Reef is bounded by rhumb lines connecting,
in order, the following points:
------------------------------------------------------------------------
Point North lat. West long.
------------------------------------------------------------------------
A........................................... 27[deg]23.68 80[deg]03.95
[min] [min]
B........................................... 27[deg]22.80 80[deg]03.60
[min] [min]
C........................................... 27[deg]23.94 80[deg]00.02
[min] [min]
D........................................... 27[deg]24.85 80[deg]00.33
[min] [min]
A........................................... 27[deg]23.68 80[deg]03.95
[min] [min]
------------------------------------------------------------------------
(xxi) Key Biscayne/Artificial Reef--H is bounded on the north by
25[deg]42.82[min] N. lat.; on the south by 25[deg]41.32[min] N. lat.; on
the east by 80[deg]04.22[min] W. long.; and on the west by
80[deg]05.53[min] W. long.
(xxii) Little River Offshore Reef is bounded on the north by
33[deg]42.10[min] N. lat.; on the south by 33[deg]41.10[min] N. lat.; on
the east by 78[deg]26.40[min] W. long.; and on the west by
78[deg]27.10[min] W. long.
(xxiii) BP-25 Reef is bounded on the north by 33[deg]21.70[min] N.
lat.; on the south by 33[deg]20.70[min] N. lat.; on the east by
78[deg]24.80[min] W. long.; and on the west by 78[deg]25.60[min] W.
long.
(xxiv) Vermilion Reef is bounded on the north by 32[deg]57.80[min]
N. lat.; on the south by 32[deg]57.30[min] N. lat.; on the east by
78[deg]39.30[min] W. long.; and on the west by 78[deg]40.10[min] W.
long.
(xxv) Cape Romaine Reef is bounded on the north by 33[deg]00.00[min]
N. lat.; on the south by 32[deg]59.50[min] N. lat.; on the east by
79[deg]02.01[min] W. long.; and on the west by 79[deg]02.62[min] W.
long.
(xxvi) Y-73 Reef is bounded on the north by 32[deg]33.20[min] N.
lat.; on the south by 32[deg]32.70[min] N. lat.; on the east by
79[deg]19.10[min] W. long.; and on the west by 79[deg]19.70[min] W.
long.
(xxvii) Eagles Nest Reef is bounded on the north by
32[deg]01.48[min] N. lat.; on the south by 32[deg]00.98[min] N. lat.; on
the east by 80[deg]30.00[min] W. long.; and on the west by
80[deg]30.65[min] W. long.
(xxviii) Bill Perry Jr. Reef is bounded on the north by
33[deg]26.20[min] N. lat.; on the south by 33[deg]25.20[min] N. lat.; on
the east by 78[deg]32.70[min] W. long.; and on the west by
78[deg]33.80[min] W. long.
(xxix) Comanche Reef is bounded on the north by 32[deg]27.40[min] N.
lat.; on the south by 32[deg]26.90[min] N. lat.; on the east by
79[deg]18.80[min] W. long.; and on the west by 79[deg]19.60[min] W.
long.
(xxx) Murrel's Inlet 60 Foot Reef is bounded on the north by
33[deg]17.50[min] N. lat.; on the south by 33[deg]16.50[min] N. lat.; on
the east by 78[deg]44.67[min] W. long.; and on the west by
78[deg]45.98[min] W. long.
(xxxi) Georgetown 95 Foot Reef is bounded on the north by
33[deg]11.75[min] N. lat.; on the south by 33[deg]10.75[min] N. lat.; on
the east by 78[deg]24.10[min] W. long.; and on the west by
78[deg]25.63[min] W. long.
(xxxii) New Georgetown 60 Foot Reef is bounded on the north by
33[deg]09.25[min] N. lat.; on the south by 33[deg]07.75[min] N. lat.; on
the east by 78[deg]49.95[min] W. long.; and on the west by
78[deg]51.45[min] W. long.
(xxxiii) North Inlet 45 Foot Reef is bounded on the north by
33[deg]21.03[min] N. lat.; on the south by 33[deg]20.03[min] N. lat.; on
the east by 79[deg]00.31[min] W. long.; and on the west by
79[deg]01.51[min] W. long.
(xxxiv) CJ Davidson Reef is bounded on the north by
33[deg]06.48[min] N. lat.; on the south by 33[deg]05.48[min] N. lat.; on
the east by 79[deg]00.27[min] W. long.; and on the west by
79[deg]01.39[min] W. long.
(xxxv) Greenville Reef is bounded on the north by 32[deg]57.25[min]
N. lat.; on the south by 32[deg]56.25[min] N. lat.; on the east by
78[deg]54.25[min] W. long.; and on the west by 78[deg]55.25[min] W.
long.
(xxxvi) Charleston 60 Foot Reef is bounded on the north by
32[deg]33.60[min] N. lat.; on the south by 32[deg]32.60[min] N. lat.; on
the east by 79[deg]39.70[min] W. long.; and on the west by
79[deg]40.90[min] W. long.
(xxxvii) Edisto 60 Foot Reef is bounded on the north by
32[deg]21.75[min] N. lat.; on the south by 32[deg]20.75[min] N. lat.; on
the east by 80[deg]04.10[min] W. longitude; and on the west by
80[deg]05.70[min] W. long.
(xxxviii) Edisto 40 Foot Reef is bounded on the north by
32[deg]25.78[min] N. lat.; on the south by 32[deg]24.78[min] N. lat.; on
the east by 80[deg]11.24[min] W. long.; and on the west by
80[deg]12.32[min] W. long.
(xxxix) Beaufort 45 Foot Reef is bounded on the north by
32[deg]07.65[min] N. lat.; on the south by 32[deg]06.65[min] N. lat.; on
the east by 80[deg]28.80[min] W. long.; and on the west by
80[deg]29.80[min] W. long.
[[Page 225]]
(xl) Artificial Reef--ALT is bounded on the north by
31[deg]18.6[min] N. lat.; on the south by 31[deg]16.6[min] N. lat.; on
the east by 81[deg]07.0[min] W. long.; and on the west by
81[deg]09.4[min] W. long.
(xli) Artificial Reef--CAT is bounded on the north by
31[deg]40.2[min] N. lat.; on the south by 31[deg]38.2[min] N. lat.; on
the east by 80[deg]56.2[min] W. long.; and on the west by
80[deg]58.6[min] W. long.
(xlii) Artificial Reef--CCA is bounded on the north by
31[deg]43.7[min] N. lat.; on the south by 31[deg]41.7[min] N. lat.; on
the east by 80[deg]40.0[min] W. long.; and on the west by
80[deg]42.3[min] W. long.
(xliii) Artificial Reef--DRH is bounded on the north by
31[deg]18.0[min] N. lat.; on the south by 31[deg]16.0[min] N. lat.; on
the east by 80[deg]56.6[min] W. long.; and on the west by
80[deg]59.0[min] W. long.
(xliv) Artificial Reef--DUA is bounded on the north by
31[deg]47.8[min] N. lat.; on the south by 31[deg]45.8[min] N. lat.; on
the east by 80[deg]52.1[min] W. long.; and on the west by
80[deg]54.5[min] W. long.
(xlv) Artificial Reef--DW is bounded on the north by
31[deg]22.8[min] N. lat.; on the south by 31[deg]20.3[min] N. lat.; on
the east by 79[deg]49.8[min] W. long.; and on the west by
79[deg]51.1[min] W. long.
