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  <VOL>76</VOL>
  <NO>8</NO>
  <DATE>Wednesday, January 12, 2011</DATE>
  <UNITNAME>Contents</UNITNAME>
  <CNTNTS>
    <AGCY>
      <EAR>Agency Health</EAR>
      <PRTPAGE P="iii"/>
      <HD>Agency for Healthcare Research and Quality</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2121-2123</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-405</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Agriculture</EAR>
      <HD>Agriculture Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Forest Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Centers Disease</EAR>
      <HD>Centers for Disease Control and Prevention</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2123</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-460</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commerce</EAR>
      <HD>Commerce Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Economic Development Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>International Trade Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Oceanic and Atmospheric Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Telecommunications and Information Administration</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2081-2082</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-399</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commission Fine</EAR>
      <HD>Commission of Fine Arts</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings,</DOC>
          <PGS>2087</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-251</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Corporation</EAR>
      <HD>Corporation for National and Community Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2087-2088</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-461</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-465</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Defense Department</EAR>
      <HD>Defense Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Navy Department</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Economic Development</EAR>
      <HD>Economic Development Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Petitions for Determination of Eligibility to Apply for Trade Adjustment Assistance,</DOC>
          <PGS>2082</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-503</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Education</EAR>
      <HD>Education Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2089-2091</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-530</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-500</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-502</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Indian Education Formula Grants to Local Educational Agencies,</DOC>
          <PGS>2091-2093</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-529</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Employee Benefits</EAR>
      <HD>Employee Benefits Security Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Hearing on Definition of Fiduciary,</DOC>
          <PGS>2142-2143</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-483</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Employment and Training</EAR>
      <HD>Employment and Training Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2143-2144</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-471</FRDOCBP>
        </DOCENT>
        <SJ>Amended Certifications Regarding Eligibility To Apply for Worker Adjustment Assistance:</SJ>
        <SJDENT>
          <SJDOC>International Paper Co., Franklin, VA,</SJDOC>
          <PGS>2145</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-514</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Masco Builder Cabinet Group, Jackson, Waverly, Seal Township and Seaman, OH,</SJDOC>
          <PGS>2145</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-512</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Quest Diagnostics, Inc., et al., West Norriton, PA,</SJDOC>
          <PGS>2144-2145</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-516</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Determinations Regarding Eligibility to Apply for Worker Adjustment Assistance,</DOC>
          <PGS>2145-2147</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-510</FRDOCBP>
        </DOCENT>
        <SJ>Revised Determination on Reconsideration:</SJ>
        <SJDENT>
          <SJDOC>Specialty Minerals, Inc., Franklin, VA,</SJDOC>
          <PGS>2148-2149</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-515</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>UAW-Chrysler National Training Center, Detroit and Warren, MI,</SJDOC>
          <PGS>2147-2148</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-511</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Xilinx, Inc., Albuquerque, NM,</SJDOC>
          <PGS>2148</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-513</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Energy Department</EAR>
      <HD>Energy Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Application for Blanket Authorization to Export Liquefied Natural Gas:</SJ>
        <SJDENT>
          <SJDOC>Eni USA Gas Marketing LLC,</SJDOC>
          <PGS>2093-2095</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-481</FRDOCBP>
        </SJDENT>
        <SJ>Environmental Impact Statements; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Hawai'i Interisland Renewable Energy Program,</SJDOC>
          <PGS>2095-2096</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-479</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Proposed Abengoa Biorefinery Project near Hugoton, Stevens County, KN,</SJDOC>
          <PGS>2096-2105</PGS>
          <FRDOCBP D="9" T="12JAN1.sgm">2011-480</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Environmental Protection</EAR>
      <HD>Environmental Protection Agency</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Approval and Promulgation of Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>Indiana; Removal of Vehicle Inspection and Maintenance Programs for Clark and Floyd Counties,</SJDOC>
          <PGS>2066-2070</PGS>
          <FRDOCBP D="4" T="12JAP1.sgm">2011-343</FRDOCBP>
        </SJDENT>
        <SJ>Approvals and Promulgations of Air Quality Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>Virginia; Prevention of Significant Deterioration; Greenhouse Gas Permitting Authority and Tailoring Rule Revision,</SJDOC>
          <PGS>2070-2076</PGS>
          <FRDOCBP D="6" T="12JAP1.sgm">2011-495</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Revised ASTM Standards that Provide Flexibility in Use of Alternatives to Mercury-Containing Thermometers,</DOC>
          <PGS>2056-2066</PGS>
          <FRDOCBP D="10" T="12JAP1.sgm">2011-246</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Environmental Impact Assessment of Nongovernmental Activities in Antarctica,</SJDOC>
          <PGS>2106-2107</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-498</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Notification of Episodic Releases of Oil and Hazardous Substances,</SJDOC>
          <PGS>2105-2106</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-494</FRDOCBP>
        </SJDENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Human Studies Review Board,</SJDOC>
          <PGS>2107-2109</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-625</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Next Generation Risk Assessment Public Dialogue Conference; Correction,</SJDOC>
          <PGS>2109</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">C1--2010--32977</FRDOCBP>
        </SJDENT>
        <SJ>Methomyl:</SJ>
        <SJDENT>
          <SJDOC>Cancellation Orders for Amendments to Terminate Use of Methomyl on Grapes; Correction,</SJDOC>
          <PGS>2109-2110</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-344</FRDOCBP>
        </SJDENT>
        <SJ>Pesticide Petitions:</SJ>
        <SJDENT>
          <SJDOC>Residues of Pesticide Chemicals in or on Various Commodities,</SJDOC>
          <PGS>2110-2111</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-488</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Requests for Amendments to Delete Uses in Certain Pesticide Registrations,</DOC>
          <PGS>2111-2112</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-491</FRDOCBP>
        </DOCENT>
        <SJ>Settlements:</SJ>
        <SJDENT>
          <SJDOC>Peach Orchard Road Groundwater Plume Site, Augusta, Richmond County, GA,</SJDOC>
          <PGS>2112-2113</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-497</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Equal</EAR>
      <HD>Equal Employment Opportunity Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>2113</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-655</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Executive Office of the President</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Presidential Documents</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Federal Aviation</EAR>
      <PRTPAGE P="iv"/>
      <HD>Federal Aviation Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Airworthiness Directives:</SJ>
        <SJDENT>
          <SJDOC>M7 Aerospace LP (Type Certificate Previously Held by Fairchild Aircraft Incorporated) Models SA26-AT; et al.,</SJDOC>
          <PGS>1996-1999</PGS>
          <FRDOCBP D="3" T="12JAR1.sgm">2011-457</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Pilatus Aircraft Ltd. Models PC-6, PC-6 H1, PC-6 H2, PC-6/350, PC-6/350 H1, et al. Airplanes,</SJDOC>
          <PGS>1990-1993</PGS>
          <FRDOCBP D="3" T="12JAR1.sgm">2010-33333</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Short Brothers PLC Model SD3 Airplanes,</SJDOC>
          <PGS>1985-1990</PGS>
          <FRDOCBP D="5" T="12JAR1.sgm">2011-30</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>The Boeing Company Model 757 Airplanes,</SJDOC>
          <PGS>1979-1983</PGS>
          <FRDOCBP D="4" T="12JAR1.sgm">2011-371</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>The Boeing Company Model DC-9-81 (MD-81), DC-9-82 (MD-82), DC-9-83 (MD-83), DC-9-87 (MD-87), and MD-88 Airplanes,</SJDOC>
          <PGS>1993-1996</PGS>
          <FRDOCBP D="3" T="12JAR1.sgm">2010-33345</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>The Boeing Company Model MD-11 and MD 11F Airplanes,</SJDOC>
          <PGS>1983-1985</PGS>
          <FRDOCBP D="2" T="12JAR1.sgm">2011-271</FRDOCBP>
        </SJDENT>
        <SJ>Establishment of Class E Airspace:</SJ>
        <SJDENT>
          <SJDOC>Panguitch, UT,</SJDOC>
          <PGS>1999-2000</PGS>
          <FRDOCBP D="1" T="12JAR1.sgm">2011-353</FRDOCBP>
        </SJDENT>
        <SJ>Modification of Class E Airspace:</SJ>
        <SJDENT>
          <SJDOC>Show Low, AZ,</SJDOC>
          <PGS>2000</PGS>
          <FRDOCBP D="0" T="12JAR1.sgm">2011-356</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Procedures for Protests and Contracts Disputes,</DOC>
          <PGS>2035-2048</PGS>
          <FRDOCBP D="13" T="12JAP1.sgm">2011-397</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Communications</EAR>
      <HD>Federal Communications Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2113-2114</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-375</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-376</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Emergency</EAR>
      <HD>Federal Emergency Management Agency</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Federal Radiological Preparedness Coordinating Committee,</SJDOC>
          <PGS>2131-2132</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-427</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Maritime</EAR>
      <HD>Federal Maritime Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agreements Filed,</DOC>
          <PGS>2114-2115</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-508</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Motor</EAR>
      <HD>Federal Motor Carrier Safety Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Qualifications of Drivers; Exemption Applications:</SJ>
        <SJDENT>
          <SJDOC>Vision,</SJDOC>
          <PGS>2190-2192</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-241</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Railroad</EAR>
      <HD>Federal Railroad Administration</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Locomotive Safety Standards,</DOC>
          <PGS>2200-2238</PGS>
          <FRDOCBP D="38" T="12JAP2.sgm">2010-33244</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Trade</EAR>
      <HD>Federal Trade Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Granting of Early Termination of Waiting Period Under Premerger Notification Rules,</DOC>
          <PGS>2115-2120</PGS>
          <FRDOCBP D="3" T="12JAN1.sgm">2011-324</FRDOCBP>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-334</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Fine Arts Commission</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Commission of Fine Arts</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Fish</EAR>
      <HD>Fish and Wildlife Service</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Designation of Critical Habitat for Tumbling Creek Cavesnail,</SJDOC>
          <PGS>2076-2080</PGS>
          <FRDOCBP D="4" T="12JAP1.sgm">2011-468</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Land Protection Plans:</SJ>
        <SJDENT>
          <SJDOC>Proposed Everglades Headwaters National Wildlife Refuge and Conservation Area,</SJDOC>
          <PGS>2132-2133</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-453</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food and Drug</EAR>
      <HD>Food and Drug Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Current Good Manufacturing Practice Quality System Regulation,</SJDOC>
          <PGS>2123-2124</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-455</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Patent Term Restoration, Due Diligence Petitions, Filing, Format, and Content of Petitions,</SJDOC>
          <PGS>2127-2128</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-459</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Voluntary National Retail Food Regulatory Program Standards,</SJDOC>
          <PGS>2124-2127</PGS>
          <FRDOCBP D="3" T="12JAN1.sgm">2011-458</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Foreign Assets</EAR>
      <HD>Foreign Assets Control Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Blocking Property of Certain Persons Contributing to the Conflict in Côte d'Ivoir,</DOC>
          <PGS>2193</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-525</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Forest</EAR>
      <HD>Forest Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>El Dorado County Resource Advisory Council,</SJDOC>
          <PGS>2081</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-364</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Ketchikan Resource Advisory Committee,</SJDOC>
          <PGS>2081</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-325</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Health and Human</EAR>
      <HD>Health and Human Services Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Agency for Healthcare Research and Quality</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Centers for Disease Control and Prevention</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Food and Drug Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Institutes of Health</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2121</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-428</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Homeland</EAR>
      <HD>Homeland Security Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Emergency Management Agency</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Exercise of Authority under Section 212 of the Immigration and Nationality Act,</DOC>
          <PGS>2130-2131</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-425</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-426</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Interior</EAR>
      <HD>Interior Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Fish and Wildlife Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Land Management Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Park Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Internal Revenue</EAR>
      <HD>Internal Revenue Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Area 1 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2195-2196</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-404</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 2 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2195</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-406</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 3 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2195</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-409</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 4 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2194</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-403</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 5 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2195</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-407</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 6 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2194-2195</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-411</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Area 7 Taxpayer Advocacy Panel,</SJDOC>
          <PGS>2194</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-417</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Earned Income Tax Credit Project Committee,</SJDOC>
          <PGS>2197</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-421</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Joint Committee,</SJDOC>
          <PGS>2193</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-413</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Notice Improvement Project Committee,</SJDOC>
          <PGS>2194</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-422</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Small Business/Self Employed Correspondence Exam Practitioner Engagement,</SJDOC>
          <PGS>2193-2194</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-415</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Small Business/Self Employed Correspondence Exam Toll Free,</SJDOC>
          <PGS>2196</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-418</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Tax Forms and Publications Project Committee,</SJDOC>
          <PGS>2196</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-402</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Taxpayer Assistance Center Committee,</SJDOC>
          <PGS>2197</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-420</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel Volunteer Income Tax Assistance Project Committee,</SJDOC>
          <PGS>2196-2197</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-419</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>International Trade Adm</EAR>
      <PRTPAGE P="v"/>
      <HD>International Trade Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Initiations of Five-Year (Sunset) Reviews; Correction,</DOC>
          <PGS>2083</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">C1--2010--27522</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Justice Department</EAR>
      <HD>Justice Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Juvenile Justice and Delinquency Prevention Office</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Lodging Of Consent Decree Under CERCLA,</DOC>
          <PGS>2134</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-463</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Lodging of Settlement Agreement Under CERCLA, etc.,</DOC>
          <PGS>2134-2135</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-523</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Juvenile</EAR>
      <HD>Juvenile Justice and Delinquency Prevention Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Proposed Plan for Fiscal Year 2011,</DOC>
          <PGS>2135-2142</PGS>
          <FRDOCBP D="7" T="12JAN1.sgm">2011-548</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Labor Department</EAR>
      <HD>Labor Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Employee Benefits Security Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Employment and Training Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Labor Statistics Bureau</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Labor Statistics</EAR>
      <HD>Labor Statistics Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2149-2150</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-474</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Land</EAR>
      <HD>Land Management Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Filing of Plat of Survey:</SJ>
        <SJDENT>
          <SJDOC>Eastern States,</SJDOC>
          <PGS>2133</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-452</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-456</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>NASA</EAR>
      <HD>National Aeronautics and Space Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Government Property,</DOC>
          <PGS>2001-2011</PGS>
          <FRDOCBP D="10" T="12JAR1.sgm">2010-32741</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Education and Public Outreach Committee,</SJDOC>
          <PGS>2150</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-424</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Credit</EAR>
      <HD>National Credit Union Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>2151</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-596</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Institute</EAR>
      <HD>National Institutes of Health</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>National Heart, Lung, and Blood Institute,</SJDOC>
          <PGS>2128</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-583</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Allergy and Infectious Diseases,</SJDOC>
          <PGS>2128-2129</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-581</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Neurological Disorders and Stroke,</SJDOC>
          <PGS>2129-2130</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-577</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-579</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute on Alcohol Abuse and Alcoholism,</SJDOC>
          <PGS>2128-2129</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-580</FRDOCBP>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-582</FRDOCBP>
        </SJDENT>
        <SJ>Prospective Grants of Exclusive Licenses:</SJ>
        <SJDENT>
          <SJDOC>Inhibitors of Plasmodial Surface Anion Channel as Antimalarials,</SJDOC>
          <PGS>2130</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-549</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Oceanic</EAR>
      <HD>National Oceanic and Atmospheric Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Fisheries of the Exclusive Economic Zone Off Alaska:</SJ>
        <SJDENT>
          <SJDOC>Steller Sea Lion Protection Measures for the Bering Sea and Aleutian Islands Groundfish Fisheries,</SJDOC>
          <PGS>2027-2028</PGS>
          <FRDOCBP D="1" T="12JAR1.sgm">2011-531</FRDOCBP>
        </SJDENT>
        <SJ>High Seas Driftnet Fishing Moratorium Protection Act:</SJ>
        <SJDENT>
          <SJDOC>Identification and Certification Procedures to Address Illegal, Unreported, and Unregulated Fishing Activities, etc.,</SJDOC>
          <PGS>2011-2027</PGS>
          <FRDOCBP D="16" T="12JAR1.sgm">2011-507</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Jobos Bay National Estuarine Research Reserve Management Plan,</DOC>
          <PGS>2083</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-506</FRDOCBP>
        </DOCENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>North Pacific Fishery Management Council,</SJDOC>
          <PGS>2084</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-521</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Pacific Fishery Management Council,</SJDOC>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-518</FRDOCBP>
          <PGS>2083-2085</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-519</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-520</FRDOCBP>
        </SJDENT>
        <SJ>Revised Management Plans; Availability:</SJ>
        <SJDENT>
          <SJDOC>North Inlet-Winyah Bay, SC and San Francisco Bay, CA,</SJDOC>
          <PGS>2085-2086</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-504</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Park</EAR>
      <HD>National Park Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>National Capital Memorial Advisory Commission,</SJDOC>
          <PGS>2133-2134</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-473</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Science</EAR>
      <HD>National Science Foundation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2151</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-524</FRDOCBP>
        </DOCENT>
        <SJ>Assumption Buster Workshop:</SJ>
        <SJDENT>
          <SJDOC>Defense-in-Depth is a Smart Investment for Cyber Security,</SJDOC>
          <PGS>2151-2152</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-522</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Telecommunications</EAR>
      <HD>National Telecommunications and Information Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Request for Applications:</SJ>
        <SJDENT>
          <SJDOC>Commerce Spectrum Management Advisory Committee,</SJDOC>
          <PGS>2086-2087</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-423</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Navy</EAR>
      <HD>Navy Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Grant of Exclusive Patent License:</SJ>
        <SJDENT>
          <SJDOC>IRFlex Corp.,</SJDOC>
          <PGS>2088-2089</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-451</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Presidential Documents</EAR>
      <HD>Presidential Documents</HD>
      <CAT>
        <HD>PROCLAMATIONS</HD>
        <SJ>Special Observances:</SJ>
        <SJDENT>
          <SJDOC>Honoring the Victims of the Tragedy in Tucson, AZ (Proc. 8622),</SJDOC>
          <PGS>2239-2241</PGS>
          <FRDOCBP D="2" T="12JAD0.sgm">2011-710</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Securities</EAR>
      <HD>Securities and Exchange Commission</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Suspension of Duty to File Reports for Classes of Asset-Backed Securities,</DOC>
          <PGS>2049-2056</PGS>
          <FRDOCBP D="7" T="12JAP1.sgm">2011-416</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-447</FRDOCBP>
          <PGS>2152-2156</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-448</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-449</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-475</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-476</FRDOCBP>
        </DOCENT>
        <SJ>Self-Regulatory Organizations; Proposed Rule Changes:</SJ>
        <SJDENT>
          <SJDOC>Chicago Board Options Exchange, Inc.,</SJDOC>
          <PGS>2158-2162</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-439</FRDOCBP>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-443</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>EDGA Exchange, Inc.,</SJDOC>
          <PGS>2172-2173</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-429</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>EDGX Exchange, Inc.,</SJDOC>
          <PGS>2168-2170</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-430</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>International Securities Exchange, LLC,</SJDOC>
          <PGS>2170-2171, 2173-2176</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-440</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-442</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-477</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Municipal Securities Rulemaking Board,</SJDOC>
          <PGS>2162-2163</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-433</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NASDAQ OMX PHLX LLC,</SJDOC>
          <PGS>2180-2183, 2187-2188</PGS>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-435</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-441</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-445</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NASDAQ Stock Market, LLC,</SJDOC>
          <PGS>2156-2158, 2164-2168, 2178-2180, 2188-2189</PGS>
          <FRDOCBP D="4" T="12JAN1.sgm">2011-431</FRDOCBP>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-436</FRDOCBP>
          <FRDOCBP D="2" T="12JAN1.sgm">2011-438</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-444</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NYSE Arca, Inc.,</SJDOC>
          <PGS>2163-2164, 2176-2177, 2183-2186</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-432</FRDOCBP>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-437</FRDOCBP>
          <FRDOCBP D="3" T="12JAN1.sgm">2011-446</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Small Business</EAR>
      <HD>Small Business Administration</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Energy Saving Qualified Investments:</SJ>
        <SJDENT>
          <SJDOC>Small Business Investment Companies,</SJDOC>
          <PGS>2029-2035</PGS>
          <FRDOCBP D="6" T="12JAP1.sgm">2011-486</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Surrenders of Licenses of Small Business Investment Companies,</DOC>
          <PGS>2189</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-315</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Social</EAR>
      <PRTPAGE P="vi"/>
      <HD>Social Security Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Charter Renewals:</SJ>
        <SJDENT>
          <SJDOC>Occupational Information Development Advisory Panel,</SJDOC>
          <PGS>2189-2190</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-401</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>State Department</EAR>
      <HD>State Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Certificate of Eligibility for Exchange Visitor (J-1) Status,</SJDOC>
          <PGS>2190</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-501</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Surface Transportation</EAR>
      <HD>Surface Transportation Board</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Release of Waybill Data,</DOC>
          <PGS>2192</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-450</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Thrift Supervision</EAR>
      <HD>Thrift Supervision Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Identity Theft Red Flags and Address Discrepancies under the Fair and Accurate Credit Transactions Act of 2003,</SJDOC>
          <PGS>2197-2198</PGS>
          <FRDOCBP D="1" T="12JAN1.sgm">2011-400</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Transportation Department</EAR>
      <HD>Transportation Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Aviation Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Motor Carrier Safety Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Railroad Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Surface Transportation Board</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Treasury</EAR>
      <HD>Treasury Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Foreign Assets Control Office</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Internal Revenue Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Thrift Supervision Office</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Veteran Affairs</EAR>
      <HD>Veterans Affairs Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>2198</PGS>
          <FRDOCBP D="0" T="12JAN1.sgm">2011-482</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <PTS>
      <HD SOURCE="HED">Separate Parts In This Issue</HD>
      <HD>Part II</HD>
      <DOCENT>
        <DOC>Transportation Department, Federal Railroad Administration,</DOC>
        <PGS>2200-2238</PGS>
        <FRDOCBP D="38" T="12JAP2.sgm">2010-33244</FRDOCBP>
      </DOCENT>
      <HD>Part III</HD>
      <DOCENT>
        <DOC>Presidential Documents,</DOC>
        <PGS>2239-2241</PGS>
        <FRDOCBP D="2" T="12JAD0.sgm">2011-710</FRDOCBP>
      </DOCENT>
    </PTS>
    <AIDS>
      <HD SOURCE="HED">Reader Aids</HD>
      <P>Consult the Reader Aids section at the end of this page for phone numbers, online resources, finding aids, reminders, and notice of recently enacted public laws.</P>
      
      <P>To subscribe to the Federal Register Table of Contents LISTSERV electronic mailing list, go to http://listserv.access.gpo.gov and select Online mailing list archives, FEDREGTOC-L, Join or leave the list (or change settings); then follow the instructions.</P>
    </AIDS>
  </CNTNTS>
  <VOL>76</VOL>
  <NO>8</NO>
  <DATE>Wednesday, January 12, 2011</DATE>
  <UNITNAME>Rules and Regulations</UNITNAME>
  <RULES>
    <RULE>
      <PREAMB>
        <PRTPAGE P="1979"/>
        <AGENCY TYPE="F">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2008-0295; Directorate Identifier 2007-NM-298-AD; Amendment 39-16576; AD 2011-02-03]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; The Boeing Company Model 757 Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), Department of Transportation (DOT).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The FAA is adopting a new airworthiness directive (AD) for Model 757-200, -200PF, -200CB, and -300 series airplanes. This AD requires an inspection of the two spring arms in the spin brake assemblies in the nose wheel well to determine if the spring arms are made of aluminum or composite material, and repetitive related investigative/corrective actions if necessary. This AD also provides options for terminating the repetitive actions. This AD results from reports of cracked and broken aluminum springs. We are issuing this AD to detect and correct cracked or broken springs. A cracked or broken spring could separate from the airplane and result in potential hazard to persons or property on the ground, or ingestion into the engine with engine damage and potential shutdown, or damage to the airplane.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD becomes effective February 16, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of a certain publication listed in the AD as of February 16, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, P.O. Box 3707, MC 2H-65, Seattle, Washington 98124-2207; telephone 206-544-5000, extension 1; fax 206-766-5680; e-mail<E T="03">me.boecom@boeing.com;</E>Internet<E T="03">https://www.myboeingfleet.com.</E>
          </P>
        </ADD>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Management Facility between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this AD, the regulatory evaluation, any comments received, and other information. The address for the Docket Office (telephone 800-647-5527) is the Document Management Facility, U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Steve Fox, Aerospace Engineer, Airframe Branch, ANM-120S, FAA, Seattle Aircraft Certification Office, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone (425) 917-6425; fax (425) 917-6590.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>

        <P>The FAA issued a supplemental notice of proposed rulemaking (NPRM) to amend 14 CFR part 39 to include an AD that would apply to all Model 757-200, -200PF, -200CB, and -300 series airplanes. That supplemental NPRM was published in the<E T="04">Federal Register</E>on October 19, 2009 (74 FR 53430). The original NPRM proposed to require an inspection of the two spring arms in the spin brake assemblies in the nose wheel well to determine if the spring arms are made of aluminum or composite material, and repetitive related investigative/corrective actions if necessary. The original NPRM also would have provided for optional terminating actions for the repetitive inspections. The supplemental NPRM proposed to require revising the original NPRM to include a parts installation paragraph and to provide options for terminating the repetitive actions.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We provided the public the opportunity to participate in the development of this AD. We have considered the comments received on the supplemental NPRM. Continental Airlines had no additional comments beyond what was previously submitted in the supplemental NPRM.</P>
        <HD SOURCE="HD1">Request To Revise Delegation of Authority</HD>
        <P>Boeing requested that we revise the Delegation Option Authorization (DOA) holder to Boeing Commercial Airplanes Organization Designation Authorization (ODA) in paragraph (l)(3) of the supplemental NPRM.</P>
        <P>We agree with Boeing's request to revise the delegation of authority. Boeing Commercial Airplanes has received an ODA, which replaces the previous designation as a DOA holder. We have revised paragraph (m)(3) of this AD (paragraph (l)(3) of the supplemental NPRM) to add delegation of authority to Boeing Commercial Airplanes ODA to approve an alternative method of compliance (AMOC) for any repair required by this AD.</P>
        <HD SOURCE="HD1">Request To Revise the AD To Permit the Accomplishment of Paragraph (k) of this AD in a Shop Environment</HD>
        <P>American Airlines (AAL) requested that the supplemental NPRM permit the accomplishment of paragraph (j) of the supplemental NPRM, “Parts Installation,” in a shop environment. AAL stated that paragraph (j) of the supplemental NPRM (paragraph (k) of this AD) presents several issues that need resolution. AAL stated that the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, are applicable to an on-wing inspection with no provisions for shop instructions.</P>

        <P>AAL also stated that paragraph 3.B.5.a. of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, contains multiple areas of concern. AAL stated that the service bulletin instructs operators to “Replace the left or right (as applicable) aluminum spring with a new aluminum spring in accordance with FIGURE 4 ** *.” However, AAL stated that this figure provides instructions to replace the spring on-wing. AAL stated that it has processes in place by which the spring assembly (141N0091-22) is reworked (to include any necessary spring replacement) in accordance with Boeing drawing data in a shop environment. AAL stated that the supplemental NPRM contains no<PRTPAGE P="1980"/>provisions for accomplishing this spring replacement in a shop environment. AAL requested that the final rule contain appropriate language to allow operators to accomplish the intent of Figure 4 of the service bulletin in a shop environment.</P>
        <P>We disagree with AAL's request to include language specifying that the accomplishment of paragraph (k) of this AD is permitted in a shop environment. Although the final installation of the spin brakes is required by this AD and installation may be accomplished in a shop environment, AD compliance is established for airplanes and not parts. AAL may perform shop maintenance provided that the AD is complied with and the airplane meets the requirements of this AD.</P>
        <P>In addition, the service bulletin does not provide for inspections and replacement of parts in a shop environment where the installation of the spin brake assemblies could be accomplished off the airplane. The commenter does not provide sufficient suggestions to demonstrate and ensure that the corrected assemblies could be installed such that each affected airplane could demonstrate compliance. An operator may request approval of an alternative method of compliance (AMOC) in accordance with the provisions of paragraph (m) of this AD for brake assemblies that were re-worked off the airplane. No changes to the AD have been made in this regard.</P>
        <HD SOURCE="HD1">Request To Allow Replacement of the Existing Spin Brake Assembly With a Serviceable Spin Brake Assembly</HD>
        <P>AAL stated that there is an omission from paragraph 3.B.5.a. of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008. AAL stated that the paragraph allows replacement of the existing spin brake assembly with a new spin brake assembly in accordance with the Boeing 757 Airplane Maintenance Manual, but no provisions are made for installing a serviceable (used) spin brake.</P>
        <P>From these comments we infer that AAL is requesting that we revise the final rule to also allow replacement of an existing spin brake assembly with a serviceable assembly. We agree with AAL that a serviceable spin brake assembly is acceptable for compliance. We have added paragraph (j) of this AD to allow replacement with a serviceable spin brake assembly if the assembly is inspected and all applicable related investigative and corrective actions have been applied in accordance with the requirements of paragraph (g) of this AD.</P>
        <HD SOURCE="HD1">Request To Use Part Substitutions</HD>
        <P>AAL requested that we revise the supplemental NPRM to allow use of approved part substitutions for accomplishing the proposed actions. AAL stated that where common hardware such as washers, nuts, bolts, shims, sealants, and adhesives are specified in Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, operators with accepted processes may use approved substitutes determined to be equivalent in accordance with the operator parts management systems. AAL stated that this will eliminate a duplication of effort for all parties, including the operators, Boeing, and the engineering branch of the Seattle Aircraft Certification Office by avoiding unnecessary requests for AMOCs to allow equivalent hardware.</P>

        <P>AAL stated that many operators, including AAL, have an FAA-accepted process by which they combine certain parts that have been determined to be equivalent and are placed in inventory under a single company part number. AAL stated that this process is longstanding and is done to facilitate an efficient inventory system. AAL also stated that the parts disposition authority (PDA) for American Airlines is contained in the engineering procedures manual (EPM), which is incorporated into the general manual (GM). AAL stated that the GM is required by the FAA-approved operations specification. AAL stated that Section 15-20 of the EPM defines the process by which part equivalency can be established. The basis for equivalency is found in source documents provided by the original equipment manufacturer (OEM), such as the Boeing Spec-2000, Boeing Document D-590, Boeing qualified product list (QPL), the applicable aircraft illustrated parts catalog (IPC), or industry standard specifications such as military specification (MS), National Aerospace Standards (NAS), Army Navy (AN), Society of Automotive Engineers (SAE),<E T="03">etc.,</E>or other qualified data provided by the OEM. AAL also stated that in any case where equivalency is clearly unambiguous, AAL engineering will use these and other FAA-approved sources such as OEM drawings, specifications, OEM correspondence, or parts manufacturer approval (PMA) authorizations to determine the interchangeability of parts. AAL stated that while some of the above documents have been included as notes in applicable service bulletins in order to provide equivalency, it has found a number of cases where, during accomplishment of an AD, there was not sufficient information provided to make that assessment.</P>
        <P>We disagree with AAL's request to use part substitutions for accomplishing the actions in this AD. The requested list of substitute parts and materials is extensive and uncontrolled—and, in many cases, not FAA approved. An operator may request approval of an AMOC in accordance with the provisions of paragraph (m) of this AD. We have not changed this AD regarding this issue.</P>
        <HD SOURCE="HD1">Request To Revise the Phrase “Investigative and Corrective Actions”</HD>
        <P>Northwest Airlines (NWA) requested that we revise the phrase “investigative and corrective actions” in the supplemental NPRM. NWA stated that the use of the phrase “investigative and corrective actions” in paragraphs (g) and (j) of the supplemental NPRM may lead to confusion as to what action(s) in the service instructions are required. NWA proposed that the phrase be changed to “compliance action” in paragraph (g) of the supplemental NPRM, and that the phrase should be removed from paragraph (j) of the supplemental NPRM. NWA stated that the term “investigative and corrective actions” is not used in the service instructions and is not defined in the supplemental NPRM. NWA stated that in the process task flow of the service instructions, the “determination” or “investigation” of spring material type was identified earlier in paragraph (g) of the supplemental NPRM, and the tasks that remain to be accomplished are compliance actions (inspect or replace), and not investigative actions.</P>
        <P>We disagree with NWA's request to revise the phrase “investigative and corrective actions.” This terminology was defined in the Relevant Service Information section of the original NPRM. The “related investigative and corrective actions” include repetitive detailed and high frequency eddy current inspections for cracking of the aluminum spring arm, and the corrective action is replacing the spring arm with a new spring arm made of either aluminum or composite material. We have not changed this AD in this regard.</P>
        <HD SOURCE="HD1">Request To Add a Note to the Supplemental NPRM</HD>

        <P>NWA also requested that a note be added to the supplemental NPRM stating that Parts 1 and 6 of the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, are for operator use and<PRTPAGE P="1981"/>compliance documentation is not required.</P>
        <P>NWA stated that the FAA did not address its concern in a previous comment on the original NPRM. NWA stated that the FAA was clear on how operators perform access and restoration per the operators' normal maintenance, but the FAA may have missed the point that operators also have to retain technician sign-off of ADs as permanent records. NWA stated that if operators access and restore the area via other “normal maintenance routine work cards,” the operators do not desire to maintain those other work cards just to comply with the retention of records aspect of rulemaking policy. NWA stated that the access and restoration are not part of the service instruction safety aspect that the FAA is trying to mitigate with this rulemaking. NWA stated that by placing a note in the AD that states that access/restoration is not part of the safety aspect of the rulemaking and that retention of records is not required for access/restoration, operators would be permitted to not have separate access/restoration work cards.</P>
        <P>We partially agree with the commenter's request to delete Parts 1 and 6 (access and close). As we clarified in the supplemental NPRM, Note 8 under paragraph 3.A. of the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, gives provisions for operators to use accepted alternative procedures for actions specified in the Accomplishment Instructions when the words “refer to” are used. Those words are used in both Parts 1 and 6 of the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008. In addition, although these actions are necessary to accomplish the inspections, Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, provides alternative methods for access and close-up, as defined in Notes 5 and 6 under paragraph 3.A. of the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008. Since the suggested note is already contained in the Accomplishment Instructions of the service bulletin, no additional notes are necessary in this AD.</P>
        <P>We have changed paragraph (g) of this AD to limit the required actions to those specified only in Parts 2 through 5 of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008.</P>
        <HD SOURCE="HD1">Request To Revise the Initial Compliance Time</HD>

        <P>One commenter, Jennifer Owens, requested that we revise the initial compliance time. The commenter stated that the issue of cracked and broken aluminum springs has been known to the FAA since at least September 2007 (when the original Boeing “paperwork”—<E T="03">i.e.,</E>service information—was released). The commenter stated that under the original docket, published in March 2008, multiple parties requested that the rule be amended to refer to a later revision of “the Boeing paperwork.” The commenter stated that this later revision of the “paperwork,” according to the current proposed rule, was released on October 16, 2008. The commenter also stated that the new proposed rule was published on October 19, 2009, just over a year since Boeing revised its “paperwork.”</P>
        <P>The commenter suggested that the annual utilization rate of about 1,050 flight cycles is representative of how many Model 757 airplanes are used. The commenter stated that given this delay, and based on this utilization, operators have had the opportunity to skip three or four of the required 300-cycle inspections and are approaching the point where they may skip the first of the 1,500-cycle inspections. The commenter stated that because of this delay, and the fact that the FAA chose instead to re-open the comment period, it further delayed the release of the final rule by another 18 months. The commenter stated that if a delay of approximately 3 years is acceptable, then the inspection intervals of approximately 2-3 months and 18 months (based on the utilization contained above) are unnecessarily short. The commenter stated that if neither is true, then initial compliance times should be shortened to account for the delay in releasing the final rule.</P>
        <P>We assume the commenter is referring to Boeing Special Attention Service Bulletin, 757-32-0176, dated September 10, 2007, as “the original Boeing paperwork,” and Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, as “the later revision of the Boeing paperwork.” We disagree with the commenter's request to revise the initial compliance time. We have determined that having a terminating modification for the required inspections provides a higher level of safety than the reliance on continued re-inspection. Also, in developing an appropriate compliance time for this action, we considered the safety implications, parts availability, and normal maintenance schedules for the timely accomplishment of the modification. We have determined that the compliance time as proposed will ensure an acceptable level of safety and allow the modifications to be done during scheduled maintenance intervals for most affected operators. We have not changed this AD in this regard.</P>
        <HD SOURCE="HD1">Explanation of Change Made to This AD</HD>
        <P>We have revised this AD to identify the legal name of the manufacturer as published in the most recent type certificate data sheet for the affected airplane models.</P>
        <HD SOURCE="HD1">Conclusion</HD>
        <P>We have carefully reviewed the available data, including the comments received, and determined that air safety and the public interest require adopting the AD with the changes described previously. We have determined that these changes will neither increase the economic burden on any operator nor increase the scope of the AD.</P>
        <HD SOURCE="HD1">Explanation of Changes To Costs of Compliance</HD>
        <P>Since issuance of the NPRM, we have increased the labor rate used in the Costs of Compliance from $80 per work-hour to $85 per work-hour. The Costs of Compliance information, below, reflects this increase in the specified hourly labor rate.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD would affect 668 airplanes of U.S. registry. We also estimate that it would take about 1 work-hour per product to comply with this AD. The average labor rate is $85 per work-hour. Based on these figures, we estimate the cost of this proposed AD for U.S. operators to be $56,780, or $85 per product.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the Agency's authority.</P>

        <P>We are issuing this rulemaking under the authority described in subtitle VII, part A, subpart III, section 44701, “General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation<PRTPAGE P="1982"/>is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>We have determined that this AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>For the reasons discussed above, I certify that this AD:</P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866;</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979); and</P>
        <P>(3) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>

        <P>We prepared a regulatory evaluation of the estimated costs to comply with this AD and placed it in the AD docket.<E T="03">See</E>the<E T="02">ADDRESSES</E>section for a location to examine the regulatory evaluation.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <REGTEXT PART="39" TITLE="14">
          <HD SOURCE="HD1">Adoption of the Amendment</HD>
          <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The Federal Aviation Administration (FAA) amends § 39.13 by adding the following new airworthiness directive (AD):</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2011-02-03The Boeing Company:</E>Amendment 39-16576. Docket No. FAA-2008-0295; Directorate Identifier 2007-NM-298-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This AD becomes effective February 16, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) None.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to all The Boeing Company Model 757-200, -200PF, -200CB, and -300 series airplanes, certificated in any category.</P>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Air Transport Association (ATA) of America Code 32: Landing Gear.</P>
            <HD SOURCE="HD1">Unsafe Condition</HD>
            <P>(e) This AD results from reports of cracked and broken aluminum springs. We are issuing this AD to detect and correct cracked or broken springs. A cracked or broken spring could separate from the airplane and result in potential hazard to persons or property on the ground, or ingestion into the engine with engine damage and potential shutdown, or damage to the airplane.</P>
            <HD SOURCE="HD1">Compliance</HD>
            <P>(f) Comply with this AD within the compliance times specified, unless already done.</P>
            <HD SOURCE="HD1">Inspections and Corrective Actions</HD>
            <P>(g) At the applicable time specified in paragraph 1.E., “Compliance,” of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, except that where Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, specifies a compliance time after the date “on this service bulletin,” this AD requires compliance within the specified compliance time after the effective date of this AD: Do a general visual inspection to determine the material (aluminum or composite) of the two springs in the spin brake assemblies in the nose wheel well. A review of airplane maintenance records is acceptable in lieu of this inspection if the material can be conclusively determined from that review. At the applicable time specified in paragraph 1.E., “Compliance,” of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, do all applicable related investigative and corrective actions, and all repetitive inspections thereafter in accordance with Parts 2 through 5 of the Accomplishment Instructions of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008; except as provided by paragraph (j) of this AD.</P>
            <HD SOURCE="HD1">Optional Terminating Actions</HD>
            <P>(h) Replacing an aluminum spin brake assembly with a spin brake assembly made of composite material in accordance with Figure 5 of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, ends the repetitive inspections required by paragraph (g) of this AD for that spring.</P>
            <P>(i) Replacing an aluminum spring with a spring made of corrosion-resistant steel (CRES), in accordance with Figure 6 of Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, ends the repetitive inspections required by paragraph (g) of this AD for that spring.</P>
            <HD SOURCE="HD1">Exception to the Service Bulletin: Using a Serviceable Spin Brake Assembly</HD>
            <P>(j) A serviceable spin brake assembly may be used to replace a cracked part, provided that it has been inspected and all applicable related investigative and corrective actions have been applied in accordance with the requirements of paragraph (g) of this AD.</P>
            <HD SOURCE="HD1">Parts Installation</HD>
            <P>(k) As of the effective date of this AD, no person may install an aluminum spring on any airplane unless it has been inspected and all applicable related investigative and corrective actions have been applied in accordance with the requirements of paragraph (g) of this AD.</P>
            <HD SOURCE="HD1">Credit for Previous Revision of Service Bulletin</HD>
            <P>(l) Actions done before the effective date of this AD in accordance with Boeing Special Attention Service Bulletin 757-32-0176, dated September 10, 2007, are acceptable for compliance with the corresponding requirements of this AD.</P>
            <HD SOURCE="HD1">Alternative Methods of Compliance (AMOCs)</HD>

            <P>(m)(1) The Manager, Seattle Aircraft Certification Office (ACO), FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. Send information to ATTN: Steve Fox, Aerospace Engineer, Airframe Branch, ANM-120S, FAA, Seattle ACO, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone (425) 917-6425; fax (425) 917-6590; Or, e-mail information to<E T="03">9-ANM-Seattle-ACO-AMOC-Requests@faa.gov.</E>
            </P>
            <P>(2) To request a different method of compliance or a different compliance time for this AD, follow the procedures in 14 CFR 39.19. Before using any approved AMOC on any airplane to which the AMOC applies, notify your principal maintenance inspector (PMI) or principal avionics inspector (PAI), as appropriate, or lacking a principal inspector, your local Flight Standards District Office. The AMOC approval letter must specifically reference this AD.</P>
            <P>(3) An AMOC that provides an acceptable level of safety may be used for any repair required by this AD if it is approved by the Boeing Commercial Airplanes Organization Designation Authorization (ODA) that has been authorized by the Manager, Seattle ACO to make those findings. For a repair method to be approved, the repair must meet the certification basis of the airplane, and the approval must specifically refer to this AD.</P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(n) You must use Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, to do the actions required by this AD, unless the AD specifies otherwise. If you accomplish the optional actions specified in this AD, you must use Boeing Special Attention Service Bulletin 757-32-0176, Revision 1, dated October 16, 2008, to perform those actions, unless the AD specifies otherwise.</P>

            <P>(1) The Director of the Federal Register approved the incorporation by reference of this service information under 5 U.S.C. 552(a) and 1 CFR part 51.<PRTPAGE P="1983"/>
            </P>

            <P>(2) For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, P.O. Box 3707, MC 2H-65, Seattle, Washington 98124-2207; telephone 206-544-5000, extension 1; fax 206-766-5680; e-mail<E T="03">me.boecom@boeing.com;</E>Internet<E T="03">https://www.myboeingfleet.com.</E>
            </P>
            <P>(3) You may review copies of the service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue, SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>

            <P>(4) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030, or go to:<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Renton, Washington, on December 30, 2010.</DATED>
          <NAME>Suzanne Masterson,</NAME>
          <TITLE>Acting Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-371 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2010-0228; Directorate Identifier 2009-NM-252-AD; Amendment 39-16574; AD 2011-02-01]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; The Boeing Company Model MD-11 and MD-11F Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are adopting a new airworthiness directive (AD) for the products listed above. This AD requires a one-time inspection to detect damage of the wire assemblies of the tail tank fuel system, a wiring change, and corrective actions if necessary. This AD also requires, for certain airplanes, a general visual inspection for correct installation of the self-adhering high-temperature electrical insulation tape; installation of a wire assembly support bracket and routing wire assembly; changing wire supports; and installation of a wire protection bracket. This AD was prompted by fuel system reviews conducted by the manufacturer. We are issuing this AD to detect and correct a potential of ignition sources inside fuel tanks, which, in combination with flammable vapors, could result in a fuel tank fire or explosion, and consequent loss of the airplane.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD is effective February 16, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of a certain publication listed in the AD as of February 16, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, 3855 Lakewood Boulevard, MC D800-0019, Long Beach, California 90846-0001; telephone 206-544-5000, extension 2; fax 206-766-5683; e-mail<E T="03">dse.boecom@boeing.com;</E>Internet<E T="03">https://www.myboeingfleet.com.</E>You may review copies of the referenced service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue, SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>
        </ADD>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Management Facility between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this AD, the regulatory evaluation, any comments received, and other information. The address for the Docket Office (phone: 800-647-5527) is Document Management Facility, U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Serj Harutunian, Aerospace Engineer, Propulsion Branch, ANM-140L, FAA, Los Angeles Aircraft Certification Office, 3960 Paramount Boulevard, Lakewood, California 90712-4137; phone: (562) 627-5254; fax: (562) 627-5210; e-mail:<E T="03">Serj.Harutunian@faa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>

        <P>We issued a supplemental notice of proposed rulemaking (SNPRM) to amend 14 CFR part 39 to include an airworthiness directive (AD) that would apply to the specified products. That SNPRM published in the<E T="04">Federal Register</E>on November 17, 2010 (75 FR 70150). The original NPRM (75 FR 12464, March 16, 2010) proposed to require a one-time inspection to detect damage of the wire assemblies of the tail tank fuel system, a wiring change, and corrective actions if necessary. The SNPRM proposed to revise the original NPRM by adding, for certain airplanes, a general visual inspection for correct installation of the self-adhering high-temperature electrical insulation tape; installation of a wire assembly support bracket and routing wire assembly; changing wire supports; and installation of a wire protection bracket.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We gave the public the opportunity to participate in developing this AD. We have considered the comment received. FedEx supports the SNPRM.</P>
        <HD SOURCE="HD1">Explanation of Change Made to the AD</HD>
        <P>We have revised this AD to identify the legal name of the manufacturer as published in the most recent type certificate data sheet for the affected airplane models.</P>
        <HD SOURCE="HD1">Conclusion</HD>
        <P>We reviewed the relevant data, considered the comment received, and determined that air safety and the public interest require adopting the AD as proposed except for minor editorial changes and the change described previously. We have determined that these minor changes:</P>
        <P>• Are consistent with the intent that was proposed in the SNPRM for correcting the unsafe condition; and</P>
        <P>• Do not add any additional burden upon the public than was already proposed in the SNPRM.</P>
        <P>We also determined that these changes will not increase the economic burden on any operator or increase the scope of the AD.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD affects 110 airplanes of U.S. registry.</P>

        <P>We estimate the following costs to comply with this AD:<PRTPAGE P="1984"/>
        </P>
        <GPOTABLE CDEF="s100,r100,10,10,xs72" COLS="5" OPTS="L2,i1">
          <TTITLE>Estimated Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Action</CHED>
            <CHED H="1">Labor cost</CHED>
            <CHED H="1">Parts cost</CHED>
            <CHED H="1">Cost per product</CHED>
            <CHED H="1">Cost on U.S. operators</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Inspection of tail tank fuel system wire assembly</ENT>
            <ENT>1 work-hour × $85 per hour = $85</ENT>
            <ENT>$0</ENT>
            <ENT>$85</ENT>
            <ENT>$9,350.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Inspection of electrical insulation tape</ENT>
            <ENT>1 work-hour × $85 per hour = $85</ENT>
            <ENT>0</ENT>
            <ENT>85</ENT>
            <ENT>$9,350.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Change wire supports</ENT>
            <ENT>3 work-hours × $85 per hour = $255</ENT>
            <ENT>9</ENT>
            <ENT>264</ENT>
            <ENT>Up to $29,040.</ENT>
          </ROW>
        </GPOTABLE>
        <P>We estimate the following costs to do any necessary installations and repairs that would be required based on the results of the inspection. We have no way of determining the number of aircraft that might need these installations and repairs.</P>
        <GPOTABLE CDEF="s100,r100,14,xs72" COLS="4" OPTS="L2,i1">
          <TTITLE>On-Condition Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Action</CHED>
            <CHED H="1">Labor cost</CHED>
            <CHED H="1">Parts cost</CHED>
            <CHED H="1">Cost per product</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Installation/repair</ENT>
            <ENT>Up to 23 work-hours × $85 per hour = $1,955</ENT>
            <ENT>$11,829</ENT>
            <ENT>Up to $13,784.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Adjust tape installation</ENT>
            <ENT>1 ×  $85 per hour = $85</ENT>
            <ENT>0</ENT>
            <ENT>$85.</ENT>
          </ROW>
        </GPOTABLE>
        <P>According to the manufacturer, some of the costs of this AD may be covered under warranty, thereby reducing the cost impact on affected individuals. We do not control warranty coverage for affected individuals. As a result, we have included all costs in our cost estimate.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. Subtitle VII: Aviation Programs, describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in subtitle VII, part A, subpart III, section 44701: “General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>This AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>For the reasons discussed above, I certify that this AD:</P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866,</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979),</P>
        <P>(3) Will not affect intrastate aviation in Alaska, and</P>
        <P>(4) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
        <REGTEXT PART="39" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by adding the following new airworthiness directive (AD):</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2011-02-01The Boeing Company:</E>Amendment 39-16574 ; Docket No. FAA-2010-0228; Directorate Identifier 2009-NM-252-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This AD is effective February 16, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) None.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to The Boeing Company Model MD-11 and MD-11F airplanes, certificated in any category, as identified in Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Joint Aircraft System Component (JASC)/Air Transport Association (ATA) of America Code 28: Fuel.</P>
            <HD SOURCE="HD1">Unsafe Condition</HD>
            <P>(e) This AD was prompted by fuel system reviews conducted by the manufacturer. We are issuing this AD to detect and correct a potential of ignition sources inside fuel tanks, which, in combination with flammable vapors, could result in a fuel tank fire or explosion, and consequent loss of the airplane.</P>
            <HD SOURCE="HD1">Compliance</HD>
            <P>(f) Comply with this AD within the compliance times specified, unless already done.</P>
            <HD SOURCE="HD1">Action</HD>
            <P>(g) For airplanes in Group 1, Configuration 1; and Group 2, Configuration 1: Within 60 months after the effective date of this AD, perform a general visual inspection to detect damage of wire assemblies of the tail tank fuel system, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <P>(1) For airplanes in Group 1, Configuration 1: If no damage is found, before further flight, apply self-adhering high-temperature electrical insulation tape on the wire assemblies, install wire assembly support brackets, route wire assemblies, install extruded channel wire supports, and install a wire protection bracket, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>

            <P>(2) For airplanes in Group 1, Configuration 1: If damage is found, before further flight, repair or replace the wire assemblies, apply<PRTPAGE P="1985"/>self-adhering high-temperature electrical insulation tape on the wire assemblies, install wire assembly support brackets, route wire assemblies, install extruded channel wire supports, and install a wire protection bracket, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <P>(3) For airplanes in Group 2, Configuration 1: If no damage is found, before further flight, install wire assembly support brackets, route wire assemblies, install extruded channel wire supports, and install a wire protection bracket, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <P>(4) For airplanes in Group 2, Configuration 1: If damage is found, before further flight, repair or replace the wire assemblies, install wire assembly support brackets, route wire assemblies, install extruded channel wire supports, and install a wire protection bracket, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <P>(h) For airplanes in Group 1, Configuration 2: Within 60 months after the effective date of this AD, do a general visual inspection for correct installation of the self-adhering high-temperature electrical insulation tape, and change the wire supports, in accordance with the Accomplishment Instructions of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010. If the self-adhering high-temperature electrical insulation tape is installed incorrectly, before further flight, adjust the tape installation to achieve the correct dimensions, in accordance with Figure 1 of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <P>(i) For airplanes in Group 2, Configuration 2: Within 60 months after the effective date of this AD, change the wire supports, in accordance with Figure 2 of Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010.</P>
            <HD SOURCE="HD1">Alternative Methods of Compliance (AMOCs)</HD>
            <P>(j)(1) The Manager, Los Angeles Aircraft Certification Office (ACO), FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. In accordance with 14 CFR 39.19, send your request to your principal inspector or local Flight Standards District Office, as appropriate. If sending information directly to the manager of the ACO, send it to the attention of the person identified in the Related Information section of this AD.</P>
            <P>(2) Before using any approved AMOC, notify your appropriate principal inspector, or lacking a principal inspector, the manager of the local flight standards district office/certificate holding district office.</P>
            <HD SOURCE="HD1">Related Information</HD>

            <P>(k) For more information about this AD, contact Serj Harutunian, Aerospace Engineer, Propulsion Branch, ANM-140L, FAA, Los Angeles Aircraft Certification Office, 3960 Paramount Boulevard, Lakewood, California 90712-4137; phone: (562) 627-5254; fax: (562) 627-5210; e-mail:<E T="03">Serj.Harutunian@faa.gov.</E>
            </P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(l) You must use Boeing Alert Service Bulletin MD11-28A124, Revision 1, dated August 24, 2010, to do the actions required by this AD, unless the AD specifies otherwise.</P>
            <P>(1) The Director of the Federal Register approved the incorporation by reference of this service information, under 5 U.S.C. 552(a) and 1 CFR part 51.</P>

            <P>(2) For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, 3855 Lakewood Boulevard, MC D800-0019, Long Beach, California 90846-0001; telephone 206-544-5000, extension 2; fax 206-766-5683; e-mail dse.boecom@boeing.com; Internet<E T="03">https://www.myboeingfleet.com.</E>
            </P>
            <P>(3) You may review copies of the service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>

            <P>(4) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at an NARA facility, call 202-741-6030, or go to<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Renton, Washington, on January 3, 2011.</DATED>
          <NAME>Ali Bahrami,</NAME>
          <TITLE>Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-271 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2010-0225; Directorate Identifier 2009-NM-203-AD; Amendment 39-16525; AD 2010-24-06]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; Short Brothers PLC Model SD3 Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), Department of Transportation (DOT).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are superseding an existing airworthiness directive (AD) that applies to the products listed above. This AD results from mandatory continuing airworthiness information (MCAI) issued by an airworthiness authority of another country to identify and correct an unsafe condition on an aviation product. The MCAI describes the unsafe condition as</P>
          