(xlvi) Artificial Reef--KBY is bounded on the north by
30[deg]48.6[min] N. lat.; on the south by 30[deg]46.6[min] N. lat.; on
the east by 81[deg]15.0[min] W. long.; and on the west by
81[deg]17.4[min] W. long.
(xlvii) Artificial Reef--KTK is bounded on the north by
31[deg]31.3[min] N. lat.; on the south by 31[deg]29.3[min] N. lat.; on
the east by 80[deg]59.1[min] W. long.; and on the west by
81[deg]01.5[min] W. long.
(xlviii) Artificial Reef--MRY is bounded on the north by
30[deg]47.5[min] N. lat.; on the south by 30[deg]45.5[min] N. lat.; on
the east by 81[deg]05.5[min] W. long.; and on the west by
81[deg]07.8[min] W. long.
(xlix) Artificial Reef--SAV is bounded on the north by
31[deg]55.4[min] N. lat.; on the south by 31[deg]53.4[min] N. lat.; on
the east by 80[deg]45.2[min] W. long.; and on the west by
80[deg]47.6[min] W. long.
(l) Artificial Reef--SFC is bounded on the north by 31[deg]00.8[min]
N. lat.; on the south by 30[deg]59.8[min] N. lat.; on the east by
81[deg]02.2[min] W. long.; and on the west by 81[deg]03.4[min] W. long.
(li) Artificial Reef--WW is bounded on the north by 31[deg]43.5[min]
N. lat.; on the south by 31[deg]42.2[min] N. lat.; on the east by
79[deg]57.7[min] W. long.; and on the west by 79[deg]59.3[min] W. long.
(2) To determine what restrictions apply in the SMZs listed in Sec.
622.35(e)(1), follow this table:
------------------------------------------------------------------------
IN SMZs SPECIFIED IN THE FOLLOWING
PARAGRAPHS OF Sec. 622.35 THESE RESTRICTIONS APPLY
------------------------------------------------------------------------
(e)(1)(i) through (x), (e)(1)(xx), and Use of a powerhead to take
(e)(1)(xxii) through (xxxix). South Atlantic snapper-grouper
is prohibited. Possession of a
powerhead and a mutilated
South Atlantic snapper-grouper
in, or after having fished in,
one of these SMZs constitutes
prima facie evidence that such
fish was taken with a
powerhead in the SMZ.
(e)(1)(i) through (xviii) and Fishing may only be conducted
(e)(1)(xxii) through (li). with handline, rod and reel,
and spearfishing gear.
(e)(1)(i) through (li)................. Use of a sea bass pot or bottom
longline is prohibited.
(e)(1)(xii) through (xviii) and Possession of South Atlantic
(e)(1)(xl) through (li). snapper-grouper taken with a
powerhead is limited to the
bag limits specified in Sec.
622.39(d)(1).
(e)(1)(xix) and (e)(1)(xx)............. A hydraulic or electric reel
that is permanently affixed to
the vessel is prohibited when
fishing for South Atlantic
snapper-grouper.
(e)(1)(xix) and (e)(1)(xxi)............ Use of spearfishing gear is
prohibited.
------------------------------------------------------------------------
(f) Golden crab trap closed areas. In the golden crab northern zone,
a golden crab trap may not be deployed in waters less than 900 ft (274
m) deep. In the golden crab middle and southern zones, a golden crab
trap may not be deployed in waters less than 700 ft (213 m) deep. See
Sec. 622.17(b) for specification of the golden crab zones.
(g) Pelagic sargassum area and seasonal restrictions--(1) Area
limitations. (i) No person may harvest pelagic sargassum in the South
Atlantic EEZ between 36[deg]34[min]55[sec] N. lat. (directly east from
the Virginia/North Carolina boundary) and 34[deg] N. lat., within 100
nautical miles east of the North Carolina coast.
[[Page 226]]
(ii) No person may harvest or possess pelagic sargassum in or from
the South Atlantic EEZ south of 34[deg] N. lat.
(2) Seasonal limitation. No person may harvest or possess pelagic
sargassum in or from the South Atlantic EEZ during the months of July
through October. This prohibition on possession does not apply to
pelagic sargassum that was harvested and landed ashore prior to the
closed period.
(h) Dolphin/wahoo closed areas. (1) If pelagic longline gear is on
board a vessel, a person aboard such vessel may not fish for or retain a
dolphin or wahoo--
(i) In the Northeastern United States closed area from June 1
through June 30 each year. The Northeastern United States closed area is
that portion of the EEZ between 40[deg] N. lat. and 39[deg] N. lat. from
68[deg] W. long. to 74[deg] W. long.
(ii) In the Charleston Bump closed area from February 1 through
April 30 each year. The Charleston Bump closed area is that portion of
the EEZ off North Carolina, South Carolina, and Georgia between 34[deg]
N. lat. and 31[deg] N. lat. and west of 76[deg] W. long.
(iii) In the East Florida Coast closed area year round. The East
Florida Coast closed area is that portion of the EEZ off Georgia and the
east coast of Florida from the inner boundary of the EEZ at 31[deg] N.
lat.; thence due east to 78[deg] W. long.; thence by a rhumb line to
28[deg]17[min] N. lat., 79[deg]12[min] W. long.; thence proceeding in a
southerly direction along the outer boundary of the EEZ to 24[deg] N.
lat.; thence due west to 24[deg] N. lat., 81[deg]47[min] W. long.;
thence due north to the innermost boundary of the EEZ at 81[deg]47[min]
W. long.
(2) A vessel is considered to have pelagic longline gear on board
when a power-operated longline hauler, a mainline, floats capable of
supporting the mainline, and gangions with hooks are on board. Removal
of any one of these elements constitutes removal of pelagic longline
gear.
(3) If a vessel is in a closed area during a time specified in
paragraph (h)(1) of this section with pelagic longline gear on board, it
is a rebuttable presumption that fish on board such vessel were taken
with pelagic longline gear in the closed area.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43959, Aug. 27, 1996; 61
FR 47449, Sept. 9, 1996; 63 FR 10567, Mar. 4, 1998; 63 FR 57590, Oct.
28, 1998; 63 FR 71794, Dec. 30, 1998; 65 FR 37295, June 14, 2000; 65 FR
61115, Oct. 16, 2000; 68 FR 57378, Oct. 3, 2003; 69 FR 30241, May 27,
2004]
Sec. 622.36 Seasonal harvest limitations.
(a) Gulf EEZ. During March, April, and May, each year, the
possession of greater amberjack in or from the Gulf EEZ and in the Gulf
on board a vessel for which a commercial permit for Gulf reef fish has
been issued, as required under Sec. 622.4(a)(2)(v), without regard to
where such greater amberjack were harvested, is limited to the bag and
possession limits, as specified in Sec. 622.39(b)(1)(i) and (b)(2),
respectively, and such greater amberjack are subject to the prohibition
on sale or purchase of greater amberjack possessed under the bag limit,
as specified in Sec. 622.45(c)(1). Also note that if commercial
quantities of Gulf reef fish, i.e., Gulf reef fish in excess of
applicable bag/possession limits, are on board the vessel, no bag limit
of Gulf reef fish may be possessed, as specified in Sec. 622.39(a)(5).
(b) South Atlantic EEZ--(1) Greater amberjack spawning season.