          <EXTRACT>
            <P>Subsequent to accidents involving Fuel Tank System explosions in flight * * * and on ground, * * * Special Federal Aviation Regulation 88 (SFAR88) * * * required a safety review of the aircraft Fuel Tank System * * *.</P>
            <STARS/>
            <P>Fuel Airworthiness Limitations are items arising from a systems safety analysis that have been shown to have failure mode(s) associated with an `unsafe condition' * * *. These are identified in Failure Conditions for which an unacceptable probability of ignition risk could exist if specific tasks and/or practices are not performed in accordance with the manufacturers' requirements.</P>
            <STARS/>
          </EXTRACT>
          
        </SUM>
        <FP>We are issuing this AD to require actions to correct the unsafe condition on these products.</FP>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD becomes effective February 16, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of certain publications listed in the AD as of February 16, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of certain other publications listed in this AD as of July 21, 2006 (71 FR 34801, June 16, 2006).</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov</E>or in person at the U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Todd Thompson, Aerospace Engineer, International Branch, ANM-116, Transport Airplane Directorate, FAA, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone (425) 227-1175; fax (425) 227-1149.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>

        <P>We issued a supplemental notice of proposed rulemaking (NPRM) to amend 14 CFR part 39 to include an AD that would apply to the specified products. That supplemental NPRM was published in the<E T="04">Federal Register</E>on August 4, 2010 (75 FR 46864), and proposed to supersede AD 2006-12-18, Amendment 39-14644 (71 FR 34801, June 16, 2006). That NPRM proposed to require revising the airplane flight manual (AFM); revising the Airworthiness Limitation (AWL) section; doing a resistance check, inspection, and jumper installation; and revising the AWL section. The MCAI states:</P>
        
        <EXTRACT>
          <PRTPAGE P="1986"/>
          <P>Subsequent to accidents involving Fuel Tank System explosions in flight * * * and on ground, the FAA published Special Federal Aviation Regulation 88 (SFAR88) in June 2001. SFAR 88 required a safety review of the aircraft Fuel Tank System to determine that the design meets the requirements of FAR [Federal Aviation Regulation] § 25.901 and § 25.981(a) and (b).</P>
          <P>A similar regulation has been recommended by the JAA [Joint Aviation Authorities] to the European National Aviation Authorities in JAA letter 04/00/02/07/03-L024 of 3 February 2003. The review was requested to be mandated by NAA's [National Airworthiness Authorities] using JAR [Joint Aviation Requirement] § 25.901(c), § 25.1309.</P>

          <P>In August 2005 EASA [European Aviation Safety Agency] published a policy statement on the process for developing instructions for maintenance and inspection of Fuel Tank System ignition source prevention (EASA D 2005/CPRO,<E T="03">www.easa.eu.int/home/cert_policy_statements_en.html</E>) that also included the EASA expectations with regard to compliance times of the corrective actions on the unsafe and the not unsafe part of the harmonised design review results. On a global scale the TC [type certificate] holders committed themselves to the EASA published compliance dates (see EASA policy statement). The EASA policy statement has been revised in March 2006: The date of 31-12-2005 for the unsafe related actions has now been set at 01-07-2006.</P>
          <P>Fuel Airworthiness Limitations are items arising from a systems safety analysis that have been shown to have failure mode(s) associated with an `unsafe condition' as defined in FAA's memo 2003-112-15 `SFAR 88—Mandatory Action Decision Criteria'. These are identified in Failure Conditions for which an unacceptable probability of ignition risk could exist if specific tasks and/or practices are not performed in accordance with the manufacturers' requirements.</P>
          <P>This EASA Airworthiness Directive mandates the Fuel System Airworthiness Limitations, comprising maintenance/inspection tasks and Critical Design Control Configuration Limitations (CDCCL) for the type of aircraft, that resulted from the design reviews and the JAA recommendation and EASA policy statement mentioned above.</P>
          <P>Revision History: PAD [proposed airworthiness directive] 06-018R1 has been issued to endorse comments received for PAD 06-018 and due to the change of the EASA policy statement on fuel tank safety on March 2006.</P>
        </EXTRACT>
        
        <P>You may obtain further information by examining the MCAI in the AD docket.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We gave the public the opportunity to participate in developing this AD. We received no comments on the NPRM or on the determination of the cost to the public.</P>
        <HD SOURCE="HD1">Explanation of Changes to This AD</HD>
        <P>We have revised Table 1 of this AD to indicate the appropriate AFM for the identified airplane models. We have also added new paragraph (l) to this AD (and have reidentified subsequent paragraphs accordingly) to give credit to operators that might have included Shorts Advance Amendment Bulletin 1/2004, dated 7/13/04, into the incorrect AFM before the effective date of this AD. We have determined that the content of Shorts Advance Amendment Bulletin 1/2004 to AFM SB.5.2 and Shorts Advance Amendment Bulletin 1/2004 to AFM SB.6.2 is identical, except for the AFM number shown on the top of the document pages. Therefore, if an operator inserted the advance amendment bulletin intended for AFM SB.5.2 into AFM SB.6.2 or vise versa, before the effective date of this AD, the intent of the AFM revision required by paragraph (g) of this AD has been met, and is, therefore, acceptable for compliance with that requirement.</P>
        <HD SOURCE="HD1">Conclusion</HD>
        <P>We reviewed the available data and determined that air safety and the public interest require adopting the AD with the changes described previously. We determined that these changes will not increase the economic burden on any operator or increase the scope of the AD.</P>
        <HD SOURCE="HD1">Differences Between This AD and the MCAI or Service Information</HD>
        <P>We have reviewed the MCAI and related service information and, in general, agree with their substance. But we might have found it necessary to use different words from those in the MCAI to ensure the AD is clear for U.S. operators and is enforceable in a U.S. court of law. In making these changes, we do not intend to differ substantively from the information provided in the MCAI and related service information.   We might also have required different actions in this AD from those in the MCAI in order to follow our FAA policies. Any such differences are described in a separate paragraph of the AD. These requirements, if any, take precedence over the actions copied from the MCAI.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD will affect 54 products of U.S. registry.</P>
        <P>The actions that are required by AD 2006-12-18 and retained in this AD take about 41 work-hours per product, at an average labor rate of $85 per work hour. Required parts cost about $10 per product. Based on these figures, the estimated cost of the currently required actions is $3,495 per product.</P>
        <P>We estimate that it would take about 1 work-hour per product to comply with the new basic requirements of this AD. The average labor rate is $85 per work-hour. Based on these figures, we estimate the cost of the AD on U.S. operators to be $4,590, or $85 per product.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. “Subtitle VII: Aviation Programs,” describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in “Subtitle VII, Part A, Subpart III, Section 44701: General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>We determined that this AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>For the reasons discussed above, I certify that this AD:</P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866;</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979); and</P>
        <P>(3) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>We prepared a regulatory evaluation of the estimated costs to comply with this AD and placed it in the AD Docket.</P>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Operations office between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains the NPRM, the regulatory evaluation, any comments received, and other information. The street address for the Docket Operations office (telephone<PRTPAGE P="1987"/>(800) 647-5527) is in the<E T="02">ADDRESSES</E>section. Comments will be available in the AD docket shortly after receipt.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
        <REGTEXT PART="39" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by removing Amendment 39-14644 (71 FR 34801, June 16, 2006) and adding the following new AD:</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2010-24-06Short Brothers PLC:</E>Amendment 39-16525. Docket No. FAA-2010-0225; Directorate Identifier 2009-NM-203-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This airworthiness directive (AD) becomes effective February 16, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) This AD supersedes AD 2006-12-18, Amendment 39-14644.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to all Short Brothers PLC Model SD3-60 SHERPA, SD3-SHERPA, SD3-30, and SD3-60 airplanes, certificated in any category.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>
              <P>This AD requires revisions to certain operator maintenance documents to include new inspections. Compliance with these inspections is required by 14 CFR 91.403(c). For airplanes that have been previously modified, altered, or repaired in the areas addressed by these inspections, the operator may not be able to accomplish the inspections described in the revisions. In this situation, to comply with 14 CFR 91.403(c), the operator must request approval for an alternative method of compliance according to paragraph (m) of this AD. The request should include a description of changes to the required inspections that will ensure the continued damage tolerance of the affected structure. The FAA has provided guidance for this determination in Advisory Circular (AC) 25-1529.</P>
            </NOTE>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Air Transport Association (ATA) of America Code 28: Fuel.</P>
            <HD SOURCE="HD1">Reason</HD>
            <P>(e) The mandatory continuing airworthiness information (MCAI) states:</P>
            <P>Subsequent to accidents involving Fuel Tank System explosions in flight * * * and on ground, the FAA published Special Federal Aviation Regulation 88 (SFAR88) in June 2001. SFAR 88 required a safety review of the aircraft Fuel Tank System to determine that the design meets the requirements of FAR [Federal Aviation Regulation] § 25.901 and § 25.981(a) and (b).</P>
            <P>A similar regulation has been recommended by the JAA [Joint Aviation Authorities] to the European National Aviation Authorities in JAA letter 04/00/02/07/03-L024 of 3 February 2003. The review was requested to be mandated by NAA's [National Airworthiness Authorities] using JAR [Joint Aviation Requirement] § 25.901(c), § 25.1309.</P>

            <P>In August 2005 EASA [European Aviation Safety Agency] published a policy statement on the process for developing instructions for maintenance and inspection of Fuel Tank System ignition source prevention (EASA D 2005/CPRO,<E T="03">http://www.easa.eu.int/home/cert_policy_statements_en.html</E>) that also included the EASA expectations with regard to compliance times of the corrective actions on the unsafe and the not unsafe part of the harmonised design review results. On a global scale the TC [type certificate] holders committed themselves to the EASA published compliance dates (see EASA policy statement). The EASA policy statement has been revised in March 2006: The date of 31-12-2005 for the unsafe related actions has now been set at 01-07-2006.</P>
            <P>Fuel Airworthiness Limitations are items arising from a systems safety analysis that have been shown to have failure mode(s) associated with an `unsafe condition' as defined in FAA's memo 2003-112-15 `SFAR 88—Mandatory Action Decision Criteria'. These are identified in Failure Conditions for which an unacceptable probability of ignition risk could exist if specific tasks and/or practices are not performed in accordance with the manufacturers' requirements.</P>
            <P>This EASA Airworthiness Directive mandates the Fuel System Airworthiness Limitations, comprising maintenance/inspection tasks and Critical Design Control Configuration Limitations (CDCCL) for the type of aircraft, that resulted from the design reviews and the JAA recommendation and EASA policy statement mentioned above.</P>
            <P>Revision History: PAD [proposed airworthiness directive] 06-018R1 has been issued to endorse comments received for PAD 06-018 and due to the change of the EASA policy statement on fuel tank safety on March 2006.</P>
            <HD SOURCE="HD1">Compliance</HD>
            <P>(f) You are responsible for having the actions required by this AD performed within the compliance times specified, unless the actions have already been done.</P>
            <HD SOURCE="HD1">Restatement of Requirements of AD 2006-12-18</HD>
            <HD SOURCE="HD1">Revision of Airplane Flight Manual (AFM)</HD>
            <P>(g) Within 30 days after July 21, 2006 (the effective date of AD 2006-12-18), revise the Limitations and Normal Procedures sections of the AFMs as specified in Table 1 of this AD to include the information in the applicable Shorts advance amendment bulletins as specified in Table 1 of this AD. The advance amendment bulletins address operation during icing conditions and fuel system failures. Thereafter, operate the airplane according to the limitations and procedures in the applicable advance amendment bulletin.</P>
            <NOTE>
              <HD SOURCE="HED">Note 2:</HD>
              <P>The requirements of paragraph (g) of this AD may be done by inserting a copy of the applicable advance amendment bulletin into the AFM. When the applicable advance amendment bulletin has been included in general revisions of the AFM, the general revisions may be inserted into the AFM and the advance amendment bulletin may be removed, provided the relevant information in the general revision is identical to that in the advance amendment bulletin.</P>
            </NOTE>
            <GPOTABLE CDEF="s50,r50,r50" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 1—AFM Revisions</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">Airplane model—</CHED>
                <CHED H="1" O="L">Shorts advance amendment bulletin—</CHED>
                <CHED H="1" O="L">AFM—</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">SD3-30 airplanes</ENT>
                <ENT>1/2004, dated July 13, 2004</ENT>
                <ENT>SBH.3.2, SBH.3.3, SBH.3.6, SBH.3.7, SBH.3.8, and SB.3.9.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 airplanes</ENT>
                <ENT>1/2004, dated July 13, 2004</ENT>
                <ENT>SB.4.3, SB.4.6, and SB.4.8.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 SHERPA airplanes</ENT>
                <ENT>1/2004, dated July 13, 2004</ENT>
                <ENT>SB.6.2.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-SHERPA airplanes</ENT>
                <ENT>1/2004, dated July 13, 2004</ENT>
                <ENT>SB.5.2.</ENT>
              </ROW>
            </GPOTABLE>
            <HD SOURCE="HD1">Revision of Airworthiness Limitation (AWL) Section</HD>
            <P>(h) Within 180 days after July 21, 2006: Revise the AWL section of the Instructions for Continued Airworthiness by incorporating airplane maintenance manual (AMM) Sections 5-20-01 and 5-20-02 as introduced by the Shorts temporary revisions (TR) specified in Table 2 of this AD into the AWL section of the AMMs for the airplane models specified in Table 2 of this AD, except as required by paragraph (j) of this AD. Thereafter, except as provided by paragraph (m)(1) of this AD, no alternative structural inspection intervals may be approved for the longitudinal skin joints in the fuselage shell.</P>
            <NOTE>
              <PRTPAGE P="1988"/>
              <HD SOURCE="HED">Note 3:</HD>
              <P>The requirements of paragraph (h) of this AD may be done by inserting a copy of the applicable TR into the applicable AMM. When the TR has been included in general revisions of the AMM, the general revisions may be inserted in the AMM and the TR may be removed, provided the relevant information in the general revision is identical to that in the TR.</P>
            </NOTE>
            <GPOTABLE CDEF="s50,r50,r50,r50" COLS="4" OPTS="L2,i1">
              <TTITLE>Table 2—AMM Temporary Revisions</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">Airplane model—</CHED>
                <CHED H="1" O="L">Temporary revision—</CHED>
                <CHED H="1" O="L">Date—</CHED>
                <CHED H="1" O="L">AMM—</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">SD3-30 airplanes</ENT>
                <ENT>TR330-AMM-13</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>SD3-30 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-30 airplanes</ENT>
                <ENT>TR330-AMM-14</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>SD3-30 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 airplanes</ENT>
                <ENT>TR360-AMM-33</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 airplanes</ENT>
                <ENT>TR360-AMM-34</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 SHERPA airplanes</ENT>
                <ENT>TRSD360S-AMM-14</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 SHERPA airplanes</ENT>
                <ENT>TRSD360S-AMM-15</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-SHERPA airplanes</ENT>
                <ENT>TRSD3S-AMM-15</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>SD3 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-SHERPA airplanes</ENT>
                <ENT>TRSD3S-AMM-16</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>SD3 SHERPA AMM.</ENT>
              </ROW>
            </GPOTABLE>
            <HD SOURCE="HD1">Resistance Check, Inspection, and Jumper Installation</HD>
            <P>(i) Within 180 days after July 21, 2006: Perform the insulation resistance check, general visual inspections, and bonding jumper wire installations; in accordance with Shorts Service Bulletin SD330-28-37, SD360-28-23, SD360 SHERPA-28-3, or SD3 SHERPA-28-2; all dated June 2004; as applicable. If any defect or damage is discovered during any inspection or check required by this AD, before further flight, repair the defect or damage using a method approved by the Manager, International Branch, ANM-116, Transport Airplane Directorate, FAA; the Civil Aviation Authority (CAA) (or its delegated agent); or EASA (or its delegated agent).</P>
            <NOTE>
              <HD SOURCE="HED">Note 4:</HD>
              <P>For the purposes of this AD, a general visual inspection is: “A visual examination of an interior or exterior area, installation, or assembly to detect obvious damage, failure, or irregularity. This level of inspection is made from within touching distance unless otherwise specified. A mirror may be necessary to ensure visual access to all surfaces in the inspection area. This level of inspection is made under normally available lighting conditions such as daylight, hangar lighting, flashlight, or droplight and may require removal or opening of access panels or doors. Stands, ladders, or platforms may be required to gain proximity to the area being checked.”</P>
            </NOTE>
            <HD SOURCE="HD1">New Requirements of This AD</HD>
            <HD SOURCE="HD1">Revision of AWL Section: New Limitations and CDCCLs</HD>
            <P>(j) Within 90 days after the effective date of this AD: Revise the AWL section of the Instructions for Continued Airworthiness by incorporating maintenance manual Sections 5-20-01 and 5-20-02 as introduced by the Bombardier and Shorts TRs specified in Table 3 of this AD into the AWL section of the maintenance manuals for the airplane models specified in Table 3 of this AD. Doing this revision terminates the requirement to incorporate the temporary revisions specified in paragraph (h) of this AD. After doing this revision the temporary revisions required by paragraph (h) of this AD may be removed.</P>
            <GPOTABLE CDEF="s50,r50,r50,r50" COLS="4" OPTS="L2,i1">
              <TTITLE>Table 3—Newly Required Maintenance Manual Temporary Revisions</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">Model—</CHED>
                <CHED H="1" O="L">Temporary revision—</CHED>
                <CHED H="1" O="L">Date—</CHED>
                <CHED H="1" O="L">Manual—</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">SD3-30 airplanes</ENT>
                <ENT>Shorts TR TR330-AMM-35</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 Maintenance Manual (MM).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-30 airplanes</ENT>
                <ENT>Shorts TR TR330-AMM-36</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 airplanes</ENT>
                <ENT>Bombardier TR TR360-AMM-55</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 airplanes</ENT>
                <ENT>Bombardier TR TR360-AMM-56</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 SHERPA airplanes</ENT>
                <ENT>Shorts TR TRSD360S-AMM-35</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-60 SHERPA airplanes</ENT>
                <ENT>Shorts TR TRSD360S-AMM-36</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-SHERPA airplanes</ENT>
                <ENT>Shorts TR TRSD3S-AMM-36</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">SD3-SHERPA airplanes</ENT>
                <ENT>Shorts TR TRSD3S-AMM-37</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
            </GPOTABLE>
            <NOTE>
              <HD SOURCE="HED">Note 5:</HD>
              <P>The requirements of paragraph (j) of this AD may be done by inserting a copy of the applicable TR into the applicable maintenance manual. When the TR has been included in general revisions of the AMM, the general revisions may be inserted in the AMM and the TR may be removed, provided the relevant information in the general revision is identical to that in the TR.</P>
            </NOTE>
            <P>(k) After accomplishing the actions specified in paragraph (j) of this AD, no alternative inspections, inspection intervals, or CDCCLs may be used unless the inspections, intervals, or CDCCLs are approved as an alternative method of compliance (AMOC), in accordance with the procedures specified in paragraph (m) of this AD.</P>
            <HD SOURCE="HD1">Explanation of CDCCL Requirements</HD>
            <NOTE>
              <HD SOURCE="HED">Note 6:</HD>
              <P>Notwithstanding any other maintenance or operational requirements, components that have been identified as airworthy or installed on the affected airplanes before the revision of the AMM, as required by paragraph (h) or (j) of this AD, do not need to be reworked in accordance with the CDCCLs. However, once the AMM has been revised, future maintenance actions on these components must be done in accordance with the CDCCLs.</P>
            </NOTE>
            <HD SOURCE="HD1">Credit for Actions Accomplished in Accordance With Other Service Information</HD>
            <P>(l) Revising the AFM, as required by paragraph (g) of this AD, by inserting Shorts Advance Amendment Bulletin 1/2004, dated 7/13/04, for Model SD3-60 Sherpa airplanes, into AFM SB.5.2; or Shorts Advance Amendment Bulletin 1/2004, dated 7/13/04, for Model SD3-sherpa airplanes, into AFM SB.6.2; before the effective date of this AD is acceptable for compliance with the AFM revision required by paragraph (g) of this AD.</P>
            <HD SOURCE="HD1">FAA AD Differences</HD>
            <NOTE>
              <HD SOURCE="HED">Note 7:</HD>
              <P>This AD differs from the MCAI and/or service information as follows: No differences.</P>
            </NOTE>
            <HD SOURCE="HD1">Other FAA AD Provisions</HD>
            <P>(m) The following provisions also apply to this AD:</P>
            <P>(1)<E T="03">Alternative Methods of Compliance (AMOCs):</E>The Manager, International Branch, ANM-116, Transport Airplane Directorate, FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. Send information to ATTN: Todd Thompson, Aerospace Engineer, International Branch, ANM-116, Transport Airplane Directorate, FAA, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone (425) 227-1175; fax (425) 227-1149. Before using any approved AMOC on any airplane to which the AMOC applies, notify your<PRTPAGE P="1989"/>principal maintenance inspector (PMI) or principal avionics inspector (PAI), as appropriate, or lacking a principal inspector, your local Flight Standards District Office. The AMOC approval letter must specifically reference this AD.</P>
            <P>(2)<E T="03">Airworthy Product:</E>For any requirement in this AD to obtain corrective actions from a manufacturer or other source, use these actions if they are FAA-approved. Corrective actions are considered FAA-approved if they are approved by the State of Design Authority (or their delegated agent). You are required to assure the product is airworthy before it is returned to service.</P>
            <P>(3)<E T="03">Reporting Requirements:</E>A Federal agency may not conduct or sponsor, and a person is not required to respond to, nor shall a person be subject to a penalty for failure to comply with a collection of information subject to the requirements of the Paperwork Reduction Act unless that collection of information displays a current valid OMB Control Number. The OMB Control Number for this information collection is 2120-0056. Public reporting for this collection of information is estimated to be approximately 5 minutes per response, including the time for reviewing instructions, completing and reviewing the collection of information. All responses to this collection of information are mandatory. Comments concerning the accuracy of this burden and suggestions for reducing the burden should be directed to the FAA at: 800 Independence Ave., SW., Washington, DC 20591, Attn: Information Collection Clearance Officer, AES-200.</P>
            <HD SOURCE="HD1">Related Information</HD>
            <P>(n) Refer to MCAI EASA Airworthiness Directive 2006-0198, dated July 11, 2006; Shorts Service Bulletins SD330-28-37, SD360-28-23, SD360 SHERPA-28-3, and SD3 SHERPA-28-2, all dated June 2004; and the service information listed in Tables 1, 2, and 3 of this AD; for related information.</P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(o) You must use the service information contained in Table 4 of this AD, as applicable, to do the actions required by this AD, unless the AD specifies otherwise.</P>
            <GPOTABLE CDEF="s75,r75,r75" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 4—All Material Incorporated by Reference</TTITLE>
              <BOXHD>
                <CHED H="1">Document</CHED>
                <CHED H="1">Date</CHED>
                <CHED H="1">Manual</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts Airplane Flight Manuals (AFMs) SBH.3.2, SBH.3.3, SBH.3.6, SBH.3.7, SBH.3.8, and SB.3.9.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFMs SB.4.3, SB.4.6, and SB.4.8.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFM SB.5.2.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFM SB.6.2.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR330-AMM-13</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>Shorts SD3-30 Airplane Maintenance Manual (AMM).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR330-AMM-14</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>Shorts SD3-30 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR360-AMM-33</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>Shorts SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR360-AMM-34</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>Shorts SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TRSD360S-AMM-14</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>Shorts SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TRSD360S-AMM-15</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>Shorts SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TRSD3S-AMM-15</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>Shorts SD3 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TRSD3S-AMM-16</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>Shorts SD3 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD330-28-37</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD360-28-23</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD360 SHERPA-28-3</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD3 SHERPA-28-2</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TR330-AMM-35</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 Maintenance Manual (MM).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TR330-AMM-36</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Bombardier TR TR360-AMM-55</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Bombardier TR TR360-AMM-56</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD360S-AMM-35</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD360S-AMM-36</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD3S-AMM-36</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD3S-AMM-37</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(1) The Director of the Federal Register approved the incorporation by reference of the service information contained in Table 5 of this AD under 5 U.S.C. 552(a) and 1 CFR part 51.</P>
            <GPOTABLE CDEF="s75,r75,r75" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 5—New Material Incorporated by Reference</TTITLE>
              <BOXHD>
                <CHED H="1">Document</CHED>
                <CHED H="1">Date</CHED>
                <CHED H="1">Manual</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Shorts TR TR330-AMM-35</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TR330-AMM-36</ENT>
                <ENT>June 6, 2006</ENT>
                <ENT>Shorts SD3-30 MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Bombardier TR TR360-AMM-55</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Bombardier TR TR360-AMM-56</ENT>
                <ENT>November 11, 2005</ENT>
                <ENT>Bombardier SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD360S-AMM-35</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD360S-AMM-36</ENT>
                <ENT>June 27, 2006</ENT>
                <ENT>Shorts SD3-60 SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD3S-AMM-36</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts TR TRSD3S-AMM-37</ENT>
                <ENT>June 19, 2006</ENT>
                <ENT>Shorts SD3-SHERPA MM.</ENT>
              </ROW>
            </GPOTABLE>

            <P>(2) The Director of the Federal Register previously approved the incorporation by reference of the service information contained in Table 6 of this AD on July 21, 2006 (71 FR 34801, June 16, 2006).<PRTPAGE P="1990"/>
            </P>
            <GPOTABLE CDEF="s75,r75,r75" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 6—Material Previously Incorporated by Reference</TTITLE>
              <BOXHD>
                <CHED H="1">Document</CHED>
                <CHED H="1">Date</CHED>
                <CHED H="1">Manual</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts Airplane Flight Manuals (AFMs) SBH.3.2, SBH.3.3, SBH.3.6, SBH.3.7, SBH.3.8, and SB.3.9.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFMs SB.4.3, SB.4.6, and SB.4.8.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFM SB.5.2.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Advance Amendment Bulletin 1/2004</ENT>
                <ENT>July 13, 2004</ENT>
                <ENT>Shorts AFM SB.6.2.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TR330-AMM-13</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>SD3-30 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TR330-AMM-14</ENT>
                <ENT>June 21, 2004</ENT>
                <ENT>SD3-30 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TR360-AMM-33</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TR360-AMM-34</ENT>
                <ENT>July 27, 2004</ENT>
                <ENT>SD3-60 AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TRSD360S-AMM-14</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TRSD360S-AMM-15</ENT>
                <ENT>July 29, 2004</ENT>
                <ENT>SD3-60 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TRSD3S-AMM-15</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>SD3 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Temporary Revision TRSD3S-AMM-16</ENT>
                <ENT>July 28, 2004</ENT>
                <ENT>SD3 SHERPA AMM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD330-28-37</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD360-28-23</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD360 SHERPA-28-3</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shorts Service Bulletin SD3 SHERPA-28-2</ENT>
                <ENT>June 2004</ENT>
                <ENT>None.</ENT>
              </ROW>
            </GPOTABLE>

            <P>(3) For service information identified in this AD, contact Short Brothers PLC, Airworthiness, P.O. Box 241, Airport Road, Belfast, BT3 9DZ Northern Ireland; telephone +44(0)2890-462469; fax +44(0)2890-468444; e-mail<E T="03">michael.mulholland@aero.bombardier.com;</E>Internet<E T="03">http://www.bombardier.com.</E>
            </P>
            <P>(4) You may review copies of the service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue, SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>

            <P>(5) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030, or go to:<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Renton, Washington, on November 10, 2010.</DATED>
          <NAME>Jeffrey E. Duven,</NAME>
          <TITLE>Acting Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-30 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2009-0622; Directorate Identifier 2009-CE-034-AD; Amendment</DEPDOC>
        <DEPDOC>[39-16570; AD 2009-18-03 R1]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; Pilatus Aircraft Ltd. Models PC-6, PC-6-H1, PC-6-H2, PC-6/350, PC-6/350-H1, PC-6/350-H2, PC-6/A, PC-6/A-H1, PC-6/A-H2, PC-6/B-H2, PC-6/B1-H2, PC-6/B2-H2, PC-6/B2-H4, PC-6/C-H2, and PC-6/C1-H2 Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), Department of Transportation (DOT).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are revising an existing airworthiness directive (AD) for the products listed above. This AD results from mandatory continuing airworthiness information (MCAI) issued by an aviation authority of another country to identify and correct an unsafe condition on an aviation product. The MCAI describes the unsafe condition as:</P>
          <EXTRACT>
            
            <P>Findings of corrosion, wear and cracks in the upper wing strut fittings on some PC-6 aircraft have been reported in the past. It is possible that the spherical bearing of the wing strut fittings installed in the underwing can be loose in the fitting or cannot rotate because of corrosion. In this condition, the joint cannot function as designed and fatigue cracks may then develop. Undetected cracks, wear and/or corrosion in this area could cause failure of the upper attachment fitting, leading to failure of the wing structure and subsequent loss of control of the aircraft.</P>
            <P>To address this problem, FOCA published AD TM-L Nr. 80.627-6/Index 72-2 and HB-2006-400 and EASA published AD 2007-0114 to require specific inspections and to obtain a fleet status. Since the issuance of AD 2007-0114, the reported data proved that it was necessary to establish and require repetitive inspections.</P>
            <P>EASA published Emergency AD 2007-0241-E to extend the applicability and to require repetitive eddy current and visual inspections of the upper wing strut fitting for evidence of cracks, wear and/or corrosion and examination of the spherical bearing and replacement of cracked fittings. Collected data received in response to Emergency AD 2007-0241-E resulted in the issuance of EASA AD 2007-0241R1 that permitted extending the intervals for the repetitive eddy current and visual inspections from 100 Flight Hours (FH) to 300 FH and from 150 Flight Cycles (FC) to 450 FC, respectively. In addition, oversize bolts were introduced by Pilatus PC-6 Service Bulletin (SB) 57-005 R1 and the fitting replacement procedure was adjusted accordingly.</P>
            <P>Based on fatigue test results, EASA AD 2007-0241R2 was issued to extend the repetitive inspection interval to 1100 FH or 12 calendar months, whichever occurs first, and to delete the related flight cycle intervals and the requirement for the “Mild Corrosion Severity Zone”. In addition, some editorial changes have been made for reasons of standardization and readability.</P>
            <P>Revision 3 of this AD referred to the latest revision of the PC-6 Aircraft Maintenance Manual (AMM) Chapter 5 limitations which have included the same repetitive inspection intervals and procedures already mandated in the revision 2 of AD 2007-0241. Besides the inspections, in the latest revision of the PC-6 AMM, the replacement procedures for the fittings were included.</P>

            <P>Additionally, EASA AD 2007-0241R3 introduced the possibility to replace the wing strut fitting with a new designed wing strut<PRTPAGE P="1991"/>fitting. With this optional part replacement, in the repetitive inspection procedure the  1100 FH interval is deleted so that only calendar defined intervals of inspections remained applicable.</P>
          </EXTRACT>
          
        </SUM>
        <FP>We are issuing this AD to require actions to correct the unsafe condition on these products.</FP>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD becomes effective February 16, 2011.</P>
          <P>As of October 1, 2009 (74 FR 43636, August 27, 2009), the Director of the Federal Register approved the incorporation by reference of Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008; and Chapter 57-00-02 of Pilatus Aircraft Ltd. Pilatus PC-6 Aircraft Maintenance Manual, dated November 30, 2008 (referenced as revision 9 in EASA AD No.: 2007-0241R3) listed in this AD.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov</E>or in person at the Docket Management Facility, U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590.</P>

          <P>For service information identified in this AD, contact PILATUS AIRCRAFT LTD., Customer Service Manager, CH-6371 STANS, Switzerland; telephone: +41 (0) 41 619 65 01; fax: +41 (0) 41 619 65 76; Internet:<E T="03">http://www.pilatus-aircraft.com.</E>You may review copies of the referenced service information at the FAA, Small Airplane Directorate, 901 Locust, Kansas City, Missouri 64106. For information on the availability of this material at the FAA, call 816-329-4148.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Doug Rudolph, Aerospace Engineer, 901 Locust, Room 301, Kansas City, Missouri 64106; telephone: (816) 329-4059; fax: (816) 329-4090.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>

        <P>We issued a notice of proposed rulemaking (NPRM) to amend 14 CFR part 39 to include an AD that would apply to the specified products. That NPRM was published in the<E T="04">Federal Register</E>on October 7, 2010 (75 FR 62005), and proposed to revise AD 2009-18-03, Amendment 39-15999 (74 FR 43636, August 27, 2009).</P>
        <P>Since we issued AD 2009-18-03, Pilatus has updated their maintenance programs with new requirements and limitations. Another AD action, AD 2011-01-14, requires the incorporation of the updated maintenance requirements into the airworthiness limitations section of the instructions for continued airworthiness. Those updated maintenance requirements include the repetitive inspections for the wing strut fittings and the spherical bearings currently included in AD 2009-18-03.</P>
        <P>The NPRM proposed to correct an unsafe condition for the specified products. The MCAI states that:</P>
        <EXTRACT>
          
          <P>Findings of corrosion, wear and cracks in the upper wing strut fittings on some PC-6 aircraft have been reported in the past. It is possible that the spherical bearing of the wing strut fittings installed in the underwing can be loose in the fitting or cannot rotate because of corrosion. In this condition, the joint cannot function as designed and fatigue cracks may then develop. Undetected cracks, wear and/or corrosion in this area could cause failure of the upper attachment fitting, leading to failure of the wing structure and subsequent loss of control of the aircraft.</P>
          <P>To address this problem, FOCA published AD TM-L Nr. 80.627-6/Index 72-2 and HB-2006-400 and EASA published AD 2007-0114 to require specific inspections and to obtain a fleet status. Since the issuance of AD 2007-0114, the reported data proved that it was necessary to establish and require repetitive inspections.</P>
          <P>EASA published Emergency AD 2007-0241-E to extend the applicability and to require repetitive eddy current and visual inspections of the upper wing strut fitting for evidence of cracks, wear and/or corrosion and examination of the spherical bearing and replacement of cracked fittings. Collected data received in response to Emergency AD 2007-0241-E resulted in the issuance of EASA AD 2007-0241R1 that permitted extending the intervals for the repetitive eddy current and visual inspections from 100 Flight Hours (FH) to 300 FH and from 150 Flight Cycles (FC) to 450 FC, respectively. In addition, oversize bolts were introduced by Pilatus PC-6 Service Bulletin (SB) 57-005 R1 and the fitting replacement procedure was adjusted accordingly.</P>
          <P>Based on fatigue test results, EASA AD 2007-0241R2 was issued to extend the repetitive inspection interval to 1100 FH or 12 calendar months, whichever occurs first, and to delete the related flight cycle intervals and the requirement for the “Mild Corrosion Severity Zone”. In addition, some editorial changes have been made for reasons of standardization and readability.</P>
          <P>Revision 3 of this AD referred to the latest revision of the PC-6 Aircraft Maintenance Manual (AMM) Chapter 5 limitations which have included the same repetitive inspection intervals and procedures already mandated in the revision 2 of AD 2007-0241. Besides the inspections, in the latest revision of the PC-6 AMM, the replacement procedures for the fittings were included.</P>
          <P>Additionally, EASA AD 2007-0241R3 introduced the possibility to replace the wing strut fitting with a new designed wing strut fitting. With this optional part replacement, in the repetitive inspection procedure the  1100 FH interval is deleted so that only calendar defined intervals of inspections remained applicable.</P>
          <P>The aim of this new revision is to only mandate the initial inspection requirement and consequently to limit its applicability to aeroplanes which are not already in compliance with EASA AD 2007-0241R3. All aeroplanes which are in compliance with EASA AD 2007-0241R3 have to follow the repetitive inspection requirements as described in Pilatus PC-6 AMM Chapter 04-00-00, Document Number 01975, Revision 12 and the Airworthiness Limitations (ALS) Document Number 02334 Revision 1 mandated by EASA AD 2010-0176. Therefore the repetitive inspection requirements corresponding paragraphs have been deleted in this new EASA AD revision. The paragraph numbers of EASA AD 2007-0241R numbering has been maintained for referencing needs.</P>
        </EXTRACT>
        <HD SOURCE="HD1">Comments</HD>
        <P>We gave the public the opportunity to participate in developing this AD. We considered the comments received.</P>
        <HD SOURCE="HD1">Request for Clarification on Applicability</HD>
        <P>Pilatus Aircraft commented that there is no consistency between FAA Directorate Identifier 2010-CE-047-AD and FAA Directorate Identifier 2009-CE-034-AD regarding the applicability of airplanes in regards to the manufacturer serial numbers (MSN) on the Fairchild PC-6 airplanes.</P>
        <P>The FAA agrees that the applicability of airplanes needs corrected. We will change the applicability to clarify that some specific MSNs can also be identified as Fairchild Republic Company PC-6 airplanes, Fairchild Industries PC-6 airplanes, Fairchild Heli Porter PC-6 airplanes, or Fairchild-Hiller Corporation PC-6 airplanes.</P>
        <HD SOURCE="HD1">Conclusion</HD>
        <P>We reviewed the available data, including the comment received, and determined that air safety and the public interest require adopting the AD with the changes described previously. We determined that these changes will not increase the economic burden on any operator or increase the scope of the AD.</P>
        <HD SOURCE="HD1">Differences Between This AD and the MCAI or Service Information</HD>
        <P>We have reviewed the MCAI and related service information and, in general, agree with their substance. But we might have found it necessary to use different words from those in the MCAI to ensure the AD is clear for U.S. operators and is enforceable. In making these changes, we do not intend to differ substantively from the information provided in the MCAI and related service information.</P>

        <P>We might also have required different actions in this AD from those in the<PRTPAGE P="1992"/>MCAI in order to follow FAA policies. Any such differences are highlighted in a NOTE within the AD.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD will affect 50 products of U.S. registry. We also estimate that it will take about 7 work-hours per product to comply with the basic requirements of this AD. The average labor rate is $85 per work-hour.</P>
        <P>Based on these figures, we estimate the cost of this AD on U.S. operators to be $29,750, or $595 per product.</P>
        <P>In addition, we estimate that any necessary follow-on actions will take about 30 work-hours and require parts costing $5,000, for a cost of $7,550 per product. We have no way of determining the number of products that may need these actions.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. “Subtitle VII: Aviation Programs,” describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in “Subtitle VII, Part A, Subpart III, Section 44701: General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>We determined that this AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify this AD:</E>
        </P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866;</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979); and</P>
        <P>(3) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>We prepared a regulatory evaluation of the estimated costs to comply with this AD and placed it in the AD Docket.</P>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Management Facility between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains the NPRM, the regulatory evaluation, any comments received, and other information. The street address for the Docket Office (telephone (800) 647-5527) is in the<E T="02">ADDRESSES</E>section. Comments will be available in the AD docket shortly after receipt.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <REGTEXT PART="39" TITLE="14">
          <HD SOURCE="HD1">Adoption of the Amendment</HD>
          <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by removing Amendment 39-15999 (74 FR 43636, August 27, 2009) and adding the following new AD:</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2009-18-03 R1Pilatus Aircraft Limited:</E>Amendment 39-16570; Docket No. FAA-2009-0622; Directorate Identifier 2009-CE-034-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This airworthiness directive (AD) becomes effective February 16, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) This AD revises AD 2009-18-03, Amendment 39-15999.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to Pilatus Aircraft Ltd. Models PC-6, PC-6-H1, PC-6-H2, PC-6/350, PC-6/350-H1, PC-6/350-H2, PC-6/A, PC-6/A-H1, PC-6/A-H2, PC-6/B-H2, PC-6/B1-H2, PC-6/B2-H2, PC-6/B2-H4, PC-6/C-H2, and PC-6/C1-H2 airplanes, all manufacturer serial number (MSN) 101 through 999, and MSN 2001 through 2092, certificated in any category.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>
              <P>For MSN 2001-2092, these airplanes are also identified as Fairchild Republic Company PC-6 airplanes, Fairchild Industries PC-6 airplanes, Fairchild Heli Porter PC-6 airplanes, or Fairchild-Hiller Corporation PC-6 airplanes.</P>
            </NOTE>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Air Transport Association of America (ATA) Code 57: Wings.</P>
            <HD SOURCE="HD1">Reason</HD>
            <P>(e) The mandatory continuing airworthiness information (MCAI) states:</P>
            <P>Findings of corrosion, wear and cracks in the upper wing strut fittings on some PC-6 aircraft have been reported in the past. It is possible that the spherical bearing of the wing strut fittings installed in the underwing can be loose in the fitting or cannot rotate because of corrosion. In this condition, the joint cannot function as designed and fatigue cracks may then develop. Undetected cracks, wear and/or corrosion in this area could cause failure of the upper attachment fitting, leading to failure of the wing structure and subsequent loss of control of the aircraft.</P>
            <P>To address this problem, FOCA published AD TM-L Nr. 80.627-6/Index 72-2 and HB-2006-400 and EASA published AD 2007-0114 to require specific inspections and to obtain a fleet status. Since the issuance of AD 2007-0114, the reported data proved that it was necessary to establish and require repetitive inspections.</P>
            <P>EASA published Emergency AD 2007-0241-E to extend the applicability and to require repetitive eddy current and visual inspections of the upper wing strut fitting for evidence of cracks, wear and/or corrosion and examination of the spherical bearing and replacement of cracked fittings. Collected data received in response to Emergency AD 2007-0241-E resulted in the issuance of EASA AD 2007-0241R1 that permitted extending the intervals for the repetitive eddy current and visual inspections from 100 Flight Hours (FH) to 300 FH and from 150 Flight Cycles (FC) to 450 FC, respectively. In addition, oversize bolts were introduced by Pilatus PC-6 Service Bulletin (SB) 57-005 R1 and the fitting replacement procedure was adjusted accordingly.</P>
            <P>Based on fatigue test results, EASA AD 2007-0241R2 was issued to extend the repetitive inspection interval to 1100 FH or 12 calendar months, whichever occurs first, and to delete the related flight cycle intervals and the requirement for the “Mild Corrosion Severity Zone”. In addition, some editorial changes have been made for reasons of standardization and readability.</P>
            <P>Revision 3 of this AD referred to the latest revision of the PC-6 AircraftMaintenance Manual (AMM) Chapter 5 limitations which have included the same repetitive inspection intervals and procedures already mandated in the revision 2 of AD 2007-0241. Besides the inspections, in the latest revision of the PC-6 AMM, the replacement procedures for the fittings were included.</P>
            <P>Additionally, EASA AD 2007-0241R3 introduced the possibility to replace the wing strut fitting with a new designed wing strut fitting. With this optional part replacement, in the repetitive inspection procedure the  1100 FH interval is deleted so that only calendar defined intervals of inspections remained applicable.</P>

            <P>The aim of this new revision is to only mandate the initial inspection requirement and consequently to limit its applicability to aeroplanes which are not already in<PRTPAGE P="1993"/>compliance with EASA AD 2007-0241R3. All aeroplanes which are in compliance with EASA AD 2007-0241R3 have to follow the repetitive inspection requirements as described in Pilatus PC-6 AMM Chapter 04-00-00, Document Number 01975, Revision 12 and the Airworthiness Limitations (ALS) Document Number 02334 Revision 1 mandated by EASA AD 2010-0176. Therefore the repetitive inspection requirements corresponding paragraphs have been deleted in this new EASA AD revision. The paragraph numbers of EASA AD 2007-0241R numbering has been maintained for referencing needs.</P>
            
            <FP>This AD requires actions that are intended to address the unsafe condition described in the MCAI.</FP>
            <HD SOURCE="HD1">Actions and Compliance</HD>
            <P>(f) Unless already done, do the following actions:</P>
            <P>(1)<E T="03">For affected airplanes that have not had both wing strut fittings replaced within the last 100 hours time-in-service (TIS) before September 26, 2007 (the effective date of AD 2007-19-14), or have not been inspected using an eddy current inspection method following Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-004, dated April 16, 2007, within the last 100 hours TIS before September 26, 2007 (the effective date of AD 2007-19-14):</E>Before further flight after either September 26, 2007 (the effective date of AD 2007-19-14), or October 1, 2009 (the effective date of AD  2009-18-03), visually inspect the upper wing strut fittings and examine the spherical bearings following the Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008.</P>
            <P>(2)<E T="03">For all affected airplanes:</E>Within 25 hours TIS after September 26, 2007 (the effective date of AD 2007-19-14), or within 30 days after September 26, 2007 (the effective date of AD 2007-19-14), whichever occurs first, visually and using eddy current methods, inspect the upper wing strut fittings and examine the spherical bearings following Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008.</P>
            <P>(3) You may also take “unless already done” credit for any inspection specified in paragraphs (f)(1) or (f)(2) of this AD if done before October 1, 2009 (the effective date retained from AD 2009-18-03) following Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, dated August 30, 2007; or Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 1, dated November 19, 2007.</P>
            <P>(4)<E T="03">For all affected airplanes:</E>If during any inspection required by paragraphs (f)(1) or (f)(2) of this AD you find cracks in the upper wing strut fitting or the spherical bearing is not in conformity, before further flight, replace the cracked upper wing strut fitting and/or the nonconforming spherical bearing following Chapter 57-00-02 of Pilatus Aircraft Ltd. Pilatus PC-6 Aircraft Maintenance Manual, dated November 30, 2008.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>
              <P>AD 2011-01-14 requires the incorporation of the updated maintenance requirements into the airworthiness limitations section of the instructions for continued airworthiness. Those updated maintenance requirements include the repetitive inspections for the wing strut fittings and the spherical bearings. This revised AD removes those repetitive inspections.</P>
            </NOTE>
            <HD SOURCE="HD1">FAA AD Differences</HD>
            <NOTE>
              <HD SOURCE="HED">Note 2:</HD>
              <P>This AD differs from the MCAI and/or service information as follows: No differences.</P>
            </NOTE>
            <HD SOURCE="HD1">Other FAA AD Provisions</HD>
            <P>(g) The following provisions also apply to this AD:</P>
            <P>(1)<E T="03">Alternative Methods of Compliance (AMOCs):</E>The Manager, Standards Office, FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. Send information to<E T="03">Attn:</E>Doug Rudolph, Aerospace Engineer, FAA, Small Airplane Directorate, 901 Locust, Room 301, Kansas City, Missouri 64106;<E T="03">telephone:</E>(816) 329-4059;<E T="03">fax:</E>(816) 329-4090. Before using any approved AMOC on any airplane to which the AMOC applies, notify your appropriate principal inspector (PI) in the FAA Flight Standards District Office (FSDO), or lacking a PI, your local FSDO.</P>
            <P>(2)<E T="03">Airworthy Product:</E>For any requirement in this AD to obtain corrective actions from a manufacturer or other source, use these actions if they are FAA-approved. Corrective actions are considered FAA-approved if they are approved by the State of Design Authority (or their delegated agent). You are required to assure the product is airworthy before it is returned to service.</P>
            <P>(3)<E T="03">Reporting Requirements:</E>For any reporting requirement in this AD, a federal agency may not conduct or sponsor, and a person is not required to respond to, nor shall a person be subject to a penalty for failure to comply with a collection of information subject to the requirements of the Paperwork Reduction Act unless that collection of information displays a current valid OMB Control Number. The OMB Control Number for this information collection is 2120-0056. Public reporting for this collection of information is estimated to be approximately 5 minutes per response, including the time for reviewing instructions, completing and reviewing the collection of information. All responses to this collection of information are mandatory. Comments concerning the accuracy of this burden and suggestions for reducing the burden should be directed to the FAA at: 800 Independence Ave., SW., Washington, DC 20591,<E T="03">Attn:</E>Information Collection Clearance Officer, AES-200.</P>
            <HD SOURCE="HD1">Related Information</HD>
            <P>(h) Refer to MCAI EASA AD No.: 2007-0241R4, dated August 31, 2010; Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008; Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 1, dated November 19, 2007; Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, dated August 30, 2007; Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-004, dated April 16, 2007; and Chapter 57-00-02 of Pilatus Aircraft Ltd. Pilatus PC-6 Aircraft Maintenance Manual, dated November 30, 2008, for related information.</P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(h) You must use Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008; and Chapter 57-00-02 of Pilatus Aircraft Ltd. Pilatus PC-6 Aircraft Maintenance Manual, dated November 30, 2008 (referenced as revision 9 in EASA AD No.: 2007-0241R3), to do the actions required by this AD, unless the AD specifies otherwise.</P>
            <P>(1) On October 1, 2009 (74 FR 43636, August 27, 2009), the Director of the Federal Register previously approved the incorporation by reference of Pilatus Aircraft Ltd. Pilatus PC-6 Service Bulletin No. 57-005, REV No. 2, dated May 19, 2008; and Chapter 57-00-02 of Pilatus Aircraft Ltd. Pilatus PC-6 Aircraft Maintenance Manual, dated November 30, 2008 (referenced as revision 9 in EASA AD No.: 2007-0241R3).</P>

            <P>(2) For service information identified in this AD, contact PILATUS AIRCRAFT LTD., Customer Service Manager, CH-6371 STANS, Switzerland;<E T="03">telephone:</E>+41 (0) 41 619 65 01;<E T="03">fax:</E>+41 (0) 41 619 65 76;<E T="03">Internet: http://www.pilatus-aircraft.com.</E>
            </P>
            <P>(3) You may review copies of the referenced service information at the FAA, Small Airplane Directorate, 901 Locust, Kansas City, Missouri 64106. For information on the availability of this material at the FAA, call 816-329-4148.</P>

            <P>(4) You may also review copies of the service information incorporated by reference for this AD at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call (202) 741-6030, or go to:<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Kansas City, Missouri, on December 28, 2010.</DATED>
          <NAME>Earl Lawrence,</NAME>
          <TITLE>Manager, Small Airplane Directorate,Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2010-33333 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2010-0549; Directorate Identifier 2010-NM-109-AD; Amendment 39-16573; AD 2011-01-16]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; The Boeing Company Model DC-9-81 (MD-81), DC-9-82 (MD-82), DC-9-83 (MD-83), DC-9-87 (MD-87), and MD-88 Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <PRTPAGE P="1994"/>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are adopting a new airworthiness directive (AD) for the products listed above. This AD requires installing fuel level float and pressure switch in-line fuses on the wing forward spars and forward and aft auxiliary fuel tanks, depending on the airplane configuration. This AD was prompted by fuel system reviews conducted by the manufacturer. We are issuing this AD to prevent the potential of ignition sources inside fuel tanks, which, in combination with flammable fuel vapors, could result in fuel tank explosions and consequent loss of the airplane.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD is effective February 16, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of a certain publication listed in the AD as of February 16, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, 3855 Lakewood Boulevard, MC D800-0019, Long Beach, California 90846-0001; telephone 206-544-5000, extension 2; fax 206-766-5683; e-mail<E T="03">dse.boecom@boeing.com;</E>Internet<E T="03">https://www.myboeingfleet.com</E>. You may review copies of the referenced service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue, SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>
        </ADD>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Management Facility between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this AD, the regulatory evaluation, any comments received, and other information. The address for the Docket Office (phone: 800-647-5527) is Document Management Facility, U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Samuel Lee, Aerospace Engineer, Propulsion Branch, ANM-140L, FAA, Los Angeles Aircraft Certification Office (ACO), 3960 Paramount Boulevard, Lakewood, California 90712-4137; telephone 562-627-5262; fax 562-627-5210; e-mail<E T="03">samuel.lee@faa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>