During April, each year, the possession of greater amberjack in or from
the South Atlantic EEZ and in the South Atlantic on board a vessel for
which a valid Federal commercial or charter vessel/headboat permit for
South Atlantic snapper-grouper has been issued, without regard to where
such greater amberjack were harvested, is limited to one per person per
day or one per person per trip, whichever is more restrictive. Such
greater amberjack are subject to the prohibition on sale or purchase, as
specified in Sec. 622.45(d)(6).
(2) Mutton snapper spawning season. During May and June, each year,
the possession of mutton snapper in or from the EEZ on board a vessel
that has a commercial permit for South Atlantic snapper-grouper is
limited to 10 per person per day or 10 per person per trip, whichever is
more restrictive.
(3) Wreckfish spawning-season closure. From January 15 through April
15, each
[[Page 227]]
year, no person may harvest or possess on a fishing vessel wreckfish in
or from the EEZ; offload wreckfish from the EEZ; or sell or purchase
wreckfish in or from the EEZ. The prohibition on sale or purchase of
wreckfish does not apply to trade in wreckfish that were harvested,
offloaded, and sold or purchased prior to January 15 and were held in
cold storage by a dealer or processor.
(4) Black grouper and gag. During March and April, each year, the
possession of black grouper and gag in or from the South Atlantic EEZ
and in the South Atlantic on board a vessel for which a valid Federal
commercial or charter vessel/headboat permit for South Atlantic snapper-
grouper has been issued, without regard to where such black grouper or
gag were harvested, is limited to two black grouper or gag, combined,
per person per day or two black grouper or gag, combined, per person per
trip, whichever is more restrictive. Such black grouper or gag are
subject to the prohibition on sale or purchase, as specified in Sec.
622.45(d)(5).
(5) Red porgy. During January, February, March, and April, each
year, the harvest or possession of red porgy in or from the South
Atlantic EEZ, and in the South Atlantic on board a vessel for which a
valid Federal commercial or charter vessel/headboat permit for South
Atlantic snapper-grouper has been issued without regard to where such
red porgy were harvested, is limited to one per person per day or one
per person per trip, whichever is more restrictive. Such red porgy are
subject to the prohibition on sale or puchase, as specified in Sec.
622.45(d)(5).
[61 FR 34934, July 3, 1996, as amended at 62 FR 67723, Dec. 30, 1997; 64
FR 3627, Jan. 25, 1999; 65 FR 51252, Aug. 23, 2000; 71 FR 45435; Aug. 9,
2006]
Effective Date Note: At 71 FR 55106, Sept. 21, 2006, Sec. 622.36
was amended by revising paragraph (b)(5), effective Oct. 23, 2006. For
the convenience of the user, the revised text is set forth as follows:
Sec. 622.36 Atlantic EEZ seasonal and/or area closures.
* * * * *
(b) * * *
(5) Red porgy. During January, February, March, and April, the
harvest or possession of red porgy in or from the South Atlantic EEZ is
limited to three per person per day or three per person per trip,
whichever is more restrictive. In addition, this limitation is
applicable in the South Atlantic on board a vessel for which a valid
Federal commercial or charter vessel/headboat permit for South Atlantic
snapper-grouper has been issued without regard to where such red porgy
were harvested. Such red porgy are subject to the prohibition on sale or
purchase, as specified in Sec. 622.45(d)(5).
Sec. 622.37 Size limits.
All size limits in this section are minimum size limits unless
specified otherwise. Except for undersized king and Spanish mackerel
allowed in paragraphs (c)(2) and (c)(3) of this section, a fish not in
compliance with its size limit, as specified in this section, in or from
the Caribbean, Gulf, South Atlantic, and/or Mid-Atlantic EEZ, as
appropriate, may not be possessed, sold, or purchased. A fish not in
compliance with its size limit must be released immediately with a
minimum of harm. The operator of a vessel that fishes in the EEZ is
responsible for ensuring that fish on board are in compliance with the
size limits specified in this section.
(a) Caribbean reef fish: Yellowtail snapper--12 inches (30.5 cm),
TL.
(b) Caribbean spiny lobster--3.5 inches (8.9 cm), carapace length.
(c) Coastal migratory pelagic fish. (1) Cobia in the Gulf, Mid-
Atlantic, or South Atlantic--33 inches (83.8 cm), fork length.
(2) King mackerel in the Gulf, South Atlantic, or Mid-Atlantic--24
inches (61.0 cm), fork length, except that a vessel fishing under a
quota for king mackerel specified in Sec. 622.42(c)(1) may possess
undersized king mackerel in quantities not exceeding 5 percent, by
weight, of the king mackerel on board.
(3) Spanish mackerel in the Gulf, South Atlantic, or Mid-Atlantic--
12 inches (30.5 cm), fork length, except that a vessel fishing under a
quota for Spanish mackerel specified in Sec. 622.42(c)(2) may possess
undersized Spanish mackerel in quantities not exceeding 5 percent, by
weight, of the Spanish mackerel on board.
(d) Gulf reef fish--(1) Snapper. (i) Lane snapper--8 inches (20.3
cm), TL.
[[Page 228]]
(ii) Vermilion snapper--11 inches (27.9 cm), TL.
(iii) Cubera, dog, gray, mahogany, and yellowtail snappers and
schoolmaster--12 inches (30.5 cm), TL.
(iv) Red snapper--16 inches (40.6 cm), TL, for a fish taken by a
person subject to the bag limit specified in Sec. 622.39(b)(1)(iii) and
15 inches (38.1 cm), TL, for a fish taken by a person not subject to the
bag limit.
(v) Mutton snapper--16 inches (40.6 cm), TL.
(2) Grouper. (i) Scamp--16 inches (40.6 cm), TL.
(ii) Red grouper and yellowfin grouper--20 inches (50.8 cm), TL.
(iii) Black grouper and gag--(A) For a person not subject to the bag
limit specified in Sec. 622.39(b)(1)(ii)--24 inches (61.0 cm), TL.
(B) For a person subject to the bag limit specified in Sec.
622.39(b)(1)(ii)--22 inches (55.9 cm), TL.
(3) Other Gulf reef fish species. (i) Gray triggerfish--12 inches
(30.5 cm), TL.
(ii) Hogfish--12 inches (30.5 cm), fork length.
(iii) Banded rudderfish and lesser amberjack--14 inches (35.6 cm),
fork length (minimum size); 22 inches (55.9 cm), fork length (maximum
size).
(iv) Greater amberjack--28 inches (71.1 cm), fork length, for a fish
taken by a person subject to the bag limit specified in Sec.
622.39(b)(1)(i); and 36 inches (91.4 cm), fork length, for a fish taken
by a person not subject to the bag limit.
(4) A person aboard a vessel that has a Federal commercial vessel
permit for Gulf reef fish and commercial quantities of Gulf reef fish,
i.e., Gulf reef fish in excess of applicable bag/possession limits, may
not possess any Gulf reef fish that do not comply with the applicable
commercial minimum size limit.
(e) South Atlantic snapper-grouper--(1) Snapper. (i) Lane snapper--8
inches (20.3 cm), TL.
(ii) Vermilion snapper--11 inches (27.9 cm), TL, for a fish taken by
a person subject to the bag limit specified in Sec. 622.39 (d)(1)(v)
and 12 inches (30.5 cm), TL, for a fish taken by a person not subject to
the bag limit.
(iii) Blackfin, cubera, dog, gray, mahogany, queen, silk, and
yellowtail snappers; and schoolmaster--12 inches (30.5 cm), TL.