        <P>We issued a notice of proposed rulemaking (NPRM) to amend 14 CFR part 39 to include an airworthiness directive (AD) that would apply to the specified products. That NPRM was published in the<E T="04">Federal Register</E>on June 18, 2010 (75 FR 34661). That NPRM proposed to require installing fuel level float and pressure switch in-line fuses on the wing forward spars and forward and aft auxiliary fuel tanks, depending on the airplane configuration.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We gave the public the opportunity to participate in developing this AD. The following presents the comment received on the proposal and the FAA's response.</P>
        <HD SOURCE="HD1">Request To Clarify Applicability</HD>
        <P>American Airlines (American) requested that we clarify the applicability of the NPRM. That NPRM identified airplanes in the effectivity of Boeing Service Bulletin MD80-28-226, dated April 14, 2010, which specifies that airplanes are not affected unless the actions specified in McDonnell Douglas MD-80 Service Bulletin 28-054 or 28-058 have been done or the float switches have been installed. (These service bulletins are currently at Revision 1, dated April 15, 1992; and Revision 2, dated July 6, 1992; respectively.) American reports that it operates airplanes with switches incorporated in production, but not installed specifically in accordance with McDonnell Douglas MD-80 Service Bulletin 28-054 or 28-058. American therefore requests that we clarify the applicability of the proposed AD to specify whether airplanes equipped with the subject fuel float/pressure switches—regardless of the method of installation—are affected.</P>
        <P>We agree to provide clarification. McDonnell Douglas MD-80 Service Bulletins 28-054 and 28-058 specify that the switches are installed in production on specified and subsequent fuselage numbers. If switches are installed using McDonnell Douglas Service Bulletin 28-054 or 28-058 or production equivalent, the actions of this AD are required. We have added Note 1 in this AD to clarify the applicability.</P>
        <HD SOURCE="HD1">Change to the Installation Requirements</HD>
        <P>The NPRM referred to Boeing Service Bulletin MD80-28-226, dated April 14, 2010, as the appropriate source of service information for the proposed requirements. Boeing has identified errors in certain references identified in that service bulletin, and issued Service Bulletin Information Notice MD80-28-226 IN 01, dated April 23, 2010, to correct these errors. We have included these corrections in new paragraph (h) in this final rule.</P>
        <HD SOURCE="HD1">Explanation of Change Made to the [Proposed] AD</HD>
        <P>We have revised this AD to identify the legal name of the manufacturer as published in the most recent type certificate data sheet for the affected airplane models.</P>
        <HD SOURCE="HD1">Conclusion</HD>
        <P>We reviewed the relevant data, considered the comment received, and determined that air safety and the public interest require adopting the AD with the changes described previously. We determined that these changes will not increase the economic burden on any operator or increase the scope of the AD.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD affects 640 airplanes of U.S. registry. The following table provides the estimated costs, depending on the airplane configuration, for U.S. operators to comply with this AD.</P>
        <GPOTABLE CDEF="s50,r50,18C,r50,r50,18C,r50" COLS="7" OPTS="L2,i1">
          <TTITLE>Estimated Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Action</CHED>
            <CHED H="1">Work hours</CHED>
            <CHED H="1">Average labor rate per hour</CHED>
            <CHED H="1">Parts</CHED>
            <CHED H="1">Cost per product</CHED>
            <CHED H="1">Number of U.S.-<LI>registered</LI>
              <LI>airplanes</LI>
            </CHED>
            <CHED H="1">Fleet cost</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Installation</ENT>
            <ENT>Between 7 and 17</ENT>
            <ENT>$85</ENT>
            <ENT>Between $817 and $1,725</ENT>
            <ENT>Between $1,412 and $3,170</ENT>
            <ENT>640</ENT>
            <ENT>Between $903,680 and $2,028,800.</ENT>
          </ROW>
        </GPOTABLE>
        <PRTPAGE P="1995"/>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. Subtitle VII: Aviation Programs, describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in subtitle VII, part A, subpart III, section 44701: “General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>This AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify that this AD:</E>
        </P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866,</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979),</P>
        <P>(3) Will not affect intrastate aviation in Alaska, and</P>
        <P>(4) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <REGTEXT PART="39" TITLE="14">
          <HD SOURCE="HD1">Adoption of the Amendment</HD>
          <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by adding the following new airworthiness directive (AD):</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2011-01-16The Boeing Company:</E>Amendment 39-16573; Docket No. FAA-2010-0549; Directorate Identifier 2010-NM-109-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This AD is effective February 16, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) None.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to The Boeing Company Model DC-9-81 (MD-81), DC-9-82 (MD-82), DC-9-83 (MD-83), DC-9-87 (MD-87), and MD-88 airplanes; certificated in any category; as identified in Boeing Service Bulletin MD80-28-226, dated April 14, 2010.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>
              <P>The applicability of this AD is limited to airplanes on which switches are installed in accordance with McDonnell Douglas MD-80 Service Bulletin 28-054, dated April 8, 1991, or Revision 1, dated April 15, 1992; or McDonnell Douglas MD-80 Service Bulletin 28-058, dated April 8, 1991, Revision 1, dated August 2, 1991, or Revision 2, dated July 6, 1992; or production equivalent.</P>
            </NOTE>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Air Transport Association (ATA) of America Code 28: Fuel.</P>
            <HD SOURCE="HD1">Unsafe Condition</HD>
            <P>(e) This AD results from fuel system reviews conducted by the manufacturer. The Federal Aviation Administration is issuing this AD to prevent the potential of ignition sources inside fuel tanks, which, in combination with flammable fuel vapors, could result in fuel tank explosions and consequent loss of the airplane.</P>
            <HD SOURCE="HD1">Compliance</HD>
            <P>(f) You are responsible for having the actions required by this AD performed within the compliance times specified, unless the actions have already been done.</P>
            <HD SOURCE="HD1">Fuse Installation</HD>
            <P>(g) Within 60 months after the effective date of this AD, install fuel level float and pressure switch in-line fuses, and do applicable wiring changes, in the applicable locations specified in paragraph (g)(1), (g)(2), or (g)(3) of this AD. Do the actions in accordance with the Accomplishment Instructions of Boeing Service Bulletin MD80-28-226, dated April 14, 2010, except as required by paragraph (h) of this AD.</P>
            <P>(1) For Groups 1 through 6: On the left, right, and center wing forward spars.</P>
            <P>(2) For Groups 7 and 8: On the left, right, and center wing forward spars, and aft auxiliary fuel tank.</P>
            <P>(3) For Groups 9 through 11: On the left, right, and center wing forward spars, forward auxiliary fuel tank, and aft auxiliary fuel tank.</P>
            <HD SOURCE="HD1">Exception to Service Bulletin Specifications</HD>
            <P>(h) Paragraph 3.B.1. of Boeing Service Bulletin MD80-28-226, dated April 14, 2010, for Groups 1 through 11, refers to the Boeing MD80 Airplane Maintenance Manual (AMM) defueling procedure MD80 AMM 12-13-00. The correct reference is Boeing MD80 AMM 12-11-01.</P>
            <HD SOURCE="HD1">Alternative Methods of Compliance (AMOCs)</HD>

            <P>(i)(1) The Manager, Los Angeles Aircraft Certification Office (ACO), FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. Send information to<E T="03">Attn:</E>Samuel Lee, Aerospace Engineer, Propulsion Branch, ANM-140L, FAA, Los Angeles ACO, 3960 Paramount Boulevard, Lakewood, California 90712-4137; telephone 562-627-5262; fax 562-627-5210.</P>
            <P>(2) To request a different method of compliance or a different compliance time for this AD, follow the procedures in 14 CFR 39.19. Before using any approved AMOC on any airplane to which the AMOC applies, notify your principal maintenance inspector (PMI) or principal avionics inspector (PAI), as appropriate, or lacking a principal inspector, your local Flight Standards District Office. The AMOC approval letter must specifically reference this AD.</P>
            <HD SOURCE="HD1">Related Information</HD>

            <P>(j) For more information about this AD, contact Samuel Lee, Aerospace Engineer, Propulsion Branch, ANM-140L, FAA, Los Angeles ACO, 3960 Paramount Boulevard, Lakewood, California 90712-4137; telephone 562-627-5262; fax 562-627-5210; e-mail<E T="03">samuel.lee@faa.gov</E>.</P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(k) You must use Boeing Service Bulletin MD80-28-226, dated April 14, 2010, to do the actions required by this AD, unless the AD specifies otherwise.</P>
            <P>(1) The Director of the Federal Register approved the incorporation by reference of this service information under 5 U.S.C. 552(a) and 1 CFR part 51.</P>

            <P>(2) For service information identified in this AD, contact Boeing Commercial Airplanes, Attention: Data &amp; Services Management, 3855 Lakewood Boulevard, MC D800-0019, Long Beach, California 90846-0001; telephone 206-544-5000, extension 2; fax 206-766-5683; e-mail<E T="03">dse.boecom@boeing.com;</E>Internet<E T="03">https://www.myboeingfleet.com</E>.</P>
            <P>(3) You may review copies of the service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue, SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>

            <P>(4) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at an NARA facility, call 202-741-6030, or go to<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <PRTPAGE P="1996"/>
          <DATED>Issued in Renton, Washington, on December 27, 2010.</DATED>
          <NAME>Jeffrey E. Duven,</NAME>
          <TITLE>Acting Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2010-33345 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2011-0014; Directorate Identifier 2010-CE-066-AD; Amendment 39-16577; AD 2011-02-04]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; M7 Aerospace LP (Type Certificate Previously Held by Fairchild Aircraft Incorporated) Models SA26-AT, SA26-T, SA226-AT, SA226-T, SA226-T(B), SA226-TC, SA227-AC (C-26A), SA227-AT, SA227-BC (C-26A), SA227-CC, SA227-DC (C-26B), and SA227-TT Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are adopting a new airworthiness directive (AD) for the products listed above. This AD requires repetitively inspecting the cockpit heated windshields for damage and replacing damaged windshields. This AD was prompted by reports from the windshield manufacturer of inner glass ply fracture. We are issuing this AD to detect and correct damage to the cockpit heated windshield, which could result in failure of the windshield with consequent rapid cabin decompression and loss of control of the airplane.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD is effective January 24, 2011.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of certain publication listed in the AD as of January 24, 2011.</P>
          <P>We must receive comments on this AD by February 28, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may send comments by any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal:</E>Go to<E T="03">http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Fax:</E>202-493-2251.</P>
          <P>•<E T="03">Mail:</E>U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590.</P>
          <P>•<E T="03">Hand Delivery:</E>U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>

          <P>For service information identified in this AD, contact M7 Aerospace LP, 10823 NE Entrance Road, San Antonio, Texas 78216; telephone: (210) 824-9421; Internet:<E T="03">http://www.m7aerospace.com.</E>You may review copies of the referenced service information at the FAA, Small Airplane Directorate, 901 Locust St., Kansas City, Missouri 64016. For information on the availability of this material at the FAA, call (816) 329-4148.</P>
        </ADD>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Management Facility between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this AD, the regulatory evaluation, any comments received, and other information. The street address for the Docket Office (<E T="03">phone:</E>800-647-5527) is in the<E T="02">ADDRESSES</E>section. Comments will be available in the AD docket shortly after receipt.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Hung Nguyen, Aerospace Engineer, Fort Worth Airplane Certification Office, FAA, 2601 Meacham Blvd., Fort Worth, Texas 76137-0150;<E T="03">phone:</E>(817) 222-5155;<E T="03">fax:</E>(817) 222-5960;<E T="03">e-mail: hung.v.nguyen@faa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>
        <P>We received reports from the windshield manufacturer of inner glass ply fractures found on 19 windshields over a 32-month period. As a result of the fractures, a windshield on one of the affected airplanes was reported to have failed completely.</P>
        <P>This condition, if not corrected, could result in failure of the cockpit heated windshield, causing rapid cabin decompression and loss of control of the airplane.</P>
        <HD SOURCE="HD1">Relevant Service Information</HD>
        <P>We reviewed M7 Aerospace Service Bulletins 26-56-001, 226-56-011,  227-56-012, and CC7-56-009, all dated December 1, 2010. These service bulletins describe procedures for repetitively inspecting the cockpit heated windshield for damage and replacing damaged windshields.</P>
        <HD SOURCE="HD1">FAA's Determination</HD>
        <P>We are issuing this AD because we evaluated all the relevant information and determined the unsafe condition described previously is likely to exist or develop in other products of the same type design.</P>
        <HD SOURCE="HD1">AD Requirements</HD>
        <P>This AD requires accomplishing the actions specified in the service information described previously, except as discussed under “Differences Between the AD and the Service Information.”</P>
        <HD SOURCE="HD1">Interim Action</HD>
        <P>We consider this AD interim action. The design approval holder is currently developing a modification that will address the unsafe condition identified in this AD. Once this modification is developed, approved, and available, we might consider additional rulemaking.</P>
        <HD SOURCE="HD1">FAA's Justification and Determination of the Effective Date</HD>
        <P>An unsafe condition exists that requires the immediate adoption of this AD. The FAA has found that the risk to the flying public justifies waiving notice and comment prior to adoption of this rule because this condition could result in failure of the cockpit windshield. This failure could lead to rapid cabin decompression and loss of control of the airplane. Therefore, we find that notice and opportunity for prior public comment are impracticable and that good cause exists for making this amendment effective in less than 30 days.</P>
        <HD SOURCE="HD1">Comments Invited</HD>

        <P>This AD is a final rule that involves requirements affecting flight safety and was not preceded by notice and an opportunity for public comment. However, we invite you to send any written data, views, or arguments about this AD. Send your comments to an address listed under the<E T="02">ADDRESSES</E>section. Include the docket number FAA-2011-0014 and Directorate Identifier 2010-CE-066-AD at the beginning of your comments. We specifically invite comments on the overall regulatory, economic, environmental, and energy aspects of this AD. We will consider all comments received by the closing date and may amend this AD because of those comments.</P>
        <P>We will post all comments we receive, without change, to<E T="03">http://www.regulations.gov,</E>including any personal information you provide. We will also post a report summarizing each substantive verbal contact we receive about this AD.<PRTPAGE P="1997"/>
        </P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD affects 362 airplanes of U.S. registry.</P>
        <P>We estimate the following costs to comply with this AD:</P>
        <GPOTABLE CDEF="s50,r50,xs60,r50,xs120" COLS="5" OPTS="L2,i1">
          <TTITLE>Estimated Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Action</CHED>
            <CHED H="1">Labor cost</CHED>
            <CHED H="1">Parts cost</CHED>
            <CHED H="1">Cost per product</CHED>
            <CHED H="1">Cost on U.S. operators</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Inspect the left-hand and right-hand cockpit heated windshield</ENT>
            <ENT>2 work-hours × $85 per hour = $170 per inspection cycle</ENT>
            <ENT>Not applicable</ENT>
            <ENT>$170 per inspection cycle</ENT>
            <ENT>$61,540 per inspection cycle.</ENT>
          </ROW>
        </GPOTABLE>
        <P>We estimate the following costs to do any necessary replacements that would be required based on the results of the inspection. We have no way of determining the number of aircraft that might need this replacement:</P>
        <GPOTABLE CDEF="s50,r50,r50,xs100" COLS="4" OPTS="L2,i1">
          <TTITLE>On-Condition Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Action</CHED>
            <CHED H="1">Labor cost</CHED>
            <CHED H="1">Parts cost</CHED>
            <CHED H="1">Cost per product</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Replace/repair damaged windshield</ENT>
            <ENT>40 work-hours per windshield × $85 per hour = $3,400 per windshield</ENT>
            <ENT>$14,055 per windshield</ENT>
            <ENT>$17,455 per windshield.</ENT>
          </ROW>
        </GPOTABLE>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. “Subtitle VII: Aviation Programs” describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in subtitle VII, part A, subpart III, section 44701: “General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>This AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify that this AD:</E>
        </P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866,</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979),</P>
        <P>(3) Will not affect intrastate aviation in Alaska, and</P>
        <P>(4) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <AMDPAR>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</AMDPAR>
        <REGTEXT PART="39" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by adding the following new airworthiness directive (AD):</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2011-02-04 M7Aerospace LP (Type Certificate Previously Held by Fairchild Aircraft Incorporated):</E>Amendment 39-16577; Docket No. FAA-2011-0014 Directorate Identifier 2010-CE-066-AD.</FP>
            <HD SOURCE="HD1">Effective Date</HD>
            <P>(a) This AD is effective January 24, 2011.</P>
            <HD SOURCE="HD1">Affected ADs</HD>
            <P>(b) None.</P>
            <HD SOURCE="HD1">Applicability</HD>
            <P>(c) This AD applies to M7 Aerospace LP (type certificate previously held by Fairchild Aircraft Incorporated) Models SA26-AT, SA26-T, SA226-AT, SA226-T, SA226-T(B), SA226-TC, SA227-AC (C-26A), SA227-AT, SA227-BC (C-26A),  SA227-CC, SA227-DC (C-26B), and SA227-TT airplanes, all serial numbers, that are certificated in any category.</P>
            <HD SOURCE="HD1">Subject</HD>
            <P>(d) Joint Aircraft System Component (JASC)/Air Transport Association (ATA) of America Code 5610, Flight Compartment Windows.</P>
            <HD SOURCE="HD1">Unsafe Condition</HD>
            <P>(e) This AD was prompted by reports from the windshield manufacturer of inner glass ply fracture. We are issuing this AD to detect and correct damage to the cockpit heated windshield, which could result in failure of the windshield with consequent rapid cabin decompression and loss of control of the airplane.</P>
            <HD SOURCE="HD1">Compliance</HD>
            <P>(f) Comply with this AD within the compliance times specified, unless already done.</P>
            <HD SOURCE="HD1">Inspection</HD>

            <P>(g) Within the next 21 days after January 24, 2011 (the effective date of this AD), inspect the cockpit heated windshields, part numbers 26-21126 and 27-19442, as applicable, for damage,<E T="03">e.g.,</E>delamination, glass shear, and interlayer cracking. Do the inspection following M7 Aerospace Service Bulletins 26-56-001, 226-56-011, 227-56-012, and CC7-56-009, all dated December 1, 2010, as applicable.</P>

            <P>(h) At the compliance times specified in table 1 of this AD, repetitively inspect the cockpit heated windshield for damage,<E T="03">e.g.,</E>delamination, glass shear, and interlayer cracking. Do the inspections following M7 Aerospace Service Bulletins 26-56-001,  226-56-011, 227-56-012, and CC7-56-009, all dated December 1, 2010, as applicable.<PRTPAGE P="1998"/>
            </P>
            <GPOTABLE CDEF="s50,r100,r100" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 1—Repetitive Inspection Compliance Times</TTITLE>
              <BOXHD>
                <CHED H="1">Category</CHED>
                <CHED H="1">If the installed cockpit heated windshield (new or repaired) has the following hours time-in-service (TIS)</CHED>
                <CHED H="1">Then repetitively inspect at intervals not-to-exceed</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">A</ENT>
                <ENT>Less than 1,100</ENT>
                <ENT>Every 150 hours TIS until the windshield accumulates 1,100 hours TIS, at which time inspect according to Category B.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">B</ENT>
                <ENT>1,100 to 5,000</ENT>
                <ENT>Every 100 hours TIS until the windshield accumulates 5,001 hours TIS, at which time inspect according to Category C.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">C</ENT>
                <ENT>More than 5,000</ENT>
                <ENT>Every 50 hours TIS.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(i) Before further flight after each inspection required in paragraphs (g) and (h) of this AD in which damage is found in the critical and semi-critical inspection areas, replace or repair the windshield as specified in M7 Aerospace Service Bulletins  26-56-001, 226-56-011, 227-56-012, and CC7-56-009, all dated December 1, 2010, as applicable.</P>
            <P>(j) Within 30 days after each inspection required in paragraph (g) and (h) of this AD in which damage is found, report the results of the inspection to the FAA. Use the form (figure 1 of this AD) and submit it to the address specified in paragraph (n) of this AD.</P>
            <HD SOURCE="HD1">Special Flight Permit</HD>
            <P>(k) Flights are limited to two pilot operations only. No single pilot operation allowed.</P>
            <HD SOURCE="HD1">Paperwork Reduction Act Burden Statement</HD>

            <P>(l) A federal agency may not conduct or sponsor, and a person is not required to respond to, nor shall a person be subject to a penalty for failure to comply with a collection of information subject to the requirements of the Paperwork Reduction Act unless that collection of information displays a current valid OMB Control Number. The OMB Control Number for this information collection is 2120-0056. Public reporting for this collection of information is estimated to be approximately 5 minutes per response, including the time for reviewing instructions, completing and reviewing the collection of information. All responses to this collection of information are mandatory. Comments concerning the accuracy of this burden and suggestions for reducing the burden should be directed to the FAA at: 800 Independence Ave., SW., Washington, DC 20591,<E T="03">Attn:</E>Information Collection Clearance Officer, AES-200.</P>
            <GPOTABLE CDEF="xl100,xl100" COLS="2" OPTS="L4,tp0,p1,8/9,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1"/>
                <CHED H="1"/>
              </BOXHD>
              <ROW EXPSTB="01" RUL="s">
                <ENT I="21">AD 2011-02-04</ENT>
              </ROW>
              <ROW EXPSTB="00" RUL="s">
                <ENT I="01">Airplane Model Number/Serial Number:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Time-in-Service (TIS) of on cockpit heated windshield:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Inspection results:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Corrective Action Taken:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Any Additional Information (Optional):</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Name:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Telephone and/or E-mail Address:</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Date:</ENT>
              </ROW>
              <ROW EXPSTB="01">
                <ENT I="21">
                  <E T="03">Send report to:</E>Hung Nguyen, Aerospace Engineer, Fort Worth Airplane</ENT>
              </ROW>
              <ROW>
                <ENT I="21">Certification Office, FAA, 2601 Meacham Blvd., Fort Worth, TX 76137-0150;</ENT>
              </ROW>
              <ROW>
                <ENT I="21">
                  <E T="03">phone:</E>(817) 222-5155;<E T="03">fax:</E>(817) 222-5960;<E T="03">e-mail: hung.v.nguyen@faa.gov.</E>
                </ENT>
              </ROW>
              
              <ROW>
                <ENT I="21">Figure 1</ENT>
              </ROW>
            </GPOTABLE>
            <HD SOURCE="HD1">Alternative Methods of Compliance (AMOCs)</HD>
            <P>(m)(1) The Manager, Fort Worth Airplane Certification Office (ACO), FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. In accordance with 14 CFR 39.19, send your request to your principal inspector or local Flight Standards District Office, as appropriate. If sending information directly to the manager of the ACO, send it to the attention of the person identified in the Related Information section of this AD.</P>
            <P>(2) Before using any approved AMOC, notify your Principal Maintenance Inspector or Principal Avionics Inspector, as appropriate, or lacking a principal inspector, your local Flight Standards District Office.</P>
            <HD SOURCE="HD1">Related Information</HD>

            <P>(n) For more information about this AD, contact Hung Nguyen, Aerospace Engineer, Fort Worth Airplane Certification Office, FAA, 2601 Meacham Blvd., Fort Worth, Texas 76137-0150;<E T="03">phone:</E>(817) 222-5155;<E T="03">fax:</E>(817) 222-5960;<E T="03">e-mail: hung.v.nguyen@faa.gov.</E>
            </P>
            <HD SOURCE="HD1">Material Incorporated by Reference</HD>
            <P>(o) You must use the service information contained in Table 2 of this AD to do the actions required by this AD, unless the AD specifies otherwise.</P>
            <GPOTABLE CDEF="s100,xs40,xs80" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 2—All Material Incorporated by Reference</TTITLE>
              <BOXHD>
                <CHED H="1">Document</CHED>
                <CHED H="1">Revision</CHED>
                <CHED H="1">Date</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">M7 Aerospace Service Bulletin 26-56-001</ENT>
                <ENT>N/A</ENT>
                <ENT>December 1, 2010.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">M7 Aerospace Service Bulletin 226-56-011</ENT>
                <ENT>N/A</ENT>
                <ENT>December 1, 2010.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">M7 Aerospace Service Bulletin 227-56-012</ENT>
                <ENT>N/A</ENT>
                <ENT>December 1, 2010.</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="1999"/>
                <ENT I="01">M7 Aerospace Service Bulletin CC7-56-009</ENT>
                <ENT>N/A</ENT>
                <ENT>December 1, 2010.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(1) The Director of the Federal Register approved the incorporation by reference of the service information contained in Table 2 of this AD under 5 U.S.C. 552(a) and 1 CFR part 51.</P>

            <P>(3) For service information identified in this AD, contact M7 Aerospace LP, 10823 NE Entrance Road, San Antonio, Texas 78216; telephone: (210) 824-9421; Internet:<E T="03">http://www.m7aerospace.com.</E>
            </P>
            <P>(4) You may review copies of the service information at the FAA, Small Airplane Directorate, 901 Locust St., Kansas City, Missouri 64106. For information on the availability of this material at the FAA, call (816) 329-2470.</P>

            <P>(5) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at an NARA facility, call 202-741-6030, or go to<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Kansas City, Missouri, on January 5, 2011.</DATED>
          <NAME>Earl Lawrence,</NAME>
          <TITLE>Manager, Small Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-457 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 71</CFR>
        <DEPDOC>[Docket No. FAA-2010-0529; Airspace Docket No. 10-ANM-3]</DEPDOC>
        <SUBJECT>Establishment of Class E Airspace; Panguitch, UT</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action will establish Class E airspace at Panguitch, UT, to accommodate aircraft using a new Area Navigation (RNAV) Global Positioning System (GPS) Standard Instrument Approach Procedures at Panguitch Municipal Airport. This will improve the safety and management of Instrument Flight Rules (IFR) operations at the airport.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective date, 0901 UTC, March 10, 2011. The Director of the Federal Register approves this incorporation by reference action under 1 CFR Part 51, subject to the annual revision of FAA Order 7400.9 and publication of conforming amendments.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Eldon Taylor, Federal Aviation Administration, Operations Support Group, Western Service Center, 1601 Lind Avenue, SW., Renton, WA 98057; telephone (425) 203-4537.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">History</HD>
        <P>On June 28, 2010, the FAA published in the<E T="04">Federal Register</E>a NPRM to establish Class E airspace extending upward from 700 feet above the surface at Panguitch, UT (75 FR 36585). The FAA agreed with a comment received to also expand controlled airspace from 1,200 feet, and on October 18, 2010, published in the<E T="04">Federal Register</E>a supplemental notice of proposed rulemaking to expand the proposed Class E 700 foot airspace to include Class E airspace from 1,200 feet above the surface at Panguitch, UT (75 FR 63730). Interested parties were invited to participate in this rulemaking effort by submitting written comments on the supplemental proposal to the FAA. The FAA received one comment to an increase to the southern boundary of the 1,200′AGL airspace description. The FAA found merit in this comment, and will incorporate this change in the final rule. With the exception of editorial changes and the changes described above, this rule is the same as that proposed in the NPRM and SNPRM.</P>
        <P>Class E airspace designations are published in paragraph 6005, of FAA Order 7400.9U dated August 18, 2010, and effective September 15, 2010, which is incorporated by reference in 14 CFR 71.1. The Class E airspace designations listed in this document will be published subsequently in that Order.</P>
        <HD SOURCE="HD1">The Rule</HD>
        <P>This action amends Title 14 Code of Federal Regulations (14 CFR) Part 71 by establishing Class E airspace extending upward from 700 feet above the surface, at Panguitch Municipal Airport, to accommodate IFR aircraft executing new RNAV GPS Standard Instrument Approach Procedures at the airport. This action is necessary for the safety and management of IFR operations at the airport.</P>
        <P>The FAA has determined this regulation only involves an established body of technical regulations for which frequent and routine amendments are necessary to keep them operationally current. Therefore, this regulation: (1) Is not a “significant regulatory action” under Executive Order 12866; (2) is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034; February 26, 1979); and (3) does not warrant preparation of a regulatory evaluation as the anticipated impact is so minimal. Since this is a routine matter that will only affect air traffic procedures and air navigation, it is certified this rule, when promulgated, will not have a significant economic impact on a substantial number of small entities under the criteria of the Regulatory Flexibility Act. The FAA's authority to issue rules regarding aviation safety is found in Title 49 of the U.S. Code. Subtitle 1, Section 106 discusses the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the agency's authority. This rulemaking is promulgated under the authority described in subtitle VII, part A, subpart I, section 40103. Under that section, the FAA is charged with prescribing regulations to assign the use of airspace necessary to ensure the safety of aircraft and the efficient use of airspace. This regulation is within the scope of that authority as it establishes controlled airspace at Panguitch Municipal Airport, Panguitch, UT.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 71</HD>
          <P>Airspace, Incorporation by reference, Navigation (air).</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <REGTEXT PART="71" TITLE="14">
          <AMDPAR>In consideration of the foregoing, the Federal Aviation Administration amends 14 CFR Part 71 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 71—DESIGNATION OF CLASS A, B, C, D AND E AIRSPACE AREAS; AIR TRAFFIC SERVICE ROUTES; AND REPORTING POINTS</HD>
          </PART>
          <AMDPAR>1. The authority citation for 14 CFR part 71 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40103, 40113, 40120; E.O. 10854, 24 FR 9565, 3 CFR, 1959-1963 Comp., p. 389.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="71" TITLE="14">
          <SECTION>
            <SECTNO>§ 71.1</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>

          <AMDPAR>2. The incorporation by reference in 14 CFR 71.1 of the Federal Aviation Administration Order 7400.9U,<PRTPAGE P="2000"/>Airspace Designations and Reporting Points, dated August 18, 2010, and effective September 15, 2010 is amended as follows:</AMDPAR>
          
          <EXTRACT>
            <HD SOURCE="HD2">Paragraph 6005Class E airspace areas extending upward from 700 feet or more above the surface of the earth.</HD>
            <STARS/>
            <HD SOURCE="HD1">ANM UT E5Panguitch, UT [New]</HD>
            <FP SOURCE="FP-2">Panguitch Municipal Airport, UT</FP>
            <FP SOURCE="FP1-2">(Lat. 37°50′43″ N., long. 112°23′31″ W.)</FP>
            
            <P>That airspace extending from 700 feet above the surface within an 11.7-mile radius of the Panguitch Municipal Airport, and that airspace extending upward from 1,200 feet above the surface within an area bounded by lat. 38°25′00″ N., long. 112°32′00″ W.; to lat. 38°24′00″ N., long. 112°02′00″ W.; to lat. 37°52′00″ N., long. 111°47′00″ W.; to lat. 37°12′00″ N., long. 112°20′00″ W.; to lat. 37°12′00″ N., long. 112°56′00″ W.; to lat. 37°42′30″ N., long. 112°55′00″ W.; to lat. 37°43′00″ N., long. 112°43′00″ W.; thence to the point of beginning.</P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Seattle, Washington, on January 3, 2011.</DATED>
          <NAME>John Warner,</NAME>
          <TITLE>Manager, Operations Support Group, Western Service Center.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-353 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 71</CFR>
        <DEPDOC>[Docket No. FAA-2010-0903; Airspace Docket No. 10-AWP-16]</DEPDOC>
        <SUBJECT>Modification of Class E Airspace; Show Low, AZ</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action will amend Class E airspace at Show Low, AZ, to accommodate aircraft using a new Area Navigation (RNAV) Global Positioning System (GPS) Standard Instrument Approach Procedures at Show Low Regional Airport. This will improve the safety and management of Instrument Flight Rules (IFR) operations at the airport.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective date, 0901 UTC, March 10, 2011. The Director of the Federal Register approves this incorporation by reference action under 1 CFR Part 51, subject to the annual revision of FAA Order 7400.9 and publication of conforming amendments.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Eldon Taylor, Federal Aviation Administration, Operations Support Group, Western Service Center, 1601 Lind Avenue, SW., Renton, WA 98057; telephone (425) 203-4537.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">History</HD>
        <P>On October 22, 2010, the FAA published in the<E T="04">Federal Register</E>a notice of proposed rulemaking to amend controlled airspace at Show Low, AZ (75 FR 65255). Interested parties were invited to participate in this rulemaking effort by submitting written comments on the proposal to the FAA. No comments were received.</P>
        <P>Class E airspace designations are published in paragraph 6005 of FAA Order 7400.9U dated August 18, 2010, and effective September 15, 2010, which is incorporated by reference in 14 CFR 71.1. The Class E airspace designations listed in this document will be published subsequently in that Order.</P>
        <HD SOURCE="HD1">The Rule</HD>
        <P>This action amends Title 14 Code of Federal Regulations (14 CFR) Part 71 by adding additional Class E airspace extending upward from 700 feet above the surface, at Show Low Regional Airport, to accommodate IFR aircraft executing new RNAV (GPS) standard instrument approach procedures at the airport. This action is necessary for the safety and management of IFR operations.</P>
        <P>The FAA has determined this regulation only involves an established body of technical regulations for which frequent and routine amendments are necessary to keep them operationally current. Therefore, this regulation: (1) Is not a “significant regulatory action” under Executive Order 12866; (2) is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034; February 26, 1979); and (3) does not warrant preparation of a regulatory evaluation as the anticipated impact is so minimal. Since this is a routine matter that will only affect air traffic procedures and air navigation, it is certified this rule, when promulgated, will not have a significant economic impact on a substantial number of small entities under the criteria of the Regulatory Flexibility Act. The FAA's authority to issue rules regarding aviation safety is found in Title 49 of the U.S. Code. Subtitle 1, section 106 discusses the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the agency's authority. This rulemaking is promulgated under the authority described in subtitle VII, part A, subpart I, section 40103. Under that section, the FAA is charged with prescribing regulations to assign the use of airspace necessary to ensure the safety of aircraft and the efficient use of airspace. This regulation is within the scope of that authority as it establishes additional controlled airspace at Show Low Regional Airport, Show Low, AZ.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 71</HD>
          <P>Airspace, Incorporation by reference, Navigation (air).</P>
        </LSTSUB>
        <REGTEXT PART="71" TITLE="14">
          <HD SOURCE="HD1">Adoption of the Amendment</HD>
          <AMDPAR>In consideration of the foregoing, the Federal Aviation Administration amends 14 CFR 71 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 71—DESIGNATION OF CLASS A, B, C, D AND E AIRSPACE AREAS; AIR TRAFFIC SERVICE ROUTES; AND REPORTING POINTS</HD>
          </PART>
          <AMDPAR>1. The authority citation for 14 CFR 71 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40103, 40113, 40120; E.O. 10854, 24 FR 9565, 3 CFR, 1959-1963 Comp., p. 389.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="71" TITLE="14">
          <SECTION>
            <SECTNO>§ 71.1</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The incorporation by reference in 14 CFR 71.1 of the Federal Aviation Administration Order 7400.9U, Airspace Designations and Reporting Points, dated August 18, 2010, and effective September 15, 2010 is amended as follows:</AMDPAR>
          
          <EXTRACT>
            <HD SOURCE="HD2">Paragraph 6005Class E airspace areas extending upward from 700 feet or more above the surface of the earth.</HD>
            <STARS/>
            <HD SOURCE="HD1">AWP AZ E5Show Low, AZ [Modified]</HD>
            <FP SOURCE="FP-2">Show Low Regional Airport, AZ</FP>
            <FP SOURCE="FP1-2">(Lat. 34°15′56″ N., long. 110°00′20″ W.)</FP>
            
            <P>That airspace extending upward from 700 feet above the surface within a 6.7-mile radius of the Show Low Regional Airport and within 3 miles each side of the 038° bearing of the Show Low Regional Airport extending from the 6.7-mile radius to 10 miles northeast of the airport, and within 2.1 miles each side of the 085° bearing of the Show Low Regional Airport extending from the 6.7-mile radius to 7.9 miles east of the airport; that airspace extending upward from 1,200 feet above the surface within an area bounded by a line beginning at lat. 34°35′00″ N., long. 109°51′00″ W.; to lat. 34°14′00″ N., long. 109°22′00″ W.; to lat. 33°49′00″ N., long. 110°36′00″ W.; to lat. 34°10′00″ N., long. 110°37′00″ W.; thence to the point of beginning.</P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Seattle, Washington, on January 5, 2011.</DATED>
          <NAME>John Warner,</NAME>
          <TITLE>Manager, Operations Support Group, Western Service Center.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-356 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <PRTPAGE P="2001"/>
        <AGENCY TYPE="N">NATIONAL AERONAUTICS AND SPACE ADMINISTRATION</AGENCY>
        <CFR>48 CFR Parts 1845 and 1852</CFR>
        <RIN>RIN 2700-AD37</RIN>
        <SUBJECT>Government Property</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Aeronautics and Space Administration.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>NASA is issuing a final rule to revise the NASA FAR Supplement (NFS) to update Agency-level, property-related provisions, clauses, prescriptions and procedures to be consistent with changes made to Part 45 and Part 52.245 of the Federal Acquisition Regulation in Federal Acquisition Circular (FAC) 2005-17. FAC 2005-17 significantly rewrote FAR Part 45, Government Property, and changed property related definitions, provisions and clauses which are required to be used in all solicitations and contracts issued after the effective date of 14 June, 2007.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>January 12, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Carl Weber, NASA, Office of Procurement, Contract Management Division (Suite 5K80), (202) 358-1784, e-mail:<E T="03">carl.c.weber@nasa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">A. Background</HD>
        <P>Federal Acquisition Circular (FAC 2005-17) implemented the final rule amending the Federal Acquisition Regulation (FAR) to simplify procedures, clarify language, and eliminate obsolete requirements related to the management and disposition of Government property in the possession of contractors. FAC 2005-17 significantly rewrote FAR Part 45, Government Property, and changed property-related definitions, provisions and clauses which are required to be used in all solicitations and contracts issued after the effective date of 14 June, 2007. The purpose of this final rule is to establish a new NASA FAR Supplement (NFS) Part 1845, Government Property, and related Agency-level solicitation provisions and contract clauses in NFS Subpart 1852.245, that are consistent with the rewrite of FAR Part 45. This rewrite of NFS Part 1845 and Subpart 1852.245 realigns Agency regulations with the new definitions, practices and policy of the FAR, a policy that fosters efficiency, flexibility, innovation and creativity while continuing to protect the Government's interest. In addition, this final rule includes Agency-level procedures, solicitation provisions, and contract clause language necessary to identify contractor-acquired assets which become capital assets of the Government, in order to comply with Statement of Federal Financial Accounting Standard (SFFAS) No. 6.NASA published a proposed rule at 73 FR 73202, December 2, 2008. The 60 day comment period for the proposed rule ended February 2, 2009. Three respondents provided comments for a total of 52 comments.</P>
        <P>The public comments were considered by NASA in the formation of the final rule.</P>
        <P>
          <E T="03">Comment 1:</E>One respondent recommended that language in 1845.107-70(B)(5) be clarified to differentiate between government property acquired which the government has title to and property acquired under FAR 52.245-1 Alt 2, which is titled to the contractor.</P>
        <P>
          <E T="03">Response:</E>Concur. The word “Government” was appended to “property” in the language to differentiate between property acquired and titled to the contractor under the alternate and property titled to the Government.</P>
        <P>
          <E T="03">Comment 2:</E>One respondent recommended that the phrase “IPO's Center for transfer to the” be added to 1852.245-70, Alternate I as follows: (ii) If the Contractor determines that an item within NASA or Federal excess is suitable, it shall contact the Center Industrial Property Officer (IPO) to arrange for transfer of the item from the identified source to the<E T="03">IPO's Center for transfer</E>to the contractor.</P>
        <P>
          <E T="03">Response:</E>Non-concur. With the issuance of the final rule, the process in Procurement Information Circular 05-07 will become obsolete. The process suggested is internal to NASA and would be addressed through Part 1845, and not thorough contract language. NASA may choose a variety of methods to effect a transfer.</P>
        <P>
          <E T="03">Comment 3:</E>One respondent recommended establishing a threshold for screening greater than $10,000 for items of property proposed for acquisition by institutions of higher education and allowing institutions to reject items if they are not technically sufficient.</P>
        <P>
          <E T="03">Response:</E>Non-concur. FAR Part 8 and 40 U.S.C. 524 require screening of agency inventory and other agencies' excess prior to new acquisitions whenever practicable. Though the screening practice may not always be productive, screening activity is not impracticable; therefore, we are required to perform it.</P>
        <P>
          <E T="03">Comment 4:</E>One respondent recommended changing the date for report submission at 1852.245-73(c)(1) from October 15 to October 30.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The October 15 date is needed to allow sufficient time for contractor held property values to be compiled into NASA's annual financial statement.</P>
        <P>
          <E T="03">Comment 5:</E>One respondent recommended modifying 1852.245-79(c) to change the phrase “Government-furnished property” to “Government Property” to clarify that it applies to both Government-furnished and Contractor Acquired Government property.</P>
        <P>
          <E T="03">Response:</E>Concur. Change made.</P>
        <P>
          <E T="03">Comment 6:</E>One respondent recommended modifying 1852.245-79(c) to change “approval of the NASA Industrial Property Officer to “approval of the Plant Clearance Officer”.</P>
        <P>
          <E T="03">Response:</E>Concur. Change made.</P>
        <P>
          <E T="03">Comment 7:</E>One respondent recommended that the reference to “Industrial Property Officer or Property Administrator” in 1845.501-70(b) be changed to only reference “Government Property Administrator”.</P>
        <P>
          <E T="03">Response:</E>Non-concur. Within NASA, the Industrial Property Officer is the integral link between the contracting functions and the property administration functions and serves as the advisor to the Contracting Officer on property related topics. The reference to the Industrial Property Officer and Property Administrator will remain.</P>
        <P>
          <E T="03">Comment 8:</E>One respondent recommended that 1845.501-70(b) be changed to reflect that the Contracting Officer makes the final determination as to the adequacy of the contractor's proposed property management systems, standards and practices based on various inputs, including those of the Property Administrator and Industrial Property Officer.</P>
        <P>
          <E T="03">Response:</E>Concur. Language changed accordingly.</P>
        <P>
          <E T="03">Comment 9:</E>One respondent recommended that the reference to “Industrial Property Officer or Property Administrator” at 1845.501-70(b)(1) be changed to reference only the Property Administrator.</P>
        <P>
          <E T="03">Response:</E>Non-concur. NASA contracts may operate under circumstances that are unknown to the property administrator or differ from those applied by the property administrator's own organization. Within NASA, the Industrial Property Officer is the integral link between the contracting functions and the property administration functions and serves as the advisor to the Contracting Officer on<PRTPAGE P="2002"/>property related topics. Original language left intact.</P>
        <P>
          <E T="03">Comment 10:</E>One respondent recommended that DCMA's PCARSS system be used for all NASA contracts.</P>
        <P>
          <E T="03">Response:</E>Non-concur: NASA does not share all contractors with DOD. As a result, NASA may need to disposition property outside of PCARSS. Further, NASA, as a separate Federal agency maintains its own disposal processes and may choose to use them when it is in the agency's best interest.</P>
        <P>
          <E T="03">Comment 11:</E>One respondent recommended simplification of paragraph (a) of 1845.7101-2.</P>
        <P>
          <E T="03">Response:</E>Paragraph (a) of 1845.7101-2 was not proposed to be changed in the proposed rule, and was not published for comment, but may be reviewed for change in the future.</P>
        <P>
          <E T="03">Comment 12:</E>One respondent recommended that 1845-7101-2(c) be revised to incorporate a proactive approach to identification and correction of property data, though no specific language was provided.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The NASA proposed changes to this paragraph were made only to omit obsolete FAR citations and the paragraph is otherwise still applicable. While the CO may take proactive measures to develop data for property being transferred, this remains an alternative procedure to be used when data is found to be insufficient by the contractor.</P>
        <P>
          <E T="03">Comment 13:</E>One respondent recommended deleting the entire clause at 1852.245-70.</P>
        <P>
          <E T="03">Response:</E>Partially concur. The requirement for screening for property for reuse is based on law, and therefore cannot be eliminated. In addition, the FAR requires the contracting officer to determine whether it is in the best interest for the Government to provide property. The scope of the clause was, however, limited to equipment requested after award.</P>
        <P>
          <E T="03">Comment 14:</E>One respondent recommended that we remove the requirement for contractors to hold employees liable for LDD&amp;T as specified at 1852.245-71(a). Collective bargaining agreements, labor relations laws, State and local law may prohibit holding an employee liable for LDD&amp;T of Government owned property.</P>
        <P>
          <E T="03">Response:</E>Partially concur. Although the language was unchanged from the previous NFS clause, and the liability requirement was ameliorated by the phrase “as appropriate”, the language will be changed to read: “In accordance with FAR 52.245-1(h)(1) the contractor shall be liable for property lost, damaged, destroyed or stolen by the contractor or their employees when determined responsible by a NASA Property Survey Board, in accordance with the NASA guidance in this clause.”</P>
        <P>
          <E T="03">Comment 15:</E>One respondent recommended that the language at 1852.245-71(b)(iii) be changed so that it is clear that contractors are not required to establish a property record until the property is titled to the government.</P>
        <P>
          <E T="03">Response:</E>Concur. 1852.245-71(b)(iii) is changed to read: “The Contractor shall establish a record for Government titled property as required by FAR 52.245-1 and shall maintain that record until accountability is accepted by the Government.” The final sentence of the paragraph is deleted.</P>
        <P>
          <E T="03">Comment 16:</E>One respondent recommended that NASA rewrite the clause at 1852.245-72 to utilize DOD condition codes F, J and K in determining whether property is “economically repairable”.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The economic repair codes suggested by the contractor are Department of Defense codes not applicable to NASA. NASA utilizes its own criteria to determine whether it is economically feasible to repair items.</P>
        <P>
          <E T="03">Comment 17:</E>One respondent recommended revising the language at 1852.245-72(c) to make liability for Government property furnished more consistent with FAR 52.245-1(h)(i) and commercial practices.</P>
        <P>
          <E T="03">Response:</E>Concur. The phrase “or when sustained while the property is being worked upon and directly resulting from that work, including but not limited to, any repairing, adjusting, inspecting, servicing, or maintenance operation.” is deleted from the first sentence of paragraph (c) of 1852.245-72.</P>
        <P>
          <E T="03">Comment 18:</E>One respondent recommended deleting paragraph (d) of 1852.245-72, regarding insurance requirements since in conflict with FAR Part 45.</P>
        <P>
          <E T="03">Response:</E>Concur. Paragraph (d) deleted.</P>
        <P>
          <E T="03">Comment 19:</E>One respondent recommended deleting the clause at 1852.245-73.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The reporting requirements of this clause were not added or significantly altered in the proposed rule. NASA requires submission of this report to support generation of its financial statement and other Government financial management reporting requirements. Financial reporting requirements of NASA property in the custody of contractors may be revised in the future based on advances in electronic accounting and reporting systems, and public comment will be solicited.</P>
        <P>
          <E T="03">Comment 20:</E>One respondent recommended eliminating the UID number and Data matrix ID symbols requirements contained in the clause at 1852.245-74 for research and development contracts with higher education, non-profit organizations.</P>
        <P>
          <E T="03">Response:</E>Partially Concur. NASA requires identification to assure that its property is adequately managed and controlled. However, language has been added to allow performing entities to propose alternate, commercial methods of durable marking that retain the data required by the above standards. Such alternate methods may be used if approved by the NASA Industrial Property Officer.</P>
        <P>
          <E T="03">Comment 21:</E>One respondent recommended moving the clause at 1852.245-74 to 1852.211-XX for consistency with the FAR, and that a dollar threshold be established below which marking would not be required.</P>
        <P>
          <E T="03">Response:</E>Partially concur. This is a property specific requirement limited to equipment items to be delivered to the Government. While a threshold is not acceptable to NASA, material and Special Tooling are not included in this requirement, thereby eliminating many low dollar items from the requirement.</P>
        <P>Equipment is well defined in FAR. It is not applicable to items used by the contractor unless those items are no longer required and instructions require delivery to the Government. NASA does wish to apply this to equipment produced for delivery to the Government. NASA intends that this clause will assist the administration in the identification and control of equipment items that qualify for internal management recordkeeping and controls on delivery to the agency.</P>
        <P>
          <E T="03">Comment 22:</E>One respondent recommended that the term “item” be substituted for the term “equipment” throughout the clause at 1852.245-74.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The requirements in this clause are intended to apply to “equipment” as defined in FAR Part 45. The term “item” could have a much broader meaning, including such things as “parts” and “items of material” NASA does not intend to apply this requirement to materials (parts). Rather, it is intended for equipment only, hence the terminology used.</P>
        <P>
          <E T="03">Comment 23:</E>One respondent recommended that NASA utilize DOD's MIL STD 130 and related DOD infrastructure as the basis for its “Identifications and Markings. * * *” clause at 1852.245-74.</P>
        <P>
          <E T="03">Response:</E>Partially concur. NASA has modified the clause language to allow the use of commercially produced<PRTPAGE P="2003"/>markings when those markings otherwise comply with the data and legibility requirements of the NASA standard.</P>
        <P>
          <E T="03">Comment 24:</E>One respondent recommended that 1852.245-74(c) include additional, specific instructions on what needs to be marked and those instructions be included in the contract. In addition, the respondent commented that the reporting requirements would be in addition to standard FAR requirements.</P>
        <P>
          <E T="03">Response:</E>Non-concur. NASA intends the use of these identification requirements only on delivered or transferred equipment. Instructions in the clause are sufficient to define its applicability.</P>
        <P>
          <E T="03">Comment 25:</E>One respondent recommended that the phrase “For Items physically transferred” in paragraph (d) of 1852.245-74 be clarified.</P>
        <P>
          <E T="03">Response:</E>Partially concur. Language is changed to clarify by adding the phrase, “equipment no longer required for contract performance.” in paragraphs (a) and (d).</P>
        <P>
          <E T="03">Comment 26:</E>One respondent recommended deleting the requirement to provide item condition at 1852.245-74(d)(2) since condition code is not required by the FAR clause at 52.245-1.</P>
        <P>
          <E T="03">Response:</E>Partially concur. Condition codes are discussed within the FAR Property Clause at 52.245-1(j)(3)(iv) and are normally ascertained by the contractor at the time the items are no longer required for contract performance. Clause language is changed to implement condition codes used at time of disposal.</P>
        <P>
          <E T="03">Comment 27:</E>One respondent recommended deleting the requirement to provide “date last serviced” at 1852.245-74(d)(3).</P>
        <P>
          <E T="03">Response:</E>Concur. Requirement is deleted.</P>
        <P>
          <E T="03">Comment 28:</E>One respondent recommended replacing the term “equipment” in paragraph (f) of 1852.245-74 with the term “an end item” to standardize terminology throughout rule.</P>
        <P>
          <E T="03">Response:</E>Non-concur. NASA has standardized terminology on the term “equipment”.</P>
        <P>
          <E T="03">Comment 29:</E>One respondent recommended deleting the clause at 1852.245-75, stating “portions are repetitive of the FAR requirements.”</P>
        <P>
          <E T="03">Response:</E>Non-concur. This clause clarifies the term “significant” in the FAR clause at 52.245-1(b)(1) to ensure NASA is notified when contractor changes may increase risk to property and contract performance.</P>
        <P>
          <E T="03">Comment 30:</E>One respondent recommended the single point of contact referenced in paragraph (a) of 1852.245-75 be the Property Administrator.</P>
        <P>
          <E T="03">Response:</E>Partially concur. While the NASA Industrial Property Officer must be advised of significant changes as defined in this clause, the Property Administrator will be the single source for direction to the contractor regarding the acceptability of proposed changes.</P>
        <P>
          <E T="03">Comment 31:</E>One Respondent suggested that sub paragraphs (a)(1), (2), &amp; (3) of the proposed clause at 1852.245-75 were written too broadly in an attempt to clarify the phrase “the Contractor shall disclose any significant changes to their property management system” at FAR 52.245-1(b)(1).</P>
        <P>
          <E T="03">Response:</E>Non-concur. This language provides more specific descriptions of what constitutes a “significant change” to a contractor's property management system as stated in FAR 52.245-1(b). The more specific language was written to ensure that NASA is notified when contractor changes may increase risk to property and risk to contract performance.</P>
        <P>
          <E T="03">Comment 32:</E>One respondent recommended that since the FAR states that any “significant” changes be disclosed to the Property Administrator (PA), the single point of contact should be PA in paragraph (b) the proposed rule at 1852.245-75.</P>
        <P>
          <E T="03">Response:</E>Partially concur. While the NASA Industrial Property Officer must be advised of significant changes as defined in this clause, the Property Administrator will be the single source for direction to the contractor regarding the acceptability of proposed changes.</P>
        <P>
          <E T="03">Comment 33:</E>One respondent suggested adding language allowing the contractor to acquire property identified in their proposal in response to the provision at 1852.245-80 without further approval.</P>
        <P>
          <E T="03">Response:</E>Concur. Such language will be added to the clause at 1852.245-70.</P>
        <P>
          <E T="03">Comment 34:</E>One respondent suggested adding the dates for FAR clauses referenced in the NASA FAR supplement Clauses.</P>
        <P>
          <E T="03">Response:</E>Partially concur. Wherever FAR clauses are referenced in NASA FAR Supplement (NFS) clauses, the date of the FAR clause will be included at least once in the same clause, or the reference may use the language “FAR 52.245-X, as incorporated in this contract”.</P>
        <P>
          <E T="03">Comment 35:</E>One respondent recommended deleting the clause at 1852.245-78,<E T="03">Physical Inventory of Capital Personal Property,</E>suggesting the clause is overly prescriptive and goes beyond industry and other government standards. The respondent further suggested, that in accordance with NASA's own accounting rules, property with an acquisition value of more than $100,000 would not necessarily be considered a capital asset.</P>
        <P>
          <E T="03">Response:</E>Partially-concur. NASA believes the clause, and the specific annual physical inventory requirements required by the clause for high value items, are necessary to ensure the existence and completeness of inventory records associated with such items that may be included in NASA's financial statements as capital assets. The $100,000 threshold was chosen since it matches one of the base criteria used to determine an item as a capital asset. Since as the respondent suggests, contractors shouldn't and couldn't determine which items greater than $100,000 were considered NASA Capital assets, the dollar threshold alone is used as a demarcation for ease of use by the contractor. Further, ASTM Standards allow for stratified inventories, as high value items may require more visibility than low value items.</P>
        <P>
          <E T="03">Comment 36:</E>One respondent recommended removing the requirement at 1852.245-78(a)(2) to use inventory results to validate the “condition and use status” in property record data, since inventory personnel rarely have the skill to determine condition of property and condition is generally determined at time of disposition.</P>
        <P>
          <E T="03">Response: Partially</E>concur. The requirement to validate “condition” and use are removed, however, the requirement to verify the existence of the items and the completeness of the records were restated.</P>
        <P>
          <E T="03">Comment 37:</E>One respondent suggested that the FAR deleted the requirement for “separation of duties” (inventory to be performed by individuals other than those assigned custody, or responsibility for maintenance or posting); likewise, NASA should delete the requirement for “separation of duties” at 1852.245-78(b).</P>
        <P>
          <E T="03">Response:</E>Non-concur. ASTM Standards and GAO Best Practices recommend separation of duties either physically or by technologic means. This rule allows for either.</P>
        <P>
          <E T="03">Comment 38:</E>One respondent recommended deleting the prohibition for manual entry of data at 1852.245-78(b)(1) when an electronic property identification systems is utilized.</P>
        <P>
          <E T="03">Response:</E>Non-concur. Allowing manual entry of critical data would permit tampering with existence and<PRTPAGE P="2004"/>completeness records and would negate the “separation of duties” benefit derived from software controls.</P>
        <P>
          <E T="03">Comment 39:</E>One Respondent recommended deleting the condition at 1852.245-78(b)(2)(ii) since it wasn't relevant to physical inventory.</P>
        <P>
          <E T="03">Response:</E>Concur. Deleted.</P>
        <P>
          <E T="03">Comment 40:</E>One Respondent recommended deleting the requirement at 1852.245-78(b)(3) for the contractor to obtain approval for waivers from the NASA IPO, and substituting approval from the Property Administrator.</P>
        <P>
          <E T="03">Response:</E>Concur. Waivers will be required to be submitted to and approved by the Property Administrator. NASA will accomplish desired IPO notification and concurrence requirements through delegation instructions to the Property administrator.</P>
        <P>
          <E T="03">Comment 41:</E>One respondent suggested that the requirement at 1852.245-78(c) to deliver the physical inventory report within 10-calendar days of completion of the physical inventory was not sufficient time considering time needed for reconciliation.</P>
        <P>
          <E T="03">Response:</E>Non-concur. 10 calendar days is sufficient time. NASA considers the reconciliation process to be included as part of the physical inventory process.</P>
        <P>
          <E T="03">Comment 42:</E>One respondent recommended that the requirement at 1852.245-78(c) to report the results of the physical inventory to the NASA IPO be changed to the Property Administrator.</P>
        <P>
          <E T="03">Response:</E>Concur. Language changed.</P>
        <P>
          <E T="03">Comment 43:</E>One Respondent recommended standardizing the “loss, damage or destruction * * *” language at 1852.245-71(c)(2)(i) with the FAR language in 52,245-1.</P>
        <P>
          <E T="03">Response:</E>Concur. Language changed to “Loss, damage, destruction or theft * * *”</P>
        <P>
          <E T="03">Comment 44:</E>One respondent recommended changing the requirement at 1852.245-78(d) for the Contractor to retain “all physical inventory records” to “pertinent physical inventory records”.</P>
        <P>
          <E T="03">Response:</E>Partially-concur. Language changed to require the Contractor to “retain auditable physical inventory records”.</P>
        <P>
          <E T="03">Comment 45:</E>One respondent recommended deleting the clause at 1852.245-79, Records and Disposition Reports for Government Property with Potential Historic or Significant Real Value.</P>
        <P>
          <E T="03">Response:</E>Non-concur. NASA believes this clause is necessary to ensure there are complete records for high value or historic value items.</P>
        <P>
          <E T="03">Comment 46:</E>One respondent suggested that the first two sentences of paragraph (a) of the clause at 1852.245-79 were “commentary” in nature and should be deleted.</P>
        <P>
          <E T="03">Response:</E>Concur. Sentences delete.</P>
        <P>
          <E T="03">Comment 47:</E>One respondent recommended changing the requirement for the Contractor to obtain approval from the NASA IPO to approval from the Property Administrator at 1852.245-79(c).</P>
        <P>
          <E T="03">Response:</E>Concur. Approval requirement changed from NASA IPO to Property administrator.</P>
        <P>
          <E T="03">Comment 48:</E>One respondent suggested that the provision at 1852.245-80, Government Property Management Information, was a duplicate of requirements in FAR Part 45.</P>
        <P>
          <E T="03">Response:</E>Noted. This provision implements requirements in FAR Part 45 by providing specific language for NASA Contracting Officers to include in NASA Solicitations.</P>
        <P>
          <E T="03">Comment 49:</E>One respondent recommended deleting paragraph (e) of the provision at 1852.245-80, since contractors must otherwise comply with CAS 402 which defines direct costs.</P>
        <P>
          <E T="03">Response:</E>Partially-concur. NASA agrees that compliance with CAS and the contractor's disclosure statement will determine how a particular cost can be allocated. The provision only requires the contractor to disclose in the proposal any such accounting practices.</P>
        <P>
          <E T="03">Comment 50:</E>One respondent recommended limiting the scope of paragraph (g) of 1852.245-80 to items valued over $100,000, and eliminating the requirement for detailed information on the items.</P>
        <P>
          <E T="03">Response:</E>Partially-concur. Items below $100,000 will still be required to be listed; however, detail will be limited to a description of the intended end item and its estimated value.</P>
        <P>
          <E T="03">Comment 51:</E>One respondent recommended changing the prescription at 1852.245-81 from “insert the following provision” to “insert the following clause”.</P>
        <P>
          <E T="03">Response:</E>Non-concur. The Prescription references a solicitation provision.</P>
        <P>
          <E T="03">Comment 52:</E>One respondent recommended inserting the date for the FAR clause referenced at 1852.245-81(b).</P>
        <P>
          <E T="03">Response:</E>Concur. Date inserted.</P>
        <P>This is not a significant regulatory action and, therefore, is not subject to review under Section 6(b) of Executive Order 12866, Regulatory Planning and Review, dated September 30, 1993. This final rule is not a major rule under 5 U.S.C. 804.</P>
        <HD SOURCE="HD1">B. Regulatory Flexibility Act</HD>