(iv) Mutton snapper--16 inches (40.6 cm), TL.
(v) Red snapper--20 inches (50.8 cm), TL.
(2) Grouper. (i) Red, yellowfin, and yellowmouth grouper; and
scamp--20 inches (50.8 cm), TL.
(ii) Black grouper and gag--24 inches (61.0 cm), TL.
(3) Other snapper-grouper species. (i) Black sea bass--10 inches
(25.4 cm), TL.
(ii) Gray triggerfish in the South Atlantic EEZ off Florida--12
inches (30.5 cm), TL.
(iii) Hogfish--12 inches (30.5 cm), fork length.
(iv) Red porgy--14 inches (35.6 cm), TL.
(v) Greater amberjack--28 inches (71.1 cm), fork length, for a fish
taken by a person subject to the bag limit specified in Sec.
622.39(d)(1)(i) and 36 inches (91.4 cm), fork length, for a fish taken
by a person not subject to the bag limit.
(f) Gulf shrimp. White shrimp harvested in the EEZ are subject to
the minimum-size landing and possession limits of Louisiana when
possessed within the jurisdiction of that State.
(g) Caribbean queen conch--9 inches (22.9 cm) in length, that is,
from the tip of the spire to the distal end of the shell, and \3/8\ inch
(9.5 mm) in lip width at its widest point. A queen conch with a length
of at least 9 inches (22.9 cm) or a lip width of at least \3/8\ inch
(9.5 mm) is not undersized.
(h) Dolphin in the Atlantic off Florida and off Georgia--20 inches
(50.8 cm), fork length.
[61 FR 34934, July 3, 1996, as amended at 61 FR 65483, Dec. 13, 1996; 62
FR 13988, Mar. 25, 1997; 63 FR 444, Jan. 6, 1998; 63 FR 10567, Mar. 4,
1998; 64 FR 3628, Jan. 25, 1999; 64 FR 45459, Aug. 20, 1999; 64 FR
57404, Oct. 25, 1999; 65 FR 31831, May 19, 2000; 65 FR 50162, Aug. 17,
2000; 69 FR 30242, May 27, 2004; 70 FR 33389, June 8, 2005; 71 FR 45435;
Aug. 9, 2006]
Effective Date Note: At 71 FR 55107, Sept. 21, 2006, Sec. 622.37
was amended by revising paragraphs (e)(1)(ii) and (e)(3)(i), effective
Oct. 23, 2006. For the convenience of the user, the revised text is set
forth as follows:
Sec. 622.37 Size limits.
* * * * *
(e) * * *
[[Page 229]]
(1) * * *
(ii) Vermillion snapper--12 inches (30.5 cm), TL.
* * * * *
(3) * * *
(i) Black sea bass. (A) For a fish taken by a person subject to the
bag limit specified in Sec. 622.39(d)(1)(vii):
(1) Through May 31, 2007--11 inches (27.9 cm), TL; and
(2) On and after June 1, 2007--12 inches (30.5 cm), TL.
(B) For a fish taken by a person not subject to the bag limit in
Sec. 622.39(d)(1)--10 inches (25.4 cm), TL.
* * * * *
Sec. 622.38 Landing fish intact.
The operator of a vessel that fishes in the EEZ is responsible for
ensuring that fish on that vessel in the EEZ are maintained intact and,
if taken from the EEZ, are maintained intact through offloading ashore,
as specified in this section.
(a) The following must be maintained with head and fins intact:
cobia, king mackerel, and Spanish mackerel in or from the Gulf, Mid-
Atlantic, or South Atlantic EEZ, except as specified for king mackerel
in paragraph (g) of this section; dolphin and wahoo in or from the
Atlantic EEZ; South Atlantic snapper-grouper in or from the South
Atlantic EEZ, except as specified in paragraph (h) of this section;
finfish in or from the Caribbean EEZ, except as specified in paragraphs
(c) and (d) of this section; and finfish in or from the Gulf EEZ, except
as specified in paragraphs (c) and (d) of this section. Such fish may be
eviscerated, gilled, and scaled, but must otherwise be maintained in a
whole condition.
(b) A Caribbean spiny lobster in or from the Caribbean EEZ must be
maintained with head and carapace intact.
(c) Shark, swordfish, and tuna species are exempt from the
requirements of paragraph (a) of this section.
(d) In the Gulf EEZ or Caribbean EEZ:
(1) Bait is exempt from the requirement to be maintained with head
and fins intact. See Sec. 622.31(m) regarding a prohibition on the use
of Gulf reef fish as bait.
(i) For the purpose of this paragraph (d)(1), ``bait'' means--
(A) Packaged, headless fish fillets that have the skin attached and
are frozen or refrigerated;
(B) Headless fish fillets that have the skin attached and are held
in brine; or
(C) Small pieces no larger than 3 in3 (7.6 cm3) or strips no larger
than 3 inches by 9 inches (7.6 cm by 22.9 cm) that have the skin
attached and are frozen, refrigerated, or held in brine.
(ii) Paragraph (d)(1)(i) of this section notwithstanding, a finfish
or part thereof possessed in or landed from the Gulf EEZ or Caribbean
EEZ that is subsequently sold or purchased as a finfish species, rather
than as bait, is not bait.
(2) Legal-sized finfish possessed for consumption at sea on the
harvesting vessel are exempt from the requirement to have head and fins
intact, provided--
(i) Such finfish do not exceed any applicable bag limit;
(ii) Such finfish do not exceed 1.5 lb (680 g) of finfish parts per
person aboard; and
(iii) The vessel is equipped to cook such finfish on board.
(e) A golden crab in or from the South Atlantic EEZ must be
maintained in whole condition through landing ashore. For the purposes
of this paragraph, whole means a crab that is in its natural condition
and that has not been gutted or separated into component pieces, e.g.,
clusters.
(f) Queen conch in or from the Caribbean EEZ must be maintained with
meat and shell intact.
(g) Cut-off (damaged) king or Spanish mackerel that comply with the
minimum size limits in Sec. 622.37(c)(2) and (c)(3), respectively, and
the trip limits in Sec. 622.44(a) and (b), respectively, may be
possessed in the Gulf, Mid-Atlantic, or South Atlantic EEZ on, and
offloaded ashore from, a vessel that is operating under the respective
trip limits. Such cut-off fish also may be sold. A maximum of five
additional cut-off (damaged) king mackerel, not subject to the size
limits or trip limits, may be possessed or offloaded ashore but may not
be sold or purchased and are not counted against the trip limit.
[[Page 230]]
(h) In the South Atlantic EEZ, snapper-grouper lawfully harvested in
Bahamian waters are exempt from the requirement that they be maintained
with head and fins intact, provided valid Bahamian fishing and cruising
permits are on board the vessel and the vessel is in transit through the
South Atlantic EEZ. For the purpose of this paragraph, a vessel is in
transit through the South Atlantic EEZ when it is on a direct and
continuous course through the South Atlantic EEZ and no one aboard the
vessel fishes in the EEZ.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43959, Aug. 27, 1996; 61
FR 65483, Dec. 13, 1996; 63 FR 10567, Mar. 4, 1998; 63 FR 38303, July
16, 1998; 64 FR 3628, Jan. 25, 1999; 65 FR 16340, Mar. 28, 2000; 67 FR
22362, May 3, 2002; 69 FR 30242, May 27, 2004; 70 FR 62081, Oct. 28,
2005; 71 FR 45436, Aug. 9, 2006]
Sec. 622.39 Bag and possession limits.
(a) Applicability. (1) The bag and possession limits apply for
species/species groups listed in this section in or from the EEZ. Unless
specified otherwise, bag limits apply to a person on a daily basis,
regardless of the number of trips in a day. Unless specified otherwise,
possession limits apply to a person on a trip after the first 24 hours
of that trip. The bag and possession limits apply to a person who fishes
in the EEZ in any manner, except a person aboard a vessel in the EEZ
that has on board the commercial vessel permit required under Sec.
622.4(a)(2) for the appropriate species/species group. However, see
Sec. 622.32 for limitations on taking prohibited and limited-harvest
species. The limitations in Sec. 622.32 apply without regard to whether
the species is harvested by a vessel operating under a commercial vessel
permit or by a person subject to the bag limits. The possession of a
commercial vessel permit notwithstanding, the bag and possession limits
apply when the vessel is operating as a charter vessel or headboat. A
person who fishes in the EEZ may not combine a bag limit specified in
this section with a bag or possession limit applicable to state waters.
A species/species group subject to a bag limit specified in this section
taken in the EEZ by a person subject to the bag limits may not be
transferred at sea, regardless of where such transfer takes place, and
such fish may not be transferred in the EEZ. The operator of a vessel
that fishes in the EEZ is responsible for ensuring that the bag and
possession limits specified in this section are not exceeded.
(2) Paragraph (a)(1) of this section notwithstanding, bag and
possession limits also apply for Gulf reef fish in or from the EEZ to a
person aboard a vessel that has on board a commercial permit for Gulf
reef fish--
(i) When trawl gear or entangling net gear is on board. A vessel is
considered to have trawl gear on board when trawl doors and a net are on
board. Removal from the vessel of all trawl doors or all nets
constitutes removal of trawl gear.
(ii) When a longline or buoy gear is on board and the vessel is
fishing or has fished on a trip in the reef fish longline and buoy gear
restricted area specified in Sec. 622.34(c). A vessel is considered to
have a longline on board when a power-operated longline hauler, a cable
of diameter and length suitable for use in the longline fishery, and
gangions are on board. Removal of any one of these three elements, in
its entirety, constitutes removal of a longline.
(iii) For a species/species group when its quota has been reached
and closure has been effected, provided that no commercial quantities of
Gulf reef fish, i.e., Gulf reef fish in excess of applicable bag/
possession limits, are on board as specified in paragraph (a)(5) of this
section.
(iv) When the vessel has on board or is tending any trap other than
a fish trap authorized under Sec. 622.40(a)(2), a stone crab trap, or a
spiny lobster trap.
(3) Paragraph (a)(1) of this section notwithstanding, the bag and
other limits specified in Sec. 622.35(b) apply for South Atlantic
snapper-grouper in or from the EEZ to a person aboard a vessel for which
a commercial permit for South Atlantic snapper-grouper has been issued
that has on board a longline in the longline closed area.
(4) Paragraph (a)(1) of this section notwithstanding, a person
aboard a vessel for which a commercial permit for South Atlantic
snapper-grouper has been issued must comply with the bag limits
specified in paragraph (d)(1) of
[[Page 231]]
this section for South Atlantic snapper-grouper taken with a powerhead,
regardless of where taken, when such snapper-grouper are possessed in an
SMZ specified in Sec. 622.35(e)(1)(xii) through (e)(1)(xviii) or
(e)(1)(xl) through (e)(1)(li).
(5) A person aboard a vessel that has a Federal commercial vessel
permit for Gulf reef fish and commercial quantities of Gulf reef fish,
i.e., Gulf reef fish in excess of applicable bag/possession limits, may
not possess Gulf reef fish caught under a bag limit.
(b) Gulf reef fish--(1) Bag limits. (i) Greater amberjack--1.
(ii) Groupers, combined, excluding goliath grouper and Nassau
grouper -5 per person per day, but not to exceed 1 speckled hind or 1
warsaw grouper per vessel per day or 1 red grouper per person per day.
However, no grouper may be retained by the captain or crew of a vessel
operating as a charter vessel or headboat--their bag limit is zero.
(iii) Red snapper--4.
(iv) Snappers, combined, excluding red, lane, and vermilion
snapper--10.
(v) Gulf reef fish, combined, excluding those specified in
paragraphs (b)(1)(i) through (b)(1)(iv) and paragraphs (b)(1)(vi)
through (b)(1)(vii) of this section and excluding dwarf sand perch and
sand perch--20, but not to exceed 10 vermilion snapper.
(vi) Banded rudderfish and lesser amberjack, combined--5.
(vii) Hogfish--5.
(2) Possession limits. A person, or a vessel in the case of speckled
hind or Warsaw grouper, on a trip that spans more than 24 hours may
possess no more than two daily bag limits, provided such trip is on a
vessel that is operating as a charter vessel or headboat, the vessel has
two licensed operators aboard, and each passenger is issued and has in
possession a receipt issued on behalf of the vessel that verifies the
length of the trip.
(c) King and Spanish mackerel--(1) Bag limits. (i) Atlantic
migratory group king mackerel--
(A) Mid-Atlantic and South Atlantic, other than off Florida--3.
(B) Off Florida--2, which is the daily bag limit specified by
Florida for its waters (Rule 46-12.004(1), Florida Administrative Code).
If Florida changes its limit, the bag limit specified in this paragraph
(c)(1)(i)(B) will be changed to conform to Florida's limit, provided
such limit does not exceed 5.
(ii) Gulf migratory group king mackerel--2.
(iii) Atlantic migratory group Spanish mackerel--15.
(iv) Gulf migratory group Spanish mackerel--15.
(2) Possession limits. A person who is on a trip that spans more
than 24 hours may possess no more than two daily bag limits, provided
such trip is on a vessel that is operating as a charter vessel or
headboat, the vessel has two licensed operators aboard, and each
passenger is issued and has in possession a receipt issued on behalf of
the vessel that verifies the length of the trip.
(d) South Atlantic snapper-grouper--(1) Bag limits. (i) Greater
amberjack--1.
(ii) Groupers, combined, excluding goliath grouper and Nassau
grouper, and tilefishes--5. However, within the 5-fish aggregate bag
limit, no more than two fish may be gag or black grouper, combined.
(iii) Hogfish in the South Atlantic off Florida--5.
(iv) Snappers, combined, excluding cubera snapper measuring 30
inches (76.2 cm), TL, or larger, in the South Atlantic off Florida, and
excluding vermilion snapper--10, of which no more than 2 may be red
snapper. (See Sec. 622.32(c)(2) for limitations on cubera snapper
measuring 30 inches (76.2 cm), TL, or larger, in or from the South
Atlantic EEZ off Florida.)
(v) Vermilion snapper--10.
(vi) Red porgy--1.
(vii) Black sea bass--20.
(viii) South Atlantic snapper-grouper, combined, excluding tomtate
and blue runner and those specified in paragraphs (d)(1)(i) through
(vii) of this section--20.
(2) Possession limits. (i) Provided each passenger is issued and has
in possession a receipt issued on behalf of the vessel that verifies the
duration of the trip--
(A) A person aboard a charter vessel or headboat on a trip that
spans more than 24 hours may possess no more than two daily bag limits
of species other than red porgy.