        <P>NASA certifies that this final rule will not have a significant economic impact on a substantial number of small entities within the meaning of the Regulatory Flexibility Act, 5 U.S.C. 601<E T="03">et seq.,</E>because it largely implements changes to the FAR Parts 45 and 52.245 set forth in FAC 2005-17, and does not impose an significant economic impact beyond that addressed in the FAC 2005-17 publication of the FAR final rule.</P>
        <HD SOURCE="HD1">C. Paperwork Reduction Act</HD>

        <P>The Paperwork Reduction Act (Pub. L. 104-13) is applicable. However, the NFS changes do not impose information collection requirements that require the approval of the Office of Management and Budget under 44 U.S.C. 3501,<E T="03">et seq.</E>beyond those identified and approved as part of the FAR Part 45 rewrite contained in FAC 2005-17 (Ref OMB control no. 9000-0075) and those previously approved under NASA clearances (Ref OMB control nos. 2700-0017, 2700-0088, and 2700-0089)</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 48 CFR Parts 1845 and 1852</HD>
          <P>Government procurement, Government property.</P>
        </LSTSUB>
        <SIG>
          <NAME>William P. McNally,</NAME>
          <TITLE>Assistant Administrator for Procurement.</TITLE>
        </SIG>
        <REGTEXT PART="1845" TITLE="48">
          <AMDPAR>Accordingly, 48 CFR parts 1845 and 1852 are amended as follows:</AMDPAR>
          <AMDPAR>1. The authority citation for 48 CFR parts 1845 and 1852 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 2455(a), 2473(c)(1).</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <PART>
            <HD SOURCE="HED">PART 1845—GOVERNMENT PROPERTY</HD>
          </PART>
          <AMDPAR>2. Subpart 1845.1 is revised to read as follows:</AMDPAR>
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.1—General</HD>
            <SECTION>
              <SECTNO>1845.107</SECTNO>
              <SUBJECT>Contract clauses.</SUBJECT>
            </SECTION>
            <SECTION>
              <SECTNO>1845.107-70</SECTNO>
              <SUBJECT>NASA solicitation provisions and contract clauses.</SUBJECT>
              <P>(a)(1) The contracting officer shall insert the clause at 1852.245-70, Contractor Requests for Government-Provided Property, in cost reimbursement solicitations and contracts.</P>
              <P>(2) Use the clause with its Alternate I when the center Supply and Equipment Management Officer (SEMO) consents to permit the contractor to screen Government inventory for available property in lieu of contractor acquisition of new items.</P>

              <P>(b)(1) The contracting officer shall insert the clause at 1852.245-71, Installation—Accountable Government<PRTPAGE P="2005"/>Property, in solicitations and contracts when Government property is to be made available to a contractor working on a NASA installation, and the Government will maintain accountability for the property. The contracting officer shall list in the clause the applicable property user responsibilities. For purposes of this clause, NASA installations include local off-site buildings owned or leased by NASA.</P>
              <P>(2) Use of this clause is subject to the SEMO's concurrence that adequate Government property management resources are available for oversight of the property in accordance with all applicable NASA installation property management directives.</P>
              <P>(3) The contracting officer shall identify, in the contract, the nature, quantity, and acquisition cost of the property and make it available on a nocharge basis.</P>
              <P>(4) The contracting officer shall use the clause with its Alternate I if the SEMO requests that the contractor be restricted from use of the center central receiving facility for the purposes of receiving contractor-acquired property.</P>

              <P>(5) For contractors with both onsite and offsite performance requirements, contracting officers shall list Government property provided for offsite use separately in the contract. This Government property is furnished under FAR 52.245-1, Government Property, and remains accountable to the contractor during its use on the contract. This Government property is not subject to the clause at 1852.245-71, Installation—Accountable Government Property. The contracting officer shall address any specific maintenance considerations (<E T="03">e.g.,</E>requiring or precluding use of an installation calibration or repair facility) elsewhere in the contract.</P>
              <P>(c) The contracting officer shall insert the clause at 1852.245-72, Liability for eGovernment Property Furnished for Repair or Other Services, in fixed-price,time-and-material, and labor-hour solicitations and contracts (except for experimental, developmental, or research work with educational or nonprofit institutions, where no profit is contemplated) for repair, modification, rehabilitation, or other servicing of Government property, if such property is to be furnished to a contractor for that purpose and no other Government property is to be furnished. The contracting officer shall not require additional insurance under the clause unless the circumstances clearly indicate advantages to the Government.</P>
              <P>(d) The contracting officer shall insert the clause at 1852.245-73, FinancialReporting of NASA Property in the Custody of Contractors, in cost reimbursement solicitations and contracts unless all property to be provided is subject to the clause at 1852.245-71, Installation—Accountable Government Property. The clause shall also be included in other types of solicitations and contracts when it is known at award that property will be provided to the contractor or that the contractor will acquire property title to which will vest in the Government prior to delivery.</P>
              <P>(e) The contracting officer shall insert the clause at 1852.245-74, Identification and Marking of Government Property, in solicitations and contracts that—</P>
              <P>(1) Include the clause at FAR 52.245-1; or</P>
              <P>(2) Require the delivery of supplies.</P>
              <P>(f) The contracting officer shall insert the clause at 1852.245-75, Property Management Changes, in solicitations and contracts that provide for progress payments or include any of the property clauses prescribed in FAR Part 45.</P>
              <P>(g) The contracting officer shall insert the clause at 1852.245-76, List of Government Property Furnished Pursuant to FAR 52.245-1, in solicitations and contracts when the contractor is to be accountable under the contract for Government property.</P>
              <P>(h) The contracting officer shall insert the clause at 1852.245-77, List of Government Property Furnished Pursuant to FAR 52.245-2, in solicitations and contracts containing the clause at 52.245-2, Government Property Installation Operation Services. In addition, the contracting officer shall insert the following language in the blanks in paragraph (e) of the clause at 52.245-2:</P>
              <P>“The Government property provided under this clause is identified in clause 1852.245-77 of this contract.”</P>
              <P>(i) The contracting officer shall insert the clause at 1852.245-78, Physical Inventory of Capital Personal Property, in cost reimbursement and fixed-price solicitations and contracts that provide Government property.</P>
              <P>(j) The contracting officer shall insert the clause at 1852.245-79, Records and Disposition Reports for Government Property with Potential Historic or Significant Real Value, in solicitations and contracts when, after consultation with the center Historic Preservation Officer, it is determined that the items acquired for or produced by the contract are likely to have historic significance or increased value due to their use in support of NASA projects and programs.</P>
              <P>(k)(1) The contracting officer shall insert the provision at 1852.245-80, Government Property Management Information, in solicitations when it is known, or there is a reasonable chance, that Government property will be provided to the contractor for contract performance.</P>
              <P>(2) The contracting officer shall use the provision with Alternate 1 when there are sufficient time and resources to allow prospective contractors the opportunity to inspect the property.</P>
              <P>(l) The contracting officer shall insert the provision at 1852.245-81, List of Available Government Property, in solicitations when Government property will be made available for contract performance.</P>
              <P>(m) The contracting officer shall insert the clause at 1852.245-82, Occupancy Management Requirements, in solicitations and contracts that require performance on, or in, any NASA Center, Installation, facility or other NASA owned property.</P>

              <P>(n) The contracting officer shall insert the clause at 1852.245-83 Real Property Management Requirements, in solicitations and contracts for acquisition, construction, modification (including when the modification is a consequence of another approved task,<E T="03">e.g.,</E>installation of telephonic or local area network equipment), demolition, or management of real property.</P>
            </SECTION>
          </SUBPART>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <AMDPAR>3. Subpart 1845.3 is added to read as follows:</AMDPAR>
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.3—Authorizing the Use and Rental of Government Property</HD>
            <SECTION>
              <SECTNO>1845.301-71</SECTNO>
              <SUBJECT>Use of Government property for commercial work.</SUBJECT>
              <P>(a) The coverage at FAR 45.3 applies to a contractor's commercial (any non-Government) use of any NASA equipment.</P>
            </SECTION>
          </SUBPART>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SECTION>
            <SECTNO>1845.302</SECTNO>
            <SUBJECT>Use of Government property on contracts with foreign governments or international organizations.</SUBJECT>
            <P>(a) NASA contracting officers will recover a fair share of the cost of Government property if such property is used in performing services or manufacturing articles for foreign countries or for international organizations.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.4—[Removed and Reserved]</HD>
          </SUBPART>
          <AMDPAR>4. Subpart 1845.4 is removed and reserved.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <AMDPAR>5. Subpart 1845.5 is revised to read as follows:</AMDPAR>
          <CONTENTS>
            <SUBPART>
              <HD SOURCE="HED">Subpart 1845.5—Support Government Property Administration</HD>
              <SECHD>Sec.</SECHD>
              <SECTNO>1845.501-70</SECTNO>
              <SUBJECT>General.</SUBJECT>
              <SECTNO>1845.503-70</SECTNO>

              <SUBJECT>Delegations of property administration and plant clearance.<PRTPAGE P="2006"/>
              </SUBJECT>
              <SECTNO>1845.505-70</SECTNO>
              <SUBJECT>Responsibilities of the property administrator.</SUBJECT>
              <SECTNO>1845.506-70</SECTNO>
              <SUBJECT>Responsibilities of the plant clearance officer.</SUBJECT>
            </SUBPART>
          </CONTENTS>
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.5—Support Government Property Administration</HD>
            <SECTION>
              <SECTNO>1845.501-70</SECTNO>
              <SUBJECT>General.</SUBJECT>
              <P>(b) When the Industrial Property Officer or Property Administrator determines that the contractor's proposed systems, standards and practices for the management of Government property are inadequate to manage Government property, the Contracting Officer should: (1) Require the contractor to provide a written revision that addresses the determination of the Industrial Property Officer or Property Administrator.</P>
            </SECTION>
            <SECTION>
              <SECTNO>1845.503-70</SECTNO>
              <SUBJECT>Delegations of property administration and plant clearance.</SUBJECT>
              <P>(e) Under the clause at 1852.245-71, Installation-Accountable Government Property, property is managed by center logistics functions using NASA internal policy and procedural guidance, except—</P>
              <P>(1) When contractors are provided or are allowed the use of property that is not governed by that procedural guidance, management of that property is governed by the applicable FAR clause.</P>
              <P>(2) When the contractor is responsible for performance of any segment of a property system under a FAR property clause, then property administration and plant clearance are required.</P>
            </SECTION>
            <SECTION>
              <SECTNO>1845.505-70</SECTNO>
              <SUBJECT>Responsibilities of the property administrator.</SUBJECT>
              <P>(c) When the property administrator determines that all or a portion of a contractor's property management practices and processes do not afford sufficient protection against loss, damage or destruction of Government property:</P>
              <P>(1) The property administrator shall increase surveillance to prevent, to the extent possible, any loss, damage, or destruction of Government property; and</P>
              <P>(2) Advise the contracting officer of any known or reported incidence of loss, damage or destruction identified during any period in which the contracting officer has revoked the Government's acceptance of risk.</P>
              <P>(d) The property administrator shall review records and the results of contractor actions to identify any and all incidence where the contractor fails to report property no longer required for performance for periods longer than called for in their standards and practices.</P>
            </SECTION>
            <SECTION>
              <SECTNO>1845.506-70</SECTNO>
              <SUBJECT>Responsibilities of the plant clearance officer.</SUBJECT>
              <P>When plant clearance is not delegated to DOD, NASA plant clearance officers shall be responsible for—</P>
              <P>(a) Providing the contractor with instructions and advice regarding the proper preparation of inventory schedules;</P>
              <P>(b) Accepting or rejecting inventory schedules;</P>
              <P>(c) Conducting or arranging for inventory verification;</P>
              <P>(d) Initiating prescribed screening and effecting resulting actions;</P>
              <P>(e) Final plant clearance of contractor inventory;</P>
              <P>(f) Pre-inventory scrap determinations, as appropriate;</P>
              <P>(g) Evaluating the adequacy of the contractor's procedures for property disposal and providing feedback to the Property Administrator regarding the contractor's performance in property disposal activities;</P>
              <P>(h) Determining the method of disposal;</P>
              <P>(i) Surveillance of any contractor conducted sales;</P>
              <P>(j) Accounting for all contractor inventory reported by the contractor;</P>
              <P>(k) Advising and assisting, as appropriate, the contractor, the Supply and Equipment Management Officer (SEMO) and other Federal agencies in all actions relating to the proper and timely disposal of contractor inventory;</P>
              <P>(l) Approving the method of sale, evaluating bids, and approving sale prices for any contractor-conducted sales; and</P>
              <P>(m) Recommending the reasonableness of selling expenses related to any contractor-conducted sales.</P>
            </SECTION>
          </SUBPART>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.6—Reporting, Reutilization, and Disposal</HD>
          </SUBPART>
          <AMDPAR>6. Section 1845.606-70 is added to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>1845.606-70</SECTNO>
            <SUBJECT>Contractor's approved scrap procedure.</SUBJECT>
            <P>(a) When a contractor has an approved scrap procedure, certain property may be routinely disposed of in accordance with that procedure and not processed under this section.</P>
            <P>(d) Property in scrap condition, other than that disposed of through the contractor's approved scrap procedure, shall be reported on appropriate inventory schedules for disposition in accordance with the provisions of FAR Part 45 and NFS 1845.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.7101—Forms Preparation</HD>
          </SUBPART>
          <AMDPAR>7. Paragraph (c) of section 1845.7101-2 is revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>1845.7101-2</SECTNO>
            <SUBJECT>Transfer of property.</SUBJECT>
            <STARS/>
            <P>(c)<E T="03">Incomplete documentation.</E>If contractors receive transfer documents having insufficient detail to properly record the transfer (<E T="03">e.g.,</E>omission of property classification, FSC, unit acquisition cost, Government acquisition date, required signatures,<E T="03">etc.</E>) they shall request the omitted data directly from the shipping contractor or through the property administrator. The contracting officer shall assist the Government Property Administrator and the receiving contractor to obtain all required information for the receiving contractor to establish adequate property records.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SECTION>
            <SECTNO>1845.7102</SECTNO>
            <SUBJECT>[Removed]</SUBJECT>
          </SECTION>
          <AMDPAR>8. Section 1845.7102 is removed.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="1845" TITLE="48">
          <SUBPART>
            <HD SOURCE="HED">Subpart 1845.72—[Removed]</HD>
          </SUBPART>
          <AMDPAR>9. Subpart 1845.72 is removed.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <PART>
            <HD SOURCE="HED">PART 1852—SOLICITATION PROVISIONS AND CONTRACT CLAUSES</HD>
          </PART>
          <AMDPAR>10. In Part 1852, sections 1852.245-70 through 1852.245-80 are revised and sections 1852.245-81 through 1852.245-83 are added to read as follows:</AMDPAR>
          <CONTENTS>
            <SUBPART>
              <HD SOURCE="HED">Subpart 1852.2—Text of Provisions and Clauses</HD>
              <STARS/>
              <SECHD>Sec.</SECHD>
              <SECTNO>1852.245-70</SECTNO>
              <SUBJECT>Contractor requests for Government-provided property.</SUBJECT>
              <SECTNO>1852.245-71</SECTNO>
              <SUBJECT>Installation-accountable Government property.</SUBJECT>
              <SECTNO>1852.245-72</SECTNO>
              <SUBJECT>Liability for Government property furnished for repair or other services.</SUBJECT>
              <SECTNO>1852.245-73</SECTNO>
              <SUBJECT>Financial reporting of NASA property in the custody of contractors.</SUBJECT>
              <SECTNO>1852.245-74</SECTNO>
              <SUBJECT>Identification and marking of Government equipment.</SUBJECT>
              <SECTNO>1852.245-75</SECTNO>
              <SUBJECT>Property management changes.</SUBJECT>
              <SECTNO>1852.245-76</SECTNO>
              <SUBJECT>List of Government property furnished pursuant to FAR 52.245-1.</SUBJECT>
              <SECTNO>1852.245-77</SECTNO>
              <SUBJECT>List of Government property furnished pursuant to FAR 52.245-2.</SUBJECT>
              <SECTNO>1852.245-78</SECTNO>
              <SUBJECT>Physical inventory of capital personal property.</SUBJECT>
              <SECTNO>1852.245-79</SECTNO>
              <SUBJECT>Records and disposition reports for Government property with potential historic or significant real value.</SUBJECT>
              <SECTNO>1852.245-80</SECTNO>
              <SUBJECT>Government property management information.</SUBJECT>
              <SECTNO>1852.245-81</SECTNO>
              <SUBJECT>List of available Government property.</SUBJECT>
              <SECTNO>1852.245-82</SECTNO>
              <SUBJECT>Occupancy management requirements.</SUBJECT>
              <SECTNO>1852.245-83</SECTNO>
              <SUBJECT>Real property management requirements.</SUBJECT>
              <STARS/>
            </SUBPART>
          </CONTENTS>
          <SUBPART>
            <PRTPAGE P="2007"/>
            <HD SOURCE="HED">Subpart 1852.2—Text of Provisions and Clauses</HD>
            <STARS/>
            <SECTION>
              <SECTNO>1852.245-70</SECTNO>
              <SUBJECT>Contractor Requests for Government-Provided Equipment.</SUBJECT>
              <P>As prescribed in 1845.107-70(a)(1), insert the following clause:</P>
              <HD SOURCE="HD1">CONTRACTOR REQUESTS FOR GOVERNMENT-PROVIDED EQUIPMENT (JAN 2011)</HD>
              <EXTRACT>
                <P>(a) The Contractor shall provide all property required for the performance of this contract. The Contractor shall not acquire or construct items of property to which the Government will have title under the provisions of this contract without the Contracting Officer's written authorization. Property which will be acquired as a deliverable end item as material or as a component for incorporation into a deliverable end item is exempt from this requirement. Property approved as part of the contract award or specifically required within the statement of work is exempt from this requirement.</P>
                <P>(b)(1) In the event the Contractor is unable to provide the property necessary for performance, and the Contractor requests provision of property by the Government, the Contractor's request shall—</P>
                <P>(i) Justify the need for the property;</P>
                <P>(ii) Provide the reasons why contractor-owned property cannot be used;</P>
                <P>(iii) Describe the property in sufficient detail to enable the Government to screen its inventories for available property or to otherwise acquire property, including applicable manufacturer, model, part, catalog, National Stock Number or other pertinent identifiers;</P>
                <P>(iv) Combine requests for quantities of items with identical descriptions and estimated values when the estimated values do not exceed $100,000 per unit; and</P>
                <P>(v) Include only a single unit when the acquisition or construction value equals or exceeds $100,000.</P>
                <P>(2) Contracting Officer authorization is required for items the Contractor intends to manufacture as well as those it intends to purchase.</P>
                <P>(3) The Contractor shall submit requests to the Contracting Officer no less than 30 days in advance of the date the Contractor would, should it receive authorization, acquire or begin fabrication of the item.</P>
                <P>(c) The Contractor shall maintain copies of Contracting Officer authorizations, appropriately cross-referenced to the individual property record, within its property management system.</P>
                <P>(d) Property furnished from Government excess sources is provided as-is, where-is. The Government makes no warranty regarding its applicability for performance of the contract or its ability to operate. Failure of property obtained from Government excess sources under this clause is insufficient reason for submission of requests for equitable adjustments discussed in the clause at FAR 52.245-1, Government Property, as incorporated in this contract.</P>
              </EXTRACT>
              
              <FP>(End of Clause)</FP>
              <HD SOURCE="HD1">ALTERNATE I (JAN 2011)</HD>
              <EXTRACT>
                <P>As prescribed in 1845.107-70(a)(2), add the following paragraph (e).</P>
                <P>(e) In the event the Contracting Officer issues written authorization to provide property, the Contractor shall screen Government sources to determine the availability of property from Government inventory or excess property.</P>
                <P>(1) The Contractor shall review NASA inventories and other authorized Federal excess sources for availability of items that meet the performance requirements of the requested property.</P>
                <P>(i) If the Contractor determines that a suitable item is available from NASA supply inventory, it shall request the item using applicable Center procedures.</P>
                <P>(ii) If the Contractor determines that an item within NASA or Federal excess is suitable, it shall contact the Center Industrial Property Officer to arrange for transfer of the item from the identified source to the Contractor.</P>
                <P>(2) If the Contractor determines that the required property is not available from inventory or excess sources, the Contractor shall note the acquisition file with a list of sources reviewed and the findings regarding the lack of availability. If the required property is available, but unsuitable for use, the contractor shall document the rationale for rejection of available property. The Contractor shall retain appropriate cross-referenced documentary evidence of the outcome of those screening efforts as part of its property records system.</P>
              </EXTRACT>
            </SECTION>
            <SECTION>
              <SECTNO>1852.245-71</SECTNO>
              <SUBJECT>Installation-accountable Government Property.</SUBJECT>
              <P>As prescribed in 1845.107-70(b)(1), insert the following clause:</P>
              <HD SOURCE="HD1">INSTALLATION-ACCOUNTABLE GOVERNMENT PROPERTY (JAN 2011)</HD>
              <EXTRACT>
                <P>(a) The Government property described in paragraph (c) of this clause may be made available to the Contractor on a no-charge basis for use in performance of this contract. This property shall be utilized only within the physical confines of the NASA installation that provided the property unless authorized by the Contracting Officer under (b)(1)(iv). Under this clause, the Government retains accountability for, and title to, the property, and the Contractor shall comply with the following:</P>
                <P>NASA Procedural Requirements (NPR) 4100.1, NASA Materials Inventory Management Manual;</P>
                <P>NASA Procedural Requirements (NPR) 4200.1, NASA Equipment Management Procedural Requirements;</P>
                <P>NASA Procedural Requirement (NPR) 4300.1, NASA Personal Property Disposal Procedural Requirements;</P>
                
                <FP>[Insert any additional property management responsibilities.].</FP>
                
                <P>Property not recorded in NASA property systems must be managed in accordance with the requirements of the clause at FAR 52.245-1, as incorporated in this contract.</P>
                <P>The Contractor shall establish and adhere to a system of written procedures to assure continued, effective management control and compliance with these user responsibilities. In accordance with FAR 52.245-1(h)(1) the contractor shall be liable for property lost, damaged, destroyed or stolen by the contractor or their employees when determined responsible by a NASA Property Survey Board, in accordance with the NASA guidance in this clause.</P>
                <P>(b)(1) The official accountable recordkeeping, financial control, and reporting of the property subject to this clause shall be retained by the Government and accomplished within NASA management information systems prescribed by the installation Supply and Equipment Management Officer (SEMO) and Financial Management Officer. If this contract provides for the Contractor to acquire property, title to which will vest in the Government, the following additional procedures apply:</P>
                <P>(i) The Contractor's purchase order shall require the vendor to deliver the property to the installation central receiving area.</P>
                <P>(ii) The Contractor shall furnish a copy of each purchase order, prior to delivery by the vendor, to the installation central receiving area.</P>
                <P>(iii) The Contractor shall establish a record for Government titled property as required by FAR 52.245-1, as incorporated in this contract, and shall maintain that record until accountability is accepted by the Government.</P>
                <P>(iv) Contractor use of Government property at an off-site location and off-site subcontractor use requires advance approval of the Contracting Officer and notification of the Industrial Property Officer. The property shall be considered Government furnished and the Contractor shall assume accountability and financial reporting responsibility. The Contractor shall establish records and property control procedures and maintain the property in accordance with the requirements of FAR 52.245-1, Government Property (as incorporated in this contract), until its return to the installation. NASA Procedural Requirements related to property loans shall not apply to offsite use of property by contractors.</P>
                <P>(2) After transfer of accountability to the Government, the Contractor shall continue to maintain such internal records as are necessary to execute the user responsibilities identified in paragraph (a) of this clause and document the acquisition, billing, and disposition of the property. These records and supporting documentation shall be made available, upon request, to the SEMO and any other authorized representatives of the Contracting Officer.</P>
                <P>(c) The following property and services are provided if checked:</P>
                <P>(1) Office space, work area space, and utilities. Government telephones are available for official purposes only.</P>
                <P>(2) Office furniture.</P>
                <P>(3) Property listed in [Insert attachment number or “not applicable” if no equipment is provided].</P>

                <P>(i) If the Contractor acquires property, title to which vests in the Government pursuant to other provisions of this contract, this property also shall become accountable to the Government upon its entry into Government records.<PRTPAGE P="2008"/>
                </P>
                <P>(ii) The Contractor shall not bring to the installation for use under this contract any property owned or leased by the Contractor, or other property that the Contractor is accountable for under any other Government contract, without the Contracting Officer's prior written approval.</P>
                <P>(4) Supplies from stores stock.</P>
                <P>(5) Publications and blank forms stocked by the installation.</P>
                <P>(6) Safety and fire protection for Contractor personnel and facilities.</P>
                <P>(7) Installation service facilities: [Insert the name of the facilities or “none”].</P>
                <P>(8) Medical treatment of a first-aid nature for Contractor personnel injuries or illnesses sustained during on-site duty.</P>
                <P>(9) Cafeteria privileges for Contractor employees during normal operating hours.</P>
                <P>(10) Building maintenance for facilities occupied by Contractor personnel.</P>
                <P>(11) Moving and hauling for office moves, movement of large equipment, and delivery of supplies. Moving services may be provided on-site, as approved by the Contracting Officer.</P>
              </EXTRACT>
              
              <FP>(End of clause)</FP>
              <HD SOURCE="HD1">ALTERNATE I (JAN 2011)</HD>
              <EXTRACT>
                <P>As prescribed in 1845.107-70(b)(4), substitute the following for paragraph (b)(1)(i) of the basic clause:</P>
                <P>(i) The Contractor shall not utilize the installation's central receiving facility for receipt of contractor-acquired property. However, the Contractor shall provide listings suitable for establishing accountable records of all such property received, on a monthly basis, to the SEMO.</P>
              </EXTRACT>
            </SECTION>
            <SECTION>
              <SECTNO>1852.245-72</SECTNO>
              <SUBJECT>Liability for Government Property Furnished for Repair or Other Services.</SUBJECT>
              <P>As prescribed in 1845.107-70(c), insert the following clause:</P>
              <HD SOURCE="HD1">LIABILITY FOR GOVERNMENT PROPERTY FURNISHED FOR REPAIR OR OTHER SERVICES (JAN 2011)</HD>
              <EXTRACT>
                <P>(a) This clause shall govern with respect to any Government property furnished to the Contractor for repair or other services that is to be returned to the Government. Such property, hereinafter referred to as “Government property furnished for servicing,” shall not be subject to FAR 52.245-1, Government Property.</P>
                <P>(b) The official accountable recordkeeping and financial control and reporting of the property subject to this clause shall be retained by the Government. The Contractor shall maintain adequate records and procedures to ensure that the Government property furnished for servicing can be readily accounted for and identified at all times while in its custody or possession or in the custody or possession of any subcontractor.</P>
                <P>(c) The Contractor shall be liable for any loss, damage, or destruction of the Government property furnished for servicing when caused by the Contractor's failure to exercise such care and diligence as a reasonable prudent owner of similar property would exercise under similar circumstances. The Contractor shall not be liable for loss, damage, or destruction of Government property furnished for servicing resulting from any other cause except to the extent that the loss, damage, or destruction is covered by insurance (including self-insurance funds or reserves).</P>
                <P>(d) The Contractor shall hold the Government harmless and shall indemnify the Government against all claims for injury to persons or damage to property of the Contractor or others arising from the Contractor's possession or use of the Government property furnished for servicing or arising from the presence of that property on the Contractor's premises or property.</P>
              </EXTRACT>
              
              <FP>(End of clause)</FP>
            </SECTION>
            <SECTION>
              <SECTNO>1852.245-73</SECTNO>
              <SUBJECT>Financial Reporting of NASA Property in the Custody of Contractors.</SUBJECT>
            </SECTION>
          </SUBPART>
          <AMDPAR>As prescribed in 1845.106-70(d), insert the following clause:</AMDPAR>
          <HD SOURCE="HD1">FINANCIAL REPORTING OF NASA PROPERTY IN THE CUSTODY OF CONTRACTORS (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) The Contractor shall submit annually a NASA Form (NF) 1018, NASA Property in the Custody of Contractors, in accordance with this clause, the instructions on the form and NFS subpart 1845.71, and any supplemental instructions for the current reporting period issued by NASA.</P>
            <P>(b)(1) Subcontractor use of NF 1018 is not required by this clause; however, the Contractor shall include data on property in the possession of subcontractors in the annual NF 1018.</P>
            <P>(2) The Contractor shall mail the original signed NF 1018 directly to the cognizant NASA Center Deputy Chief Financial Officer, Finance, unless the Contractor uses the NF 1018 Electronic Submission System (NESS) for report preparation and submission.</P>
            <P>(3) One copy shall be submitted (through the Department of Defense (DOD) Property Administrator if contract administration has been delegated to DOD) to the following address: [Insert name and address of appropriate NASA Center office.], unless the Contractor uses the NF 1018 Electronic Submission System (NESS) for report preparation and submission.</P>
            <P>(c)(1) The annual reporting period shall be from October 1 of each year through September 30 of the following year. The report shall be submitted in time to be received by October 15. The information contained in these reports is entered into the NASA accounting system to reflect current asset values for agency financial statement purposes. Therefore, it is essential that required reports be received no later than October 15. Some activity may be estimated for the month of September, if necessary, to ensure the NF 1018 is received when due. However, contractors' procedures must document the process for developing these estimates based on planned activity such as planned purchases or NASA Form 533 (NF 533 Contractor Financial Management Report) cost estimates. It should be supported and documented by historical experience or other corroborating evidence, and be retained in accordance with FAR Subpart 4.7, Contractor Records Retention. Contractors shall validate the reasonableness of the estimates and associated methodology by comparing them to the actual activity once that data is available, and adjust them accordingly. In addition, differences between the estimated cost and actual cost must be adjusted during the next reporting period. Contractors shall have formal policies and procedures, which address the validation of NF 1018 data, including data from subcontractors, and the identification and timely reporting of errors. The objective of this validation is to ensure that information reported is accurate and in compliance with the NASA FAR Supplement. If errors are discovered on NF 1018 after submission, the contractor shall contact the cognizant NASA Center Industrial Property Officer (IPO) within 30 days after discovery of the error to discuss corrective action.</P>
            <P>(2) The Contracting Officer may, in NASA's interest, withhold payment until a reserve not exceeding $25,000 or 5 percent of the amount of the contract, whichever is less, has been set aside, if the Contractor fails to submit annual NF 1018 reports in accordance with NFS subpart 1845.71 and any supplemental instructions for the current reporting period issued by NASA. Such reserve shall be withheld until the Contracting Officer has determined that NASA has received the required reports. The withholding of any amount or the subsequent payment thereof shall not be construed as a waiver of any Government right.</P>
            <P>(d) A final report shall be submitted within 30 days after disposition of all property subject to reporting when the contract performance period is complete in accordance with paragraph (b)(1) through (3) of this clause.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-74</SECTNO>
            <SUBJECT>Identification and Marking of Government Equipment.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed by 1845.107-70(e), insert the following clause.</AMDPAR>
          <HD SOURCE="HD1">IDENTIFICATION AND MARKING OF GOVERNMENT EQUIPMENT (JAN 2011)</HD>
          <EXTRACT>

            <P>(a) The Contractor shall identify all equipment to be delivered to the Government using NASA Technical Handbook (NASA-HDBK) 6003, Application of Data Matrix Identification Symbols to Aerospace Parts Using Direct Part Marking Methods/Techniques, and NASA Standard (NASA-STD) 6002, Applying Data Matrix Identification Symbols on Aerospace Parts or through the use of commercial marking techniques that: (1) are sufficiently durable to remain intact through the typical lifespan of the property: and, (2) contain the data and data format required by the standards. This requirement includes deliverable equipment listed in the schedule and other equipment when no longer required for contract performance and NASA directs physical transfer to NASA or a third party. The Contractor shall identify property in both machine and human readable form unless the use of a machine readable-only format is approved by the NASA Industrial Property Officer.<PRTPAGE P="2009"/>
            </P>
            <P>(b) Equipment shall be marked in a location that will be human readable, without disassembly or movement of the equipment, when the items are placed in service unless such placement would have a deleterious effect on safety or on the item's operation.</P>
            <P>(c) Concurrent with equipment delivery or transfer, the Contractor shall provide the following data in an electronic spreadsheet format:</P>
            <P>(1) Item Description.</P>
            <P>(2) Unique Identification Number (License Tag).</P>
            <P>(3) Unit Price.</P>
            <P>(4) An explanation of the data used to make the unique identification number.</P>
            <P>(d) For equipment no longer needed for contract performance and physically transferred under paragraph (a) of this clause, the following additional data is required:</P>
            <P>(1) Date originally placed in service.</P>
            <P>(2) Item condition.</P>
            <P>(e) The data required in paragraphs (c) and (d) of this clause shall be delivered to the NASA center receiving activity listed below:</P>
            <FP SOURCE="FP-DASH"/>
            <FP SOURCE="FP-DASH"/>
            <FP SOURCE="FP-DASH"/>
            
            <P>(f) The contractor shall include the substance of this clause, including this paragraph (f), in all subcontracts that require delivery of equipment.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-75</SECTNO>
            <SUBJECT>Property Management Changes.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(f), insert the following clause.</AMDPAR>
          <HD SOURCE="HD1">PROPERTY MANAGEMENT CHANGES (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) The Contractor shall submit any changes to standards and practices used for management and control of Government property under this contract to the assigned property administrator prior to making the change whenever the change—</P>
            <P>(1) Employs a standard that allows increase in thresholds or changes the timing for reporting loss, damage, or destruction of property;</P>
            <P>(2) Alters physical inventory timing or procedures;</P>
            <P>(3) Alters recordkeeping practices;</P>
            <P>(4) Alters practices for recording the transport or delivery of Government property; or</P>
            <P>(5) Alters practices for disposition of Government property.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-76</SECTNO>
            <SUBJECT>List of Government Property Furnished Pursuant to FAR 52.245-1.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(g), insert the following clause:</AMDPAR>
          <HD SOURCE="HD1">LIST OF GOVERNMENT PROPERTY FURNISHED PURSUANT TO FAR 52.245-1 (JAN 2011)</HD>
          <EXTRACT>
            <P>For performance of work under this contract, the Government will make available Government property identified below or in Attachment [Insert attachment number or “not applicable”] of this contract on a no charge-for-use basis pursuant to the clause at FAR 52.245-1, Government Property, as incorporated in this contract. The Contractor shall use this property in the performance of this contract at [Insert applicable site(s) where property will be used] and at other location(s) as may be approved by the Contracting Officer. Under FAR 52.245-1, the Contractor is accountable for the identified property.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-77</SECTNO>
            <SUBJECT>List of Government Property Furnished Pursuant to FAR 52.245-2.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(h), insert the following clause:</AMDPAR>
          <HD SOURCE="HD1">LIST OF GOVERNMENT PROPERTY FURNISHED PURSUANT TO FAR 52.245-2 (JAN 2011)</HD>
          <EXTRACT>
            <P>For performance of work under this contract, the Government will make available Government property identified below or in Attachment __ [Insert attachment number or “not applicable”] of this contract on a nocharge-for-use basis pursuant to FAR 52.245-2, Government Property Installation Operation Services, as incorporated in this contract. The Contractor shall use this property in the performance of this contract at __ [Insert applicable site(s) where property will be used] and at other location(s) as may be approved by the Contracting Officer.</P>
            <P>[Insert a description of the item(s), acquisition date, quantity, acquisition cost, and applicable equipment information]</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
          <SECTION>
            <SECTNO>1852.245-78</SECTNO>
            <SUBJECT>Physical Inventory of Capital Personal Property.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(i), insert the following clause.</AMDPAR>
          <HD SOURCE="HD1">PHYSICAL INVENTORY OF CAPITAL PERSONAL PROPERTY (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) In addition to physical inventory requirements under the clause at FAR 52.245-1, Government Property, as incorporated in this contract, the Contractor shall conduct annual physical inventories for individual property items with an acquisition cost exceeding $100,000.</P>
            <P>(1) The Contractor shall inventory—</P>
            <P>(i) Items of property furnished by the Government;</P>
            <P>(ii) Items acquired by the Contractor and titled to the Government under the clause at FAR 52.245-1;</P>
            <P>(iii) Items constructed by the Contractor and not included in the deliverable, but titled to the Government under the clause at FAR 52.245-1; and</P>
            <P>(iv) Complete but undelivered deliverables.</P>
            <P>(2) The Contractor shall use the physical inventory results to validate the property record data, specifically location and use status, and to prepare summary reports of inventory as described in paragraph (c) of this clause.</P>
            <P>(b) Unless specifically authorized in writing by the Property Administrator, the inventory shall be performed and posted by individuals other than those assigned custody of the items, responsibility for maintenance, or responsibility for posting to the property record. The Contractor may request a waiver from this separation of duties requirement from the Property Administrator, when all of the conditions in either (1) or (2) of this paragraph are met.</P>
            <P>(1) The Contractor utilizes an electronic system for property identification, such as a laser bar-code reader or radio frequency identification reader, and</P>
            <P>(i) The programs or software preclude manual data entry of inventory identification data by the individual performing the inventory; and</P>
            <P>(ii) The inventory and property management systems contain sufficient management controls to prevent tampering and assure proper posting of collected inventory data.</P>
            <P>(2) The Contractor has limited quantities of property, limited personnel, or limited property systems; and the Contractor provides written confirmation that the Government property exists in the recorded condition and location;</P>
            <P>(3) The Contractor shall submit the request to the cognizant property administrator and obtain approval from the property administrator prior to implementation of the practice.</P>
            <P>(c) The Contractor shall report the results of the physical inventory to the property administrator within 10 calendar days of completion of the physical inventory. The report shall—</P>
            <P>(1) Provide a summary showing number and value of items inventoried; and</P>
            <P>(2) Include additional supporting reports of—</P>
            <P>(i) Loss in accordance with the clause at 52.245-1, Government Property;</P>
            <P>(ii) Idle property available for reuse or disposition; and</P>
            <P>(iii) A summary of adjustments made to location, condition, status, or user as a result of the physical inventory reconciliation.</P>
            <P>(d) The Contractor shall retain auditable physical inventory records, including records supporting transactions associated with inventory reconciliation. All records shall be subject to Government review and/or audit.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-79</SECTNO>
            <SUBJECT>Records and Disposition Reports for Government Property with Potential Historic or Significant Real Value.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(j), insert the following clause.</AMDPAR>
          <HD SOURCE="HD1">RECORDS AND DISPOSITION REPORTS FOR GOVERNMENT PROPERTY WITH POTENTIAL HISTORIC OR SIGNIFICANT REAL VALUE (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) In addition to the property record data required by the clause at FAR 52.245-1, Government Property as incorporated in this contract, Contractor records of all Government property under this contract shall—</P>

            <P>(1) Identify the projects or missions that used the items;<PRTPAGE P="2010"/>
            </P>
            <P>(2) Specifically identify items of flown property;</P>
            <P>(3) When known, associate individual items of property used in space flight operations with the using astronaut(s); and</P>
            <P>(4) Identify property used in test activity and, when known, the individuals who 0conducted the test.</P>
            <P>(b) The Contractor shall include this information within item descriptions—</P>
            <P>(1) On any Standard Form 1428, Inventory Schedule;</P>
            <P>(2) In automated disposition systems;</P>
            <P>(3) In any other disposition related reports; and</P>
            <P>(4) In other requests for disposition instructions.</P>
            <P>(c) The Contractor shall not remove NASA identification or markings from Government property prior to or during disposition without the advanced written approval of the Plant Clearance Officer.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-80</SECTNO>
            <SUBJECT>Government Property Management Information.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(k)(1), insert the following provision.</AMDPAR>
          <HD SOURCE="HD1">GOVERNMENT PROPERTY MANAGEMENT INFORMATION (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) The offeror shall identify the industry leading or voluntary consensus standards, and/or the industry leading practices, that it intends to employ for the management of Government property under any contract awarded from this solicitation.</P>
            <P>(b) The offeror shall provide the date of its last Government property control system analysis along with its overall status, a summary of findings and recommendations, the status of any recommended corrective actions, the name of the Government activity that performed the analysis, and the latest available contact information for that activity.</P>
            <P>(c) The offeror shall identify any property it intends to use in performance of this contract from the list of available Government property in the provision at 1852.245-81, List of Available Government Property.</P>
            <P>(d) The offeror shall identify all Government property in its possession, provided under other Government contracts that it intends to use in the performance of this contract. The offeror shall also identify: The contract that provided the property, the responsible Contracting Officer, the dates during which the property will be available for use (including the first, last, and all intervening months), and, for any property that will be used concurrently in performing two or more contracts, the amounts of the respective uses in sufficient detail to support prorating the rent, the amount of rent that would otherwise be charged in accordance with FAR 52.245-9, Use and Charges (June 2007), and the contact information for the responsible Government Contracting Officer. The offeror shall provide proof that such use was authorized by the responsible Contracting Officer.</P>
            <P>(e) The offeror shall disclose cost accounting practices that allow for direct charging of commercially available equipment, when commercially available equipment is to be used in performance of the contract and the equipment is not a deliverable.</P>
            <P>(f) The offeror shall identify, in list form, any equipment that it intends to acquire and directly charge to the Government under this contract. The list shall include a description, manufacturer, model number (when available), quantity required, and estimated unit cost. Equipment approved as part of the award need not be requested under NFS clause 1852.245-70,</P>
            <P>(g) The offeror shall disclose its intention to acquire any parts, supplies, materials or equipment, to fabricate an item of equipment for use under any contract resulting from this solicitation when that item of equipment:</P>
            <P>Will be titled to the government under the provisions of the contract; is not included as a contract deliverable; and the Contractor intends to charge the costs of materials directly to the contract. The disclosure shall identify the end item or system and shall include all descriptive information, identification numbers (when available), quantities required and estimated costs.</P>
            <P>(h) Existing Government property may be reviewed at the following locations, dates, and times: [Enter the appropriate information]</P>
          </EXTRACT>
          
          <FP>(End of provision)</FP>
          <HD SOURCE="HD1">ALTERNATE 1 (JAN 2011)</HD>
          <EXTRACT>
            <P>As prescribed in 1845.107-70(k)(2) add the following paragraph (i).</P>
            <P>(i) Existing available Government property listed in the provision at 1852.245-81 is provided “as-is.” NASA makes no warranty regarding its performance or condition. The offeror uses this property at its own risk and should make its own assessment of the property's suitability for use. The equitable adjustment provisions of the clause at 52.245-1, Government Property as included in this solicitation, are not applicable to this property. The offeror must obtain the Contracting Officer's written approval before acquiring replacement property when it intends to charge the cost directly to the contract.</P>
          </EXTRACT>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>18.52.245-81</SECTNO>
            <SUBJECT>List of Available Government Property.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.107-70(l), insert the following provision.</AMDPAR>
          <HD SOURCE="HD1">LIST OF AVAILABLE GOVERNMENT PROPERTY (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) The Government will make the following Government property available for use in performance of the contract resulting from this solicitation, on a no-charge-for-use basis in accordance with FAR 52.245-1, Government Property, included in this solicitation. The offeror shall notify the Government, as part of its proposal, of its intention to use or not use the property.</P>
            <P>(b) The Government will make the following Government property available for use in performance of the contract resulting from this solicitation, on a no-charge-for-use basis in accordance with FAR 52.245-2, Government Property Installation Operation Services, as included in this solicitation. The offeror shall notify the Government of its intention to use or not use the property.</P>
            <P>(c) The selected Contractor will be responsible for costs associated with transportation, and installation of the property listed in this provision.</P>
          </EXTRACT>
          
          <FP>(End of provision)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-82</SECTNO>
            <SUBJECT>Occupancy Management Requirements.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.106-70(m), insert the following clause:</AMDPAR>
          <HD SOURCE="HD1">OCCUPANY MANAGEMENT REQUIREMENTS (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) In addition to the requirements of the clause at FAR 52.245-1, Government Property, as included in this contract, the Contractor shall comply with the following in performance of work in and around Government real property:</P>
            <P>(1) NPD 8800.14, Policy for Real Property Management.</P>
            <P>(2) NPR 8831.2, Facility Maintenance Management.</P>
            <P>[Insert any additional Center occupancy requirements here]</P>
            <P>(b) The Contractor shall obtain the written approval of the Contracting Officer before installing or removing Contractor-owned property onto or into any Government real property or when movement of Contractor-owned property may damage or destroy Government-owned property. The Contractor shall restore damaged property to its original condition at the Contractor's expense.</P>
            <P>(c) The Contractor shall not acquire, construct or install any fixed improvement or structural alterations in Government buildings or other real property without the advance, written approval of the Contracting Officer. Fixed improvement or structural alterations, as used herein, means any alteration or improvement in the nature of the building or other real property that, after completion, cannot be removed without substantial loss of value or damage to the premises. Title to such property shall vest in the Government.</P>
            <P>(d) The Contractor shall report any real property or any portion thereof when it is no longer required for performance under the contract, as directed by the Contracting Officer.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        <REGTEXT PART="1852" TITLE="48">
          <SECTION>
            <SECTNO>1852.245-83</SECTNO>
            <SUBJECT>Real Property Management Requirements.</SUBJECT>
          </SECTION>
          <AMDPAR>As prescribed in 1845.106-70(n), insert the following clause:</AMDPAR>
          <HD SOURCE="HD1">REAL PROPERTY MANAGEMENT REQUIREMENTS (JAN 2011)</HD>
          <EXTRACT>
            <P>(a) In addition to the requirements of the FAR Government Property Clause incorporated in this contract (FAR 52.245-1), the Contractor shall comply with the following in performance of any maintenance, construction, modification, demolition, or management activities of any Government real property:</P>

            <P>(1) NPD 8800.14, Policy for Real Property Management.<PRTPAGE P="2011"/>
            </P>
            <P>(2) NPR 8831.2, Facility Maintenance Management.</P>
            <P>[Insert any real property related Center requirements here]</P>
            <P>(b) Within 30 calendar days following award, the Contractor shall provide a plan for maintenance of Government real property provided for use under this contract. The Contractor's maintenance program shall enable the identification, disclosure, and performance of normal and routine preventative maintenance and repair. The Contractor shall disclose and report to the Contracting Officer the need for replacement and/or capital rehabilitation. Upon acceptance by the Contracting Officer, the program shall become a requirement under this contract.</P>
            <P>(c) Title to parts replaced by the Contractor in carrying out its normal maintenance obligations shall pass to and vest in the Government upon completion of their installation in the facilities. The Contractor shall keep the property free and clear of all liens and encumbrances.</P>
            <P>(d) The Contractor shall keep records of all work done to real property, including plans, drawings, charts, warranties, and manuals. Records shall be complete and current. Record of all transactions shall be auditable. The Government shall have access to these records at all reasonable times, for the purposes of reviewing, inspecting, and evaluating the Contractor's real property management effectiveness. When real property is disposed of under this contract, the Contractor shall deliver the related records to the Government.</P>
            <P>(e) The Contracting Officer may direct the Contractor in writing to reduce the work required by the maintenance program authorized in paragraph (b) of this clause at any time.</P>
          </EXTRACT>
          
          <FP>(End of clause)</FP>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2010-32741 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 7510-01-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <CFR>50 CFR Part 300</CFR>
        <DEPDOC>[Docket No. 070514119-0452-03]</DEPDOC>
        <RIN>RIN 0648-AV51</RIN>
        <SUBJECT>High Seas Driftnet Fishing Moratorium Protection Act; Identification and Certification Procedures To Address Illegal, Unreported, and Unregulated Fishing Activities and Bycatch of Protected Living Marine Resources</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This final action implements identification and certification procedures to address illegal, unreported, and unregulated (IUU) fishing activities and bycatch of protected living marine resources (PLMRs) pursuant to the High Seas Driftnet Fishing Moratorium Protection Act (Moratorium Protection Act). The objectives of these procedures are to promote the sustainability of transboundary and shared fishery stocks and to enhance the conservation and recovery of PLMRs. The final rule is intended to implement existing U.S. statutory authorities to address noncompliance with international fisheries management and conservation agreements, and encourage the use of bycatch reduction methods in international fisheries that are comparable to methods used in U.S. fisheries. Agency actions and recommendations under this rule will be in accordance with U.S. obligations under applicable international trade law, including the World Trade Organization (WTO) Agreement.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>

          <P>This final rule is effective on January 12, 2011, except for §§ 302.205(b)(2), 300.206, and 300.207, which contain information collection requirements that have not yet been approved by the Office of Management and Budget (OMB) under the Paperwork Reduction Act (PRA). A document will be published in the<E T="04">Federal Register</E>announcing the effective dates of these provisions after OMB provides its approval.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Laura Cimo, Trade and Marine Stewardship Division, Office of International Affairs, NMFS, at (301) 713-9090.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>
        <P>The Magnuson-Stevens Fishery Conservation and Management Reauthorization Act of 2006 (MSRA), which was signed into law in January 2007, amends the Moratorium Protection Act to require that actions be taken by the United States to strengthen international fishery management organizations and address IUU fishing and bycatch of PLMRs. IUU fishing has been defined in the Moratorium Protection Act and implemented through regulation at 50 CFR 300.201 as follows:</P>
        <P>1. Fishing activities that violate conservation and management measures required under an international fishery management agreement to which the United States is a party, including catch limits or quotas, capacity restrictions, and bycatch reduction requirements;</P>
        <P>2. Overfishing of fish stocks shared by the United States, for which there are no applicable international conservation or management measures or in areas with no applicable international fishery management organization or agreement, that has adverse impacts on such stocks; and</P>
        <P>3. Fishing activity that has an adverse impact on seamounts, hydrothermal vents, and cold water corals located beyond national jurisdiction, for which there are no applicable conservation or management measures or in areas with no applicable international fishery management organization or agreement.</P>
        
        <FP>This final action amends the regulatory definition at § 300.201 to make the definition more consistent with the United Nations General Assembly Resolution 65-105.</FP>
        <P>The Moratorium Protection Act requires the Secretary of Commerce to identify in a biennial report to Congress those foreign nations whose fishing vessels are engaged in IUU fishing or fishing activities or practices that result in bycatch of PLMRs. The Moratorium Protection Act also requires the establishment of procedures to certify whether appropriate corrective actions have been taken to address IUU fishing or bycatch of PLMRs by fishing vessels of those nations. Identified nations that are not positively certified by the Secretary of Commerce could be subject to prohibitions on the importation of certain fisheries products into the United States and other measures, including limitations on port access, under the High Seas Driftnet Fisheries Enforcement Act (Enforcement Act) (16 U.S.C. 1826a). This final rule sets forth procedures to implement the identification and certification requirements of the Moratorium Protection Act.</P>