[[Page 232]]
(B) A person aboard a headboat on a trip that spans more than 48
hours and who can document that fishing was conducted on at least 3 days
may possess no more than three daily bag limits of species other than
red porgy.
(ii) A person aboard a vessel may not possess red porgy in or from
the EEZ in excess of one per day or one per trip, whichever is more
restrictive.
(3) Longline bag limits. Other provisions of this paragraph (d)
notwithstanding, a person on a trip aboard a vessel for which the bag
limits apply that has a longline on board is limited on that trip to the
bag limit for South Atlantic snapper-grouper for which a bag limit is
specified in paragraph (d)(1) of this section, and to zero for all other
South Atlantic snapper-grouper. For the purpose of this paragraph
(d)(3), a vessel is considered to have a longline on board when a power-
operated longline hauler, a cable or monofilament of diameter and length
suitable for use in the longline fishery, and gangions are on board.
Removal of any one of these three elements constitutes removal of a
longline.
(e) Caribbean queen conch--(1) Applicability. Paragraph (a)(1) of
this section notwithstanding, the bag limit of paragraph (e)(2) of this
section does not apply to a fisherman who has a valid commercial fishing
license issued by Puerto Rico or the U.S. Virgin Islands. See Sec.
622.44 for the commercial daily trip limit.
(2) Bag limit. The bag limit for queen conch in or from the
Caribbean EEZ is 3 per person or, if more than 4 persons are aboard, 12
per boat.
(f) Atlantic dolphin and wahoo. Bag and possession limits are as
follows:
(1) Dolphin--10, not to exceed 60 per vessel, whichever is less,
except, on board a headboat, 10 per paying passenger.
(2) Wahoo--2.
[61 FR 34934, July 3, 1996, as amended at 61 FR 65483, Dec. 13, 1996; 61
FR 65985, Dec. 16, 1996; 62 FR 23674, May 1, 1997; 62 FR 67723, Dec. 30,
1997; 63 FR 8356, Feb. 19, 1998; 63 FR 38303, July 16, 1998; 63 FR
72203, Dec. 31, 1998; 64 FR 3628, Jan. 25, 1999; 64 FR 33800, June 24,
1999; 64 FR 45459, Aug. 20, 1999; 64 FR 47713, Sept. 1, 1999; 64 FR
57404, Oct. 25, 1999; 65 FR 30363, May 11, 2000; 65 FR 41016, July 3,
2000; 65 FR 50162, Aug. 17, 2000; 65 FR 51252, Aug. 23, 2000; 65 FR
61116, Oct. 16, 2000; 66 FR 17369, Mar. 30, 2001; 69 FR 30242, May 27,
2004; 69 FR 33320, June 15, 2004; 70 FR 33389, June 8, 2005; 71 FR
34536, June 15, 2006; 71 FR 45436, Aug. 9, 2006]
Effective Date Note: At 71 FR 55107, Sept. 21, 2006, Sec. 622.39
was amended by revising paragraphs (d)(1)(ii), (d)(1)(vi), (d)(1)(vii),
and (d)(2)(ii), effective Oct. 23, 2006. For the convenience of the
user, the revised text is set forth as follows:
Sec. 622.39 Bag and possession limits.
* * * * *
(d) * * *
(1) * * *
(ii) Groupers and tilefish, combined--5. However, within the 5-fish
aggregate bag limit:
(A) No more than two fish may be gag or black grouper, combined;
(B) No more than one fish may be a snowy grouper;
(C) No more than one fish may be a golden tilefish; and
(D) No goliath grouper or Nassau grouper may be retained.
* * * * *
(vi) Red porgy--3.
(vii) Black sea bass--15.
* * * * *
(2) * * *
(ii) A person aboard a vessel may not possess red porgy in or from
the EEZ in excess of three per day or three per trip, whichever is more
restrictive.
* * * * *
Sec. 622.40 Limitations on traps and pots.
(a) Tending--(1) Caribbean EEZ. A fish trap or Caribbean spiny
lobster trap in the Caribbean EEZ may be pulled or tended only by a
person (other than an authorized officer) aboard the fish trap or spiny
lobster trap owner's vessel, or aboard another vessel if such vessel has
[[Page 233]]
on board written consent of the trap owner, or if the trap owner is
aboard and has documentation verifying his identification number and
color code. An owner's written consent must specify the time period such
consent is effective and the trap owner's gear identification number and
color code.
(2) Gulf EEZ. A fish trap in the Gulf EEZ may be pulled or tended
only by a person (other than an authorized officer) aboard the vessel
with the fish trap endorsement to fish such trap. If such vessel has a
breakdown that prevents it from retrieving its traps, the owner or
operator must immediately notify the nearest NMFS Office of Enforcement
and must obtain authorization for another vessel to retrieve and land
its traps. The request for such authorization must include the requested
effective period for the retrieval and landing, the persons and vessel
to be authorized to retrieve the traps, and the point of landing of the
traps. Such authorization will be specific as to the effective period,
authorized persons and vessel, and point of landing. Such authorization
is valid solely for the removal of fish traps from the EEZ and for
harvest of fish incidental to such removal.
(3) South Atlantic EEZ. A sea bass pot or golden crab trap in the
South Atlantic EEZ may be pulled or tended only by a person (other than
an authorized officer) aboard the vessel permitted to fish such pot or
trap or aboard another vessel if such vessel has on board written
consent of the owner or operator of the vessel so permitted. For golden
crab only, a vessel with written consent on board must also possess a
valid commercial vessel permit for golden crab.
(b) Escape mechanisms--(1) Caribbean EEZ. (i) A fish trap used or
possessed in the Caribbean EEZ must have a panel located on one side of
the trap, excluding the top, bottom, and side containing the trap
entrance. The opening covered by the panel must measure not less than 8
by 8 inches (20.3 by 20.3 cm). The mesh size of the panel may not be
smaller than the mesh size of the trap. The panel must be attached to
the trap with untreated jute twine with a diameter not exceeding 1/8
inch (3.2 mm). An access door may serve as the panel, provided it is on
an appropriate side, it is hinged only at its bottom, its only other
fastening is untreated jute twine with a diameter not exceeding 1/8 inch
(3.2 mm), and such fastening is at the top of the door so that the door
will fall open when such twine degrades. Jute twine used to secure a
panel may not be wrapped or overlapped.
(ii) A spiny lobster trap used or possessed in the Caribbean EEZ
must contain on any vertical side or on the top a panel no smaller in
diameter than the throat or entrance of the trap. The panel must be made
of or attached to the trap by one of the following degradable materials:
(A) Untreated fiber of biological origin with a diameter not
exceeding \1/8\ inch (3.2 mm). This includes, but is not limited to tyre
palm, hemp, jute, cotton, wool, or silk.
(B) Ungalvanized or uncoated iron wire with a diameter not exceeding
\1/16\ inch (1.6 mm), that is, 16 gauge wire.
(2) Gulf EEZ. A fish trap used or possessed in the Gulf EEZ must
have at least two escape windows on each of two sides, excluding the
bottom (a total of four escape windows), that are 2 by 2 inches (5.1 by
5.1 cm) or larger. In addition, a fish trap must have a panel or access
door located opposite each side of the trap that has a funnel. The
opening covered by each panel or access door must be 144 in\2\ (929
cm\2\) or larger, with one dimension of the area equal to or larger than
the largest interior axis of the trap's throat (funnel) with no other
dimension less than 6 inches (15.2 cm). The hinges and fasteners of each
panel or access door must be constructed of one of the following
degradable materials:
(i) Untreated jute string with a diameter not exceeding \3/16\ inch
(4.8 mm) that is not wrapped or overlapped.
(ii) Magnesium alloy, time float releases (pop-up devices) or
similar magnesium alloy fasteners.
(3) South Atlantic EEZ. (i) A sea bass pot that is used or possessed
in the South Atlantic EEZ between 35[deg]15.19[min] N. lat. (due east of
Cape Hatteras Light, NC) and 28[deg]35.1[min] N. lat. (due east of the
NASA Vehicle Assembly Building, Cape Canaveral, FL) is required to
have--
[[Page 234]]
(A) On at least one side, excluding top and bottom, a panel or door
with an opening equal to or larger than the interior end of the trap's
throat (funnel). The hinges and fasteners of each panel or door must be
made of one of the following degradable materials:
(1) Ungalvanized or uncoated iron wire with a diameter not exceeding
0.041 inches (1.0 mm), that is, 19 gauge wire.
(2) Galvanic timed-release mechanisms with a letter grade
designation (degradability index) no higher than J.
(B) An unobstructed escape vent opening on at least two opposite
vertical sides, excluding top and bottom. The minimum dimensions of an
escape vent opening (based on inside measurement) are:
(1) 1\1/8\ by 5\3/4\ inches (2.9 by 14.6 cm) for a rectangular vent.
(2) 1.75 by 1.75 inches (4.5 by 4.5 cm) for a square vent.
(3) 2.0-inch (5.1-cm) diameter for a round vent.
(ii) A golden crab trap that is used or possessed in the South
Atlantic EEZ must have at least one escape gap or escape ring on each of
two opposite vertical sides. The minimum allowable inside dimensions of
an escape gap are 2.75 by 3.75 inches (7.0 by 9.5 cm); the minimum
allowable inside diameter of an escape ring is 4.5 inches (11.4 cm). In
addition to the escape gaps--
(A) A golden crab trap constructed of webbing must have an opening
(slit) at least 1 ft (30.5 cm) long that may be closed (relaced) only
with untreated cotton string no larger than \3/16\ inch (0.48 cm) in
diameter.
(B) A golden crab trap constructed of material other than webbing
must have an escape panel or door measuring at least 11 7/8 by 11 7/8
inches (30.2 by 30.2 cm), located on at least one side, excluding top
and bottom. The hinges or fasteners of such door or panel must be made
of either ungalvanized or uncoated iron wire no larger than 19 gauge
(0.04 inch (1.0 mm) in diameter) or untreated cotton string no larger
than \3/16\ inch (4.8 mm) in diameter.
(c) Construction requirements and mesh sizes--(1) Caribbean EEZ. A
bare-wire fish trap used or possessed in the EEZ that has hexagonal mesh
openings must have a minimum mesh size of 1.5 inches (3.8 cm) in the
smallest dimension measured between centers of opposite strands. A bare-
wire fish trap used or possessed in the EEZ that has other than
hexagonal mesh openings or a fish trap of other than bare wire, such as
coated wire or plastic, used or possessed in the EEZ, must have a
minimum mesh size of 2.0 inches (5.1 cm) in the smallest dimension
measured between centers of opposite strands.
(2) Gulf EEZ. A fish trap used or possessed in the Gulf EEZ must
meet all of the following mesh size requirements (based on centerline
measurements between opposite wires or netting strands):
(i) A minimum of 2 in\2\ (12.9 cm\2\) opening for each mesh.
(ii) One-inch (2.5-cm) minimum length for the shortest side.
(iii) Minimum distance of 1 inch (2.5 cm) between parallel sides of
rectangular openings, and 1.5 inches (3.8 cm) between parallel sides of
square openings and of mesh openings with more than four sides.
(iv) One and nine-tenths inches (4.8 cm) minimum distance for
diagonal measures of mesh.
(3) South Atlantic EEZ. (i) A sea bass pot used or possessed in the
South Atlantic EEZ must have mesh sizes as follows (based on centerline
measurements between opposite, parallel wires or netting strands):
(A) Hexagonal mesh (chicken wire)--at least 1.5 inches (3.8 cm)
between the wrapped sides;
(B) Square mesh--at least 1.5 inches (3.8 cm) between sides; or
(C) Rectangular mesh--at least 1 inch (2.5 cm) between the longer
sides and 2 inches (5.1 cm) between the shorter sides.
(ii) A golden crab trap deployed or possessed in the South Atlantic
EEZ may not exceed 64 ft\3\ (1.8 m\3\) in volume in the northern zone or
48 ft\3\ (1.4 m\3\) in volume in the middle and southern zones. See
Sec. 622.17(b) for specification of the golden crab zones.
(d) Area-specific restrictions--(1) Gulf EEZ. In the Gulf EEZ, a
fish trap may be pulled or tended only from official sunrise to official
sunset. The operator of a vessel from which a fish trap is deployed in
the Gulf EEZ must retrieve all the vessel's fish traps and return
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them to port on each trip. A fish trap that is not returned to port on a
trip, and its attached line and buoy, may be disposed of in any
appropriate manner by the Assistant Administrator or an authorized
officer. The owner of such trap and/or the operator of the responsible
vessel is subject to appropriate civil penalties. A buoy that floats on
the surface must be attached to each fish trap, or to each end trap of
traps that are connected by a line, used in the Gulf EEZ. The maximum
allowable size for a fish trap fished in the Gulf EEZ shoreward of the
50-fathom (91.4-m) isobath is 33 ft\3\ (0.9 m\3\) in volume. Fish trap
volume is determined by measuring the external dimensions of the trap,
and includes both the enclosed holding capacity of the trap and the
volume of the funnel(s) within those dimensions. There is no size
limitation for fish traps fished seaward of the 50-fathom (91.4-m)
isobath. The maximum number of traps that may be assigned to, possessed,
or fished in the Gulf EEZ by a vessel is 100.
(2) South Atlantic EEZ. (i) In the South Atlantic EEZ, sea bass pots
may not be used or possessed in multiple configurations, that is, two or
more pots may not be attached one to another so that their overall
dimensions exceed those allowed for an individual sea bass pot. This
does not preclude connecting individual pots to a line, such as a
``trawl'' or trot line.
(ii) Rope is the only material allowed to be used for a buoy line or
mainline attached to a golden crab trap, except that wire cable is
allowed for a mainline through December 31, 2002.
[61 FR 34934, July 3, 1996, as amended at 61 FR 43959, Aug. 27, 1996; 62
FR 13988, Mar. 25, 1997; 63 FR 10568, Mar. 4, 1998; 63 FR 38303, July
16, 1998; 63 FR 57590, Oct. 28, 1998; 64 FR 3628, Jan. 25, 1999; 67 FR
22362, May 3, 2002; 70 FR 62081, Oct. 28, 2005]
Effective Date Note: At 71 FR 55107, Sept. 21, 2006, Sec. 622.40
was amended by revising paragraphs (c)(3)(i) and (d)(2), effective Oct.
23, 2006. For the convenience of the user, the revised text is set forth
as follows:
Sec. 622.40 Limitations on traps and pots.