        <P>NMFS published an Advance Notice of Proposed Rulemaking (ANPR) on June 11, 2007 (72 FR 32052), to announce that it was developing certification procedures to address IUU fishing and bycatch of PLMRs pursuant to the Moratorium Protection Act and, based upon comments received, a proposed rule was published on January 14, 2009 (74 FR 2019). Public comments were solicited on the proposed rule for a period of 120 days. In conjunction with publication of the proposed rule, NMFS held public hearings in 2009 in locations where it expected substantial public interest in the proposed procedures. These sessions were held in Boston, MA (March 16, 2009); Silver Spring, MD (April 6, 2009); San Diego, CA (April 13, 2009); Seattle, WA (April 14, 2009); Honolulu, HI (April 27, 2009);<PRTPAGE P="2012"/>and Miami, FL (May 12, 2009). The public hearings provided valuable opportunities for NMFS to explain the proposed rule, respond to questions, and receive feedback from the public. A summary of the comments received on the proposed rule and how these comments were addressed in the final rule can be found below. Further background is provided in the above-referenced<E T="04">Federal Register</E>documents and is not repeated here.</P>

        <P>NMFS prepared a final Environmental Assessment (EA) to accompany this final rule. The EA was developed as an integrated document that includes a Regulatory Impact Review (RIR) and a Final Regulatory Flexibility Analysis (FRFA). Copies of the draft EA/RIR/FRFA analysis are available at the following address: Office of International Affairs, F/IA, National Marine Fisheries Service, 1315 East-West Highway, Silver Spring, MD 20910. Copies are also available via the Internet at the NMFS Web site at<E T="03">http://www.nmfs.noaa.gov/msa2007/.</E>
        </P>
        <HD SOURCE="HD1">Major Aspects of the Final Action</HD>
        <P>This final action sets forth procedures for both the identification and certification of foreign nations whose fishing vessels are engaged in IUU fishing or bycatch of PLMRs. As discussed above, the Moratorium Protection Act requires that NMFS identify foreign nations whose fishing vessels are engaged in IUU fishing or bycatch of PLMRs and list these nations in a biennial report to Congress, the first of which was due in January 2009. The Act does not require publication of identification procedures in a rule, but in the interest of transparency and to provide context for subsequent certification determinations, NMFS decided to address identification in this action. NMFS made its first identifications in the January 2009 Biennial Report to Congress based on authority provided in the Moratorium Protection Act only, as these regulations were not yet in place.</P>
        <HD SOURCE="HD1">Procedures To Identify Nations Engaged in IUU Fishing</HD>
        <P>As required under the Moratorium Protection Act, NMFS will identify, and list in the biennial report to Congress, that those nations whose fishing vessels are engaged, or have been engaged at any point during the preceding 2 years, in IUU fishing.</P>
        <P>When determining whether to identify a nation as having fishing vessels engaged in IUU fishing, NMFS will exercise due diligence in evaluating appropriate information and evidence available to the agency. This information could include data, gathered by the U.S. Government as well as offered by other nations, international organizations (such as regional fisheries management organizations (RFMOs)), institutions, or arrangements that, if true, could support a determination that a nation's vessels have been engaged in IUU fishing. NMFS will review and verify the pertinent information when determining, for the purposes of identification, whether a nation's fishing vessels are engaged, or have been engaged, during the preceding 2 years in IUU fishing as defined under the Moratorium Protection Act.</P>
        <P>Once NMFS has determined that the information received is credible and provides a reasonable basis to believe or suspect that a nation's fishing vessels are engaged in IUU fishing, NMFS, acting through or in consultation with the State Department, will initiate bilateral discussions with the nation to:</P>
        <P>• Seek corroboration of the alleged IUU activity or credible information that refutes such allegations;</P>
        <P>• Communicate the requirements of the Moratorium Protection Act to the nation; and</P>
        <P>• Encourage such nation to take action to address the alleged IUU fishing activity in question.</P>
        <P>Prior to making identifications, NMFS will consider measures taken by the nation to address the IUU fishing activity of its vessels, information refuting allegations of IUU fishing activity, and domestic laws or regulatory programs designed to address IUU fishing activity, along with all verified information on alleged IUU fishing activity.</P>
        <P>In determining whether to make an IUU fishing identification, NMFS will consider whether a nation has implemented and is enforcing measures that are deemed comparable in effectiveness to measures implemented by the United States to address the pertinent IUU fishing activity. NMFS will also consider if an international fishery management organization exists with a mandate to regulate the fishery in which the IUU activity in question takes place, whether or not the nation is party to or maintains cooperating status with the organization, and whether or not the relevant RFMO has adopted measures that are deemed by NMFS to be effective at addressing such IUU fishing activity. If the nation is a party or cooperating non-party to the relevant RFMO, NMFS will consider whether the nation has implemented and is enforcing measures of that organization.</P>
        <P>Measures by nations to address IUU fishing could include those that reflect the recommendations of international organizations to prevent, deter and eliminate IUU fishing. Such flag State measures and actions, as relevant, may include, but are not limited to, those that fall into the following categories:</P>
        <P>• Data collection and catch reporting programs, including observer programs, catch documentation programs, and trade tracking schemes;</P>
        <P>• Trade-related measures that seek to reduce or eliminate trade in fish, and fish products derived from IUU fishing;</P>
        <P>• At-sea or dockside boarding and inspection schemes;</P>
        <P>• Programs documenting whether fish were caught in a manner consistent with conservation and management measures;</P>
        <P>• IUU vessel lists identifying fishing vessels that violate and/or undermine conservation and management measures;</P>
        <P>• Port State measures to prohibit landings or transshipment of unauthorized or other IUU catch;</P>
        <P>• Catch and effort monitoring, including licensing and permitting schemes, reporting, and vessel monitoring systems (VMS);</P>
        <P>• Bycatch reduction and mitigation strategies and techniques, such as gear restrictions or requirements, if the IUU fishing activity includes a violation of bycatch reduction or mitigation conservation and management measures;</P>
        <P>• Programs or measures to identify and protect vulnerable marine ecosystems (VMEs) in waters beyond any national jurisdiction (including seamounts, hydrothermal vents, and cold water corals) from significant adverse impacts due to bottom fishing activities;</P>
        <P>• Efforts to improve and enhance fisheries enforcement and compliance, including through the development of effective sanctions and monitoring, control and surveillance (MCS) capacity; and</P>

        <P>• Participation in voluntary international efforts to combat IUU fishing (<E T="03">e.g.,</E>the International Monitoring, Control, and Surveillance (MCS) Network or other cooperative enforcement and compliance networks).</P>
        <P>NMFS will also examine whether adequate enforcement measures and capacity exist to help promote compliance.</P>
        <HD SOURCE="HD1">Notification of and Consultations With Nations Identified as Having Fishing Vessels Engaged in IUU Fishing</HD>

        <P>Upon identifying a nation whose vessels have been engaged in IUU fishing activities in the biennial report to Congress, the Secretary of Commerce<PRTPAGE P="2013"/>will notify the President of such identification. Within 60 days after submission of the biennial report to Congress, the Secretary of Commerce, acting through or in consultation with the Secretary of State, will notify:</P>
        <P>1. Nations that have been identified in the biennial report as having fishing vessels that are currently engaged, or were engaged at any point during the preceding 2 calendar years, in IUU fishing activities;</P>
        <P>2. Identified nations of the requirements under the Moratorium Protection Act and this subpart; and</P>
        <P>3. Any relevant international fishery management organization of actions taken by the United States to identify nations whose fishing vessels are engaged in IUU fishing.</P>
        <P>Within 60 days after submission of the biennial report to Congress, the Secretary of Commerce, acting through or in consultation with the Secretary of State, will initiate consultations with nations that have been identified in the biennial report as having fishing vessels that are currently engaged, or were engaged at any point during the preceding 2 calendar years, in IUU fishing activities for the purpose of encouraging such nations to take appropriate corrective action with respect to the IUU fishing activities described in the biennial report.</P>
        <HD SOURCE="HD1">Procedures To Certify Nations Identified as Having Fishing Vessels Engaged in IUU Fishing</HD>
        <P>Subsequent to the identification, notification, and consultation processes outlined above, the Secretary will provide either a positive or negative certification to nations that have been identified in the biennial report as having fishing vessels engaged in IUU fishing. The Secretary of Commerce shall issue a positive certification to an identified nation upon making a determination that such nation has taken appropriate corrective action to address the activities for which such nation has been identified in the biennial report to Congress. When making such determination, the Secretary shall take into account whether a nation has provided documentary evidence that it has taken appropriate corrective action to address the IUU fishing activity described in the biennial report, or the relevant international fishery management organization has implemented measures that are effective in addressing the IUU fishing activity by vessels of the nation. NMFS will notify nations prior to a formal certification determination, and will provide such nations an opportunity to support and/or refute preliminary certification determinations, and communicate any corrective actions taken to address the IUU fishing activity described in the biennial report to Congress.</P>
        <P>Corrective actions that NMFS will consider include, but are not limited to, a nation's:</P>
        <P>• Efforts towards improving data collection, catch monitoring, and reporting programs;</P>
        <P>• Record of implementation of or compliance with international measures to address IUU fishing;</P>
        <P>• Participation in technical assistance and capacity building programs to address IUU fishing and enhance regulatory efforts, as well as enforcement;</P>
        <P>• Adequacy of surveillance, enforcement, and prosecution to promote compliance with conservation and management measures and respond to non-compliance;</P>
        <P>• Response to IUU fishing activity;</P>

        <P>• Participation in voluntary international efforts to combat IUU fishing (<E T="03">e.g.,</E>the International Monitoring, Control, and Surveillance (MCS) network or other cooperative enforcement and compliance networks); and</P>
        <P>• Cooperation with other governments in enforcement, apprehension, and prosecution efforts related to those vessels of the identified nation that have engaged in IUU fishing.</P>
        <P>To determine whether a positive certification is warranted, NMFS will consider the extent to which the IUU fishing activities described in the biennial report have been effectively addressed, the likely effectiveness of the nation's actions to deter future IUU activity, and whether measures that are comparable in effectiveness to measures implemented by the United States have been implemented and are being effectively enforced. Such flag State measures may include, but are not limited to:</P>
        <P>• Catch and effort monitoring, including licensing and permitting schemes, reporting, and vessel monitoring systems (VMS);</P>
        <P>• Programs for data collection and sharing, including observer programs;</P>
        <P>• Catch documentation and trade tracking schemes that identify the origin and document the legality of fish from the point of harvest through the point of market/import;</P>
        <P>• Trade-related measures, such as import and export controls or prohibitions, to reduce or eliminate trade in fish and fish products derived from IUU fishing;</P>
        <P>• Programs that document fish were caught in a manner consistent with, or that does not undermine, conservation and management measures;</P>
        <P>• Port State control measures;</P>
        <P>• At-sea and dockside inspection schemes;</P>
        <P>• Bycatch reduction and mitigation strategies and techniques, such as gear restrictions or requirements, if the IUU fishing activity includes a violation of bycatch reduction and mitigation requirements of an international agreement to which the United States is a party;</P>
        <P>• Systems to improve monitoring, control, and surveillance of fishing activities;</P>
        <P>• Sufficient sanctions and legal frameworks to support effective enforcement; and</P>
        <P>• Measures to protect VMEs from significant adverse impacts from bottom fishing activities in waters beyond any national jurisdiction.</P>
        <P>The Secretary of Commerce will make certification determinations pursuant to provisions of the Moratorium Protection Act in accordance with international law, including the WTO Agreement, regarding adoption of trade measures in a fair, transparent, and non-discriminatory manner. When considering whether appropriate corrective action has been taken to warrant a positive certification, NMFS will take into account the outcome of consultations with the identified nation and comments received from such nation. NMFS will also evaluate actions taken by the relevant nation and applicable RFMO to address the IUU fishing activity described in the biennial report, including participation in applicable RFMOs and requests for assistance in building fisheries management and enforcement capacity. NMFS will also consider, as appropriate, whether the affected nation has implemented and is enforcing RFMO conservation and management measures designed to address IUU fishing activities.</P>
        <P>The Secretary of Commerce will make the first certification determinations no later than 90 days after promulgation of this rule. Subsequent certification determinations will be published in the biennial report. Identified nations will receive notice of certification determinations.</P>

        <P>Once certification determinations are published in the biennial report, NMFS will, working through or in consultation with the Department of State, continue consultations with negatively certified nations and provide them an opportunity to take corrective action with respect to the IUU fishing activities described in the biennial report to Congress.<PRTPAGE P="2014"/>
        </P>
        <HD SOURCE="HD1">Procedures To Identify Nations Engaged in PLMR Bycatch</HD>
        <P>As required under the Moratorium Protection Act, NMFS will also identify, and list in the biennial report to Congress, nations whose fishing vessels are engaged, or have been engaged during the preceding calendar year in fishing activities either in waters beyond any national jurisdiction that result in PLMR bycatch, or beyond the U.S. exclusive economic zone (EEZ) that result in bycatch of a PLMR shared by the United States.</P>
        <P>When determining whether to identify a nation as having fishing vessels engaged in the bycatch of PLMRs, NMFS will evaluate, review, and verify appropriate information and evidence that are available to the agency. During this review, NMFS will take into account the extent of the PLMR bycatch and the impact of bycatch on sustainability of the PLMR. NMFS will also consider any actions taken by the nation to address the bycatch, information refuting the allegations of PLMR bycatch, and participation in cooperative research activities designed to address such bycatch. In addition, NMFS will consider whether adequate enforcement authority and capacity exist to promote compliance.</P>
        <P>NMFS will also examine if an international organization for the conservation and protection of such PLMR, or an international or regional fishery management organization with a mandate to regulate the fishery in which the bycatch activity in question occurred, exists; and whether the nation whose fishing vessels are engaged, or have been engaged during the preceding calendar year, in bycatch of PLMRs is party to or maintains cooperating status with the relevant international body. NMFS will examine whether the relevant international body has adopted measures that have been demonstrated to end or reduce bycatch of PLMRs; whether the nation is a party or cooperating non-party to the organization; and whether the nation has implemented, and is enforcing, such measures. If an identified nation is not party to the relevant international or regional body, NMFS will examine whether the nation has implemented measures deemed to be effective at addressing the bycatch of such PLMRs, including any measures that have been recommended by a relevant international body. Such measures, where appropriate, may include, but are not limited to:</P>
        <P>• Programs for data collection and sharing, including programs to assess the abundance and status of PLMRs and observer programs;</P>
        <P>• Bycatch reduction and mitigation strategies, techniques, and equipment, such as gear restrictions and gear modifications; and</P>
        <P>• Improved monitoring, control, and surveillance of fishing activities.</P>
        <P>Once NMFS has determined that information on PLMR bycatch is credible and provides a reasonable basis to believe or suspect that a nation's fishing vessels are engaged in bycatch of PLMRs, NMFS, acting through or in consultation with the State Department, will initiate bilateral discussions with the identified nation. These discussions will, among other things:</P>
        <P>• Seek to corroborate the alleged PLMR bycatch or credible information that refutes such allegations;</P>
        <P>• Communicate the requirements of the Moratorium Protection Act to the nation; and</P>
        <P>• Encourage such nation to take action to address the alleged PLMR bycatch.</P>
        <P>Pursuant to the requirements under the Moratorium Protection Act, NMFS will publish a list of nations that have been identified as having fishing vessels engaged in bycatch of PLMRs in the biennial report to Congress.</P>
        <HD SOURCE="HD1">Notification and Consultation With Nations Identified as Having Fishing Vessels Engaged in Bycatch of PLMRs</HD>
        <P>After submission of the biennial report to Congress, the Secretary of Commerce, acting through the Secretary of State, will officially notify nations that have been identified in the biennial report as having fishing vessels that are engaged in bycatch of PLMRs. Within 60 days after submission of the biennial report to Congress, NMFS, acting through or in consultation with the State Department, will notify such nations of the requirements of the Moratorium Protection Act and initiate consultations regarding the bycatch of PLMRs.</P>
        <P>Upon submission of the biennial report to Congress, the Secretary of Commerce, acting through or in consultation with the Secretary of State, will:</P>
        <P>1. Initiate consultations with the governments of identified nations for the purposes of entering into bilateral and multilateral agreements and treaties with such nations to protect the PLMRs from bycatch activities described in the biennial report; and</P>
        <P>2. Seek agreements through the appropriate international organizations calling for international restrictions on the fishing activities or practices described in the biennial report that result in bycatch of PLMRs and, as necessary, request that the Secretary of State initiate the amendment of any existing international treaty to which the United States is a party for the protection and conservation of the PLMRs in question to make such agreements consistent with this subpart.</P>
        <HD SOURCE="HD1">International Cooperation and Assistance</HD>
        <P>To the greatest extent possible consistent with existing authority and the availability of funds, NMFS shall provide assistance to nations identified as having vessels engaged in PLMR bycatch. NMFS will also provide assistance to international organizations of which those nations are members to assist with qualifying for a positive certification. Assistance activities may include, where appropriate, cooperative research activities on species assessments and improved bycatch mitigation techniques, improved governance structures, or improved enforcement capacity. NMFS will also encourage and facilitate the transfer of appropriate technology to identified nations or the organizations of which they are members to assist identified nations in qualifying for a positive certification and to assist those identified nations or organizations in designing and implementing appropriate fish harvesting methods that minimize bycatch of PLMRs.</P>
        <HD SOURCE="HD1">Procedures To Certify Nations Identified as Having Fishing Vessels Engaged in Bycatch of PLMRs</HD>
        <P>Based on the identification, notification, and consultation processes outlined above, NMFS will certify nations that have been identified in the biennial report as having fishing vessels engaged in bycatch of PLMRs. NMFS will notify nations prior to a formal certification determination and will provide such nations an opportunity to support and/or refute preliminary certification determinations, and communicate any corrective actions taken to address the bycatch of PLMRs described in the biennial report to Congress.</P>
        <P>Identified nations will receive either a positive or negative certification from the Secretary of Commerce. A positive certification indicates that a nation has:</P>

        <P>1. Provided documentary evidence of the adoption of a regulatory program governing the conservation of the PLMR that is comparable to that of the United States, taking into account different conditions, and which, in the case of pelagic longline fishing, includes mandatory use of circle hooks, careful<PRTPAGE P="2015"/>handling and release equipment, and training and observer programs; and</P>
        <P>2. Established a management plan containing requirements that will assist in gathering species-specific data to support international stock assessments and conservation enforcement efforts for PLMRs. Stock assessments include population assessments.</P>
        <P>When determining whether a nation's regulatory program is comparable to measures required in the United States, NMFS will consider whether the program is comparable in effectiveness, taking into account different conditions that could bear on the feasibility and efficacy of comparable measures. If other measures could address bycatch of the PLMRs in question that are comparable in effectiveness, then the implementation of such measures by a nation may be deemed sufficient for purposes of the Moratorium Protection Act. As relevant, NMFS will also consider whether measures have been implemented and effectively enforced including, but not limited to:</P>
        <P>• Programs for data collection and sharing, including programs to assess the abundance and status of PLMRs and observer programs;</P>
        <P>• Bycatch reduction and mitigation strategies, techniques, and equipment (including training and assistance for bycatch reduction technology and equipment);</P>
        <P>• Improved monitoring, control, and surveillance of fishing activities;</P>
        <P>• Efforts towards improving data collection, bycatch monitoring, and reporting programs;</P>
        <P>• Record of implementation of or compliance with international measures to address bycatch of PLMRs;</P>
        <P>• Participation in technical assistance and capacity building programs to reduce bycatch;</P>
        <P>• Surveillance, enforcement, and prosecution program and their adequacy for promoting compliance with conservation and management measures and responding to non-compliance;</P>
        <P>• Response to PLMR bycatch; and</P>
        <P>• Cooperation with other governments in enforcement, apprehension, and prosecution efforts related to those vessels of the identified nation that have engaged in PLMR bycatch.</P>
        <P>The Secretary of Commerce will make certificationdeterminations pursuant to provisions of the Moratorium Protection Act in accordance with international law, including the WTO Agreement, regarding adoption of trade measures in a fair, transparent, and non-discriminatory manner. When making certification determinations, the Secretary of Commerce will, in consultation with the Secretary of State, evaluate the information discussed above, comments received from such nation, the consultations with each identified nation, and subsequent actions taken by the relevant nation to address the bycatch of PLMRs described in the biennial report, including requests for assistance in the implementation of measures comparable to those of the United States and establishment of an appropriate management plan. The Secretary of Commerce will also take into account whether the nation participates in existing certification programs, such as that authorized under section 609 of Public Law 101-162, or the affirmative finding process under the International Dolphin Conservation Program Act (111 Stat. 1122). Nothing in this rulemaking will modify such existing certification procedures.</P>
        <P>The Secretary of Commerce will publish certification determinations in the biennial report to the Congress. Identified nations will receive notice of certification determinations.</P>
        <P>Once certification determinations are published in the biennial report, NMFS will, working through or in consultation with the Department of State, continue consultations with the negatively-certified nations and provide them an opportunity to take corrective action with respect to the bycatch of PLMRs described in the biennial report to Congress.</P>
        <HD SOURCE="HD1">Effect of Certification Determinations</HD>
        <P>If nations identified as having fishing vessels engaged in IUU fishing and/or bycatch of PLMRs receive a positive certification from the Secretary of Commerce pursuant to the Moratorium Protection Act, no actions will be taken against such nations.</P>
        <P>If an identified nation fails to take sufficient action to address IUU fishing and/or bycatch of PLMRs and does not receive a positive certification from the Secretary of Commerce, the nation could face denial of port privileges for its fishing vessels, prohibitions on the import of certain fish and fish products into the United States, and other appropriate measures. In determining the appropriate course of action to recommend to the President, the Secretary of Commerce and other Federal agencies, as appropriate, will take into account the nature, circumstances, extent, duration, and gravity of the fishing activity for which the initial identification was made; the degree of culpability; any history of prior IUU fishing activities or bycatch of PLMRs; and other relevant matters. The Secretary of Commerce, in cooperation with the Secretary of State, may initiate further consultations with identified nations that fail to receive a positive certification prior to determining an appropriate course of action.</P>
        <P>The Secretary of Commerce will recommend to the President appropriate measures, including trade restrictive measures, to be taken against identified nations that have not received a positive certification, to address the relevant IUU fishing activity and/or fishing activities or practices that result in PLMR bycatch for which such nations were identified in the biennial report. The Secretary will make such recommendations on a case by case basis in accordance with international obligations, including the WTO Agreement. Adoption of trade measures will be done in a fair, transparent, and non-discriminatory manner. If certain fish or fish products of a nation are subject to import prohibitions, to facilitate enforcement, NMFS may require that other fish or fish products from that nation that are not subject to the import prohibitions be accompanied by documentation of admissibility to be developed by NMFS. If NMFS decides to require that such fish or fish products be accompanied by documentation of admissibility, it will develop this documentation through a future rulemaking action and give the public an opportunity to review and provide comment.</P>
        <P>In implementing the certification procedures under the Moratorium Protection Act, in order to inform U.S. ports that cargo originating from a foreign port may be subject to import restrictions, NMFS intends to collaborate with other Federal agencies and, as appropriate, take advantage of existing prior notification procedures, such as those required under section 343(a) of the Trade Act of 2002, or those proposed for further development under the International Trade Data System (ITDS) established under the Security and Accountability for Every (SAFE) Port Act of 2006 (Pub. L. 109-347). NMFS also intends to utilize existing documentation schemes developed by RFMOs, as appropriate. These efforts will be undertaken to help mitigate the effects of a negative certification determination on U.S. industry.</P>

        <P>If certain fish or fish products are prohibited from entering the United States, within six months after the imposition of the prohibition, the Secretary of Commerce shall determine whether the prohibition is insufficient to cause that nation to effectively address the IUU fishing described in the biennial report, or that nation has retaliated against the United States as a result of that prohibition. The Secretary<PRTPAGE P="2016"/>of Commerce shall certify to the President each affirmative determination that an import prohibition is insufficient to cause a nation to effectively address such IUU fishing activity or that a nation has taken retaliatory action against the United States. This certification is deemed to be a certification under section 1978(a) of Title 22, which provides that the President may direct the Secretary of the Treasury to prohibit the bringing or the importation into the United States of any products from the offending country for any duration as the President determines appropriate and to the extent that such prohibition is sanctioned by the WTO.</P>
        <HD SOURCE="HD1">Alternative Procedures</HD>
        <P>Section 609(d)(2) of the Moratorium Protection Act authorizes the Secretary of Commerce to establish alternative procedures for importing fish or fish products from a vessel of a harvesting nation identified under section 609(a) of the Act in the event that the Secretary cannot reach a certification determination for such identified nation by the time of the next biennial report. The alternative procedures shall not apply to fish or fish products from identified nations that have received either a negative or a positive certification under this Act. Under these alternative procedures, the Secretary of Commerce may allow entry of fish or fish products on a shipment-by-shipment, shipper-by-shipper, or other basis as long as specified conditions are met.</P>
        <P>For nations that have been identified as having fishing vessels engaged in IUU fishing and have not received a certification from the Secretary of Commerce, certain fish or fish products of that nation may be eligible for alternative certification procedures. To qualify for the alternative certification procedures, NMFS must determine, based on the best available information, that the relevant vessel has not engaged in IUU fishing, or been identified by an international fishery management organization as participating in IUU fishing activities.</P>
        <P>Section 610(c)(4) of the Moratorium Protection Act requires the Secretary of Commerce to establish alternative procedures for importing fish or fish products from a vessel of a harvesting nation identified under section 610(a) of the Act in the event that the Secretary cannot reach a certification determination for such identified nation by the time of the next biennial report. The alternative procedures shall not apply to fish or fish products from identified nations that have received either a negative or a positive certification under this Act. Under these alternative procedures, the Secretary of Commerce may allow entry of fish or fish products on a shipment-by-shipment, shipper-by-shipper, or other basis as long as specified conditions are met.</P>
        <P>To qualify for the alternative certification procedures, NMFS must determine that imports were harvested by practices that do not result in bycatch of a protected living marine resource, or were harvested by practices comparable to those required in the United States, taking into account different conditions that affect the feasibility and efficacy of such practices, and which, in the case of pelagic longline fishing, includes mandatory use of circle hooks, careful handling and release equipment, and training and observer programs. NMFS must also determine that the vessel collects species-specific bycatch data that can be used to support international and regional assessments and efforts to conserve PLMRs. NMFS will make these determinations in accordance with international law, including the WTO Agreement, regarding adoption of trade measures in a fair, transparent, and non-discriminatory manner.</P>
        <P>In its implementation of alternative certification procedures, NMFS will seek appropriate documentation to verify that imports were harvested in a manner consistent with the requirements of this subpart, such as chain-of-custody information, VMS reports, or other forms of verification. To the extent practicable, NMFS will rely on existing trade tracking programs to implement alternative procedures.</P>
        <HD SOURCE="HD1">Responses to Comments on the Proposed Rule</HD>
        <P>NMFS received comments on the proposed rule, including comments from U.S. industry, non-governmental organizations, Marine Mammal Commission, private citizens, and other nations. Several comments received were not germane to this rulemaking and are not addressed in this section. These comments include potential legislative changes and other actions outside the scope of the statutory mandate.</P>
        <P>Several commenters provided broad suggestions that pertain to the overall implementation of the rule. Specifically, many commenters expressed their support for the certification process under the Moratorium Protection Act and the application of trade measures, including sanctions.</P>
        <P>NMFS received numerous comments asking the agency to adopt the strongest measures possible to address IUU fishing and the bycatch of PLMRs, as mandated by Congress, in order conserve these resources and level the playing field for U.S. fisherman. Several commenters recommended that NMFS hold other nations to the same rigorous and strict standards to which U.S. fishermen are subject, especially for Atlantic bluefin tuna fishing, and expressed dissatisfaction that NMFS is not aggressively utilizing trade sanctions as a tool to combat IUU fishing of shared highly migratory fish stocks.</P>
        <P>A comment was made that the threat of trade sanctions is often more effective than the actual imposition and that sanctions should only be used as a last resort if at all.</P>
        <P>In the following section, NMFS addresses the issues that directly relate to the measures in the rulemaking.</P>
        <HD SOURCE="HD1">General Comments</HD>
        <P>
          <E T="03">Comment 1:</E>One commenter recommended that NMFS coordinate the proposed rule with the European Union's approach in order to have a unified global process to address IUU fishing.</P>
        <P>
          <E T="03">Response:</E>NMFS is obligated to adhere to the Moratorium Protection Act that sets forth identification, consultation, and certification procedures to address IUU fishing and the bycatch of PLMRs. These procedures differ from the regulatory process of the European Union (EU) to address IUU fishing. EU Council Regulation 1005/2008, which was passed in the fall of 2008, requires, among other things, that most exports of seafood to the European market be accompanied by a catch document signed by a flag-state competent authority that the product was caught legally. NMFS is committed to working with our partners in the European Union in order address the global problem of IUU fishing and the bycatch of PLMRs.</P>
        <P>
          <E T="03">Comment 2:</E>A commenter expressed concern that the implementation of the proposed rule will result in increased expenses to U.S. suppliers as well as to the Federal government.</P>
        <P>
          <E T="03">Response:</E>The regulations will not directly increase costs to U.S. suppliers. However, it is possible to anticipate increased costs to U.S. suppliers. If a foreign nation's ability to import certain fish or fish products into the United States is limited upon receipt of a negative certification and application of trade restrictive measures, this may impact the ability of U.S. suppliers to access fish or fish products from that nation. Alternative sources of fish and fish products could mitigate the impacts<PRTPAGE P="2017"/>of restrictions on U.S. suppliers' access to fish and fish products.</P>
        <P>
          <E T="03">Comment 3:</E>Several commenters suggested that NMFS should include in the biennial report to Congress information on the status of the RFMOs' compliance committees and the performance reviews as an indicator of the effectiveness of the RFMOs actions related to implementing measures to avoid IUU and bycatch of PLMRs.</P>
        <P>
          <E T="03">Response:</E>NMFS will include in the biennial report to Congress relevant information on RFMOs and their measures to address IUU fishing and the bycatch of PLMRs.</P>
        <P>
          <E T="03">Comment 4:</E>A suggestion was made that NMFS prioritize situations where IUU is rampant or bycatch of PLMRs is clearly excessive, thus focusing the imposition of trade measures on the most egregious situations.</P>
        <P>
          <E T="03">Response:</E>NMFS is required to address IUU fishing activity and the PLMR bycatch. When making identification decisions for both IUU fishing and bycatch, NMFS will consider the history, nature, circumstances, extent, duration, and gravity of the activity in question.</P>
        <HD SOURCE="HD2">Definition of IUU Fishing</HD>
        <P>
          <E T="03">Comment 5:</E>Several commenters suggested that NMFS should expand the definition of IUU fishing. Suggestions included addressing unreported fishing and fishing activities that are misreported to the relevant national or international fishery management authority, as well as violations of agreements to which the United States is not a party. Others suggested broadening the IUU fishing definition to include illegal incursions of a nation's vessels into the waters of other nations (including U.S. waters), flagrant reflagging under flags of convenience, beneficial ownership, and lack of registration.</P>
        <P>Commenters also recommended that the definition of IUU fishing be as consistent as possible with the United Nation's International Plan of Action to Prevent, Defer and Eliminate Illegal, Unreported and Unregulated Fishing (IPOA-IUU), as well as the UNFAO Agreement on Port State Measures.</P>
        <P>
          <E T="03">Response:</E>At this time, NMFS believes it is not appropriate to modify the definition of IUU fishing through this regulatory action. NMFS appreciates the public is interested in having this definition modified, but NMFS has decided not to revise the definition until the agency is able to understand the implications for implementing the United Nations Food and Agriculture Organization's Agreement on Port State Measures to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing (Port State Measures Agreement). Although this agreement has been signed by the United States, it has not been ratified. At present, NOAA plans to revise the definition of IUU fishing in a subsequent rulemaking action to help ensure that the definition complies with our international as well as statutory obligations. In its development of the new definition, NMFS will consider what clarifications may be helpful for the definition, and will seek and take public comments on the definition. NMFS will also take the comments received in response to this rulemaking into account when formulating the new definition of IUU fishing.</P>
        <P>
          <E T="03">Comment 6:</E>Several commenters were encouraged that NMFS' definition of fishing vessels relative to its definition of IUU fishing extended to “vessels that are used for fishing or any activity relating to fishing, including, but not limited to, preparation, supply, storage, refrigeration, transportation, or processing, bunkering or purchasing catch, aiding or assisting one or more vessels at sea in the performance of such activity.”</P>
        <P>
          <E T="03">Response:</E>NMFS has decided to retain the proposed definition of “fishing vessels” in the final rule without amendment.</P>
        <P>
          <E T="03">Comment 7:</E>A nation commented that the failure to meet the commitments of Resolution 61/105 of the United Nations General Assembly and the International Guidelines for the Management of Deep-sea Fisheries in the High Seas should not be defined as IUU fishing, as there are no internationally agreed upon standards that would support such a determination. In addition, the nation suggested that NMFS only consider including flag State responsibilities related to these guidelines for deep seas fisheries in the definition of IUU fishing after the establishment of internationally agreed criteria for assessing flag State performance.</P>
        <P>
          <E T="03">Response:</E>The portion of the definition of IUU fishing referenced by the commenter is mandatory under the Moratorium Protection Act. The aspect of the IUU fishing definition the commenter refers to includes fishing activity that has a significant adverse impact on seamounts, hydrothermal vents, cold water corals and other vulnerable marine ecosystems located beyond any national jurisdiction, for which there are no applicable conservation or management measures, including those in areas with no applicable international fishery management organization or agreement. This portion of the definition is required under the Moratorium Protection Act.</P>
        <P>
          <E T="03">Comment 8:</E>One commenter recommended that NMFS include in its definition of IUU fishing the failure of the flag State to report the catch of its fishing vessels to the RFMO that it is party to, or other applicable authorities in its definition of IUU fishing.</P>
        <P>
          <E T="03">Response:</E>Under the Moratorium Protection Act, NMFS is authorized to identify nations based on the IUU fishing activity of their vessels. If the vessels of a flag State fail to report their catch to the relevant RFMO and this action is required under a conservation and management measure of an RFMO to which the United States is a party, then failure to report the catch could be a potential basis for identifying the nation.</P>
        <HD SOURCE="HD2">Concerns Regarding IUU Fishing</HD>
        <P>
          <E T="03">Comment 9:</E>A comment was made in regards to a statement in the biennial report to Congress that<E T="03">“* * * more than one vessel must be engaged in IUU fishing for purposes of identification.”</E>The commenter recommended that NMFS reinterpret the statute or attempt to remove legislative language limiting the criterion for identification that a nation must have more than one vessel engaged in IUU fishing. The commenter suggested that nations should be held responsible for any and all IUU fishing activity of their flagged vessels.</P>
        <P>
          <E T="03">Response:</E>NMFS' interpretation of the statute that more than one vessel of a nation must be engaged, or have been engaged, in IUU fishing activity to warrant identification under the Moratorium Protection Act is consistent with the statutory language.</P>
        <P>
          <E T="03">Comment 10:</E>NMFS received a comment recommending improvements in traceability of catches to prevent IUU fishing. It was suggested that Catch Documentation Schemes (CDS) would help with these improvements.</P>
        <P>
          <E T="03">Response:</E>NMFS agrees with the commenter and supports the adoption of tools to address traceability of catch, including catch documentation schemes, to help address IUU fishing, consistent with the purposes of the Moratorium Protection Act.</P>
        <HD SOURCE="HD2">Definition of Bycatch of PLMRs</HD>
        <P>
          <E T="03">Comment 11:</E>One commenter advised NMFS to revise the definition of bycatch of PLMRs to encompass any interaction with a non-target living marine resource that results in the capture, serious injury or mortality of that resource, regardless of whether the resource is discarded or kept for personal or commercial use. The commenter was concerned that the way the current definition is phrased<PRTPAGE P="2018"/>might suggest that if non-target living marine resources were to be kept on the vessel, they would not be considered bycatch, which would undermine efforts to conserve these species and reduce their bycatch.</P>
        <P>Another commenter recommended that NMFS' definition of bycatch of PLMRs be revised to explicitly refer to any encounter of non-target living marine resources with fishing gear, not just encounters that result in mortality or serious injury.</P>
        <P>
          <E T="03">Response:</E>NMFS sought to address these comments in the definition of bycatch in the final rule. The revised definition of PLMRs in the final rule is as follows: “Bycatch means the incidental or discarded catch of protected living marine resources or entanglement of such resources with fishing gear.”</P>
        <HD SOURCE="HD2">Concerns Regarding the Bycatch of PLMRs</HD>
        <P>
          <E T="03">Comment 12:</E>NMFS received a comment from the Marine Mammal Commission regarding the lack of available information and standards with respect to the bycatch of PLMRs, as well as the incomparable reporting requirement timelines and deadlines between IUU fishing and bycatch of PLMRs. Specifically, under the IUU fishing provisions, the Secretary has 60 days after submission of the biennial report to Congress to notify identified nations and to initiate consultations, whereas the proposed rule only suggests that this occur “as soon as possible” with respect to the bycatch of PLMRs. Therefore, the Marine Mammal Commission recommends that NMFS establish deadlines for notification, consultation, and certification findings with respect to PLMR bycatch.</P>
        <P>
          <E T="03">Response:</E>NMFS sought to address these comments by standardizing the timelines and deadlines for information collection, notification, consultation, and certification decisions for IUU fishing and bycatch of PLMRs under the Moratorium Protection Act, in a manner consistent with the statutory text of the Act.</P>
        <P>With respect to nations that are identified as having fishing vessels engaged in IUU fishing or bycatch of PLMRs, NMFS, acting through or in cooperation with the State Department, will notify such nations of the requirements of the Moratorium Protection Act and initiate consultations within 60 days of submission of the biennial report to Congress.</P>
        <P>Certification determinations will be made for nations that are identified as having vessels engaged in IUU fishing or bycatch of PLMRs on a biennial basis to coincide with publication of the biennial report to Congress.</P>
        <P>
          <E T="03">Comment 13:</E>The Marine Mammal Commission commented that the lack of basic information on pelagic and transboundary PLMRs that are often caught as bycatch is of serious concern, as this will severely hamper NMFS' efforts to identify bycatch problems and evaluate the adequacy of a nation's regulatory program.</P>
        <P>
          <E T="03">Response:</E>NMFS shares the concerns raised by the commenter regarding the lack of basic information on PLMR bycatch and, based on the absence of this information, recognizes the challenges associated with identifying nations whose fishing vessels are engaged in bycatch of PLMRs and evaluating other nations' regulatory programs. To address this concern, as explained in the prior response, NMFS plans to examine PLMR bycatch information from as broad a timeframe as possible under the Act.</P>
        <P>
          <E T="03">Comment 14:</E>The Marine Mammal Commission recommended that NMFS work with the Department of State to protect PLMRs by promoting protective actions in relevant international fora, and through amendments to treaties to which the United States is party, such as requiring the collection and sharing of data pertaining to fishery interactions, stock status, and bycatch estimates and implementing of bycatch mitigation measures.</P>
        <P>
          <E T="03">Response:</E>Consistent with the legislative intent of the Moratorium Protection Act, NMFS will work with the Department of State to protect PLMRs through the adoption of measures in the relevant international fora that require reporting of bycatch data and use of bycatch mitigation gear. NMFS will also continue its efforts to work cooperatively with nations that lack sufficient capacity for fisheries monitoring, control, surveillance, and bycatch mitigation and assist these nations achieve sustainable fisheries.</P>
        <P>
          <E T="03">Comment 15:</E>A commenter suggested that NMFS distinguish between a particular instance of fishing activity that results in bycatch of PLMRs, and a consistent disregard of bycatch reduction measures.</P>
        <P>
          <E T="03">Response:</E>NMFS has addressed this comment in the final rule by requiring that the agency take into account all relevant matters when determining whether to identify nations whose vessels engaged in PLMR bycatch including, but not limited to, the history, nature, circumstances, extent, duration, and gravity of the bycatch activity in question.</P>
        <HD SOURCE="HD2">Comparability</HD>
        <P>
          <E T="03">Comment 16:</E>NMFS received numerous comments regarding the effectiveness of measures to reduce IUU fishing and bycatch of PLMRs. Specifically, the Marine Mammal Commission suggested that the framework to determine the comparability of effectiveness between countries' measures was too broad, and that NMFS needs to specify what standards will be used to assess comparability in effectiveness by other nations, especially with respect to the bycatch of PLMRs.</P>
        <P>
          <E T="03">Response:</E>In order to identify a nation for PLMR bycatch, under this final rule NMFS will also determine that the nation has not implemented measures designed to end or reduce such bycatch that are comparable in effectiveness to U.S. regulatory requirements, and that the relevant international organization has not adopted effective measures to end or reduce bycatch of such species.</P>
        <P>In its determination of whether programs to address IUU fishing or PLMR bycatch are comparable in effectiveness to those of the United States, NMFS will examine programs that have been adopted by the United States to address the relevant activity for which a nation has been identified, and compare such programs with those that have been adopted by the nation, taking into account different conditions that could bear on the program's feasibility and efficacy. Given the different IUU fishing and bycatch activities for which a nation could be identified under the Act, it may be difficult and overly prescriptive to establish specific criteria for programs addressing all such activities. NMFS may, however, seek to provide further clarification on its identification and certification procedures, including any standards, through internal guidance.</P>
        <HD SOURCE="HD2">Data Utilized for Certification</HD>
        <P>
          <E T="03">Comment 17:</E>Several comments recommended that in addition to evaluating evidence “available” to NMFS, the proposed rule should clearly state that the NMFS will actively seek out information from industry groups and foundations, international fishery management bodies, and nations wishing to export fish or fish products into the United States. Similarly, a commenter suggested that in addition to using data offered by other international organizations and from among other sources to make an identification determination, as indicated in the proposed rule, NMFS should also seek information from industry groups such as the International Seafood<PRTPAGE P="2019"/>Sustainability Foundation (ISSF) and individual companies. The Marine Mammal Commission recommended that NMFS establish procedures to allow various U.S. government agencies, foreign governments, international fishery management organizations, NGOs, industry organizations and the public to provide and exchange pertinent information for the identification and certification process.</P>
        <P>
          <E T="03">Response:</E>NMFS concurs with the comments provided and will actively seek information from relevant sources with respect to the identification processes under the Moratorium Protection Act. As an illustration, NMFS published and circulated two notices in the<E T="04">Federal Register</E>on March 5, 2010 (75 FR 10213), and April 6, 2010 (75 FR 17379), soliciting information on IUU fishing and PLMR bycatch activities prior to the development of the list of nations that were identified in the January 2009 Biennial Report to Congress, and that will be identified in the 2011 report. NMFS will continue to solicit information from the public that could be used for the identification processes under the Moratorium Protection Act, actively seek information from RFMOs and international organizations for the protection of PLMRs, and examine other information deemed relevant for our decision-making processes.</P>
        <P>
          <E T="03">Comment 19:</E>A commenter recommended that NMFS give preference to government information, information that has undergone a peer-review process, or information that has been agreed upon through tribunals or some other legal mechanism in making decisions regarding certification.</P>
        <P>Several commenters also recommended that NMFS utilize “additional resources” to verify documentation on which a certification will be made; however, none of the commentators identified what those “additional resources” would be.</P>
        <P>Further, NMFS received numerous comments with respect to both IUU fishing and the bycatch of PLMRs, regarding the lack of abundance and poor quality of the information that would be available and possibly used to identify and certify nations.</P>
        <P>
          <E T="03">Response:</E>When determining whether to identify a nation as having fishing vessels engaged in IUU fishing or bycatch of PLMRs, as well as certifying an identified nation, NMFS will analyze and assess all available information from a variety of sources. NMFS will exercise due diligence in evaluating which information and evidence is most appropriate for use in identifying and certifying nations. This information could include data actively gathered by the U.S. Government as well as data offered by other nations, or international organizations (such as RFMOs), institutions, or arrangements that provides a reasonable basis to believe or suspect that a nation's vessels have been engaged in IUU fishing or bycatch of PLMRs.</P>
        <P>
          <E T="03">Comment 20:</E>A commenter recommended that NMFS establish a process to notify nations and international fishery management bodies of the Moratorium Protection Act requirements.</P>
        <P>
          <E T="03">Response:</E>The Moratorium Protection Act requires notification and as such, the final regulations lay out what NMFS will communicate to nations. NMFS has been actively conducting outreach and communicating the requirements of the Moratorium Protection Act to nations and international fishery management organizations over the past 3 years.</P>
        <P>
          <E T="03">Comment 21:</E>One commenter requested that NMFS provide information regarding the efforts that the United States has undertaken to eliminate its own IUU fishing and PLMR bycatch. The commenter expressed that this would not only facilitate earlier compliance, but also help in information-gathering and negotiations.</P>
        <P>
          <E T="03">Response:</E>NMFS will summarize efforts to address PLMR bycatch and, as appropriate, may provide information on efforts to address IUU fishing in the biennial report to Congress.</P>
        <P>
          <E T="03">Comment 22:</E>A comment was made by a nation that NMFS should publish all information sources used in the certification process.</P>
        <P>
          <E T="03">Response:</E>NMFS will publish the information sources, as appropriate, that are used in the certification decision-making under the Moratorium Protection Act in the biennial report to Congress.</P>
        <HD SOURCE="HD2">Identification and Certification</HD>
        <P>
          <E T="03">Comment 23:</E>A comment suggested that in order to make the task of identifying and listing a nation easier, the proposed language for section 608(c)(1) of the High Seas Driftnet Fishing Moratorium Protection Act in H.R. 1080 section 2(b), should be clarified so that if vessels and vessel owners are identified as engaging in IUU fishing by an international fishery management organization or through an international agreement, the vessel would automatically be added to the Secretary's list and subject to possible action under the proposed section 608(c)(2).</P>
        <P>
          <E T="03">Response:</E>Legislative changes are outside the scope of this action. However, NMFS notes that, when considering an IUU fishing identification under the Moratorium Protection Act, NMFS will examine information regarding vessels flagged to a nation that is identified by an international fishery management organization to which the United States is a party as having engaged in IUU fishing. The Moratorium Protection Act provides for consideration of vessels' IUU fishing activities during the preceding 2 years.</P>
        <P>
          <E T="03">Comment 24:</E>A commenter recommended that, in addition to identifying nations based on vessel-specific activity, NMFS also utilize trade analysis that compares reported catches and trade data for the purposes of identifying IUU fishing occurring in a fishery. The commenter is concerned that in some situations vessel level information will not be sufficient to support identification, but rather trade analysis could be a strong indication that the fishery as a whole is not being adequately monitored and enforced by the particular country or set of countries and therefore the products from that fishery should be considered IUU-derived.</P>
        <P>
          <E T="03">Response:</E>Under the Moratorium Protection Act, NMFS is required to identify nations whose vessels engage in IUU fishing activity or bycatch of PLMRs. Therefore, a determination must be made based upon vessel specific information.</P>
        <P>
          <E T="03">Comment 25:</E>A comment recommended that the United States pursue schemes requiring all fishing vessels to have International Maritime Organization numbers, or an equivalent system for smaller vessels. It was suggested that in order to encourage vessel owners to register with an International Maritime Organization system, NMFS could automatically list any unregistered vessel.</P>
        <P>
          <E T="03">Response:</E>NMFS supports efforts made at the international level to enhance the identification and encourage registration of all fishing vessels, which would improve the tracking of vessel activities and compliance with international registration requirements. To the extent that vessels of a nation are fishing without authorization in violation of a conservation and management measure of an RFMO, NMFS will consider identification of these nations as required under the Moratorium Protection Act.</P>
        <P>
          <E T="03">Comment 26:</E>One comment recommended that NMFS not only identify and list nations for having vessels engaged in IUU fishing, but also the specific vessel as well as the<PRTPAGE P="2020"/>fisheries in which they are engaged. The commenter was concerned that, under the current regulations, all fishing vessels flying the flag of an identified country will be incriminated, as opposed to only those vessels or fisheries actually engaged in IUU fishing.</P>
        <P>
          <E T="03">Response:</E>NMFS will, to the extent practicable, identify the specific vessels of a nation that are engaged in IUU fishing activities for purposes of identification under the Moratorium Protection Act in the biennial report to Congress.</P>
        <P>
          <E T="03">Comment 27:</E>A nation commented that it was pleased to see that consultation is a key aspect of the identification and certification process. The nation recommended that NMFS consult in a way to ensure the transparency and fairness of these processes.</P>
        <P>
          <E T="03">Response:</E>NMFS agrees that consultations are a key aspect of the identification and certification processes under the Moratorium Protection Act. NMFS will seek to implement the Moratorium Protection Act to ensure fairness and transparency.</P>
        <P>
          <E T="03">Comment 28:</E>NMFS received a question from a nation requesting clarification of the documentation required with respect to § 300.205(b)(1) (Such finding may include a requirement that fish or fish products from such nations be accompanied by documentation of admissibility.).</P>
        <P>
          <E T="03">Response:</E>If an identified nation fails to receive a positive certification from the Secretary of Commerce, and the President determines that certain fish and fish products from that nation are ineligible for entry into the United States and U.S. territories, then NMFS may require that fish or fish products not subject to the import restrictions from the nation be accompanied by admissibility documentation to be developed by NMFS. This requirement would be put into place if deemed necessary to assist with monitoring and compliance with the import prohibitions.</P>
        <P>
          <E T="03">Comment 29:</E>A comment from a nation stated that with respect to § 300.205(a)(2)<E T="03">(“* * * If there is no applicable international fishery agreement, the Secretary of Commerce shall not recommend import prohibitions that would apply to fish or fish products caught by vessels not engaged in IUU fishing * * *”</E>), both the intent and the language of this article are unclear. The nation recommended that NMFS clearly explain the effects of negative certification and to whom it applies in relation to bycatch of PLMRs.</P>
        <P>
          <E T="03">Response:</E>NMFS has revised the final rule to mirror the text of the Act more closely. In response to the comment provided, NMFS clarifies that, for nations identified under § 300.202(a) that are not positively certified, NMFS believes that import prohibition recommendations should be made with respect to fish or fish products managed under the applicable international fishery agreement. If there is no applicable agreement, import prohibition recommendations should be made with respect to fish or fish products caught by vessels engaged in the IUU fishing activity. For nations identified under § 300.203(a) that are not positively certified, NMFS believes that import prohibition recommendations should be made with respect to fish or fish products caught by the vessels engaged in the relevant activity for which the nation was identified.</P>
        <P>
          <E T="03">Comment 30:</E>A nation requested that NMFS clarify § 300.203(d)(2)(ii) (“Such nation has established a management plan that will assist in the collection of species-specific data on PLMR bycatch to support international stock assessments and conservation efforts for PLMRs”). Specifically, the nation wanted to know if PLMRs include species that are managed by an international fishery management organization, and the likelihood of having international stock assessments and conservation efforts for PLMRs. The nation recommended that NMFS delete “international stock assessments” as they are captured under broader “conservation efforts.”</P>
        <P>
          <E T="03">Response:</E>The definition of PLMRs set forth in the Moratorium Protection Act exempts those species, with the exception of sharks, that are managed by an RFMO. The statute requires that nations identified as having vessels engaged in PLMR bycatch establish a management plan that will assist in the collection of species-specific data for use in international assessments in order to receive a positive certification.</P>
        <P>
          <E T="03">Comment 31:</E>A commenter recommended that the United States place the burden of proof on the nations wishing to export product to the United States that they have not engaged in IUU fishing or PLMR bycatch. The commenter suggested that by placing the burden of proof on the exporting nation, the United States will encourage other nations to enhance their monitoring and enforcement requirements to eliminate IUU fishing and bycatch of PLMRs.</P>
        <P>
          <E T="03">Response:</E>NMFS does not have authority under the Moratorium Protection Act to require that nations bear the burden of proving that their exports to the United States were harvested by vessels that have not engaged in IUU fishing or PLMR bycatch.</P>
        <P>
          <E T="03">Comment 32:</E>Several commenters recommended that deadlines for certification findings with respect to bycatch of PLMRs need to be established. Specifically, a timeline should be created by which nations are to meet the applicable comparability requirements or face certification.</P>
        <P>
          <E T="03">Response:</E>In this final rule, NMFS clarifies that nations identified for having vessels engaged in PLMR bycatch meet the requirements for a positive certification prior to the subsequent biennial report to Congress. Therefore, each identified nation will have approximately 2 years to take sufficient corrective action before a certification decision is made.</P>
        <P>
          <E T="03">Comment 33:</E>A commenter suggested that NMFS should evaluate not only the statutory or regulatory requirements that apply to a fishery but also the effectiveness of a nation's efforts to achieve compliance with those requirements. Thus, the proposed rule should provide greater detail on the types of data and information that will be required from nations and the standards that will be used to judge the sufficiency of documentary evidence for certification.</P>
        <P>
          <E T="03">Response:</E>In its implementation of the Moratorium Protection Act, NMFS will evaluate whether a nation identified as having fishing vessels engaged in IUU fishing or PLMR bycatch has taken appropriate corrective action and is implementing and enforcing such actions. In its evaluation, NMFS will consider several types of documentary evidence and will work with the nation to examine what information is available to determine whether appropriate corrective action is taken. For example, NMFS will examine logbook data, laws and regulations to address IUU fishing activity, and written documentation of permit revocation, among other things.</P>
        <P>
          <E T="03">Comment 34:</E>A comment was made regarding revising the timeline for reporting on the identification process. A commenter suggested that stipulating such reports as “biennial” alone is insufficient, as subsequent reports could be provided two years to the calendar year rather than the calendar date. Specifically, a commenter recommended that the language in § 300.202(a)(1) of the proposed regulation be revised to read: “NMFS will identify and list, in a biennial report provided to Congress, no later than 2 years after the date of the prior<PRTPAGE P="2021"/>biennial report, nations whose fishing vessels are engaged, or have been engaged at any point during the preceding two calendar years, in IUU fishing” (recommended modifications in italics).</P>
        <P>
          <E T="03">Response:</E>NMFS is retaining the text as proposed, as it is consistent with section 607 of the Moratorium Protection Act, which requires the biennial report to be produced 2 years after enactment of the MSRA and every 2 years thereafter.</P>
        <P>
          <E T="03">Comment 35:</E>Several comments recommended that the time period in which IUU and bycatch activities are considered for identifying countries should be extended to 3 years. Commenters expressed concern that if NMFS reports on a biennial basis and only considers bycatch of PLMRs during the previous calendar year, data from every other year would not be considered in the report. Secondly, several commenters expressed concern that the current two-year time period limits NMFS from effectively collecting sufficient catch data and information on bycatch.</P>
        <P>
          <E T="03">Response:</E>As reflected in prior comments and responses above, NMFS recognizes the concerns regarding the availability of data and information for purposes of making identifications under the Moratorium Protection Act. NMFS plans to examine PLMR bycatch information from as broad a timeframe as possible under the Act. For IUU fishing, NMFS will examine information on IUU fishing activities during a 2-year period, consistent with the Act.</P>
        <P>
          <E T="03">Comment 36:</E>NMFS received several comments in support of the idea of having alternative certification procedures on a shipper-by-shipper basis. In addition, the Marine Mammal Commission commented that alternative certification procedures should require rigorous chain-of-custody documentation, greater controls on transshipment than currently exist, and real-time monitoring and verification to substantiate that individual vessels, shipments, or shippers fully comply with the bycatch reduction measures. They also recommended that NMFS defer the implementation of alternative certification procedures until nations or RMFOs can adopt monitoring and verification procedures coupled with mandatory real-time tracking and documentation of products obtained in compliance with bycatch reduction procedures.</P>
        <P>
          <E T="03">Response:</E>NMFS recognizes the value of establishing alternative certification procedures on a shipper-by-shipper basis for those identified nations that have not received a certification decision from the Secretary of Commerce. In the implementation of the Moratorium Protection Act, the Secretary of Commerce intends to issue a positive or negative certification decision for each nation that is identified as having vessels engaged in either IUU fishing or PLMR bycatch. However, NMFS will use alternative procedures in the case that a certification decision cannot be reached. For nations that are negatively certified, entry of fish or fish products not subject to the import prohibitions could be facilitated by accompaniment of these products by documentation of admissibility under § 300.205(b)(2).</P>
        <P>
          <E T="03">Comment 37:</E>One commenter recommended that NMFS recognize the existing traceability system used for tuna products and its proven track record, and clarify that for tuna products the Secretary intends to use the alternative procedures authority, absent some new information.</P>
        <P>
          <E T="03">Response:</E>NMFS recognizes the effective existing systems used for tracking the trade of tuna products. In its implementation of alternative certification procedures for this particular species, NMFS will rely on existing trade tracking programs and seek chain-of-custody documentation, real-time monitoring and verification to substantiate that individual vessels, shipments, or shippers fully comply with requirements of these procedures.</P>
        <P>
          <E T="03">Comment 38:</E>A commenter recommended that a strict set of criteria be put in place so that countries know what is expected of them in terms of making adequate reforms, and so that the public can understand the criteria by which decisions are made in terms of certifications.</P>
        <P>
          <E T="03">Response:</E>Given the broad scope of IUU fishing and bycatch activities for which a nation could be identified, it is difficult to predict what types of data and information will be required of nations, or what standards would need to be met to receive a positive certification in each specific case. Rather, NMFS will determine the data, information, and standards on a case-by-case basis.</P>
        <P>
          <E T="03">Comment 39:</E>A commenter recommended that public consultations be built into the certification process as this will help ensure transparency in decision making about how a positive or negative certification is made.</P>
        <P>
          <E T="03">Response:</E>The Moratorium Protection Act requires the Secretary of Commerce to notify nations prior to certification, and provide such nations with an opportunity to comment on the certification determinations. NMFS will provide notice of the official certifications in the subsequent biennial report to Congress.</P>
        <HD SOURCE="HD2">Trade Sanctions</HD>
        <P>
          <E T="03">Comment 40:</E>A few commenters stated that the Moratorium Protection Act specifies that the negative certification of a nation, or lack of certification with respect to IUU fishing activity or bycatch of PLMRs, triggers mandatory import prohibitions and provides that the President “shall” direct that importation of fish and fish products be prohibited immediately upon being notified that a nation is identified as having engaged in IUU fishing or PLMR bycatch, or if consultations with the government of such a nation have not concluded satisfactorily within 90 days. However, the commenter finds that the rule conflicts with the Act, as it states that such nations “may be subject” to import prohibitions. The commenter recommends that NMFS clarify the rule to reflect the mandatory requirements of the Act, as well as the stated timeline for implementing import prohibitions.</P>
        <P>
          <E T="03">Response:</E>The Secretary of Commerce only has the authority to make recommendations to the President on import prohibitions of fish or fish products. Thus, the rule was drafted to focus on the Secretary's roles and actions.</P>
        <P>
          <E T="03">Comment 41:</E>NMFS received a comment recommending that the proposed rule clearly identify which fish products or fishing vessels of negatively certified nations would be subject to the import prohibitions. Similarly, a nation expressed that it is not clear from the proposed rule whether all fish products or all fishing vessels of a negatively certified nation would be subject to import prohibitions. The nation recommended that if import prohibitions are applied only to some fish products or some fishing vessels, NMFS should clarify the criteria that will be used to make that determination.</P>
        <P>
          <E T="03">Response:</E>The scope of any trade-related actions would be at the discretion of the President. However, in making recommendations to the President with respect to prohibitions on the importation of fish and fish products from nations identified as having vessels engaged in IUU fishing or PLMR bycatch that did not receive a positive certification from the Secretary of Commerce, NMFS will take into account the fish and fish products affected by the IUU fishing or PLMR bycatch activity in question.</P>
        <P>
          <E T="03">Comment 42:</E>One commenter suggested that punitive measures should not be limited solely to nations; penalties or trade restrictions should<PRTPAGE P="2022"/>also be imposed on vessel operators, fishing masters, senior executives, directors of companies, and traders deemed to be engaged in, involved with, or benefitting from IUU fishing.</P>
        <P>
          <E T="03">Response:</E>The Moratorium Protection Act only provides authority for the Secretary of Commerce to identify and certify nations for the activities of its vessels.</P>
        <HD SOURCE="HD1">Changes From Proposed Action</HD>
        <P>In addition to streamlining the final rule to reduce duplication and ease readability, NMFS has made several changes in the final rule to respond to public comments, provide clarification, and revise some text to reflect better text in the Act. The key changes are outlined below.</P>
        <HD SOURCE="HD2">1. Outreach Prior to Identification</HD>
        <P>In its implementation of the identification procedures under the Moratorium Protection Act, NMFS will communicate with nations regarding alleged IUU fishing and bycatch activities prior to a formal identification. This outreach process, which was described in the preamble of the proposed rule, will provide NMFS with a means of verifying information and building a more robust record in support of identification decisions. In the preamble of the final rule, NMFS clarified that it will consider action taken by nations in response to IUU fishing, as well as cooperative research conducted by nations to address bycatch activities prior to making formal identification decisions. This will allow NMFS to use the identification and certification procedures effectively to address IUU fishing and bycatch, rather than penalize nations that have already taken corrective action and/or are working cooperatively to reduce their bycatch.</P>
        <HD SOURCE="HD2">2. Enforcement and Implementation of International Measures</HD>
        <P>In the proposed rule, NMFS stated that it would consider whether a nation has implemented and is enforcing international measures to address IUU fishing or PLMR bycatch when making identification and certification decisions. In the preamble of the final rule, NMFS clarified that when evaluating whether a nation has implemented and is enforcing measures that will address IUU fishing and PLMR bycatch when making identification decisions, the agency will also examine whether adequate enforcement measures and capacity exist to help promote compliance. In some cases, NMFS may be able to provide international assistance to a nation to help such nation achieve more sustainable fisheries and obtain a positive certification.</P>
        <HD SOURCE="HD2">3. Bycatch Definition</HD>
        <P>In the proposed rule, bycatch was defined as “the discarded catch of any living marine resource and/or mortality or serious injury of such resource due to an encounter with fishing gear that does not result in the capture of such resource.” This definition was revised in response to public comments that bycatch should include resources that are caught incidentally due to an encounter with fishing gear, regardless of whether the resource is retained. The bycatch definition was also revised based on concerns that the terms “mortality and/or serious injury” would establish unintentional standards that could not be applied consistently to all protected living marine resources. The definition of bycatch was revised in the final rule to “the incidental or discarded catch of protected living marine resources or entanglement of such resources with fishing gear.”</P>
        <HD SOURCE="HD2">4. Definition of International Fishery Management Agreement</HD>
        <P>In the proposed rule, this term was defined as “any bilateral or multilateral treaty, convention, or agreement that governs direct harvest of fish and/or directly governs bycatch of fish, sea turtles, or marine mammals.” This definition was revised for clarity in the final rule and consistent with the definition of “international fishery management organization” as “any bilateral or multilateral treaty, convention, or agreement for the conservation and management of fish.”</P>
        <HD SOURCE="HD2">5. Notification and Initiation of Consultations for PLMR Bycatch</HD>
        <P>As specified in the Moratorium Protection Act, the proposed rule required that NMFS notify nations of their identification for having vessels engaged in IUU fishing, and initiate consultations within 60 days after submission of the biennial report to Congress. The proposed rule did not, however, establish a specific deadline for the notification and initiation of consultations with nations identified for having vessels engaged in PLMR bycatch. In response to public comments, NMFS will require that nations identified for having vessels engaged in PLMR bycatch be notified of their identification and consultations be initiated within 60 days after submission of the biennial report to Congress, consistent with the requirements for nations identified for having vessels engaged in IUU fishing.</P>
        <HD SOURCE="HD2">6. International Cooperation and Assistance</HD>
        <P>In the final rule, NMFS specified that the agency is required to work cooperatively with nations that are identified for having vessels engaged in PLMR bycatch to address such bycatch and provide appropriate assistance to help such nations obtain a positive certification. These requirements have been included for transparency in the process by which NMFS plans to work cooperatively with other nations and provide assistance where necessary to help achieve sustainable fisheries globally.</P>
        <HD SOURCE="HD2">7. Scope of Import Prohibitions</HD>
        <P>NMFS received several public comments asking for clarification regarding the scope of trade sanctions that would be recommended by the Secretary of Commerce to the President when identified nations fail to receive a positive certification. NMFS has revised the final rule to mirror the text of the Act more closely. In the response to comments in this final rule, NMFS explains that, for nations identified under § 300.202(a) that are not positively certified, NMFS believes that import prohibition recommendations should be made with respect to fish or fish products managed under the applicable international fishery agreement. If there is no applicable agreement, import prohibition recommendations should be made with respect to fish or fish products caught by vessels engaged in the IUU fishing activity. For nations identified under § 300.203(a) that are not positively certified, NMFS believes that import prohibition recommendations should be made with respect to fish or fish products caught by vessels engaging in the relevant activity for which the nation was identified.</P>
        <HD SOURCE="HD1">Classification</HD>
        <P>This final rule is published under the authority of the Moratorium Protection Act, 16 U.S.C. 1826d-1826k.</P>
        <P>This rulemaking has been determined to be significant for the purposes of Executive Order 12866.</P>

        <P>A final regulatory flexibility analysis (FRFA) was prepared, as required by section 603 of the RFA. The FRFA describes the economic impact this rule would have on small entities. A description of the action, why it is being considered, and the legal basis for this action are contained at the beginning of this section in the preamble and in the<E T="02">SUMMARY</E>section of the preamble. A summary of the analysis follows. A copy of this analysis is available from NMFS (<E T="03">see</E>
          <E T="02">ADDRESSES</E>).<PRTPAGE P="2023"/>
        </P>
        <P>NMFS received public comments on the proposed rule, and made some revisions to the final rule to clarify provisions. A summary of public comments on the proposed rule and agency responses is provided above. NMFS did not receive comments specifically on the IRFA or on issues related to the IRFA.</P>
        <P>This final rule does not apply directly to any U.S. small business, as the rulemaking is aimed at foreign nations whose vessels engage in fishing activities. The universe of potentially indirectly affected industries includes the following: U.S. ports and U.S. seafood harvesters, processors, wholesalers, and importers. Ports generate economic activity across many sectors, including surface transportation; maritime services; cargo handling; federal, state, and local governments; port authorities; importers and consignees; and the banking and insurance sectors. Maritime services include pilots, handlers (food and other supplies), towing, bunkering (fuel), marine surveyors, and shipyard and marine construction. Cargo handling services include longshoremen, stevedoring, terminal operators, warehouse operators, and container leasing and repair.</P>
        <P>No U.S. industry is directly affected by this rulemaking, although indirect effects may cause short term disruptions in the flow of seafood imports, and thus potentially impact U.S. businesses. NMFS does not anticipate that national net benefits and costs would change significantly in the long term as a result of the implementation of the proposed alternatives.</P>
        <P>Although this action will not have significant economic impacts on a substantial number of small U.S. entities, NMFS decided to analyze different alternatives in the FRFA for the certification procedures in this rule. In order to meet the objectives of the Moratorium Protection Act and this final rule, NMFS cannot exempt small entities, change reporting requirements only for small entities, or use performance or design standards in lieu of the regulatory requirements in the rule. Sections 2.2 and 2.3 of the Environmental Assessment describe the alternatives analyzed for certification procedures for IUU fishing and bycatch.</P>
        <P>The Alternatives for Certification for nations whose vessels are engaged, or have been engaged in, IUU fishing activities are as follows: Under Alternative I-1, the No Action Alternative, NMFS would not develop any new procedures to address the certification of nations identified in the biennial report to Congress (called for in section 609(a) of the Moratorium Protection Act) as having vessels that are engaged, or have been engaged during the preceding 2 calendar years, in IUU fishing activities. Under Alternative I-2, the Secretary would provide a positive certification to a nation identified in the biennial report to Congress (called for in section 609(a) of the Moratorium Protection Act) as having vessels that are engaged, or have been engaged during the preceding 2 calendar years, in IUU fishing activities, if such nation has taken corrective action against the offending vessels, or the relevant RFMO has implemented measures that are effective in ending the IUU fishing activities by vessels of the identified nation. Under Alternative I-3, the Secretary would provide a positive certification to a nation identified in the biennial report to Congress (called for in section 609(a) of the Moratorium Protection Act) as having vessels that are engaged, or have been engaged during the preceding 2 calendar years, in IUU fishing activities, if such nation has taken corrective action against the offending vessels, and the relevant RFMO has implemented measures that are effective in ending the IUU fishing activities by vessels of the identified nation.</P>
        <P>The Alternatives for Certification for nations whose vessels are engaged, or have been engaged in, bycatch of PLMRs are as follows: Under Alternative B-1, the No action alternative, NMFS would not develop any new procedures to address certification of nations identified in the biennial report to Congress (called for in section 610(a) of the Moratorium Protection Act) as having vessels that are engaged, or have been engaged during the preceding calendar year in bycatch of PLMRs. Under Alternative B-2, to receive a positive certification from the Secretary of Commerce, nations identified in the biennial report to Congress (called for in section 610(a) of the Moratorium Protection Act) as having vessels that are engaged, or have been engaged during the preceding calendar year in bycatch of PLMRs must provide documentary evidence of their adoption of a regulatory program governing the conservation of the PLMR that is comparable in effectiveness with that of the United States, taking into account different conditions, and establish a management plan that will assist in species-specific data collection to support international stock assessments and conservation enforcement efforts for the PLMR. Under Alternative B-3, identified nations must provide documentary evidence of the adoption of a regulatory program for PLMR bycatch that is comparable with that of the United States', taking into account different conditions. Identified nations must also show proof of the identified nation's participation with an international organization governing the conservation of the PLMRs, if one exists, and establish a management plan that will assist in species-specific data collection to support international assessments and conservation efforts, including but not limited to enforcement efforts for PLMRs.</P>
        <P>As noted above, NMFS does not anticipate significant economic impacts to U.S. businesses from any of the alternatives analyzed. However, certain importers may be affected by import prohibitions that are imposed on fish or fish products coming into the United States from an identified nation that fails to receive a positive certification. IUU Alternative I-3 may produce more socioeconomic benefits than IUU Alternative I-2. Likewise for the bycatch alternatives, Alternative B-3 may produce more benefits than Alternative B-2. Due to the consultative nature of this rulemaking, it may be possible for the costs to U.S. businesses to be ameliorated by new port state controls, substituting different transportation modes, or substituting different products all together. As a result, it is difficult to know if costs will also be higher moving from the less restrictive IUU Alternative I-2 or bycatch Alternative B-2 to IUU Alternative I-3 or bycatch Alternative B-3. Because Alternatives I-2 and B-2 most closely mirror the text of the Moratorium Protection Act, NMFS has decided to implement them in this final rule.</P>
        <P>Pursuant to 5 U.S.C 553(d)(3), NOAA finds that there is good cause to waive the 30-day delay in the effective date of this rule. This rule is procedural in nature: It only creates procedures for the agency to follow when determining identification and certification of nations whose fishing vessels are engaged in IUU fishing and/or bycatch of PLMRs. Importantly, the rule does not modify, add, or revoke any existing rights and obligations of the public or any private parties, because the rule only applies to NOAA. Accordingly, NOAA finds that there is good cause, within the meaning of 5 U.S.C. 553(d)(3) and in accordance with the Congressional Review Act, 5 U.S.C. 808(2), to waive the 30-day delay in effectiveness of this rule and to make this rule effective immediately.</P>

        <P>This final rule contains collection-of-information requirements for §§ 300.205(b)(2), 300.206(c), and 300.207(c) subject to review and<PRTPAGE P="2024"/>approval by OMB under the Paperwork Reduction Act (PRA). However, NMFS is delaying the effective date of these sections until NMFS receives OMB approval for these collections. After OMB approval is received, NMFS will publish the effective date for these sections in the<E T="04">Federal Register.</E>
        </P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 50 CFR Part 300</HD>
          <P>Administrative practice and procedure, Antarctica, Canada, Exports, Fish, Fisheries, Fishing, Imports, Indians, Labeling, Marine resources, Reporting and recordkeeping requirements, Russian Federation, Transportation, Treaties, Wildlife.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Eric C. Schwaab,</NAME>
          <TITLE>Assistant Administrator for Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
        <REGTEXT PART="300" TITLE="50">
          <AMDPAR>For the reasons set out in the preamble, NMFS amends 50 CFR part 300 as follows:</AMDPAR>
          <PART>
            <HD SOURCE="HED">PART 300—INTERNATIONAL FISHERIES REGULATIONS</HD>
          </PART>
          <AMDPAR>1. Subpart N is revised to read as follows:</AMDPAR>
          <CONTENTS>
            <SUBPART>
              <HD SOURCE="HED">Subpart N—Identification and Certification of Nations</HD>
              <SECHD>Sec.</SECHD>
              <SECTNO>300.200</SECTNO>
              <SUBJECT>Purpose and scope.</SUBJECT>
              <SECTNO>300.201</SECTNO>
              <SUBJECT>Definitions.</SUBJECT>
              <SECTNO>300.202</SECTNO>
              <SUBJECT>Identification and certification of nations engaged in illegal, unreported, or unregulated fishing activities.</SUBJECT>
              <SECTNO>300.203</SECTNO>
              <SUBJECT>Identification and certification of nations engaged in bycatch of protected living marine resources.</SUBJECT>
              <SECTNO>300.204</SECTNO>
              <SUBJECT>Effect of certification.</SUBJECT>
              <SECTNO>300.205</SECTNO>
              <SUBJECT>Denial of port privileges and import restrictions on fish or fish products.</SUBJECT>
              <SECTNO>300.206</SECTNO>
              <SUBJECT>Alternative procedures for IUU fishing activities.</SUBJECT>
              <SECTNO>300.207</SECTNO>
              <SUBJECT>Alternative procedures for bycatch of PLMRs.</SUBJECT>
            </SUBPART>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 1826d<E T="03">et seq.</E>
            </P>
          </AUTH>
          <SUBPART>
            <HD SOURCE="HED">Subpart N—Identification and Certification of Nations</HD>
            <SECTION>
              <SECTNO>§ 300.200</SECTNO>
              <SUBJECT>Purpose and scope.</SUBJECT>
              <P>The purpose of this subpart is to implement the requirements in the High Seas Driftnet Fishing Moratorium Protection Act (“Moratorium Protection Act”) to identify and certify nations whose vessels are engaged in illegal, unreported, or unregulated fishing or whose fishing activities result in bycatch of protected living marine resources. This language applies to vessels entitled to fly the flag of the nation in question. Identified nations that do not receive a positive certification may be subject to trade restrictive measures for certain fishery products. The Moratorium Protection Act also authorizes cooperation and assistance to nations that are taking action to combat illegal, unreported, or unregulated fishing or reduce bycatch of protected living marine resources.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.201</SECTNO>
              <SUBJECT>Definitions.</SUBJECT>
              <P>For the purposes of the Moratorium Protection Act:</P>
              <P>
                <E T="03">Bycatch</E>means: the incidental or discarded catch of protected living marine resources or entanglement of such resources with fishing gear.</P>
              <P>
                <E T="03">Fishing vessel</E>means: any vessel, boat, ship, or other craft which is used for, equipped to be used for, or of a type which is normally used for—</P>
              <P>(1) Fishing; or</P>
              <P>(2) Any activity relating to fishing, including, but not limited to, preparation, supply, storage, refrigeration, transportation, or processing, bunkering or purchasing catch, or aiding or assisting one or more vessels at sea in the performance of such activity.</P>
              <P>
                <E T="03">Illegal, unreported, or unregulated (IUU) fishing</E>means:</P>
              <P>(1) Fishing activities that violate conservation and management measures required under an international fishery management agreement to which the United States is a party, including but not limited to catch limits or quotas, capacity restrictions, and bycatch reduction requirements;</P>
              <P>(2) Overfishing of fish stocks shared by the United States, for which there are no applicable international conservation or management measures or in areas with no applicable international fishery management organization or agreement, that has adverse impacts on such stocks; or,</P>
              <P>(3) Fishing activity that has a significant adverse impact on seamounts, hydrothermal vents, cold water corals and other vulnerable marine ecosystems located beyond any national jurisdiction, for which there are no applicable conservation or management measures, including those in areas with no applicable international fishery management organization or agreement.</P>
              <P>
                <E T="03">International agreement</E>means: an agreement between two or more States, agencies of two or more States, or intergovernmental organizations which is legally binding and governed by international law.</P>
              <P>
                <E T="03">International fishery management agreement</E>means: any bilateral or multilateral treaty, convention, or agreement for the conservation and management of fish.</P>
              <P>
                <E T="03">International fishery management organization</E>means: an international organization established by any bilateral or multilateral treaty, convention, or agreement for the conservation and management of fish.</P>
              <P>
                <E T="03">Protected living marine resources (PLMRs)</E>means: non-target fish, sea turtles, or marine mammals that are protected under United States law or international agreement, including the Marine Mammal Protection Act, the Endangered Species Act, the Shark Finning Prohibition Act, and the Convention on International Trade in Endangered Species of Wild Flora and Fauna; but they do not include species, except sharks, that are managed under the Magnuson-Stevens Fishery Conservation and Management Act, the Atlantic Tunas Convention Act, or by any international fishery management agreement.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.202</SECTNO>
              <SUBJECT>Identification and certification of nations engaged in illegal, unreported, or unregulated fishing activities.</SUBJECT>
              <P>(a)<E T="03">Procedures to identify nations whose fishing vessels are engaged in IUU fishing</E>—(1) NMFS will identify and list, in a biennial report to Congress, nations whose fishing vessels are engaged, or have been engaged at any point during the preceding two years, in IUU fishing.</P>
              <P>(2) When determining whether to identify a nation as having fishing vessels engaged in IUU fishing, NMFS will take into account all relevant matters, including but not limited to the history, nature, circumstances, extent, duration, and gravity of the IUU fishing activity in question, and any measures that the nation has implemented to address the IUU fishing activity. NMFS will also take into account whether an international fishery management organization exists with a mandate to regulate the fishery in which the IUU activity in question takes place. If such an organization exists, NMFS will consider whether the relevant international fishery management organization has adopted measures that are effective at addressing the IUU fishing activity in question and, if the nation whose fishing vessels are engaged, or have been engaged, in IUU fishing is a party to, or maintains cooperating status with, the organization.</P>
              <P>(b)<E T="03">Notification of nations identified as having fishing vessels engaged in IUU fishing.</E>Upon identifying a nation whose vessels have been engaged in IUU fishing activities in the biennial report to Congress, the Secretary of Commerce will notify the President of such identification. Within 60 days after submission of the biennial report to Congress, the Secretary of Commerce,<PRTPAGE P="2025"/>acting through or in consultation with the Secretary of State, will:</P>
              <P>(1) Notify nations that have been identified in the biennial report as having fishing vessels that are currently engaged, or were engaged at any point during the preceding two calendar years, in IUU fishing activities;</P>
              <P>(2) Notify identified nations of the requirements under the Moratorium Protection Act and this subpart; and</P>
              <P>(3) Notify any relevant international fishery management organization of actions taken by the United States to identify nations whose fishing vessels are engaged in IUU fishing and initiate consultations with such nations.</P>
              <P>(c)<E T="03">Consultation with nations identified as having fishing vessels engaged in IUU fishing.</E>Within 60 days after submission of the biennial report to Congress, the Secretary of Commerce, acting through or in cooperation with the Secretary of State, will initiate consultations with nations that have been identified in the biennial report for the purpose of encouraging such nations to take appropriate corrective action with respect to the IUU fishing activities described in the biennial report.</P>
              <P>(d)<E T="03">Procedures to certify nations identified as having fishing vessels engaged in IUU fishing.</E>Each nation that is identified as having fishing vessels engaged in IUU fishing shall receive either a positive or a negative certification from the Secretary of Commerce, and this certification will be published in the biennial report to Congress. A positive certification indicates that a nation has taken appropriate corrective action to address the IUU fishing activity described in the biennial report. A negative certification indicates that a nation has not taken appropriate corrective action.</P>
              <P>(1) The Secretary of Commerce shall issue a positive certification to an identified nation upon making a determination that such nation has taken appropriate corrective action to address the activities for which such nation has been identified in the biennial report to Congress. When making such determination, the Secretary shall take into account the following:</P>
              <P>(i) Whether the government of the nation identified pursuant to paragraph (a) of this section has provided evidence documenting that it has taken corrective action to address the IUU fishing activity described in the biennial report; or</P>
              <P>(ii) Whether the relevant international fishery management organization has adopted and, if applicable, the identified member nation has implemented and is enforcing, measures to effectively address the IUU fishing activity of the identified nation's fishing vessels described in the biennial report.</P>
              <P>(2) Prior to a formal certification determination, nations will be provided with preliminary certification determinations and an opportunity to support and/or refute the preliminary determinations and communicate any corrective actions taken to address the activities for which such nations were identified. The Secretary of Commerce shall consider any information received during the course of these consultations when making the subsequent certification determinations.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.203</SECTNO>
              <SUBJECT>Identification and certification of nations engaged in bycatch of protected living marine resources.</SUBJECT>
              <P>(a)<E T="03">Procedures to identify nations whose fishing vessels are engaged in PLMR bycatch</E>—(1) NMFS will identify and list, in the biennial report to Congress, nations whose fishing vessels are engaged, or have been engaged during the preceding calendar year prior to publication of the biennial report to Congress, in fishing activities or practices either in waters beyond any national jurisdiction that result in bycatch of a PLMR, or in waters beyond the U.S. EEZ that result in bycatch of a PLMR that is shared by the United States. When determining whether to identify nations as having fishing vessels engaged in PLMR bycatch, NMFS will take into account all relevant matters including, but not limited to, the history, nature, circumstances, extent, duration, and gravity of the bycatch activity in question.</P>
              <P>(2) NMFS will also examine whether there is an international organization with jurisdiction over the conservation and protection of the relevant PLMRs or a relevant international or regional fishery organization. If such organization exists, NMFS will examine whether the organization has adopted measures to effectively end or reduce bycatch of such species; and if the nation whose fishing vessels are engaged, or have been engaged during the preceding calendar year prior to publication of the biennial report to Congress, in bycatch of PLMRs is a party to or maintains cooperating status with the relevant international organization.</P>
              <P>(3) NMFS will also examine whether the nation has implemented measures designed to end or reduce such bycatch that are comparable in effectiveness to U.S. regulatory requirements. In considering whether a nation has implemented measures that are comparable in effectiveness to those of the United States, NMFS will evaluate if different conditions exist that could bear on the feasibility and efficiency of such measures to end or reduce bycatch of the pertinent PLMRs.</P>
              <P>(b)<E T="03">Notification of nations identified as having fishing vessels engaged in PLMR bycatch.</E>Upon identifying a nation whose vessels have been engaged in bycatch of PLMRs in the biennial report to Congress, the Secretary of Commerce will notify the President of such identification. Within 60 days after submission of the biennial report to Congress, the Secretary of Commerce, acting through or in consultation with the Secretary of State, will notify identified nations about the requirements under the Moratorium Protection Act and this subpart.</P>
              <P>(c)<E T="03">Consultations and negotiations.</E>Upon submission of the biennial report to Congress, the Secretary of Commerce, acting through or in consultation with the Secretary of State, will:</P>
              <P>(1) Initiate consultations within 60 days after submission of the biennial report to Congress with the governments of identified nations for the purposes of entering into bilateral and multilateral treaties with such nations to protect the PLMRs from bycatch activities described in the biennial report; and</P>
              <P>(2) Seek agreements through the appropriate international organizations calling for international restrictions on the fishing activities or practices described in the biennial report that result in bycatch of PLMRs and, as necessary, request the Secretary of State to initiate the amendment of any existing international treaty to which the United States is a party for the protection and conservation of the PLMRs in question to make such agreements consistent with this subpart.</P>
              <P>(d)<E T="03">International Cooperation and Assistance.</E>To the greatest extent possible, consistent with existing authority and the availability of funds, the Secretary shall:</P>
              <P>(1) Provide appropriate assistance to nations identified by the Secretary under paragraph (a) of this section and international organizations of which those nations are members to assist those nations in qualifying for a positive certification under paragraph(e) of this section;</P>
              <P>(2) Undertake, where appropriate, cooperative research activities on species assessments and improved bycatch mitigation techniques, with those nations or organizations;</P>

              <P>(3) Encourage and facilitate the transfer of appropriate technology to those nations or organizations to assist those nations in qualifying for positive certification under paragraph (e) of this section; and<PRTPAGE P="2026"/>
              </P>
              <P>(4) Provide assistance to those nations or organizations in designing and implementing appropriate fish harvesting plans.</P>
              <P>(e)<E T="03">Procedures to certify nations identified as having fishing vessels engaged in PLMR bycatch</E>—(1) Each nation that is identified as having fishing vessels engaged in PLMR bycatch shall receive either a positive or a negative certification from the Secretary of Commerce, and this certification will be published in the biennial report to Congress. The Secretary of Commerce shall issue a positive certification to an identified nation upon making a determination that:</P>
              <P>(i) Such nation has provided evidence documenting its adoption of a regulatory program to end or reduce bycatch of such PLMRs that is comparable in effectiveness to regulatory measures required under U.S. law to address bycatch in the relevant fisheries, taking into account different conditions that could bear on the feasibility and efficacy of these measures, and which, in the case of an identified nation with fishing vessels engaged in pelagic longline fishing, includes the mandatory use of circle hooks, careful handling and release equipment, training and observer programs; and</P>
              <P>(ii) Such nation has established a management plan that will assist in the collection of species-specific data on PLMR bycatch to support international stock assessments and conservation efforts for PLMRs.</P>
              <P>(2) Nations will be notified prior to a formal certification determination and will be provided with an opportunity to support and/or refute preliminary certification determinations, and communicate any corrective actions taken to address the activities for which such nations were identified. The Secretary of Commerce shall consider any information received during the course of these consultations when making the subsequent certification determinations.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.204</SECTNO>
              <SUBJECT>Effect of certification.</SUBJECT>

              <P>(a) If an identified nation does not receive a positive certification under this subpart (<E T="03">i.e.,</E>the nation receives a negative certification or no certification is made), the fishing vessels of such nation are, to the extent consistent with international law, subject to the denial of entry into any place in the United States and to the navigable waters of the United States.</P>

              <P>(b) At the recommendation of the Secretary of Commerce (<E T="03">see</E>§ 300.205), certain fish or fish products from such nation may be subject to import prohibitions.</P>
              <P>(c) Any action recommended under this paragraph (c) shall be consistent with international obligations, including the WTO Agreement.</P>
              <P>(d) If certain fish or fish products are prohibited from entering the United States, within six months after the imposition of the prohibition, the Secretary of Commerce shall determine whether the prohibition is insufficient to cause that nation to effectively address the IUU fishing described in the biennial report, or that nation has retaliated against the United States as a result of that prohibition. The Secretary of Commerce shall certify to the President each affirmative determination that an import prohibition is insufficient to cause a nation to effectively address such IUU fishing activity or that a nation has taken retaliatory action against the United States. This certification is deemed to be a certification under section 1978(a) of Title 22, which provides that the President may direct the Secretary of the Treasury to prohibit the bringing or the importation into the United States of any products from the offending country for any duration as the President determines appropriate and to the extent that such prohibition is sanctioned by the World Trade Organization.</P>
              <P>(e)<E T="03">Duration of certification.</E>Any nation identified in the biennial report to Congress and negatively certified will remain negatively certified until the Secretary of Commerce determines that the nation has taken appropriate corrective action to address the IUU fishing activity and/or bycatch of PLMRs for which it was identified in the biennial report. Receipt of a positive certification determination will demonstrate that appropriate corrective action has been taken by a nation to address the relevant IUU fishing activity and/or bycatch of PLMRs.</P>
              <P>(f)<E T="03">Consultations.</E>NMFS will, working through or in consultation with the Department of State, continue consultations with nations that receive a negative certification with respect to the IUU fishing activities or bycatch of PLMRs described in the biennial report to Congress. The Secretary of Commerce shall take the results of such consultations into consideration when making a subsequent certification determination for such nation.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.205</SECTNO>
              <SUBJECT>Denial of port privileges and import restrictions on fish or fish products.</SUBJECT>
              <P>(a)<E T="03">Scope of Applicability</E>—(1) If a nation identified in the biennial report under § 300.202(a) or § 300.203(a) is not positively certified by the Secretary of Commerce, and fishing vessels of the nation are allowed entry to any place in the United States and to the navigable waters of the United States under this subpart, those vessels will be subject to inspection and may be prohibited from landing, processing, or transshipping fish and fish products. Services, including the refueling and re-supplying of such fishing vessels, may be prohibited, with the exception of services essential to the safety, health, and welfare of the crew. Fishing vessels will not be denied port access or services in cases of force majeure or distress.</P>
              <P>(2) For nations identified in the biennial report under § 300.202(a) that are not positively certified, the Secretary of Commerce shall recommend import prohibitions with respect to fish or fish products from those nations. Such recommendations on import prohibitions would not apply to fish or fish products not managed under an applicable international fishery agreement, or if there is no applicable international fishery agreement, to the extent that such provisions would apply to fish or fish products caught by vessels not engaged in illegal, unreported, or unregulated fishing. For nations identified under § 300.203(a) that are not positively certified, the Secretary of Commerce shall also recommend import prohibitions; such prohibitions shall not apply to fish or fish products not caught by the vessels engaged in the relevant activity for which the nation was identified.</P>
              <P>(3) Any action recommended under this paragraph (a)(3) shall be consistent with international obligations, including the WTO Agreement.</P>
              <P>(b)<E T="03">Imposition of import restrictions</E>—(1)<E T="03">Notification.</E>Where the Secretary of Commerce cannot make positive certifications for identified nations, and the President determines that certain fish and fish products from such nations are ineligible for entry into the United States and U.S. territories, the Secretary of Commerce, with the concurrence of the Secretary of State and in cooperation with the Secretary of Treasury, will file a notice with the Office of the Federal Register.</P>
              <P>(2)<E T="03">Documentation of admissibility.</E>If certain fish or fish products are subject to import prohibitions, NMFS may publish in the<E T="04">Federal Register</E>the requirement that other fish or fish products from the relevant nation that are not subject to the prohibitions be accompanied by documentation of admissibility. The documentation of admissibility must be executed by a duly authorized official of the identified<PRTPAGE P="2027"/>nation and validated by a responsible official(s) designated by NMFS. The documentation must be executed and submitted in a format (electronic facsimile (fax), the Internet,<E T="03">etc.</E>) specified by NMFS.</P>
              <P>(3)<E T="03">Effective date of import restrictions.</E>Effective upon the date of publication of such finding, shipments of fish or fish products found to be ineligible will be denied entry to the United States. Entry will not be denied for any such shipment that, on the date of publication, was in transit to the United States.</P>
              <P>(4)<E T="03">Removal of negative certifications and import restrictions.</E>Upon a determination by the Secretary of Commerce that an identified nation that was not certified positively has satisfactorily met the conditions in this subpart and that nation has been positively certified, the provisions of § 300.205 shall no longer apply. The Secretary of Commerce, with the concurrence of the Secretary of State and in cooperation with the Secretary of Treasury, will notify such nations and will file with the Office of the Federal Register for publication notification of the removal of the import restrictions effective on the date of publication.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.206</SECTNO>
              <SUBJECT>Alternative procedures for IUU fishing activities.</SUBJECT>
              <P>(a) These certification procedures may be applied to fish or fish products from a vessel of a harvesting nation that has been identified under § 300.202 in the event that the Secretary cannot reach a certification determination for that nation by the time of the next biennial report. These procedures shall not apply to fish or fish products from identified nations that have received either a negative or a positive certification under this subpart.</P>
              <P>(b) Consistent with paragraph (a) of this section, the Secretary of Commerce may allow entry of fish or fish products on a shipment-by-shipment, shipper-by-shipper, or other basis if the Secretary determines that:</P>
              <P>(1) The vessel has not engaged in IUU fishing under an international fishery management agreement to which the U.S. is a party; or</P>
              <P>(2) The vessel is not identified by an international fishery management organization as participating in IUU fishing activities.</P>
              <P>(c) Fish or fish products offered for entry under this paragraph (c) must be accompanied by a completed documentation of admissibility available from NMFS. The documentation of admissibility must be executed by a duly authorized official of the identified nation and must be validated by a responsible official(s) designated by NMFS. The documentation must be executed and submitted in a format (electronic facsimile (fax), the Internet, etc.) specified by NMFS.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 300.207</SECTNO>
              <SUBJECT>Alternative procedures for bycatch of PLMRs.</SUBJECT>
              <P>(a) These certification procedures may be applied to fish or fish products from a vessel of a harvesting nation that has been identified under § 300.203 in the event that the Secretary cannot reach a certification determination for that nation by the time of the next biennial report. These procedures shall not apply to fish or fish products from identified nations that have received either a negative or a positive certification under this subpart.</P>
              <P>(b) Consistent with paragraph (a) of this section, the Secretary of Commerce may allow entry of fish or fish products on a shipment-by-shipment, shipper-by-shipper, or other basis if the Secretary determines that imports were harvested by practices that do not result in bycatch of a protected marine species, or were harvested by practices that—</P>
              <P>(1) Are comparable to those of the United States, taking into account different conditions, and which, in the case of pelagic longline fisheries, the regulatory program of an identified nation includes mandatory use of circle hooks, careful handling and release equipment, and training and observer programs; and</P>
              <P>(2) Include the gathering of species specific data that can be used to support international and regional assessments and conservation efforts for protected living marine resources.</P>

              <P>(c) Fish or fish products offered for entry under this section must be accompanied by a completed documentation of admissibility available from NMFS. The documentation of admissibility must be executed by a duly authorized official of the identified nation and validated by a responsible official(s) designated by NMFS. The documentation must be executed and submitted in a format (electronic facsimile (fax), the Internet,<E T="03">etc.</E>) specified by NMFS.</P>
            </SECTION>
          </SUBPART>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-507 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <CFR>50 CFR Part 679</CFR>
        <DEPDOC>[Docket No. 101006495-0498-01]</DEPDOC>
        <RIN>RIN 0648-BA31</RIN>
        <SUBJECT>Fisheries of the Exclusive Economic Zone Off Alaska; Steller Sea Lion Protection Measures for the Bering Sea and Aleutian Islands Groundfish Fisheries Off Alaska</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Interim final rule, extension of comment period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>NMFS published an interim final rule on December 13, 2010, to implement Steller sea lion protection measures to ensure that the Bering Sea and Aleutian Islands management area groundfish fisheries off Alaska are not likely to jeopardize the continued existence of the western distinct population segment of Steller sea lions or adversely modify its designated critical habitat. A notice correcting errors identified in the preamble to the interim final rule and in the regulatory text was published on December 29, 2010. The public comment period for the interim final rule ends on January 12, 2011. NMFS has decided to extend the public comment period for an additional 45 days, to February 28, 2011, to provide adequate time for various stakeholders and other members of the public to submit comments.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The public comment period for this action has been extended for an additional 45 days, to February 28, 2011. Comments must be received no later than February 28, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Send comments to Dr. James W. Balsiger, Administrator, Alaska Region, NMFS, Attn: Ellen Sebastian. You may submit comments, identified by RIN 0648-BA31, by any one of the following methods:</P>
          <P>•<E T="03">Electronic Submissions:</E>Submit all electronic public comments via the Federal eRulemaking Portal at<E T="03">http://www.regulations.gov.</E>
          </P>
          <P>•<E T="03">Mail:</E>P.O. Box 21668, Juneau, AK 99802.</P>
          <P>•<E T="03">Fax:</E>(907) 586-7557.</P>
          <P>•<E T="03">Hand delivery to the Federal Building:</E>709 West 9th Street, Room 420A, Juneau, AK.</P>

          <P>All comments received are a part of the public record. No comments will be posted to<E T="03">http://www.regulations.gov</E>for<PRTPAGE P="2028"/>public viewing until after the comment period has closed. Comments will generally be posted without change. All Personal Identifying Information (for example, name, address) voluntarily submitted by the commenter may be publicly accessible. Do not submit Confidential Business Information or otherwise sensitive or protected information.</P>
          <P>NMFS will accept anonymous comments (enter N/A in the required fields, if you wish to remain anonymous). You may submit attachments to electronic comments in Microsoft Word, Excel, WordPerfect, or Adobe PDF file formats only.</P>

          <P>Written comments regarding the burden-hour estimates or other aspects of the collection-of-information requirements contained in this action rule may be submitted to NMFS, e-mailed to<E T="03">OIRA_Submission@omb.eop.gov,</E>or faxed to 202-395-7285.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Melanie Brown, (907) 586-7228.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>An interim final rule was published in the<E T="04">Federal Register</E>on December 13, 2010 (75 FR 77535), to implement Steller sea lion protection measures to ensure that the Bering Sea and Aleutian Islands management area groundfish fisheries off Alaska are not likely to jeopardize the continued existence of the western distinct population segment of Steller sea lions or adversely modify its designated critical habitat. A notice correcting one error in the preamble and one typographical error and content within the regulatory tables was published in the<E T="04">Federal Register</E>on December 29, 2010 (75 FR 53272).</P>
        <P>The public comment period for the interim final rule ends on January 12, 2011. The comment period occurred over the Christmas and New Year holidays, limiting the number of work days available to the public for developing a response to this action. Due to the public concern regarding this action, NMFS extends the public comment period for an additional 45 days, to end on February 28, 2011. The extension of the comment period ensures that NMFS provides adequate time for various stakeholders and other members of the public to comment on the interim final rule for the revised Steller sea lion protection measures.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>16 U.S.C. 773<E T="03">et seq.;</E>1801<E T="03">et seq.;</E>3631<E T="03">et seq.;</E>Pub. L. 108-447.</P>
        </AUTH>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Eric C. Schwaab,</NAME>
          <TITLE>Assistant Administrator for Fisheries,National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-531 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </RULE>
  </RULES>
  <VOL>76</VOL>
  <NO>8</NO>
  <DATE>Wednesday, January 12, 2011</DATE>
  <UNITNAME>Proposed Rules</UNITNAME>
  <PRORULES>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="2029"/>
        <AGENCY TYPE="F">SMALL BUSINESS ADMINISTRATION</AGENCY>
        <CFR>13 CFR Part 107</CFR>
        <RIN>RIN 3245-AF86</RIN>
        <SUBJECT>Small Business Investment Companies—Energy Saving Qualified Investments</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>U.S. Small Business Administration.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In this proposed rule, the U.S. Small Business Administration (SBA) is setting forth the new defined terms, “Energy Saving Qualified Investment” and “Energy Saving Activities”, for the Small Business Investment Company (SBIC) Program. The new definitions are being established to facilitate implementation of a provision of the Energy Independence and Security Act of 2007 (Energy Act), which allows an SBIC making an “energy saving qualified investment” to obtain SBA leverage by issuing a deferred interest “energy saving debenture”. This rule would also implement a provision of the Energy Act that provides access to additional SBA leverage for SBICs that have made Energy Saving Qualified Investments in Smaller Enterprises, as defined in SBA regulations.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before February 11, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by RIN 3245-AF 86, by any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Mail, Hand Delivery/Courier:</E>Sean Greene, Associate Administrator for Investment, U.S. Small Business Administration, 409 Third Street, SW., Washington, DC 20416.</P>
          <P>SBA will post comments on<E T="03">http://www.regulations.gov.</E>If you wish to submit confidential business information (CBI) as defined in the User Notice at<E T="03">http://www.regulations.gov,</E>please submit the information to Carol Fendler, Investment Division, 409 Third Street, SW., Washington, DC 20416. Highlight the information that you consider to be CBI and explain why you believe this information should be held confidential. SBA will review the information and make the final determination of whether it will publish the information or not.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Carol Fendler, Investment Division, Office of Capital Access, (202) 205-7559 or<E T="03">sbic@sba.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Background Information</HD>
        <P>The Energy Independence and Security Act of 2007, Public Law 110-140, Title XII, section 1205(a), amended section 303 of the Small Business Investment Act of 1958 (SBI Act) by authorizing SBICs licensed after September 30, 2008, to issue energy saving debentures. Section 1205(b) of the Energy Act amended section 103 of the SBI Act by adding the new defined terms “energy saving debenture” and “energy saving qualified investment.” Section 1206 of the Energy Act amended section 303(b)(2) of the SBI Act to make SBICs licensed after September 30, 2008, eligible for additional leverage if they have made energy saving qualified investments. An SBIC making maximum use of this provision could have approximately 11% more leverage outstanding than would be permitted under the standard leverage eligibility formula.</P>
        <HD SOURCE="HD1">II. Section by Section Analysis</HD>
        <P>
          <E T="03">Section 107.50—Definitions.</E>The Energy Act provides that energy saving debentures are to be issued at a discount, have a 5-year or 10-year maturity, and require no interest payment or annual charge for the first five years. Although an SBIC can use other funds to make an energy saving qualified investment, an SBIC that issues an Energy Saving Debenture must use the proceeds only to make an energy saving qualified investment. To implement these new statutory provisions, SBA proposes to add “Energy Saving Qualified Investment” and “Energy Saving Activities” as defined terms in § 107.50.</P>
        <HD SOURCE="HD2">“Energy Saving Qualified Investment”</HD>
        <P>The proposed regulatory definition of Energy Saving Qualified Investment has several key points. First, as specified in the statute, an Energy Saving Qualified Investment can only be made by an SBIC licensed after September 30, 2008. Second, the investment must be made in a Small Business, as defined in 13 CFR part 107. Third, the investment must be in the form of a Loan, a Debt Security (a debt instrument that includes an equity feature, such as warrants or rights to convert to equity), or an Equity Security. Fourth, the Small Business must be “primarily engaged” in business activities that reduce the use or consumption of non-renewable energy sources (“Energy Saving Activities”).</P>
        <HD SOURCE="HD2">“Energy Saving Activities”</HD>
        <P>The proposed rule defines Energy Saving Activities primarily by reference to various criteria established by the Department of Energy and other Federal agencies to identify energy efficient products and services and to encourage the provision of renewable energy sources. As one example, the manufacturing of products that satisfy the criteria for use of the Energy Star trademark label would qualify as an Energy Saving Activity. For each type of Energy Saving Activity, the proposed rule provides a reference to the appropriate Federal program or Internal Revenue Code section, or a detailed definition that would allow users to determine whether the manufacture or development of a specific product, or the provision of a specific service, qualifies under the definition. SBA believes that reference wherever possible to existing standards for energy efficient products and services will ensure that Energy Saving Qualified Investments satisfy the objectives of the Energy Act. This approach will also allow the definition of Energy Saving Activities to be more easily updated as energy efficiency standards expand to include new products and services.</P>