* * * * *
(c) * * *
(3) * * *
(i) A sea bass pot used or possessed in the South Atlantic EEZ must
have mesh sizes as follows (based on centerline measurements between
opposite, parallel wires or netting strands):
(A) For sides of the pot other than the back panel:
(1) Hexagonal mesh (chicken wire)--at least 1.5 inches (3.8 cm)
between the wrapped sides;
(2) Square mesh--at least 1.5 inches (3.8 cm) between sides; or
(3) Rectangular mesh--at least 1 inch (2.5 cm) between the longer
sides and 2 inches (5.1 cm) between the shorter sides.
(B) For the entire back panel, i.e., the side of the pot opposite
the side that contains the pot entrance, mesh that is at least 2 inches
(5.1 cm) between sides.
* * * * *
(d) * * *
(2) South Atlantic EEZ--(i) Sea bass pots. (A) In the South Atlantic
EEZ, sea bass pots may not be used or possessed in multiple
configurations, that is, two or more pots may not be attached one to
another so that their overall dimensions exceed those allowed for an
individual sea bass pot. This does not preclude connecting individual
pots to a line, such as a ``trawl'' or trot line.
(B) A sea bass pot must be removed from the water in the South
Atlantic EEZ when the quota specified in Sec. 622.42(e)(5) is reached.
The RA may authorize a grace period of up to 10 days for removal of pots
after a closure is in effect based on exigent circumstances which
include, but are not limited to, insufficient advance notice of a
closure or severe weather. In addition, a person may request that the RA
grant such a grace period based on severe personal hardship, such as
equipment failure or the vessel operator's health, by providing a letter
outlining the nature and circumstances of the severe personal hardship
to be received by the RA no later than the effective date of the
closure. The RA will advise the requester of the approval or disapproval
of the request. After a closure is in effect, a black sea bass may not
be retained by a vessel that has a sea bass pot on board.
(ii) Golden crab traps. Rope is the only material allowed to be used
for a buoy line or mainline attached to a golden crab trap.
Sec. 622.41 Species specific limitations.
(a) Aquacultured live rock. In the Gulf or South Atlantic EEZ:
(1) Aquacultured live rock may be harvested only under a permit, as
required under Sec. 622.4(a)(3)(iii), and aquacultured live rock on a
site may be harvested only by the person, or his or
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her employee, contractor, or agent, who has been issued the aquacultured
live rock permit for the site. A person harvesting aquacultured live
rock is exempt from the prohibition on taking prohibited coral for such
prohibited coral as attaches to aquacultured live rock.
(2) The following restrictions apply to individual aquaculture
activities:
(i) No aquaculture site may exceed 1 acre (0.4 ha) in size.
(ii) Material deposited on the aquaculture site--
(A) May not be placed over naturally occurring reef outcrops,
limestone ledges, coral reefs, or vegetated areas.
(B) Must be free of contaminants.
(C) Must be nontoxic.
(D) Must be placed on the site by hand or lowered completely to the
bottom under restraint, that is, not allowed to fall freely.
(E) Must be placed from a vessel that is anchored.
(F) In the Gulf EEZ, must be distinguishable, geologically or
otherwise (for example, be indelibly marked or tagged), from the
naturally occurring substrate.
(G) In the South Atlantic EEZ, must be geologically distinguishable
from the naturally occurring substrate and, in addition, may be
indelibly marked or tagged.
(iii) A minimum setback of at least 50 ft (15.2 m) must be
maintained from natural vegetated or hard bottom habitats.
(3) Mechanically dredging or drilling, or otherwise disturbing,
aquacultured live rock is prohibited, and aquacultured live rock may be
harvested only by hand. In addition, the following activities are
prohibited in the South Atlantic: Chipping of aquacultured live rock in
the EEZ, possession of chipped aquacultured live rock in or from the
EEZ, removal of allowable octocoral or prohibited coral from
aquacultured live rock in or from the EEZ, and possession of prohibited
coral not attached to aquacultured live rock or allowable octocoral,
while aquacultured live rock is in possession. See the definition of
``Allowable octocoral'' for clarification of the distinction between
allowable octocoral and live rock. For the purposes of this paragraph
(a)(3), chipping means breaking up reefs, ledges, or rocks into
fragments, usually by means of a chisel and hammer.
(4) Not less than 24 hours prior to harvest of aquacultured live
rock, the owner or operator of the harvesting vessel must provide the
following information to the NMFS Law Enforcement Office, Southeast
Area, St. Petersburg, FL, telephone 727-570-5344:
(i) Permit number of site to be harvested and date of harvest.
(ii) Name and official number of the vessel to be used in
harvesting.
(iii) Date, port, and facility at which aquacultured live rock will
be landed.
(b) Caribbean reef fish anchoring restriction. The owner or operator
of any fishing vessel, recreational or commercial, that fishes for or
possesses Caribbean reef fish in or from the Caribbean EEZ must ensure
that the vessel uses only an anchor retrieval system that recovers the
anchor by its crown, thereby preventing the anchor from dragging along
the bottom during recovery. For a grapnel hook, this could include an
incorporated anchor rode reversal bar that runs parallel along the
shank, which allows the rode to reverse and slip back toward the crown.
For a fluke- or plow-type anchor, a trip line consisting of a line from
the crown of the anchor to a surface buoy would be required.
(c) Coastal migratory pelagic fish--(1) Authorized gear. Subject to
the prohibitions on gear/methods specified in Sec. 622.31, the
following are the only fishing gears that may be used in the Gulf, Mid-
Atlantic, and South Atlantic EEZ in directed fisheries for coastal
migratory pelagic fish:
(i) King mackerel, Atlantic migratory group--
(A) North of 34[deg]37.3[min] N. lat., the latitude of Cape Lookout
Light, NC--all gear except drift gillnet and long gillnet.
(B) South of 34[deg]37.3[min] N. lat.--automatic reel, bandit gear,
handline, and rod and reel.
(ii) King mackerel, Gulf migratory group--hook-and-line gear and, in
the southern Florida west coast subzone only, run-around gillnet. (See
Sec. 622.42(c)(1)(i)(A)(3) for a description of
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the southern Florida west coast subzone.)
(iii) Spanish mackerel, Atlantic migratory group--automatic reel,
bandit gear, handline, rod and reel, cast net, run-around gillnet, and
stab net.
(iv) Spanish mackerel, Gulf migratory group--all gear except drift
gillnet, long gillnet, and purse seine.
(v) Cobia in the Mid-Atlantic and South Atlantic EEZ and little
tunny in the South Atlantic EEZ south of 34[deg]37.3[min] N. lat.--
automatic reel, bandit gear, handline, rod and reel, and pelagic
longline.
(vi) Cero in the South Atlantic EEZ and little tunny in the South
Atlantic EEZ north of 34[deg]37.3[min] N. lat.--all gear except drift
gillnet and long gillnet.
(vii) Bluefish, cero, cobia, dolphin, and little tunny in the Gulf
EEZ--all gear except drift gillnet and long gillnet.
(2) Unauthorized gear. Gear types other than those specified in
paragraph (c)(1) of this section are unauthorized gear and the following
possession limitations apply:
(i) Long gillnets. A vessel with a long gillnet on board in, or that
has fished on a trip in, the Gulf, Mid-Atlantic, or South Atlantic EEZ
may not have on board on that trip a coastal migratory pelagic fish.
(ii) Drift gillnets. A vessel with a drift gillnet on board in, or
that has fished on a trip in, the Gulf EEZ may not have on board on that
trip a coastal migratory pelagic fish.
(iii) Other unauthorized gear.