        <P>In addition, paragraph (4) of the definition would allow SBA to determine whether activities not specifically addressed in the proposed rule are Energy Saving Activities. This approach will provide flexibility to accommodate activities based on technologies or practices that may emerge in the future. Paragraph (4) encompasses the manufacturing of products, provision of services, and conduct of research and development activities that reduce (or are anticipated to reduce) the consumption of non-<PRTPAGE P="2030"/>renewable energy, either through the more efficient use of such energy or by providing energy from renewable sources. An SBIC requesting a determination by SBA under paragraph (4) will be asked to submit written information and certifications (see also the discussion of proposed § 107.610 in this preamble). The proposed definition identifies the information required to be submitted and the factors that SBA will take into account in determining whether activities are Energy Saving Activities, although an SBIC would be free to provide other information to support its request. Ideally, the claimed energy savings will have been tested by an independent engineer or other recognized professional with expertise in the subject technology. The results of in-house or other non-independent testing may also be considered if the SBIC can document that tests were designed, performed and evaluated by qualified personnel following appropriate professional standards. SBA will also consider such factors as patents held by the Small Business, grants awarded by Federal or State government agencies, foundations, etc. to promote energy efficiency or energy savings, and licenses purchased by the Small Business to make use of energy-saving technologies developed by others. For research and development-stage companies that have not yet brought a product or service to market, SBA will consider projected energy savings, but the SBIC must also provide evidence supporting the feasibility and commercial potential of the products or services under development. Finally, SBA will consider whether an activity that would have been eligible for an energy-related Federal tax credit in past years should be considered an Energy Saving Activity, even though the subject credit is not currently available.</P>
        <P>SBA welcomes comments regarding additional activities that may be candidates for inclusion in the Energy Saving Activities definition. For example, SBA is open to suggestions regarding activities that could reduce the consumption of non-renewable fuels by reducing the dependency on automobiles for transportation, such as provision of telework facilities, carpooling services, or improved transit options.</P>
        <HD SOURCE="HD2">Electronic Access to Criteria for Evaluation of “Energy Saving Activities”</HD>
        <P>SBA intends to link its Investment Division Web site (<E T="03">http://www.sba.gov/inv</E>) to other government Web sites that will assist users in determining whether a company providing or developing particular products or services is engaged in Energy Saving Activities. Some sites allow users to search for a specific product by name, while others provide performance criteria or outcomes that a qualifying product or service must satisfy. The current addresses for these sites are:</P>
        <P>1.<E T="03">Energy Star: http://www.energystar.gov/products</E>
        </P>
        <P>2.<E T="03">Federal Energy Management Program: www1.eere.energy.gov/femp/technologies/eep_purchasingspecs.html</E>
        </P>
        <P>3.<E T="03">Renewable Electricity Production Tax Credit (Internal Revenue Code Section 45): http://www.irs.gov/irb/2010-18_IRB/ar11.html</E>
        </P>
        <P>4.<E T="03">Energy Credit (Internal Revenue Code Section 48): http://frwebgate.access.gpo.gov/cgi-bin/usc.cgi?ACTION=RETRIEVE&amp;FILE=$$xa$$busc26.wais&amp;start=1688508&amp;SIZE=98870&amp;TYPE=PDF</E>
        </P>
        <P>5.<E T="03">Installation-related Federal Tax Credits for Consumer Energy Efficiency: http://www.energystar.gov/index.cfm?c=tax_credits.tx_index</E>
        </P>
        <HD SOURCE="HD2">Determining Whether a Concern is “Primarily Engaged” in Energy Saving Activities</HD>
        <P>The proposed rule presumes that a company is “primarily engaged” in Energy Saving Activities if it derived at least 50% of its total revenues for its most recently completed fiscal year directly from Energy Saving Activities. However, SBA recognizes that one of the objectives of creating the Energy Saving debenture, which does not require the payment of interest during the first five years following issuance, may be to allow SBICs to invest in earlier stage enterprises that do not meet this revenue test for Energy Saving Activities. In some cases, small businesses may be engaged in research and development activities with little or no revenues. In other instances, a company may already have revenue from activities not related to Energy Saving Activities, but may be heavily engaged in activities that are expected to produce revenue from Energy Saving Activities in the future. Therefore, the proposed rule would allow SBA to determine that a small business is primarily engaged in Energy Saving Activities based on the totality of the circumstances, as evidenced by such factors as the distribution of the company's revenues; the percentage of total employees engaged in Energy Saving Activities; the expenditures (which may include both amounts expensed and amounts capitalized) allocated to Energy Saving Activities; activities related to the development and use of intellectual property held by the company related to Energy Saving Activities; and Energy Saving Activities contemplated by a business plan presented to outside investors as part of a formal fund-raising effort.</P>
        <HD SOURCE="HD2">Energy Saving Debenture</HD>
        <P>As provided in section 1205(b) of the Energy Act, the energy saving debenture would be a five- or ten-year debenture issued at a discount so as to be, in effect, a “zero coupon” debenture for the first five years. SBA leverage fees would be paid as required under current § 107.1130, except for the annual charge in § 107.1130(d) which would be deferred for the first five years and thereafter be payable semi-annually along with the debenture interest. For example, an SBIC issuing a $1,000,000 ten-year debenture with a combined interest rate and annual charge of 6% would receive roughly $750,000 upon issuance and would make no payments of interest or annual charge for the first five years. Starting with the sixth year, the SBIC would make semi-annual payments of interest and charges on the debenture's face amount of $1,000,000. At maturity the SBIC would pay the $1,000,000 face amount of the debenture.</P>
        <P>Each SBIC that was licensed after September 30, 2008, and is eligible to issue debentures under current regulations would be eligible to issue an energy saving debenture for the purpose of making an Energy Saving Qualified Investment. No regulatory changes are necessary to implement this new type of debenture.</P>
        <P>
          <E T="03">Section 107.610—Required Certifications for Loans and Investments.</E>An SBIC that intends to issue energy saving debentures based on its Energy Saving Qualified Investments or that intends to seek additional leverage based on its Energy Saving Qualified Investments in Smaller Enterprises must have an appropriate certification for each such investment. Proposed § 107.610(f) makes a distinction between investments for which SBA needs to make a pre-financing determination of eligibility and those for which it does not. If the small business concern is engaged in activities that are specifically included in the Energy Saving Activities definition, and it is presumed to be “primarily engaged” in those activities based on the source of its revenues, the SBIC only needs to certify the basis for the concern's eligibility and retain the certification and supporting documentation in its files. If SBA must make a pre-financing determination as to whether the concern is engaged in Energy Saving Activities and/or whether it is “primarily engaged” in such<PRTPAGE P="2031"/>activities, the proposed rule would require the SBIC to provide SBA with all available information from the concern that is relevant to those determinations, along with certifications by the SBIC and the concern that the submitted information is true and correct. SBA recognizes the burden that may be inherent in this type of “total facts and circumstances” determination, but believes it is preferable to offer this option to SBICs rather than to define Energy Saving Qualified Investments more narrowly.</P>
        <P>
          <E T="03">Section 107.1150—Maximum Amount of Leverage for a Section 301(c) Licensee.</E>New paragraph (d) implements a provision of the Energy Act that may provide additional leverage eligibility to SBICs licensed on or after October 1, 2008, that make Energy Saving Qualified Investments in Smaller Enterprises. This paragraph adjusts the leverage eligibility formula in § 107.1150(a) by subtracting from an SBIC's outstanding leverage the cost basis of Energy Saving Qualified Investments that the SBIC has made in Smaller Enterprises. The amount that can be subtracted is limited to 33% of the SBIC's Leverageable Capital. Furthermore, as required by the Energy Act, only the cost basis of Energy Saving Qualified Investments that individually do not exceed 20% of the SBIC's Regulatory Capital may be subtracted, even though SBICs in general can invest up to 30% of their Regulatory Capital in a single company.</P>
        <HD SOURCE="HD2">Compliance With Executive Orders 12866, 12988 and 13132, the Paperwork Reduction Act (44 U.S.C. Ch. 35) and the Regulatory Flexibility Act (5 U.S.C. 601-612)</HD>
        <HD SOURCE="HD2">Executive Order 12866</HD>
        <P>The Office of Management and Budget has determined that this rule is a “significant” regulatory action under Executive Order 12866. The Regulatory Impact Analysis is set forth below.</P>
        <HD SOURCE="HD3">1. Necessity of Regulation</HD>
        <P>This proposed regulatory action would implement sections 1205 and 1206 of the Energy Independence and Security Act of 2007, Public Law 110-140. The statutory revisions provide an SBIC seeking to make an “energy saving qualified investment” with a new SBA leverage option in the form of an “energy saving debenture.”</P>
        <HD SOURCE="HD3">2. Alternative Approaches to Regulation</HD>
        <P>Because the regulatory definition of Energy Saving Qualified Investment must be consistent with the statutory definition, SBA had a limited ability to consider alternatives. The statute defines “energy saving qualified investment” as an “investment in a small business concern that is primarily engaged in researching, manufacturing, developing, or providing products, goods, or services that reduce the use or consumption of non-renewable energy resources.” The SBA considered adopting this statutory definition without modification. However, SBA did not select this approach due to concerns that without some interpretation of the broad statutory language, it would be difficult to evaluate (a) whether qualifying investments would actually contribute to the energy-saving objectives of the statute and (b) what constitutes “primarily engaged”.</P>
        <P>In considering alternatives for determining whether a qualifying investment would likely contribute to the energy-saving objectives of the statute, the SBA conferred with the Department of Energy (DOE) to consider two options besides using the broad statutory definition: (1) Defining a list of specific industries and (2) referencing existing standards developed for Federal programs that promote energy efficiency. SBA did not adopt the first option to identify a list of specific industries because (1) “energy saving” efforts take place across a broad spectrum of industries; (2) the North American Industrial Classification System (NAICS) codes, typically used to identify industries, are inadequate for capturing whether a business is involved in “energy saving” across this spectrum; and (3) developing a static list does not adequately allow for either a full range of products and services or the rapid growth in this area that might further the statutory goals. Given the number of Federal programs already directed towards “energy saving” activities, SBA chose to adopt the second option in order to improve standardization across agencies, allow growth as DOE and other agencies update program standards to reflect new “energy saving” initiatives, and to address the broadest spectrum of products and services. Towards those goals, SBA recognizes that SBICs may wish to invest in Small Businesses that are manufacturing or researching products or performing services that have not been identified by existing Federal standards. Therefore, SBA will also consider other investments on a case by case basis, based on the SBIC's ability to demonstrate energy savings associated with the Small Business's activities.</P>
        <P>To determine whether a concern is “primarily engaged” in Energy Saving Activities, SBA considered using either a specific quantitative standard or an evaluation based on total facts and circumstances. For simplicity, the proposed rule presumes that a business is “primarily engaged” if it derived at least 50% of revenues during its most recently completed fiscal year from Energy Saving Activities. SBA also considered a higher percentage requirement, but chose 50% to encourage energy-saving investments as much as possible while meeting statutory requirements. Alternatively, an SBIC may ask SBA to determine whether a concern is “primarily engaged” in Energy Saving Activities based on an evaluation of various factors. As stated in the proposed definition of Energy Saving Qualified Investments, these factors include “the distribution of revenues, employees and expenditures, intellectual property rights held, and business plans presented to investors as part of a formal solicitation”. SBA believes the combination of these two approaches provides a reasonable balance between simplicity and inclusiveness.</P>
        <HD SOURCE="HD3">3. Potential Benefits and Costs</HD>
        <P>SBA anticipates that this rule will provide marginal benefit to small businesses seeking investments by SBICs under those circumstances in which the investment structure does not lend itself well to SBA's standard debenture. Standard debentures require the SBIC to make semi-annual interest payments, while the energy saving debenture contemplated by the statute would be issued at a discount, have a 5-year or 10-year maturity, and require no interest payment or annual charge for the first five years. This structure is the same as the SBIC program's currently available low and moderate income (LMI) debenture.</P>

        <P>Since the structure of the energy saving debenture mirrors that of the LMI debenture, in determining this rule's benefit to both SBICs and small businesses, SBA analyzed the impact of the LMI debenture. The LMI debenture was first issued in FY 2001. Between FY 2001 and March 31, 2010, SBICs have issued approximately $4.2 billion in debentures, with less than $45 million in LMI debentures (approximately 1% of all debenture leverage issued since FY 2001). The proceeds of LMI debentures can only be used to make LMI financings; however, SBA estimates that only 2% of LMI financings by SBICs issuing debentures were funded using the LMI debenture. SBICs placed 21.5% of their investment dollars in portfolio companies in LMI zones between FY 2001 and July 31, 2010, compared with 21.6% in fiscal years<PRTPAGE P="2032"/>1998-2000 when the LMI debenture was not available. The structural similarities between the LMI debenture and the energy saving debenture suggest that this rule will have a similarly marginal impact.</P>

        <P>In estimating the impact, the SBA also considered available industry data. The PricewaterhouseCoopers/National Venture Capital Association MoneyTree<E T="51">TM</E>Report indicates that $1.9 billion in Cleantech investments were made in calendar year 2009, representing approximately 11% of all venture financings. SBA believes that Cleantech investments are fairly representative of energy saving investments. SBA estimates that the percentage of the SBIC portfolio directed towards Energy Saving Qualified Investments will be similar to the percentage of Cleantech investments in the venture industry. However, only SBICs licensed after September 30, 2008, will be eligible to issue energy saving debentures and many such SBICs will choose to use the standard debenture to make these types of financings. Therefore, the SBA estimates that approximately half of the anticipated SBIC energy saving investments will be performed using the new energy saving debenture or 5% of all financings by SBICs issuing debentures. In FY 2009, SBICs issuing debentures provided $1.2 billion in financing to small businesses.</P>
        <P>With respect to potential costs of the regulation to SBICs, the cost has been incorporated into the program formulation model which determines the annual fee to keep the debenture program to zero subsidy cost as required by law. Because the structure of the LMI debenture is the same as the energy saving debenture, SBA used its performance as a proxy for the energy saving debenture. SBA's estimate that energy saving debentures would constitute 5% of total demand for debenture leverage resulted in an increase to the annual fee of 14.3 basis points versus formulations with no energy saving debentures. This increase reflects the additional risk associated with underlying SBIC equity investments contemplated in the usage of this debenture. Despite this increase, the annual fee is estimated to remain substantially lower than the ten year average and far below the statutory maximum of 1.38%. It should be noted that if the energy saving debenture was formulated as a stand-alone program (apart from the standard debenture) it is likely that its annual fee would exceed the statutory maximum. SBA will review the demand for and performance of the energy saving debenture on an annual basis to determine if these assumptions should be changed. Should the actual or anticipated demand for the energy saving debenture exceed 5% of all debenture leverage issued in any given year, SBA will consider separately formulating the energy saving debenture as a separate program so that its higher cost would be borne directly by users rather than spread among all SBICs.</P>
        <HD SOURCE="HD2">Executive Order 12988</HD>
        <P>This action meets applicable standards set forth in section 3(a) and 3(b)(2) of Executive Order 12988, Civil Justice Reform, to minimize litigation, eliminate ambiguity, and reduce burden. The action does not have retroactive or presumptive effect.</P>
        <HD SOURCE="HD2">Executive Order 13132</HD>
        <P>The rule will not have substantial direct effects on the States, or the distribution of power and responsibilities among the various levels of government. Therefore, for the purposes of Executive Order 13132, Federalism, SBA determines that this proposed rule has no federalism implications warranting the preparation of a federalism assessment.</P>
        <HD SOURCE="HD2">Paperwork Reduction Act, 44 U.S.C. Ch. 35</HD>
        <P>SBA has determined that this proposed rule imposes additional reporting and recordkeeping requirements under the Paperwork Reduction Act, 44 U.S.C., chapter 35. This collection of information includes three different reporting requirements: (1) Information needed for SBA to determine whether a Small Business is “primarily engaged” in Energy Saving Activities, (2) information needed for SBA to determine whether a particular activity is an “Energy Saving Activity”, and (3) identification of a completed financing as an Energy Saving Qualified Investment on the Portfolio Financing Report. As a result of proposed changes in this rule, SBA will also amend an existing approved information collection, Portfolio Financing Report, SBA Form 1031 (OMB Control Number 3245-0078). The titles, descriptions and respondent descriptions of the information collections provisions are discussed below with an estimate of the annual reporting burden. Included in the estimate is the time for reviewing instructions, searching existing data sources, gathering and maintaining the data needed, and completing and reviewing each collection of information.</P>
        <P>SBA invites comments on: (1) Whether the proposed collection of information is necessary for the proper performance of SBA's functions, including whether the information will have a practical utility; (2) the accuracy of SBA's estimate of the burden of the proposed collections of information, including the validity of the methodology and assumptions used; (3) ways to enhance the quality, utility, and clarity of the information to be collected; and (4) ways to minimize the burden of the collection of information on respondents, including through the use of automated collection techniques, when appropriate, and other forms of information technology.</P>
        <P>Please send comments by the closing date for comment for this proposed rule to Wendy Liberante, Office of Management and Budget, Office of Information and Regulatory Affairs, 725 17th Street, NW., Washington, DC 20503 and to Harry Haskins, Deputy Associate Administrator for Investment, Office of Investment, Small Business Administration, 409 Third Street, SW., Washington, DC 20416.</P>
        <HD SOURCE="HD3">A. “Primarily Engaged” and “Energy Saving Activity” Determinations</HD>
        <P>
          <E T="03">Title:</E>Financing Eligibility Statement for Usage of Energy Saving Debentures [no SBA  form number].</P>
        <P>
          <E T="03">Summary:</E>The Financing Eligibility Statement for Usage of Energy Saving Debentures will be used by SBICs requesting either or both of the SBA determinations that may be requested under the proposed rule: (1) Whether a Small Business is “primarily engaged” in Energy Saving Activities, as described in the proposed definition of “Energy Saving Qualified Investment” in § 107.50 and as used in § 107.610(f)(2)(i), and/or (2) whether a particular activity in which a Small Business is engaged is an “Energy Saving Activity”, as described in the proposed definition of that term and as used in § 107.610(f)(2)(ii). The SBIC must provide supporting evidence of the Small Business's eligibility based on the factors listed in the proposed rule.</P>
        <P>
          <E T="03">Need and Purpose:</E>Section 1205 of the Energy Independence and Security Act of 2007 makes SBA leverage in the form of a deferred interest “energy saving debenture” available to SBICs licensed after September 30, 2008 for the purpose of making Energy Saving Qualified Investments. The proposed rule identifies various criteria under which a financing can qualify as an Energy Saving Qualified Investment; however, SBA recognizes that some proposed investments will need to be individually reviewed by SBA to determine whether they fulfill the energy saving objectives of the statute.<PRTPAGE P="2033"/>SBA will use the submitted information to make those determinations.</P>
        <P>
          <E T="03">Description of Respondents:</E>Small business investment companies will submit this form to obtain a determination from SBA as to whether a proposed financing is an Energy Saving Qualified Investment. There are approximately 300 active SBICs; only about 10% of these were licensed after September 30, 2008, and are eligible to issue energy saving debentures to make Energy Saving Qualified Investments. Based on anticipated new licensing activity, SBA is estimating the number of eligible SBICs at 60. Assuming each of these SBICs will invest in five companies per year, that 5% of all investments will be in energy-saving companies, and that one-third of those will require SBA to make a pre-financing determination of eligibility, SBA estimates five responses per year.</P>
        <P>SBA estimates the burden of this collection of information as follows: An applicant will complete this collection once for each prospective Energy Saving Qualified Investment that requires SBA to make a pre-financing determination of eligibility. SBA estimates that the time needed to complete this collection will average 10 hours. SBA estimates that the cost to complete this collection will be approximately $150 per hour. Total estimated aggregate burden is 50 hours per annum costing a total of $7,500 for the year.</P>
        <HD SOURCE="HD3">B. Portfolio Financing Report</HD>
        <P>
          <E T="03">Title:</E>Portfolio Financing Report, SBA Form 1031 (OMB Control Number 3245-0078).</P>
        <P>
          <E T="03">Summary:</E>SBA Form 1031 is a currently approved information collection form. SBA regulations (§ 107.640) require SBICs to submit a Portfolio Financing Report on SBA Form 1031 for each financing that an SBIC provides to a small business concern. The form is SBA's primary source of information for compiling statistics on the SBIC program as a provider of capital to small businesses. SBA also uses the information provided on Form 1031 to evaluate SBIC compliance with regulatory requirements. SBA proposes to revise the form by adding one new question, which would ask the SBIC to use a pull-down menu to identify whether a completed financing was an Energy Saving Qualified Investment. SBA's financial reporting software would automatically transfer this designation to the SBA Form 468 (SBIC Financial Statements), the source of data needed to determine eligibility for additional leverage based on Energy Saving Qualified Investments under § 107.1150(d)(2)(i).</P>
        <P>
          <E T="03">Need and Purpose:</E>Section 1206 of the Energy Independence and Security Act of 2007 increases the maximum amount of leverage potentially available to an SBIC licensed on or after October 1, 2008, that makes Energy Saving Qualified Investments. Proposed § 107.1150(d) adjusts the basic leverage eligibility formula in § 107.1150(a) by subtracting from an SBIC's outstanding leverage the cost basis of Energy Saving Qualified Investments that the SBIC has made in Smaller Enterprises. The amount that can be subtracted is limited to 33% of the SBIC's Leverageable Capital. SBA will use the information submitted on Form 1031 to track Energy Saving Qualified Investments that an SBIC may use in its leverage eligibility calculation, as well as for overall program evaluation purposes.</P>
        <P>
          <E T="03">Description of Respondents:</E>All SBICs are currently required to submit SBA Form 1031 within 30 days after closing an investment. The current estimate of 3,700 responses per year is not affected by this proposed rule. SBA proposes to add a single additional field to the form to identify whether the investment is an Energy Saving Qualified Investment.</P>
        <P>SBA estimates the burden of this collection of information as follows: An SBIC making an Energy Saving Qualified Investment will select that descriptor from a pull-down menu on SBA Form 1031. There is no incremental burden attributable to completion of this additional field. An SBIC will complete SBA Form 1031 for each of its completed financing transactions. The currently approved hour burden for this collection is 12 minutes per response (0.2 hours), at a cost of $5.00 per response (based on $25.00 per hour). The total estimated burden is 740 hours per annum at an aggregate cost of $18,500.</P>
        <P>The recordkeeping requirements under the proposed rule relate to the information that an SBIC must maintain in its files to support the required certifications for Energy Saving Qualified Investments under § 107.610(f)(1). SBA expects that SBICs will be able to obtain the necessary documentation with minimal effort. The SBIC would first document that the contemplated investment is in a company that provides products or services included in the definition of Energy Saving Activities, generally by referring to one of the government web sites discussed in this preamble. Second, the SBIC would document that the company derives at least 50 percent of its revenues from the sales of these products or services; the company would have this information available in the ordinary course of business.</P>
        <HD SOURCE="HD2">Compliance with the Regulatory Flexibility Act, 5 U.S.C. 601-612</HD>
        <P>When an agency promulgates a rule, the Regulatory Flexibility Act (5 U.S.C. 601-612) requires the agency to prepare an initial regulatory flexibility analysis (IRFA) which will describe the potential economic impact of the rule on small entities and alternatives that may minimize that impact. Section 605 of the RFA allows an agency to certify a rule, in lieu of preparing an IRFA, if the rulemaking is not expected to have a significant economic impact on a substantial number of small entities. This proposed rule affects all SBICs issuing debentures, of which there are approximately 160, most of which are small entities. Therefore, SBA has determined that this proposed rule will have an impact on a substantial number of small entities. However, SBA has determined that the impact on entities affected by the rule will not be significant. The energy saving qualified investment definition identifies the type of investment for which an SBIC will be permitted to seek SBA funding in the form of an “energy saving debenture”; this instrument, because of its deferred interest feature, is expected to provide SBICs with greater flexibility in structuring qualified investments. The energy saving debenture is expected to increase the annual fee charged on all new debenture commitments by approximately 14 basis points; however, the fee would continue to remain low by historical standards. Accordingly, the Administrator of the SBA hereby certifies that this rule will not have a significant impact on a substantial number of small entities. SBA welcomes comment from members of the public who believe there will be a significant impact either on SBICs, or on companies that receive funding from SBICs.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 13 CFR Part 107</HD>
          <P>Investment companies, Loan programs—business, Reporting and recordkeeping requirements, Small businesses.</P>
        </LSTSUB>
        <P>For the reasons stated in the preamble, SBA proposes to amend part 107 of title 13 of the Code of Federal Regulations as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 107—SMALL BUSINESS INVESTMENT COMPANIES</HD>
          <P>1. The authority citation for part 107 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>15 U.S.C. 681<E T="03">et seq.,</E>683, 687(c), 687b, 687d, 687g, 687m and Pub. L.<PRTPAGE P="2034"/>106-554, 114 Stat. 2763; and Pub. L. 111-5, 123 Stat. 115.</P>
          </AUTH>
          
          <P>2. Amend § 107.50 by adding definitions of “Energy Saving Activities” and “Energy Saving Qualified Investment”, to read as follows:</P>
          <SECTION>
            <SECTNO>§107.50</SECTNO>
            <SUBJECT>Definitions of terms.</SUBJECT>
            <STARS/>
            <P>
              <E T="03">Energy Saving Activities</E>means any of the following:</P>
            <P>(1) Manufacturing or research and development of products, integral product components, integral material, or related software that meet one or more of the following:</P>
            <P>(i) Improves residential energy efficiency as demonstrated by meeting Department of Energy and Environmental Protection Agency criteria for use of the Energy Star trademark label;</P>
            <P>(ii) Improves commercial energy efficiency as demonstrated by being in the upper 25% of efficiency for all similar products as designated by the Department of Energy's Federal Energy Management Program;</P>
            <P>(iii) Improves automobile efficiency or reduces petroleum consumption through the use of advanced batteries, power electronics, or electric motors; advanced combustion engine technology; or advanced materials technologies, such as lightweighting;</P>
            <P>(iv) Improves industrial energy efficiency through combined heat and power (CHP) prime mover or power generation technologies, heat recovery units, absorption chillers, desiccant dehumidifiers, packaged CHP systems, more efficient process heating equipment, more efficient steam generation equipment, or heat recovery steam generators for industrial application;</P>
            <P>(v) Reduces the consumption of non-renewable energy by providing renewable energy sources, as demonstrated by meeting the standards, applicable to the year in which the investment is made, for receiving a Renewable Electricity Production Tax Credit as defined in Internal Revenue Code Section 45 or an Energy Credit as defined in Internal Revenue Code Section 48; or</P>
            <P>(vi) Improves electricity delivery efficiency by supporting the smart grid functions as identified in 42 U.S.C. 17386(d) by delivering a product, service, or functionality that serves one or more of the following operational domains: equipment manufacturing, customer systems, advanced metering infrastructure, electric distribution systems, electric transmission systems, or grid cyber security.</P>
            <P>(2) Installation and/or inspection services associated with the deployment of energy saving products as identified by meeting one or more of the following standards:</P>
            <P>(i) Deploys products that qualify, in the year in which the investment is made, for installation-related Federal Tax Credits for Consumer Energy Efficiency;</P>
            <P>(ii) Deploys products related to commercial energy efficiency as demonstrated by deploying commercial equipment that is in the upper 25% of efficiency for all similar products as designated by the Department of Energy's Federal Energy Management Program;</P>
            <P>(iii) Deploys combined heat and power products, goods, or services;</P>
            <P>(iv) Deploys products that qualify, in the year in which the investment is made, for receiving a Renewable Electricity Production Tax Credit as defined in Internal Revenue Code Section 45 or an Energy Credit as defined in Internal Revenue Code Section 48; or</P>
            <P>(v) Deploys a product, service, or functionality that improves electricity delivery efficiency by supporting the smart grid functions as identified in 42 U.S.C. 17386(d) serving one or more of the following operational domains: equipment manufacturing, customer systems, advanced metering infrastructure, electric distribution systems, electric transmission systems, or grid cyber security.</P>
            <P>(3) Auditing and/or consulting services performed with the objective of identifying potential improvements of the type described in paragraph (1) or (2) of this definition.</P>
            <P>(4) Other manufacturing, service, or research and development activities that use less energy to provide the same level of energy service or reduce the consumption of non-renewable energy by providing renewable energy sources, as determined by SBA. A Licensee must obtain such determination in writing prior to providing Financing to a Small Business. SBA will consider factors including but not limited to:</P>
            <P>(i) Results of energy efficiency testing performed in accordance with recognized professional standards, preferably by a qualified third-party professional, such as a certified energy assessor, energy auditor, or energy engineer;</P>
            <P>(ii) Patents or grants awarded to or licenses held by the Small Business related to Energy Saving Activities listed in subsection (1) or (2) in this definition;</P>
            <P>(iii) For research and development of products or services that are anticipated to reduce the consumption of non-renewable energy, written evidence from an independent certified third-party professional of the feasibility, commercial potential, and projected energy savings of such products or services;</P>
            <P>(iv) Eligibility of the product or service for a Federal tax credit cited in this definition that is not available in the year in which the investment is made, but was available in a previous year.</P>
            <P>
              <E T="03">Energy Saving Qualified Investment</E>means a Financing which:</P>
            <P>(1) Is made by a Licensee licensed after September 30, 2008;</P>
            <P>(2) Is in the form of a Loan, Debt Security, or Equity Security, each as defined in this section; and</P>
            <P>(3) Is made to a Small Business that is primarily engaged in Energy Saving Activities. A Small Business that derived at least 50% of its revenues during its most recently completed fiscal year from Energy Saving Activities is presumed to be primarily engaged in such activities. Alternatively, a Licensee licensed after September 30, 2008 may request a determination from SBA prior to the provision of Financing as to whether a Small Business is primarily engaged in Energy Saving Activities. SBA will consider the distribution of revenues, employees and expenditures, intellectual property rights held, and Energy Saving Activities described in a business plan presented to investors as part of a formal solicitation in making its determination.</P>
            <STARS/>
            <P>3. Amend § 107.610 by revising the last sentence of the introductory text and adding paragraph (f) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 107.610</SECTNO>
            <SUBJECT>Required certifications for Loans and Investments.</SUBJECT>
            <P>* * * Except for information and documentation prepared under paragraph (f)(2) of this section, you must keep these documents in your files and make them available to SBA upon request.</P>
            <STARS/>
            <P>(f) For each Energy Saving Qualified Investment:</P>
            <P>(1) If a pre-Financing determination of eligibility by SBA is not required under the definition of Energy Saving Activities or Energy Saving Qualified Investment:</P>
            <P>(i) A certification by you, dated as of the closing date of the Financing, as to the basis for the qualification of the Financing as an Energy Saving Qualified Investment; and</P>

            <P>(ii) Supporting documentation of the Energy Saving Activities engaged in by<PRTPAGE P="2035"/>the concern and the percentage of its revenues derived from Energy Saving Activities during its most recently completed fiscal year.</P>
            <P>(2) If a pre-Financing determination of eligibility by SBA is required under the definition of Energy Saving Activities or Energy Saving Qualified Investment:</P>
            <P>(i) If the concern did not derive at least 50% of its revenues during its most recently completed fiscal year from Energy Saving Activities, submit to SBA in writing all available information concerning the factors considered under paragraph (3) of the definition of “Energy Saving Qualified Investment” in § 107.50, certified by both you and the concern to be true and correct to the best of your knowledge.</P>
            <P>(ii) If you are requesting a determination by SBA that the activities in which the concern is primarily engaged are Energy Saving Activities, submit to SBA in writing a description of the product or service being provided or developed, including all available documentation of the energy savings produced or anticipated, addressing the factors considered under paragraph (4) of the definition of “Energy Saving Activities” in § 107.50 and certified by both you and the concern to be true and correct to the best of your knowledge.</P>
            <P>4. Amend § 107.1150 by adding a sentence at the end of paragraph (c) introductory text and adding paragraph (d) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 107.1150</SECTNO>
            <SUBJECT>Maximum amount of Leverage for a Section 301(c) Licensee.</SUBJECT>
            <STARS/>
            <P>(c) * * * Any investment that you use as a basis to seek additional leverage under this paragraph (c) cannot also be used to seek additional leverage under paragraph (d) of this section.</P>
            <STARS/>
            <P>(d)<E T="03">Additional Leverage based on Energy Saving Qualified Investments in Smaller Enterprises.</E>(1) Subject to SBA's credit policies, if you were licensed on or after October 1, 2008, you may have outstanding Leverage in excess of the amounts permitted by paragraphs (a) and (b) of this section in accordance with this paragraph (d). Any investment that you use as a basis to seek additional Leverage under this paragraph (d) cannot also be used to seek additional Leverage under paragraph (c) of this section.</P>
            <P>(2) To determine whether you may request a draw that would cause you to have outstanding Leverage in excess of the amount determined under paragraph (a) of this section:</P>
            <P>(i) Determine the cost basis, as reported on your most recent filing of SBA Form 468, of any Energy Saving Qualified Investments in a Smaller Enterprise that individually do not exceed 20% of your Regulatory Capital.</P>
            <P>(ii) Calculate the amount that equals 33% of your Leverageable Capital.</P>
            <P>(iii) Subtract from your outstanding Leverage the lesser of (d)(1)(i) or (d)(1)(ii).</P>
            <P>(iv) If the amount calculated in paragraph (d)(1)(iii) is less than the maximum Leverage determined under paragraph (a) of this section, the difference between the two amounts equals your additional Leverage availability.</P>
          </SECTION>
          <SIG>
            <DATED>Dated: January 6, 2011.</DATED>
            <NAME>Karen G. Mills,</NAME>
            <TITLE>Administrator.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-486 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 8025-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 17</CFR>
        <DEPDOC>[Docket No. FAA-2010-0840; Notice No. 10-18]</DEPDOC>
        <RIN>RIN 2120-AJ82</RIN>
        <SUBJECT>Procedures for Protests and Contracts Dispute</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of proposed rulemaking (NPRM).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action would update, simplify, and streamline the current regulations governing the procedures for bid protests brought against the FAA and contract disputes brought against or by the FAA. It would also add a voluntary dispute avoidance and early resolution process. This action is necessary to ensure the regulations reflect the changes that have evolved since 1999 when they were first implemented. The intended effect of this action is to streamline and further improve the protest and dispute process.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Send your comments on or before March 14, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may send comments identified by Docket Number FAA-2010-0840 using any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal:</E>Go to<E T="03">http://www.regulations.gov</E>and follow the online instructions for sending your comments electronically.</P>
          <P>•<E T="03">Mail:</E>Send comments to Docket Operations, M-30; U.S. Department of Transportation, 1200 New Jersey Avenue, SE., Room W12-140, West Building Ground Floor, Washington, DC 20590-0001.</P>
          <P>•<E T="03">Hand Delivery or Courier:</E>Take comments to Docket Operations in Room W12-140 of the West Building Ground Floor at 1200 New Jersey Avenue, SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
          <P>•<E T="03">Fax:</E>Fax comments to Docket Operations at 202-493-2251.</P>
          
          <FP>For more information on the rulemaking process,<E T="03">see</E>the<E T="02">SUPPLEMENTARY INFORMATION</E>section of this document.</FP>
          
          <P>
            <E T="03">Privacy:</E>We will post all comments we receive, without change, to<E T="03">http://www.regulations.gov,</E>including any personal information you provide. Using the search function of the docket Web site, anyone can find and read the electronic form of all comments received into any of our dockets, including the name of the individual sending the comment (or signing the comment for an association, business, labor union,<E T="03">etc.</E>). You may review DOT's complete Privacy Act Statement in the<E T="04">Federal Register</E>published on April 11, 2000 (65 FR 19477-78) or you may visit<E T="03">http://DocketsInfo.dot.gov.</E>
          </P>
          <P>
            <E T="03">Docket:</E>To read background documents or comments received, go to<E T="03">http://www.regulations.gov</E>at any time and follow the online instructions for accessing the docket or Docket Operations in Room W12-140 of the West Building Ground Floor at 1200 New Jersey Avenue, SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Marie A. Collins, Senior Attorney and Dispute Resolution Officer, FAA Office of Dispute Resolution for Acquisition, AGC-70, Room 8332, Federal Aviation Administration, 400 7th Street, SW., Washington, DC 20590, telephone (202) 366-6400.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Later in this preamble under the Additional Information section, we discuss how you can comment on this proposal and how we will handle your comments. Included in this discussion is related information about the docket, privacy, and the handling of proprietary or confidential business information. We also discuss how you can get a copy of related rulemaking documents.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking and Background</HD>

        <P>In 1995 Congress, through the Department of Transportation<PRTPAGE P="2036"/>Appropriations Act,<SU>1</SU>
          <FTREF/>directed the FAA “to develop and implement, not later than April 1, 1996, an acquisition management system that addressed the unique needs of the agency and, at a minimum, provided for more timely and cost effective acquisitions of equipment and materials.” The Act instructed the FAA to design the system, notwithstanding provisions of Federal acquisition law, and to not use certain provisions of Federal acquisition law. In response, the FAA developed the Acquisition Management System (AMS) for the management of FAA procurement. The AMS included a system of policy guidance that maximized the use of agency discretion in the interest of best business practices. As a part of the AMS, the FAA created the Office of Dispute Resolution for Acquisition (ODRA) to facilitate the Administrator's review of procurement protests and contract disputes. In a 1996 notice<SU>2</SU>
          <FTREF/>published in the<E T="04">Federal Register</E>, the FAA announced the creation of the ODRA and stated the agency would promulgate rules of procedure governing the dispute resolution process.</P>
        <FTNT>
          <P>
            <SU>1</SU>Public Law 104-50, 109 Stat. 436 (November 15, 1995).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>2</SU>61 FR 24348; May 14, 1996.</P>
        </FTNT>
        <P>In August 1998, the FAA issued a Notice of Proposed Rulemaking (NPRM)<SU>3</SU>
          <FTREF/>that proposed regulations under 14 CFR part 17 for the conduct of protests and contract disputes under the FAA AMS. The comment period for the NPRM closed on October 26, 1998. On June 18, 1999,<SU>4</SU>
          <FTREF/>the FAA published the final rule entitled, Procedures for Protests and Contract Disputes; Amendment of Equal Access to Justice Act Regulations, which codified (effective June 28, 1999) the procedures governing the dispute resolution process. On August 31, 1999, the FAA published a document<SU>5</SU>
          <FTREF/>that made certain corrections to the June 1999 final rule.</P>
        <FTNT>
          <P>
            <SU>3</SU>63 FR 45372; August 25, 1998.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>64 FR 32926; June 18, 1999.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>5</SU>64 FR 47361; August 31, 1999.</P>
        </FTNT>
        <P>In addition to the rules of procedures, ODRA operates pursuant to delegations of authority from the Administrator. In a memorandum signed (1998 Delegation) by the Administrator on July 29, 1998,<SU>6</SU>
          <FTREF/>the Administrator generally authorized the ODRA through its Director to provide dispute resolution services including administrative adjudication of all bid protests and contract disputes under the AMS. The 1998 Delegation further provided that all final decisions must be executed by the Administrator. The 1998 Delegation was expanded by a Delegation dated March 27, 2000 (2000 Delegation), which provided additional authority to the ODRA Director “to execute and issue, on behalf of the Administrator, Orders and Final Decisions for the Administrator in all matters within the ODRA's jurisdiction valued at not more than $1 Million.”<SU>7</SU>
          <FTREF/>The 2000 Delegation was superseded by a Delegation of Authority from the Administrator, dated March 10, 2004 (2004 Delegation), which increased the dollar limit of the final decisional authority of the ODRA Director from $1 Million to $5 Million.<SU>8</SU>
          <FTREF/>The 2004 Delegation was superseded by another Delegation of Authority dated March 31, 2010 (2010 Delegation), which increased the dollar limit of the final decisional authority of the ODRA Director from $5 Million to $10 Million.<SU>9</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>6</SU>The FAA published the text of the delegations set forth in the July 29, 1998 memorandum in the<E T="04">Federal Register</E>(<E T="03">see</E>63 FR 49151; September 14, 1998).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>7</SU>65 FR 19958-01; April 13, 2000.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>8</SU>69 FR 17469-02; April 2, 2004.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>9</SU>The 2010 Delegation was issued by the Administrator in a memorandum dated March 31, 2010. Although the FAA has not yet published the text of the memorandum in the<E T="04">Federal Register</E>, the public can view the memorandum itself at<E T="03">http://www.faa.gov/about/office_org/headquarters_offices/agc/pol_adjudication/agc70/odra_process/.</E>
          </P>
        </FTNT>

        <P>Congress provided further confirmation about the FAA's dispute resolution authority in the Vision 100—Century of Aviation Reauthorization Act of 2003 (2003 Reauthorization Act)<E T="03">See</E>Public Law 108-176, § 224(b), 117 Stat. 2490, 2528 (codified as amended at 49 U.S.C. 40110(d)(4)), which confirmed the ODRA's exclusive jurisdiction. Specifically, the 2003 Reauthorization Act expressly provided at Subsection (b)(2)(4) under the title “Adjudication of Certain Bid Protests and Contract Disputes”, that “[a] bid protest or contract dispute that is not addressed or resolved through alternative dispute resolution shall be adjudicated by the Administrator, through Dispute Resolution Officers or Special Masters of the Federal Aviation Administration Office of Dispute Resolution for Acquisition, acting pursuant to Sections 46102, 46104, 46105, 46106 and 46107 and shall be subject to judicial review under Section 46110 and Section 504 of Title 5.”</P>

        <P>The ODRA dispute resolution procedures encourage the parties to protests and contract disputes to use Alternative Dispute Resolution (ADR) as the primary means to resolve protests and contract disputes, pursuant to the Administrative Dispute Resolution Act of 1996 (“ADRA”), Pub. L. 104-320, 5 U.S.C. §§ 570-579, and in consonance with Department of Transportation and FAA policies to maximize the use of ADR to the extent possible. Under these procedures, the ODRA actively encourages the parties to consider ADR techniques such as case evaluation, mediation, arbitration, or other types of ADR. In this regard, on October 15, 2001, the FAA published in the<E T="04">Federal Register</E>Final Guidance (66 FR 52475) for the use of binding arbitration for purposes of resolving bid protests and contract disputes relating to procurements and contracts under the FAA AMS after receiving the concurrence of the Attorney General in accordance with Section 575 of the ADRA. Additionally, the ODRA developed an informal pre-dispute process, which provides voluntary dispute avoidance services that are available to parties upon request.</P>
        <HD SOURCE="HD2">Statement of the Problem</HD>
        <P>Since the issuance of the FAA's rules of procedure more than 10 years ago, the ODRA's statutory and regulatory authorities for conducting a dispute resolution process evolved, along with the body of case law interpreting those rules. The ODRA's implementation of these rules of procedure also resulted in the identification of procedural issues in need of clarification to provide uniform guidance. The ODRA further identified certain aspects of the rules that need revision to reflect evolving practices at the ODRA, as well as evolving dispute resolution practices in general. An example of such practices is the increased emphasis on early intervention and dispute avoidance efforts. In consideration of this changing environment, the FAA is proposing to amend part 17 to incorporate the evolving practices; reflect the availability of a pre-dispute process; reorganize and streamline the rules for ease of use; and harmonize the existing part 17 rules with current statutory and other authority.</P>
        <HD SOURCE="HD1">General Discussion of the Proposal</HD>

        <P>The FAA's review of current part 17 identified aspects of the regulations that would benefit from a reorganization and consolidation of certain sections. For example, the procedures that pertain to filing and adjudicating protests and contract disputes are scattered throughout several subparts. In today's proposal, the procedures for filing and adjudicating protests and contract disputes are consolidated into subparts B and C, respectively. Also, the finality and review provisions are moved from current subpart F to proposed subpart E.<PRTPAGE P="2037"/>
        </P>
        <P>The FAA also found that the regulations could be improved by including streamlined procedures, as well as providing expanded coverage in those instances where guidance was lacking or a process has evolved over time. Examples of expanded coverage include the proposed addition of a section on the confidentiality of ADR (§ 17.39) and a section for filing requests for reconsideration (§ 17.47). In addition to these proposed revisions, new sections are added to proposed subpart F to address “other matters” like sanctions and professional conduct. Further, new subpart G is added to address procedures for filing pre-disputes.</P>
        <HD SOURCE="HD1">Discussion of the Proposed Regulatory Requirements</HD>
        <P>A discussion, organized by subpart, and excluding minor editorial revisions and clarifications, of proposed changes to 14 CFR part 17, follows.</P>
        <HD SOURCE="HD1">Subpart A—General</HD>
        <P>Subpart A would be revised as noted below.</P>
        <HD SOURCE="HD2">Definitions (§ 17.3)</HD>
        <P>The following new definitions would be added to this section: Adjudicative Process, Default Adjudicative Process, Counsel, Contractor, Legal Representative, and Pre-disputes.</P>
        <HD SOURCE="HD2">Filing and Computation of Time (§ 17.7)</HD>
        <P>Paragraph (c) would be revised to clarify that “other days on which Federal Government offices in Washington, DC are not open” is an excluded timeframe in calculating time limits for filings. In addition, paragraph (d) would be added to allow the use of electronic filing where permitted by the ODRA.</P>
        <HD SOURCE="HD2">Protective Orders (§ 17.9)</HD>
        <P>Paragraph (d) would be revised to explain the type of sanctions that could be imposed if a protective order is violated.</P>
        <HD SOURCE="HD1">Subpart B—Protests</HD>
        <P>In subpart B, current § 17.21 (Protest remedies) would be renumbered as § 17.23, and the Adjudicative process for protests section that is currently in subpart E would be moved to proposed § 17.21.</P>
        <HD SOURCE="HD2">Filing a Protest (§ 17.15)</HD>
        <P>Paragraph (d)(2) would be revised to make clear the standard of review for a request for a suspension or delay of the procurement. Also, paragraph (d)(3) would be added to explain the possible consequences of protesters' failure to provide appropriate supporting documentation in their requests to suspend a procurement or contract performance.</P>
        <HD SOURCE="HD2">Initial Protest Procedures (§ 17.17)</HD>
        <P>In § 17.17(a), the timeframes for responding to a request for a suspension or delay of the procurement would be revised according to the established ODRA practice of granting an extension until the date of the initial status conference. In § 17.17(b), the purpose of the initial status conference would be clarified. In § 17.17(c), the requirement that parties file a joint statement about whether they are pursuing ADR, and the adjudication timeframes that automatically begin when no ADR is contemplated would be removed.</P>
        <HD SOURCE="HD2">Motions Practice and Dismissal or Summary Decision of Protests (§ 17.19)</HD>
        <P>Paragraph (a) would be revised to clarify the use of appropriate motions for dismissal or summary decision of protests and the ODRA's standard of review for such motions. Paragraph (d) would be revised to clarify when such a decision is construed as a final agency order.</P>
        <HD SOURCE="HD2">Adjudicative Process for Protests (§ 17.21)</HD>
        <P>In addition to moving the procedures for the Adjudicative Process for protests (from current § 17.37 of subpart E) to proposed § 17.21 of subpart B, this section would be revised to more fully address the management of the discovery process and the type of discovery that is authorized. This section would be further revised to delineate the ODRA's standard of review for protests, the development of the administrative record, and under what circumstances ex parte communications are permitted in protests. In addition, the revisions to this section would address the procedures for preparing and issuing the ODRA's findings and recommendations and final FAA order.</P>
        <HD SOURCE="HD2">Protest Remedies (§ 17.23)</HD>
        <P>Paragraph (b) of this section would be revised to identify the factors the ODRA would consider in determining an appropriate remedy.</P>
        <HD SOURCE="HD1">Subpart C—Contract Disputes</HD>
        <P>In subpart C, current §§ 17.23, 17.25, 17.27, and 17.29 would be renumbered as §§ 17.25, 17.27, 17.29 and 17.31, respectively. Section 17.33 (Adjudicative process for contract disputes), which would be moved from current § 17.39 of subpart E, would be added to proposed subpart C. Also, the requirement in current § 17.27 (Submission of joint or separate statements) would be deleted.</P>
        <HD SOURCE="HD2">Filing a Contract Dispute (§ 17.25)</HD>
        <P>Paragraph (a) would be revised to provide additional guidance on the information to be included in the contract dispute. Paragraph (e) would be added to state the ODRA retains the discretion to modify any timeframe established by the regulations in connection to contract disputes.</P>
        <HD SOURCE="HD2">Informal Resolution Period (§ 17.29)</HD>
        <P>This section would be revised to conform to current practice regarding the informal resolution process. This would include clarifications related to scheduling and assigning a potential neutral for ADR.</P>
        <HD SOURCE="HD2">Dismissal or Summary Decision of Contract Disputes (§ 17.31)</HD>
        <P>Section 17.31 would be revised to clarify the standard for requesting a dismissal or summary decision, and the process for responding to and issuing a decision on a request for dismissal or summary decision. This section would also be revised to clarify when such a decision is to be construed as a final agency order.</P>
        <HD SOURCE="HD2">Adjudicative Process for Contract Disputes (§ 17.33)</HD>
        <P>In addition to moving this section from current § 17.39 of subpart E, § 17.33 would be revised to clarify that the process for submitting the Dispute File applies to cases initiated by the contractor or alternatively by the FAA. Also, it would be revised to more fully explain what documents will be admitted into the administrative record and the timeframes for responding to written discovery. Further, the section would be revised to streamline the requirements for final submissions. Additionally, the proposed revisions would state that the ODRA must conduct a de novo review using the preponderance of the evidence standard, unless a different standard is required. The proposed revisions would also identify the circumstances under which ex parte communications are permitted in contract disputes.</P>
        <HD SOURCE="HD1">Subpart D—Alternative Dispute Resolution</HD>

        <P>The current sections under subpart D would be renumbered from §§ 17.31 and 17.33 to §§ 17.35 and 17.37, respectively. Also, new § 17.39 (Confidentiality of ADR) would be added to provide the applicability of the Administrative Dispute Resolution Act of 1996, 5 U.S.C. § 571 et seq., and to<PRTPAGE P="2038"/>clarify how ADR communications are treated. Further, current § 17.35 (Selection of neutrals for the alternative dispute resolution process) would be deleted.</P>
        <HD SOURCE="HD1">Subpart E—Finality and Review</HD>
        <P>As noted previously, §§ 17.37 and 17.39 of current subpart E (Default Adjudicative Process) would be moved to subparts B (§ 17.21) and C (§ 17.33), respectively. In today's proposal, the requirements in current subpart F (Finality and Review—§§ 17.41, 17.43, and 17.45) would be moved to subpart E. Also, § 17.47 (Reconsideration) would be added to subpart E to provide the timeframe for filing requests for reconsideration and to state the standard for reconsideration according to ODRA precedent.</P>
        <HD SOURCE="HD1">Subpart F—Other Matters</HD>
        <P>Subpart F would be revised to add sections covering sanctions, decorum and professional conduct, the use of orders and subpoenas for testimony and document production, and Standing Orders of the ODRA Director.</P>
        <HD SOURCE="HD1">Subpart G—Pre-Disputes</HD>
        <P>A new subpart (subpart G) would be added. This subpart would make clear that the pre-dispute process applies to all potential disputes arising under contracts or solicitations with the FAA. Also, it would set forth the process for filing a pre-dispute. Further, it would clarify the non-binding voluntary nature of the pre-dispute process and that it is subject to the confidentiality requirements of proposed § 17.39.</P>
        <HD SOURCE="HD1">Appendix A to Part 17—Alternative Dispute Resolution (ADR)</HD>
        <P>Appendix A would be revised to eliminate the description of “Minitrial” and to add a provision that addresses and clarifies the use of binding arbitration.</P>
        <HD SOURCE="HD1">Paperwork Reduction Act</HD>
        <P>The Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) requires that the FAA consider the impact of paperwork and other information collection burdens imposed on the public. We have determined that there is no new information collection requirement associated with this proposed rule.</P>
        <HD SOURCE="HD1">International Compatibility</HD>
        <P>In keeping with U.S. obligations under the Convention on International Civil Aviation, it is FAA policy to conform to International Civil Aviation Organization (ICAO) Standards and Recommended Practices to the maximum extent practicable. The FAA has determined that there are no ICAO Standards and Recommended Practices that correspond to these proposed regulations.</P>
        <HD SOURCE="HD1">IV. Regulatory Evaluation, Regulatory Flexibility Determination, International Trade Impact Assessment, and Unfunded Mandates Assessment</HD>
        <P>Changes to Federal regulations must undergo several economic analyses. First, Executive Order 12866 directs that each Federal agency shall propose or adopt a regulation only upon a reasoned determination that the benefits of the intended regulation justify its costs. Second, the Regulatory Flexibility Act of 1980 (Pub. L. 96-354) requires agencies to analyze the economic impact of regulatory changes on small entities. Third, the Trade Agreements Act (Pub. L. 96-39) prohibits agencies from setting standards that create unnecessary obstacles to the foreign commerce of the United States. In developing U.S. standards, this Trade Act requires agencies to consider international standards and, where appropriate, that they be the basis of U.S. standards. Fourth, the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4) requires agencies to prepare a written assessment of the costs, benefits, and other effects of proposed or final rules that include a Federal mandate likely to result in the expenditure by State, local, or Tribal governments, in the aggregate, or by the private sector, of $100 million or more annually (adjusted for inflation with base year of 1995). This portion of the preamble summarizes the FAA's analysis of the economic impact of the proposed rule.</P>
        <P>Department of Transportation Order DOT 2100.5 prescribes policies and procedures for simplification, analysis, and review of regulations. If the expected cost impact is so minimal that a proposed or final rule does not warrant a full evaluation, this order permits that a statement to that effect and the basis for it be included in the preamble if a full regulatory evaluation of the costs and benefits is not prepared. Such a determination has been made for this proposed rule.</P>
        <P>The reasoning for this determination follows: Under the FAA's Acquisition Management System, the Office of Dispute Resolution for Acquisition (ODRA) manages the dispute resolution process, including administrative adjudication of all procurement protests and contract disputes. This proposed rule simplifies and clarifies the current part 17 regulations under which the ODRA operates, including clarifying language and definitions, reorganization and consolidation of certain sections, and simplification and clarification of certain procedures such as filing requirements. These changes would be cost beneficial as they make it easier to use the dispute resolution process.</P>
        <P>In addition, the proposed rule is updated to incorporate changes in statutory authority and additional authority delegated by the Administrator to the ODRA. These changes would have no effect on costs or benefits. The rulemaking would also codify a voluntary dispute avoidance and early resolution process that the ODRA is already using. The voluntary process is inherently less costly than the more formal dispute resolution process. The FAA expects that codification of the voluntary process will increase its use, thereby lowering the cost of the dispute resolution process.</P>
        <P>Since the changes to the proposed rule would either be cost beneficial or have no cost effect, we expect the proposed rule to have a minimal impact with positive benefits. The FAA therefore has determined that this proposed rule does not warrant a full regulatory evaluation. The FAA requests comments regarding this determination.</P>
        <P>The FAA has also determined that this proposed rule is not a “significant regulatory action” as defined in section 3(f) of Executive Order 12866, and is not “significant” as defined in DOT's Regulatory Policies and Procedures.</P>
        <HD SOURCE="HD1">Regulatory Flexibility Determination</HD>
        <P>The Regulatory Flexibility Act of 1980 (Pub. L. 96-354) (RFA) establishes “as a principle of regulatory issuance that agencies shall endeavor, consistent with the objectives of the rule and of applicable statutes, to fit regulatory and informational requirements to the scale of the businesses, organizations, and governmental jurisdictions subject to regulation. To achieve this principle, agencies are required to solicit and consider flexible regulatory proposals and to explain the rationale for their actions to assure that such proposals are given serious consideration.” The RFA covers a wide-range of small entities, including small businesses, not-for-profit organizations, and small governmental jurisdictions.</P>

        <P>Agencies must perform a review to determine whether a rule will have a significant economic impact on a substantial number of small entities. If the agency determines that it will, the agency must prepare a regulatory flexibility analysis as described in the RFA. However, if an agency determines that a rule is not expected to have a significant economic impact on a substantial number of small entities, section 605(b) of the RFA provides that<PRTPAGE P="2039"/>the head of the agency may so certify and a regulatory flexibility analysis is not required. The certification must include a statement providing the factual basis for this determination, and the reasoning should be clear.</P>
        <P>As noted above, the proposed changes to part 17 are either cost beneficial or have no effect on costs. Accordingly, the proposed rule would not have a significant impact on a substantial number of small entities. Therefore, the FAA certifies that this proposed rule would not have a significant economic impact on a substantial number of small entities. The FAA requests comments regarding this determination.</P>
        <HD SOURCE="HD1">Unfunded Mandates Assessment</HD>
        <P>Title II of the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4) requires each Federal agency to prepare a written statement assessing the effects of any Federal mandate in a proposed or final agency rule that may result in an expenditure of $100 million or more (adjusted annually for inflation with the base year 1995) in any one year by State, local, and Tribal governments, in the aggregate, or by the private sector; such a mandate is deemed to be a “significant regulatory action.” The FAA currently uses an inflation-adjusted value of $141.3 million.</P>
        <P>This proposed rule does not contain such a mandate. The requirements of Title II do not apply.</P>
        <HD SOURCE="HD1">Executive Order 13132, Federalism</HD>
        <P>The FAA has analyzed this proposed rule under the principles and criteria of Executive Order 13132, Federalism. We determined that this action would not have a substantial direct effect on the States, on the relationship between the national Government and the States, or on the distribution of power and responsibilities among the various levels of government, and, therefore, would not have federalism implications.</P>
        <HD SOURCE="HD1">Environmental Analysis</HD>
        <P>FAA Order 1050.1E identifies FAA actions that are categorically excluded from preparation of an environmental assessment or environmental impact statement under the National Environmental Policy Act in the absence of extraordinary circumstances. The FAA has determined this proposed rulemaking action qualifies for the categorical exclusion identified in paragraph 312d and involves no extraordinary circumstances.</P>
        <HD SOURCE="HD1">Regulations That Significantly Affect Energy Supply, Distribution, or Use</HD>
        <P>The FAA has analyzed this NPRM under Executive Order 13211, Actions Concerning Regulations that Significantly Affect Energy Supply, Distribution, or Use (May 18, 2001). We have determined that it is not a “significant energy action” under the executive order, it is not a “significant regulatory action” under Executive Order 12866 and DOT's Regulatory Policies and Procedures, and it is not likely to have a significant adverse effect on the supply, distribution, or use of energy.</P>
        <HD SOURCE="HD1">Additional Information</HD>
        <P>The FAA invites interested persons to participate in this rulemaking by submitting written comments, data, or views. We also invite comments relating to the economic, environmental, energy, or federalism impacts that might result from adopting the proposals in this document. The most helpful comments reference a specific portion of the proposal, explain the reason for any recommended change, and include supporting data. To ensure the docket does not contain duplicate comments, please send only one copy of written comments, or if you are filing comments electronically, please submit your comments only one time.</P>
        <P>We will file in the docket all comments we receive, as well as a report summarizing each substantive public contact with FAA personnel concerning this proposed rulemaking. Before acting on this proposal, we will consider all comments we receive on or before the closing date for comments. We will consider comments filed after the comment period has closed if it is possible to do so without incurring expense or delay. We may change this proposal in light of the comments we receive.</P>
        <HD SOURCE="HD2">Proprietary or Confidential Business Information</HD>

        <P>Do not file in the docket information that you consider to be proprietary or confidential business information. Send or deliver this information directly to the person identified in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section of this document. You must mark the information that you consider proprietary or confidential. If you send the information on a disk or CD-ROM, mark the outside of the disk or CD-ROM and identify electronically within the disk or CD-ROM the specific information that is proprietary or confidential.</P>
        <P>Under 14 CFR 11.35(b), when we are aware of proprietary information filed with a comment, we do not place it in the docket. We hold it in a separate file to which the public does not have access, and we place a note in the docket that we have received it. If we receive a request to examine or copy this information, we treat it as any other request under the Freedom of Information Act (5 U.S.C. 552). We process such a request under the DOT procedures found in 49 CFR part 7.</P>
        <HD SOURCE="HD2">Availability of Rulemaking Documents</HD>
        <P>You can get an electronic copy of rulemaking documents using the Internet by—</P>
        <P>1. Searching the Federal eRulemaking Portal (<E T="03">http://www.regulations.gov</E>);</P>
        <P>2. Visiting the FAA's Regulations and Policies Web page at<E T="03">http://www.faa.gov/regulations_policies</E>or</P>
        <P>3. Accessing the Government Printing Office's Web page at<E T="03">http://www.gpoaccess.gov/fr/index.html.</E>
        </P>
        <P>You can also get a copy by sending a request to the Federal Aviation Administration, Office of Rulemaking, ARM-1, 800 Independence Avenue, SW., Washington, DC 20591, or by calling (202) 267-9680. Make sure to identify the docket or notice number of this rulemaking.</P>
        <P>You may access all documents the FAA considered in developing this proposed rule, including economic analyses and technical reports, from the Internet through the Federal eRulemaking Portal referenced in paragraph (1).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 17</HD>
          <P>Administrative practice and procedure, Authority delegations (Government agencies), Government contracts.</P>
        </LSTSUB>
        <HD SOURCE="HD1">The Proposed Amendment</HD>
        <P>In consideration of the foregoing, the Federal Aviation Administration proposes to amend Chapter I of Title 14, Code of Federal Regulations by revising part 17 to read as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 17—PROCEDURES FOR PROTESTS AND CONTRACT DISPUTES</HD>
          <CONTENTS>
            <SUBPART>
              <HD SOURCE="HED">Subpart A—General</HD>
              <SECHD>Sec.</SECHD>
              <SECTNO>17.1</SECTNO>
              <SUBJECT>Applicability.</SUBJECT>
              <SECTNO>17.3</SECTNO>
              <SUBJECT>Definitions.</SUBJECT>
              <SECTNO>17.5</SECTNO>
              <SUBJECT>Delegation of authority.</SUBJECT>
              <SECTNO>17.7</SECTNO>
              <SUBJECT>Filing and computation of time.</SUBJECT>
              <SECTNO>17.9</SECTNO>
              <SUBJECT>Protective orders.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <HD SOURCE="HED">Subpart B—Protests</HD>
              <SECTNO>17.11</SECTNO>
              <SUBJECT>Matters not subject to protest.</SUBJECT>
              <SECTNO>17.13</SECTNO>
              <SUBJECT>Dispute resolution process for protests.</SUBJECT>
              <SECTNO>17.15</SECTNO>
              <SUBJECT>Filing a protest.</SUBJECT>
              <SECTNO>17.17</SECTNO>
              <SUBJECT>Initial protest procedures.</SUBJECT>
              <SECTNO>17.19</SECTNO>
              <SUBJECT>Motions practice and dismissal or summary decision of protests.</SUBJECT>
              <SECTNO>17.21</SECTNO>
              <SUBJECT>Adjudicative process for protests.</SUBJECT>
              <SECTNO>17.23</SECTNO>
              <SUBJECT>Protest remedies.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <PRTPAGE P="2040"/>
              <HD SOURCE="HED">Subpart C—Contract Disputes</HD>
              <SECTNO>17.25</SECTNO>
              <SUBJECT>Dispute resolution process for contract disputes.</SUBJECT>
              <SECTNO>17.27</SECTNO>
              <SUBJECT>Filing a contract dispute.</SUBJECT>
              <SECTNO>17.29</SECTNO>
              <SUBJECT>Informal resolution period.</SUBJECT>
              <SECTNO>17.31</SECTNO>
              <SUBJECT>Dismissal or summary decision of contract disputes.</SUBJECT>
              <SECTNO>17.33</SECTNO>
              <SUBJECT>Adjudicative Process for contract disputes.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <HD SOURCE="HED">Subpart D—Alternative Dispute Resolution</HD>
              <SECTNO>17.35</SECTNO>
              <SUBJECT>Use of alternative dispute resolution.</SUBJECT>
              <SECTNO>17.37</SECTNO>
              <SUBJECT>Election of alternative dispute resolution process.</SUBJECT>
              <SECTNO>17.39</SECTNO>
              <SUBJECT>Confidentiality of ADR.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <HD SOURCE="HED">Subpart E—Finality and Review</HD>
              <SECTNO>17.41</SECTNO>
              <SUBJECT>Final orders.</SUBJECT>
              <SECTNO>17.43</SECTNO>
              <SUBJECT>Judicial review.</SUBJECT>
              <SECTNO>17.45</SECTNO>
              <SUBJECT>Conforming amendments.</SUBJECT>
              <SECTNO>17.47</SECTNO>
              <SUBJECT>Reconsideration.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <HD SOURCE="HED">Subpart F—Other Matters</HD>
              <SECTNO>17.49</SECTNO>
              <SUBJECT>Sanctions.</SUBJECT>
              <SECTNO>17.51</SECTNO>
              <SUBJECT>Decorum and professional conduct.</SUBJECT>
              <SECTNO>17.53</SECTNO>
              <SUBJECT>Orders and subpoenas for testimony and document production.</SUBJECT>
              <SECTNO>17.55</SECTNO>
              <SUBJECT>Standing orders of the ODRA director.</SUBJECT>
            </SUBPART>
            <SUBPART>
              <HD SOURCE="HED">Subpart G—Pre-Disputes</HD>
              <SECTNO>17.57</SECTNO>
              <SUBJECT>Dispute resolution process for pre-disputes.</SUBJECT>
              <SECTNO>17.59</SECTNO>
              <SUBJECT>Filing a pre-dispute.</SUBJECT>
              <SECTNO>17.61</SECTNO>
              <SUBJECT>Use of alternative dispute resolution.</SUBJECT>
            </SUBPART>
            <FP SOURCE="FP-2">Appendix A to Part 17—Alternative Dispute Resolution (ADR)</FP>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>5 U.S.C. 570—581, 49 U.S.C. 106(f)(2), 40110, 40111, 40112, 46102, 46014, 46105, 46109, and 46110.</P>
          </AUTH>
          <SUBPART>
            <HD SOURCE="HED">Subpart A—General</HD>
            <SECTION>
              <SECTNO>§ 17.1</SECTNO>
              <SUBJECT>Applicability.</SUBJECT>
              <P>This part applies to all Acquisition Management System (AMS) bid protests and contract disputes involving the FAA that are filed at the Office of Dispute Resolution for Acquisition (ODRA) on or after the effective date of these regulations, with the exception of those contract disputes arising under or related to FAA contracts entered into prior to April 1, 1996, where such contracts have not been modified to be made subject to the FAA AMS. This part also applies to pre-disputes as described in subpart G hereof.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.3</SECTNO>
              <SUBJECT>Definitions.</SUBJECT>
              <P>(a)<E T="03">Accrual</E>means to come into existence as a legally enforceable claim.</P>
              <P>(b)<E T="03">Accrual of a contract claim</E>means that all events relating to a claim have occurred, which fix liability of either the government or the contractor and permit assertion of the claim, regardless of when the claimant actually discovered those events. For liability to be fixed, some injury must have occurred. Monetary damages need not have been incurred, but if the claim is for money, such damages must be capable of reasonable estimation. The accrual of a claim or the running of the limitations period may be tolled on equitable grounds, including but not limited to active concealment, fraud, or if the facts were inherently unknowable.</P>
              <P>(c)<E T="03">Acquisition Management System</E>(AMS) establishes the policies, guiding principles, and internal procedures for the FAA's acquisition system.</P>
              <P>(d)<E T="03">Adjudicative Process</E>is an administrative adjudicatory process used to decide protests and contract disputes where the parties have not achieved resolution through informal communication or the use of ADR. The Adjudicative Process is conducted by a Dispute Resolution Officer (DRO) or Special Master selected by the ODRA Director to preside over the case in accordance with Public Law 108-176, Section 224, Codified at 49 U.S.C. 40110(d)(4).</P>
              <P>(e)<E T="03">Administrator</E>means the Administrator of the Federal Aviation Administration.</P>
              <P>(f)<E T="03">Alternative Dispute Resolution</E>(ADR) is the primary means of voluntary dispute resolution that is employed by the ODRA.<E T="03">See</E>Appendix A of this part.</P>
              <P>(g)<E T="03">Compensated Neutral</E>refers to an impartial third party chosen by the parties to act as a facilitator, mediator, or arbitrator functioning to resolve the protest or contract dispute under the auspices of the ODRA. The parties pay equally for the services of a compensated neutral, unless otherwise agreed to by the parties. An ODRA DRO or neutral cannot be a compensated neutral.</P>
              <P>(h)<E T="03">Contract Dispute,</E>as used in this part, means a written request to the ODRA seeking, as a matter of right under an FAA contract subject to the AMS, the payment of money in a sum certain, the adjustment or interpretation of contract terms, or for other relief arising under, relating to, or involving an alleged breach of that contract. A contract dispute does not require, as a prerequisite, the issuance of a Contracting Officer final decision. Contract disputes, for purposes of ADR only, may also involve contracts not subject to the AMS.</P>
              <P>(i)<E T="03">Counsel</E>refers to a Legal Representative who is an attorney licensed by a State, the District of Columbia, or a territory of the United States to practice law or appear before the courts of that State or territory.</P>
              <P>(j)<E T="03">Contractor</E>is a party in contractual privity with the FAA and responsible for performance of a contract's requirements.</P>
              <P>(k)<E T="03">Discovery</E>is the procedure whereby opposing parties in a protest or contract dispute may, either voluntarily or to the extent ordered by the ODRA, obtain testimony from, or documents and information held by, other parties or non-parties.</P>
              <P>(l)<E T="03">Dispute Resolution Officer</E>(DRO) is an attorney and member of the ODRA staff. The term DRO can include the Director of the ODRA.</P>
              <P>(m)<E T="03">Interested party,</E>in the context of a bid protest, is one whose direct economic interest has been or would be affected by the award or failure to award an FAA contract. Proposed subcontractors are not “interested parties” within this definition and are not eligible to submit protests to the ODRA. Subcontractors not in privity with the FAA are not interested parties in the context of a contract dispute.</P>
              <P>(n)<E T="03">Intervenor</E>is an interested party other than the protester whose participation in a protest is allowed by the ODRA. For a post-award protest, the awardee of the contract that is the subject of the protest will be allowed, upon timely request, to participate as an intervenor in the protest. In such a protest, no other interested parties will be allowed to participate as intervenors.</P>
              <P>(o)<E T="03">Legal Representative</E>is an individual(s) designated to act on behalf of a party in matters before the ODRA. Unless otherwise provided under §§ 17.15(c)(2), 17.27(a)(1), or 17.59(a)(6), a Notice of Appearance must be filed with the ODRA containing the name, address, telephone and facsimile (Fax) numbers of a party's legal representative.</P>
              <P>(p)<E T="03">Neutral</E>refers to an impartial third party in the ADR process chosen by the parties to act as a facilitator, mediator, arbitrator, or otherwise to aid the parties in resolving a protest or contract dispute. A neutral can be a DRO or a person not an employee of the ODRA.</P>
              <P>(q)<E T="03">ODRA</E>is the FAA's exclusive forum acting on behalf of the Administrator, pursuant to the statutory authority granted by Public Law 108-176, Section 224, to provide dispute resolution services and to adjudicate matters within its jurisdiction. The ODRA may also provide non-binding dispute resolution services in matters outside of its jurisdiction where mutually requested to do so by the parties involved.</P>
              <P>(r)<E T="03">Parties</E>include the protester(s) or the contractor, the FAA, and any intervenor(s).</P>
              <P>(s)<E T="03">Pre-Disputes</E>mean an issue(s) in controversy concerning an FAA contract or solicitation of the parties that, by mutual agreement, is filed with the ODRA.<E T="03">See</E>subpart G, hereof.</P>
              <P>(t)<E T="03">Product Team,</E>as used in these rules, refers to the FAA organization(s) responsible for the procurement or<PRTPAGE P="2041"/>contracting activity, without regard to funding source, and includes the Contracting Officer (CO). The Product Team, acting through assigned FAA counsel, is responsible for all communications with and submissions to the ODRA in pending matters.</P>
              <P>(u)<E T="03">Screening Information Request</E>(SIR) or Solicitation means a request by the FAA for documentation, information, presentations, proposals, or binding offers concerning an approach to meeting potential acquisition requirements established by the FAA.</P>
              <P>(v) A<E T="03">Special Master</E>is a non-FAA attorney or judge who has been assigned by the ODRA to act as its finder of fact, and to make findings and recommendations based upon AMS policy and applicable law and authorities in the Adjudicative Process.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.5</SECTNO>
              <SUBJECT>Delegation of authority.</SUBJECT>
              <P>(a) The authority of the Administrator to conduct dispute resolution and adjudicative proceedings concerning acquisition matters, is delegated to the Director of the ODRA.</P>

              <P>(b) The Director of the ODRA may redelegate to Special Masters and DROs such delegated authority in paragraph (a) of this section as deemed necessary by the Director for efficient resolution of an assigned protest or contract dispute, including the imposition of sanctions for the filing of frivolous pleadings, making false statements, or other disciplinary actions.<E T="03">See</E>subpart F hereof.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.7</SECTNO>
              <SUBJECT>Filing and computation of time.</SUBJECT>
              <P>(a) Filing of a protest or contract dispute may be accomplished by overnight delivery, by hand delivery, by Fax, or, if permitted by Order of the ODRA, by electronic filing. A protest or contract dispute is considered to be filed on the date it is received by the ODRA during normal business hours. The ODRA's normal business hours are from 8:30 a.m. to 5 p.m. Eastern Time. A protest or contract dispute received after the time period prescribed for filing, shall not be considered timely filed. Service shall also be made on the CO pursuant to §§ 17.15(e) and 17.27(d).</P>
              <P>(b) Submissions to the ODRA after the initial filing of a protest or contract dispute may be accomplished by any means available in paragraph (a) of this section. Copies of all such submissions shall be served on the opposing party or parties.</P>
              <P>(c) The time limits stated in this part are calculated in business days, which exclude weekends, Federal holidays and other days on which Federal Government offices in Washington, DC are not open. In computing time, the day of the event beginning a period of time shall not be included. If the last day of a period falls on a weekend or a Federal holiday, the first business day following the weekend or holiday shall be considered the last day of the period.</P>
              <P>(d)<E T="03">Electronic Filing.</E>Procedures for electronic filing may be utilized where permitted by Order of the ODRA on a case-by-case basis or pursuant to a Standing Order of the ODRA permitting electronic filing.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.9</SECTNO>
              <SUBJECT>Protective orders.</SUBJECT>
              <P>(a) The ODRA may issue protective orders addressing the treatment of protected information, including protected information in electronic form, either at the request of a party or upon its own initiative. Such information may include proprietary, confidential, or source-selection-sensitive material, or other information the release of which could result in a competitive advantage to one or more firms.</P>
              <P>(b) The terms of the ODRA's standard protective order may be altered to suit particular circumstances, by negotiation of the parties, subject to the approval of the ODRA. The protective order establishes procedures for application for access to protected information, identification and safeguarding of that information, and submission of redacted copies of documents omitting protected information.</P>
              <P>(c) After a protective order has been issued, counsel or consultants retained by counsel appearing on behalf of a party may apply for access to the material under the order by submitting an application to the ODRA, with copies furnished simultaneously to all parties. The application shall establish that the applicant is not involved in competitive decision making for any firm that could gain a competitive advantage from access to the protected information and that the applicant will diligently protect any protected information received from inadvertent disclosure. Objections to an applicant's admission shall be raised within two (2) days of the application, although the ODRA may consider objections raised after that time for good cause.</P>
              <P>(d) Any violation of the terms of a protective order may result in the imposition of sanctions, including but not limited to removal of the violator from the protective order and reporting of the violator to his or her bar association(s), and the taking of other actions as the ODRA deems appropriate. Additional civil or criminal penalties may apply.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart B—Protests</HD>
            <SECTION>
              <SECTNO>§ 17.11</SECTNO>
              <SUBJECT>Matters not subject to protest.</SUBJECT>
              <P>The following matters may not be protested before the ODRA, except for review of compliance with the AMS:</P>
              <P>(a) FAA purchases from or through, State, local, and Tribal governments and public authorities;</P>
              <P>(b) FAA purchases from or through other Federal agencies;</P>
              <P>(c) Grants;</P>
              <P>(d) Cooperative agreements;</P>
              <P>(e) Other transactions.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.13</SECTNO>
              <SUBJECT>Dispute resolution process for protests.</SUBJECT>
              <P>(a) Protests concerning FAA SIRs, solicitations, or contract awards shall be resolved pursuant to this part.</P>
              <P>(b) Potential protestors should, where possible, attempt to resolve any issues concerning potential protests with the CO. Such attempts are not a prerequisite to filing a protest with the ODRA.</P>
              <P>(c) Offerors or prospective offerors shall file a protest with the ODRA in accordance with § 17.15. The protest time limitations set forth in § 17.15 will not be extended by attempts to resolve a potential protest with the CO. Other than the time limitations specified in § 17.15 for the filing of protests, the ODRA retains the discretion to modify any timeframes established herein in connection with protests.</P>
              <P>(d) In accordance with § 17.17(b), the ODRA shall convene an initial status conference for the purpose of scheduling proceedings in the protest and to encourage the parties to consider using the ODRA's ADR process to attempt to resolve the protest, pursuant to subpart D of this part. It is the Agency's policy to use voluntary ADR to the maximum extent practicable. If the parties elect not to attempt ADR, or if ADR efforts do not completely resolve the protest, the protest will proceed under the ODRA Adjudicative Process set forth in subpart E of this part. Informal ADR techniques may be utilized simultaneously with ongoing adjudication.</P>
              <P>(e) The ODRA Director shall designate DROs, outside neutrals or Special Masters as potential neutrals for the resolution of protests through ADR. The ultimate choice of an ADR neutral is made by the parties participating in the ADR. The ODRA Director also shall, at his or her sole discretion, designate an adjudicating DRO or Special Master for each matter. A person serving as a neutral in an ADR effort in a matter, shall not serve as an adjudicating DRO or Special Master for that matter.</P>

              <P>(f) Multiple protests concerning the same SIR, solicitation, or contract award<PRTPAGE P="2042"/>may be consolidated at the discretion of the ODRA Director, and assigned to a single DRO or Special Master for adjudication.</P>
              <P>(g) Procurement activities, and, where applicable, contractor performance pending resolution of a protest, shall continue during the pendency of a protest, unless there is a compelling reason to suspend all or part of the procurement activities or contractor performance. Pursuant to §§ 17.15(d) and 17.17(a), the ODRA may impose a temporary suspension and recommend suspension of award or contract performance, in whole or in part, for a compelling reason. A decision to suspend procurement activities or contractor performance is made in writing by the Administrator or the Administrator's delegee upon recommendation of the ODRA.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.15</SECTNO>
              <SUBJECT>Filing a protest.</SUBJECT>
              <P>(a) An interested party may initiate a protest by filing with the ODRA in accordance with § 17.7(a) within the timeframes set forth in this Section. Protests that are not timely filed shall be dismissed. The timeframes applicable to the filing of protests are as follows:</P>
              <P>(1) Protests based upon alleged improprieties in a solicitation or a SIR that are apparent prior to bid opening or the time set for receipt of initial proposals shall be filed prior to bid opening or the time set for the receipt of initial proposals.</P>
              <P>(2) In procurements where proposals are requested, alleged improprieties that do not exist in the initial solicitation, but which are subsequently incorporated into the solicitation, must be protested not later than the next closing time for receipt of proposals following the incorporation.</P>
              <P>(3) For protests other than those related to alleged solicitation improprieties, the protest must be filed on the later of the following two dates:</P>
              <P>(i) Not later than seven (7) business days after the date the protester knew or should have known of the grounds for the protest; or</P>
              <P>(ii) If the protester has requested a post-award debriefing from the FAA Product Team, not later than five (5) business days after the date on which the Product Team holds that debriefing.</P>

              <P>(b) Protests shall be filed at: (1) ODRA, AGC-70, Federal Aviation Administration, 800 Independence Avenue, SW., Room 323, Washington, DC 20591.<E T="03">Telephone:</E>(202) 267-3290.<E T="03">Fax:</E>(202) 267-3720; or</P>

              <P>(2) Other address as shall be published from time to time in the<E T="04">Federal Register</E>.</P>
              <P>(c) A protest shall be in writing, and set forth:</P>
              <P>(1) The protester's name, address, telephone number, and FAX number;</P>
              <P>(2) The name, address, telephone number, and FAX number of the protester's legal representative, and who shall be duly authorized to represent the protester, to be the point of contact;</P>
              <P>(3) The SIR number or, if available, the contract number and the name of the CO;</P>
              <P>(4) The basis for the protester's status as an interested party;</P>
              <P>(5) The facts supporting the timeliness of the protest;</P>
              <P>(6) Whether the protester requests a protective order, the material to be protected, and attach a redacted copy of that material;</P>
              <P>(7) A detailed statement of both the legal and factual grounds of the protest, and attach one (1) copy of each relevant document;</P>
              <P>(8) The remedy or remedies sought by the protester, as set forth in § 17.23;</P>
              <P>(9) The signature of the legal representative, or another person duly authorized to represent the protester.</P>
              <P>(d) If the protester wishes to request a suspension of the procurement or contract performance, in whole or in part, and believes that a compelling reason(s) exists to suspend the procurement or contract performance because of the protested action, the protester shall, in its initial filing:</P>
              <P>(1) Set forth such compelling reason(s), supply all facts and documents supporting the protester's position; and</P>
              <P>(2) Demonstrate—(i) The protester has alleged a substantial case; (ii) The lack of a suspension would be likely to cause irreparable injury; (iii) The relative hardships on the parties favor a suspension; and (iv) Whether a suspension is in the public interest.</P>
              <P>(3) Failure of a protester to provide information or documents in support of a requested suspension or failure to address the elements of paragraph (d)(2) of this section may result in the summary rejection of the request for suspension, or a requirement that the protester supplement its request prior to the scheduling of a Product Team response to the request under § 17.17(a).</P>
              <P>(e) Concurrently with the filing of a protest with the ODRA, the protester shall serve a copy of the protest on the CO and any other official designated in the SIR for receipt of protests, by means reasonably calculated to be received by the CO on the same day as it is to be received by the ODRA. The protest shall include a signed statement from the protester, certifying to the ODRA the manner of service, date, and time when a copy of the protest was served on the CO and other designated official(s).</P>
              <P>(f) Upon receipt of the protest, the CO shall notify the awardee of a challenged contract award in writing of the existence of the protest. The awardee and/or interested parties shall notify the ODRA in writing, of their interest in participating in the protest as intervenors within two (2) business days of receipt of the CO's notification, and shall, in such notice, designate a person as the point of contact for the ODRA.</P>
              <P>(g) The ODRA has discretion to designate the parties who shall participate in the protest as intervenors. In protests of awarded contracts, only the awardee may participate as an intervenor as a matter of right.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.17</SECTNO>
              <SUBJECT>Initial protest procedures.</SUBJECT>
              <P>(a) If, as part of its initial protest filing, the protester requests a suspension of procurement activities or contractor performance in whole or in part, in accordance with § 17.15(d), the Product Team shall submit a response to the request to the ODRA by no later than the close of business on the date of the initial scheduling conference or on such other date as is established by the ODRA. Copies of the response shall be furnished to the protester and any intervenor(s) so as to be received within the same timeframe. The protester and any intervenor(s) shall have the opportunity of providing additional comments on the response within two (2) business days of receiving it. Based on its review of such submissions, the ODRA, in its discretion, may:</P>
              <P>(1) Decline the suspension request; or</P>
              <P>(2) Recommend such suspension to the Administrator or the Administrator's designee. The ODRA also may impose a temporary suspension of no more than ten (10) business days, where it is recommending that the Administrator impose a suspension.</P>
              <P>(b) Within five (5) business days of the filing of a protest, or as soon thereafter as practicable, the ODRA shall convene an initial status conference for purposes of:</P>
              <P>(1) Reviewing the ODRA's ADR and adjudication procedures and establishing a preliminary schedule;</P>
              <P>(2) Identifying legal or other preliminary or potentially dispositive issues and answering the parties' questions regarding the ODRA process;</P>
              <P>(3) Dealing with issues related to protected information and the issuance of any needed protective order;</P>
              <P>(4) Encouraging the parties to consider using ADR;</P>

              <P>(5) Appointing a DRO as a potential ADR neutral to assist the parties in<PRTPAGE P="2043"/>considering ADR options and developing an ADR agreement; and</P>
              <P>(6) For any other reason deemed appropriate by the DRO or by the ODRA.</P>

              <P>(c) The Product Team and protester will have five (5) business days from the date of the initial status conference to decide whether they will attempt to use an ADR process in the case. With the agreement of the ODRA, ADR may be used concurrently with the adjudication of a protest.<E T="03">See</E>§ 17.37(e).</P>
              <P>(d) Should the Product Team and protester elect to use ADR proceedings to resolve the protest, they will agree upon the neutral to conduct the ADR proceedings (either an ODRA DRO or a compensated neutral of their own choosing) pursuant to § 17.37, and shall execute and file with the ODRA a written ADR agreement. Agreement of any intervenor(s) to the use of ADR or the resolution of a dispute through ADR shall not be required.</P>
              <P>(e) Should the Product Team or protester indicate that ADR proceedings will not be used, or if ADR is not successful in resolving the entire protest, the ODRA Director upon being informed of the situation, will schedule an adjudication of the protest.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.19</SECTNO>
              <SUBJECT>Motions practice and dismissal or summary decision of protests.</SUBJECT>
              <P>(a) Separate motions generally are discouraged in ODRA bid protests. Counsel and parties are encouraged to incorporate any such motions in their respective agency responses or comments. Parties and counsel are encouraged to attempt to resolve typical motions issues through the ODRA ADR process. The ODRA may rule on any non-dispositive motion, where appropriate and necessary, after providing an opportunity for briefing on the motion by all affected parties. Unjustifiable, inappropriate use of motions may result in the imposition of sanctions. Where appropriate, a party may request by dispositive motion to the ODRA, or the ODRA may recommend or order, that:</P>
              <P>(1) The protest, or any count or portion of a protest, be dismissed for lack of jurisdiction, timeliness, or standing to pursue the protest;</P>
              <P>(2) The protest, or any count or portion of a protest, be dismissed, if frivolous or without basis in fact or law, or for failure to state a claim upon which relief may be had;</P>
              <P>(3) A summary decision be issued with respect to the protest, or any count or portion of a protest, if:</P>
              <P>(i) There are no material facts in dispute and the undisputed material facts demonstrate that the Product Team decision, action or inaction in question, was consistent with the requirements of the AMS, had a rational basis, and was not arbitrary, capricious or an abuse of discretion; or</P>
              <P>(ii) There are no material facts in dispute and the undisputed material facts demonstrate, that the Product Team decision, action or inaction in question, was inconsistent with the requirements of the AMS, lacked a rational basis or was arbitrary, capricious or an abuse of discretion.</P>
              <P>(b) In connection with consideration of possible dismissal or summary decision, the ODRA shall consider any material facts in dispute, in a light most favorable to the party against whom the dismissal or summary decision would operate and draw all factual inferences in favor of the non-moving party.</P>
              <P>(c) Either upon motion by a party or on its own initiative, the ODRA may, at any time, exercise its discretion to:</P>
              <P>(1) Recommend to the Administrator dismissal or the issuance of a summary decision with respect to the entire protest;</P>
              <P>(2) Dismiss the entire protest or issue a summary decision with respect to the entire protest, if delegated that authority by the Administrator; or</P>
              <P>(3) Dismiss or issue a summary decision with respect to any count or portion of a protest.</P>
              <P>(d) A dismissal or summary decision regarding the entire protest by either the Administrator, or the ODRA by delegation, shall be construed as a final agency order. A dismissal or summary decision that does not resolve all counts or portions of a protest shall not constitute a final agency order, unless and until such dismissal or decision is incorporated or otherwise adopted in a decision by the Administrator (or the ODRA, by delegation) regarding the entire protest.</P>
              <P>(e) Prior to recommending or entering either a dismissal or a summary decision, either in whole or in part, the ODRA shall afford all parties against whom the dismissal or summary decision is to be entered the opportunity to respond to the proposed dismissal or summary decision.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.21</SECTNO>
              <SUBJECT>Adjudicative Process for protests.</SUBJECT>
              <P>(a) Other than for the resolution of preliminary or dispositive matters, the Adjudicative Process for protests will be commenced by the ODRA Director pursuant to § 17.17(e).</P>
              <P>(b) The Director of the ODRA shall appoint a DRO or a Special Master to conduct the adjudication proceedings, develop the administrative record, and prepare findings and recommendations for review of the ODRA Director.</P>
              <P>(c) The DRO or Special Master may conduct such proceedings and prepare procedural orders for the proceedings as deemed appropriate; and may require additional submissions from the parties.</P>
              <P>(d) The Product Team response to the protest will be due to be filed and served ten (10) business days from the commencement of the ODRA Adjudication process. The Product Team response shall consist of a written chronological, supported statement of proposed facts, and a written presentation of applicable legal or other defenses. The Product Team response shall cite to and be accompanied by all relevant documents, which shall be chronologically indexed, individually tabbed, and certified as authentic and complete. A copy of the response shall be furnished so as to be received by the protester and any intervenor(s) on the same date it is filed with the ODRA. In all cases, the Product Team shall indicate the method of service used.</P>
              <P>(e) Comments of the protester and the intervenor on the Product Team response will be due to be filed and served five (5) business days after their receipt of the response. Copies of such comments shall be provided to the other participating parties by the same means and on the same date as they are furnished to the ODRA. Comments may include any supplemental relevant documents.</P>
              <P>(f) The ODRA may alter the schedule for filing of the Product Team response and the comments for good cause or to accommodate the circumstances of a particular protest.</P>
              <P>(g) The DRO or Special Master may convene the parties and/or their representatives, as needed, to pursue the Adjudicative Process.</P>
              <P>(h) If, in the sole judgment of the DRO or Special Master, the parties have presented written material sufficient to allow the protest to be decided on the record presented, the DRO or Special Master shall have the discretion to decide the protest on that basis.</P>
              <P>(i) The parties may engage in limited, focused discovery with one another and, if justified, with non-parties, so as to obtain information relevant to the allegations of the protest.</P>
              <P>(1) The DRO or Special Master shall manage the discovery process, including limiting its length and availability, and shall establish schedules and deadlines for discovery, which are consistent with timeframes established in this part and with the FAA policy of providing fair and expeditious dispute resolution.</P>

              <P>(2) The DRO or Special Master may also direct the parties to exchange, in an expedited manner, relevant, non-privileged documents.<PRTPAGE P="2044"/>
              </P>
              <P>(3) Where justified, the DRO or Special Master may direct the taking of deposition testimony, however, the FAA dispute resolution process does not contemplate extensive discovery.</P>
              <P>(4) The use of interrogatories and requests for admission is not permitted in ODRA bid protests.</P>
              <P>(5) Where parties cannot voluntarily reach agreement on a discovery-related issue, they may timely seek assistance from an ODRA ADR neutral or may file an appropriate motion with the ODRA. Parties may request a subpoena.</P>
              <P>(6) Discovery requests and responses are not part of the record and will not be filed with the ODRA, except in connection with a motion or other permissible filing.</P>
              <P>(7) Unless timely objection is made, documents properly filed with the ODRA will be deemed admitted into the administrative record.</P>
              <P>(k) Hearings are not typically held in bid protests. The DRO or Special Master may conduct hearings, and may limit the hearings to the testimony of specific witnesses and/or presentations regarding specific issues. The DRO or Special Master shall control the nature and conduct of all hearings, including the sequence and extent of any testimony. Hearings will be conducted:</P>
              <P>(1) Where the DRO or Special Master determines that there are complex factual issues in dispute that cannot adequately or efficiently be developed solely by means of written presentations and/or that resolution of the controversy will be dependent on his/her assessment of the credibility of statements provided by individuals with first-hand knowledge of the facts; or</P>
              <P>(2) Upon request of any party to the protest, unless the DRO or Special Master finds specifically that a hearing is unnecessary and that no party will be prejudiced by limiting the record in the adjudication to the parties' written submissions. All witnesses at any such hearing shall be subject to cross-examination by the opposing party and to questioning by the DRO or Special Master.</P>
              <P>(l) The Director of the ODRA may review the status of any protest in the Adjudicative Process with the DRO or Special Master.</P>
              <P>(m) After the closing of the administrative record, the DRO or Special Master will prepare and submit findings and recommendations to the ODRA that shall contain the following:</P>
              <P>(1) Findings of fact;</P>
              <P>(2) Application of the principles of the AMS, and any applicable law or authority to the findings of fact;</P>
              <P>(3) A recommendation for a final FAA order; and</P>
              <P>(4) If appropriate, suggestions for future FAA action.</P>
              <P>(n) In preparing findings and recommendations in protests, the DRO or Special Master, using the preponderance of the evidence standard, shall consider whether the Product Team actions in question were consistent with the requirements of the AMS, had a rational basis, and whether the Product Team decision was arbitrary, capricious or an abuse of discretion. Notwithstanding the above, allegations that government officials acted with bias or in bad faith must be established by clear and convincing evidence.</P>
              <P>(o) The DRO or Special Master has broad discretion to recommend a remedy that is consistent with § 17.23.</P>
              <P>(p) A DRO or Special Master shall submit findings and recommendations only to the Director of the ODRA or the Director's designee. The findings and recommendations will be released to the parties and to the public upon issuance of the final FAA order in the case. Should an ODRA protective order be issued in connection with the protest, or should a protest involve proprietary or competition-sensitive information, a redacted version of the findings and recommendations, omitting any protected information, shall be prepared wherever possible and released to the public, as soon as is practicable, along with a copy of the final FAA order. Only persons admitted by the ODRA under the protective order and Government personnel shall be provided copies of the unredacted findings and recommendations that contain proprietary or competition-sensitive information.</P>
              <P>(q) Other than communications regarding purely procedural matters or ADR, there shall be no substantive ex parte communication between ODRA personnel and any principal or representative of a party concerning a pending or potentially pending matter. A potential or serving ADR neutral may communicate on an ex parte basis to establish or conduct the ADR.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.23</SECTNO>
              <SUBJECT>Protest remedies.</SUBJECT>
              <P>(a) The ODRA has broad discretion to recommend and impose protest remedies that are consistent with the AMS and applicable law. Such remedies may include, but are not limited to one or more, or a combination of, the following:</P>
              <P>(1) Amend the SIR;</P>
              <P>(2) Refrain from exercising options under the contract;</P>
              <P>(3) Issue a new SIR;</P>
              <P>(4) Require a recompetition or revaluation;</P>
              <P>(5) Terminate an existing contract for the FAA's convenience;</P>
              <P>(6) Direct an award to the protester;</P>
              <P>(7) Award bid and proposal costs; or</P>
              <P>(8) Any other remedy consistent with the AMS that is appropriate under the circumstances.</P>
              <P>(b) In determining the appropriate recommendation, the ODRA may consider the circumstances surrounding the procurement or proposed procurement including, but not limited to: the nature of the procurement deficiency; the degree of prejudice to other parties or to the integrity of the acquisition system; the good faith of the parties; the extent of performance completed; the feasibility of any proposed remedy; the urgency of the procurement; the cost and impact of the recommended remedy, and the impact on the Agency's mission.</P>
              <P>(c) Attorney's fees of a prevailing protester are allowable to the extent permitted by the Equal Access to Justice Act, 5 U.S.C. 504(a)(1)(EAJA) and 14 CFR part 14.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart C—Contract Disputes</HD>
            <SECTION>
              <SECTNO>§ 17.25</SECTNO>
              <SUBJECT>Dispute resolution process for contract disputes.</SUBJECT>
              <P>(a) All contract disputes arising under contracts subject to the AMS shall be resolved under this subpart.</P>
              <P>(b) Contract disputes shall be filed with the ODRA pursuant to § 17.27.</P>
              <P>(c) The ODRA has broad discretion to recommend remedies for a contract dispute that are consistent with the AMS and applicable law, including such equitable remedies or other remedies as it deems appropriate.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.27</SECTNO>
              <SUBJECT>Filing a contract dispute.</SUBJECT>
              <P>(a) Contract disputes must be in writing and should contain:</P>
              <P>(1) The contractor's name, address, telephone and Fax numbers and the name, address, telephone and Fax numbers of the contractor's legal representative(s) (if any) for the contract dispute;</P>
              <P>(2) The contract number and the name of the Contracting Officer;</P>
              <P>(3) A detailed chronological statement of the facts and of the legal grounds underlying the contract dispute, broken down by individual claim item, citing to relevant contract provisions and attaching copies of the contract and other relevant documents;</P>
              <P>(4) Information establishing the ODRA's jurisdiction and the timeliness of the contract dispute;</P>

              <P>(5) A request for a specific remedy, and the amount, if known, of any monetary remedy requested, together with pertinent cost information and<PRTPAGE P="2045"/>documentation (<E T="03">e.g.,</E>invoices and cancelled checks). Supporting documentation should be broken down by individual claim item and summarized; and</P>
              <P>(6) The signature of a duly authorized representative of the initiating party.</P>

              <P>(b) Contract disputes shall be filed at the following address:ODRA, AGC-70, Federal Aviation Administration, 800 Independence Avenue, SW., Room 323, Washington, DC 20591.<E T="03">Telephone:</E>(202) 267-3290.<E T="03">Fax:</E>(202) 267-3720.</P>
              <P>(c) A contract dispute against the FAA shall be filed with the ODRA within two (2) years of the accrual of the contract claim involved. A contract dispute by the FAA against a contractor (excluding contract disputes alleging warranty issues, fraud or latent defects) likewise shall be filed within two (2) years of the accrual of the contract claim. If an underlying contract entered into prior to the effective date of this part provides for time limitations for filing of contract disputes with the ODRA, which differ from the aforesaid two (2) year period, the limitation periods in the contract shall control over the limitation period of this section. In no event will either party be permitted to file with the ODRA a contract dispute seeking an equitable adjustment or other damages after the contractor has accepted final contract payment, with the exception of FAA contract disputes related to warranty issues, gross mistakes amounting to fraud or latent defects. FAA contract disputes against the contractor based on warranty issues must be filed within the time specified under applicable contract warranty provisions. Any FAA contract disputes against the contractor based on gross mistakes amounting to fraud or latent defects shall be filed with the ODRA within two (2) years of the date on which the FAA knew or should have known of the presence of the fraud or latent defect.</P>
              <P>(d) A party shall serve a copy of the contract dispute upon the other party, by means reasonably calculated to be received on the same day as the filing is received by the ODRA.</P>
              <P>(e) With the exception of the time limitations established herein for the filing of contract disputes, the ODRA retains the discretion to modify any timeframe established herein in connection with contract disputes.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.29</SECTNO>
              <SUBJECT>Informal resolution period.</SUBJECT>
              <P>(a) The ODRA process for contract disputes includes an informal resolution period of twenty (20) business days from the date of filing in order for the parties to attempt to informally resolve the contract dispute either through direct negotiation or with the assistance of the ODRA. The CO, with the advice of FAA legal counsel, has full discretion to settle contract disputes, except where the matter involves fraud.</P>
              <P>(b) During the informal resolution period, if the parties request it, the ODRA will appoint a DRO for ADR who will discuss ADR options with the parties, offer his or her services as a potential neutral, and assist the parties to enter into an agreement for a formal ADR process. A person serving as a neutral in an ADR effort in a matter shall not serve as an adjudicating DRO or Special Master for that matter.</P>
              <P>(c) The informal resolution period may be extended at the request of the parties for good cause.</P>
              <P>(d) If the matter has not been resolved informally, the parties shall file joint or separate statements with the ODRA no later than twenty (20) business days after the filing of the contract dispute. The ODRA may extend this time, pursuant to § 17.27(e). The statement(s) shall include either:</P>
              <P>(1) A joint request for ADR, or an executed ADR agreement, pursuant to § 17.37(d), specifying which ADR techniques will be employed; or</P>
              <P>(2) Written explanation(s) as to why ADR proceedings will not be used and why the Adjudicative Process will be needed.</P>
              <P>(e) If the contract dispute is not completely resolved during the informal resolution period, the ODRA's Adjudicative Process will commence unless the parties have reached an agreement to attempt a formal ADR effort. As part of such an ADR agreement the parties, with the concurrence of the ODRA, may agree to defer commencement of the adjudication process pending completion of the ADR or that the ADR and adjudication process will run concurrently. If a formal ADR is attempted but does not completely resolve the contract dispute, the Adjudicative Process will commence.</P>
              <P>(f) The ODRA shall hold a status conference with the parties within ten (10) business days, or as soon thereafter as is practicable, of the ODRA's receipt of a written notification that ADR proceedings will not be used, or have not fully resolved the Contract Dispute. The purpose of the status conference will be to commence the Adjudicative Process and establish the schedule for adjudication.</P>
              <P>(g) The submission of a statement which indicates that ADR will not be utilized will not in any way preclude the parties from engaging in non-binding ADR techniques during the Adjudicative Process, pursuant to subpart D.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.31</SECTNO>
              <SUBJECT>Dismissal or summary decision of contract disputes.</SUBJECT>
              <P>(a) Any party may request by motion, or the ODRA on its own initiative may recommend or direct, that a contract dispute be dismissed, or that a count or portion thereof be stricken, if:</P>
              <P>(1) It was not timely filed;</P>
              <P>(2) It was filed by a subcontractor or other person or entity lacking standing;</P>
              <P>(3) It fails to state a matter upon which relief may be had; or</P>
              <P>(4) It involves a matter not subject to the jurisdiction of the ODRA.</P>
              <P>(b) Any party may request by motion, or the ODRA on its own initiative may recommend or direct, that a summary decision be issued with respect to a contract dispute, or any count or portion thereof if there are no material facts in dispute and a party is entitled to a summary decision as a matter of law.</P>
              <P>(c) In connection with any potential dismissal of a contract dispute, or summary decision, the ODRA will consider any material facts in dispute in a light most favorable to the party against whom the dismissal or summary decision would be entered, and draw all factual inferences in favor of that party.</P>
              <P>(d) At any time, whether pursuant to a motion or on its own initiative and at its discretion, the ODRA may:</P>
              <P>(1) Dismiss or strike a count or portion of a contract dispute or enter a partial summary decision;</P>
              <P>(2) Recommend to the Administrator that the entire contract dispute be dismissed or that a summary decision be entered; or</P>
              <P>(3) With a delegation from the Administrator, dismiss the entire contract dispute or enter a summary decision with respect to the entire contract dispute.</P>
              <P>(e) An order of dismissal of the entire contract dispute or summary decision with respect to the entire contract dispute, issued either by the Administrator or by the ODRA, on the grounds set forth in this section, shall constitute a final agency order. An ODRA order dismissing or striking a count or portion of a contract dispute or entering a partial summary judgment shall not constitute a final agency order, unless and until such ODRA order is incorporated or otherwise adopted in a final agency decision of the Administrator or the Administrator's delegee regarding the remainder of the dispute.</P>

              <P>(f) Prior to recommending or entering either a dismissal or a summary decision, either in whole or in part, the ODRA shall afford all parties against<PRTPAGE P="2046"/>whom the dismissal or summary decision would be entered the opportunity to respond to a proposed dismissal or summary decision.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.33</SECTNO>
              <SUBJECT>Adjudicative Process for contract disputes.</SUBJECT>
              <P>(a) The Adjudicative Process for contract disputes will be commenced by the ODRA Director upon being notified by the ADR neutral or by any party that either:</P>
              <P>(1) The parties will not be attempting ADR; or</P>
              <P>(2) The parties have not settled all of the dispute issues via ADR, and it is unlikely that they can do so within the time period allotted and/or any reasonable extension.</P>
              <P>(b) In cases initiated by a contractor against the FAA, within twenty (20) business days of the commencement of the Adjudicative Process or as scheduled by the ODRA, the Product Team shall prepare and submit to the ODRA, with a copy to the contractor, a chronologically arranged and indexed substantive response, containing a legal and factual position regarding the dispute and all documents relevant to the facts and issues in dispute. The contractor will be entitled, at a specified time, to supplement the record with additional documents.</P>
              <P>(c) In cases initiated by the FAA against a contractor, within twenty (20) business days of the commencement of the Adjudicative Process or as scheduled by the ODRA, the contractor shall prepare and submit to the ODRA, with a copy to the Product Team counsel, a chronologically arranged and indexed substantive response, containing a legal and factual position regarding the dispute and all documents relevant to the facts and issues in dispute. The Product Team will be entitled, at a specified time, to supplement the record with additional documents.</P>
              <P>(d) Unless timely objection is made, documents properly filed with the ODRA will be deemed admitted into the administrative record. Discovery requests and responses are not part of the record and will not be filed with the ODRA, except in connection with a motion or other permissible filing. Designated, relevant portions of such documents may be filed, with the permission of the ODRA.</P>
              <P>(e) The Director of the ODRA shall assign a DRO or a Special Master to conduct adjudicatory proceedings, develop the administrative adjudication record and prepare findings and recommendations for the review of the ODRA Director or the Director's designee.</P>
              <P>(f) The DRO or Special Master may conduct a status conference(s) as necessary and issue such orders or decisions as are necessary to promote the efficient resolution of the contract dispute.</P>
              <P>(g) At any such status conference, or as necessary during the Adjudicative Process, the DRO or Special Master will:</P>
              <P>(1) Determine the appropriate amount of discovery required to resolve the dispute;</P>
              <P>(2) Review the need for a protective order, and if one is needed, prepare a protective order pursuant to § 17.9;</P>
              <P>(3) Determine whether any issue can be stricken; and</P>
              <P>(4) Prepare necessary procedural orders for the proceedings.</P>
              <P>(h) Unless otherwise provided by the DRO or Special Master, or by agreement of the parties with the concurrence of the DRO or Special Master, responses to written discovery shall be due within thirty (30) business days from the date received.</P>
              <P>(i) At a time or at times determined by the DRO or Special Master, and in advance of the decision of the case, the parties shall make individual final submissions to the ODRA and to the DRO or Special Master, which submissions shall include the following:</P>
              <P>(1) A statement of the issues;</P>
              <P>(2) A proposed statement of undisputed facts related to each issue together with citations to the administrative record or other supporting materials;</P>
              <P>(3) Separate statements of disputed facts related to each issue, with appropriate citations to documents in the Dispute File, to pages of transcripts of any hearing or deposition, or to any affidavit or exhibit which a party may wish to submit with its statement;</P>
              <P>(4) Separate legal analyses in support of the parties' respective positions on disputed issues.</P>
              <P>(j) Each party shall serve a copy of its final submission on the other party by means reasonablycalculated so that the other party receives such submissions on the same day it is received by the ODRA.</P>
              <P>(k) The DRO or Special Master may decide the contract dispute on the basis of the administrative record and the submissions referenced in this section, or may, in the DRO or Special Master's discretion, direct the parties to make additional presentations in writing. The DRO or Special Master may conduct hearings, and may limit the hearings to the testimony of specific witnesses and/or presentations regarding specific issues. The DRO or Special Master shall control the nature and conduct of all hearings, including the sequence and extent of any testimony. Evidentiary hearings on the record shall be conducted by the ODRA:</P>
              <P>(1) Where the DRO or Special Master determines that there are complex factual issues in dispute that cannot adequately or efficiently be developed solely by means of written presentations and/or that resolution of the controversy will be dependent on his/her assessment of the credibility of statements provided by individuals with first-hand knowledge of the facts; or</P>
              <P>(2) Upon request of any party to the contract dispute, unless the DRO or Special Master finds specifically that a hearing is unnecessary and that no party will be prejudiced by limiting the record in the adjudication to the parties' written submissions. All witnesses at any such hearing shall be subject to cross-examination by the opposing party and to questioning by the DRO or Special Master.</P>
              <P>(l) The DRO or Special Master shall prepare findings and recommendations, which will contain findings of fact, application of the principles of the AMS and other law or authority applicable to the findings of fact, a recommendation for a final FAA order.</P>
              <P>(m) The DRO or Special Master shall conduct a de novo review using the preponderance of the evidence standard, unless a different standard is prescribed for a particular issue. Notwithstanding the above, allegations that government officials acted with bias or in bad faith must be established by clear and convincing evidence.</P>
              <P>(n) The Director of the ODRA may review the status of any contract dispute in the Adjudicative Process with the DRO or Special Master.</P>
              <P>(o) A DRO or Special Master shall submit findings and recommendations to the Director of the ODRA or the Director's designee. The findings and recommendations will be released to the parties and to the public, upon issuance of the final FAA order in the case. Should an ODRA protective order be issued in connection with the contract dispute, or should the matter involve proprietary or competition-sensitive information, a redacted version of the findings and recommendations omitting any protected information, shall be prepared wherever possible and released to the public, as soon as is practicable, along with a copy of the final FAA order. Only persons admitted by the ODRA under the protective order and Government personnel shall be provided copies of the unredacted findings and recommendations.</P>

              <P>(p) Attorneys' fees of a qualified prevailing contractor are allowable to<PRTPAGE P="2047"/>the extent permitted by the EAJA, 5 U.S.C. 504(a)(1).<E T="03">See</E>14 CFR part 14.</P>
              <P>(q) Other than communications regarding purely procedural matters or ADR, there shall be no substantive ex parte communication between ODRA personnel and any principal or representative of a party concerning a pending or potentially pending matter. A potential or serving ADR neutral may communicate on an ex parte basis to establish or conduct the ADR.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart D—Alternative Dispute Resolution</HD>
            <SECTION>
              <SECTNO>§ 17.35</SECTNO>
              <SUBJECT>Use of alternative dispute resolution.</SUBJECT>
              <P>(a) By statutory mandate, it is the policy of the FAA to use voluntary ADR to the maximum extent practicable to resolve matters pending at the ODRA. The ODRA therefore uses voluntary ADR as its primary means of resolving all factual, legal, and procedural controversies.</P>

              <P>(b) The parties are encouraged to make a good faith effort to explore ADR possibilities in all cases and to employ ADR in every appropriate case. The ODRA uses ADR techniques such as mediation, neutral evaluation, binding arbitration or variations of these techniques as agreed by the parties and approved by the ODRA. At the beginning of each case, the ODRA assigns a DRO as a potential neutral to explore ADR options with the parties and to convene an ADR process.<E T="03">See</E>§ 17.35(b).</P>
              <P>(c) The ODRA Adjudicative Process will be used where the parties cannot achieve agreement on the use of ADR; or where ADR has been employed but has not resolved all pending issues in dispute; or where the ODRA concludes that ADR will not provide an expeditious means of resolving a particular dispute. Even where the Adjudicative Process is to be used, the ODRA, with the parties' consent, may employ informal ADR techniques concurrently with the adjudication.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.37</SECTNO>
              <SUBJECT>Election of alternative dispute resolution process.</SUBJECT>
              <P>(a) The ODRA will make its personnel available to serve as Neutrals in ADR proceedings and, upon request by the parties, will attempt to make qualified non-FAA personnel available to serve as Neutrals through neutral-sharing programs and other similar arrangements. The parties may elect to employ a mutually acceptable compensated neutral at their expense.</P>
              <P>(b) The parties using an ADR process to resolve a protest shall submit an executed ADR agreement containing the information outlined in paragraph (d) of this section to the ODRA pursuant to § 17.17(c). The ODRA may extend this time for good cause.</P>
              <P>(c) The parties using an ADR process to resolve a contract dispute shall submit an executed ADR agreement containing the information outlined in paragraph (d) of this section to the ODRA pursuant to § 17.29.</P>
              <P>(d) The parties to a protest or contract dispute who elect to use ADR must submit to the ODRA an ADR agreement setting forth:</P>
              <P>(1) The agreed ADR procedures to be used; and</P>
              <P>(2) The name of the neutral. If a compensated neutral is to be used, the agreement must address how the cost of the neutral's services will be reimbursed.</P>
              <P>(e) Non-binding ADR techniques are not mutually exclusive, and may be used in combination if the parties agree that a combination is most appropriate to the dispute. The techniques to be employed must be determined in advance by the parties and shall be expressly described in their ADR agreement. The agreement may provide for the use of any fair and reasonable ADR technique that is designed to achieve a prompt resolution of the matter. An ADR agreement for non-binding ADR shall provide for a termination of ADR proceedings and the commencement of adjudication under the Adjudicative Process, upon the election of any party. Notwithstanding such termination, the parties may still engage with the ODRA in informal ADR techniques (neutral evaluation and/or informal mediation) concurrently with adjudication.</P>
              <P>(f) Binding arbitration is available through the ODRA, subject to the provisions of applicable law and the ODRA Binding Arbitration Guidance dated October 2001 as developed in consultation with the Department of Justice.</P>
              <P>(g) The parties may, where appropriate in a given case, submit to the ODRA a negotiated protective order for use in ADR in accordance with the requirements of § 17.9.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.39</SECTNO>
              <SUBJECT>Confidentiality of ADR.</SUBJECT>

              <P>(a) The provisions of the Administrative Dispute Resolution Act of 1996, 5 U.S.C. 571,<E T="03">et seq.,</E>shall apply to ODRA ADR proceedings.</P>
              <P>(b) The ODRA looks to the principles of the Federal Rule of Evidence 408 in deciding admissibility issues related to ADR communications.</P>
              <P>(c) ADR communications are not part of the administrative record.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart E—Finality and Review</HD>
            <SECTION>
              <SECTNO>§ 17.41</SECTNO>
              <SUBJECT>Final orders.</SUBJECT>
              <P>All final FAA orders regarding protests or contract disputes under this part are to be issued by the FAA Administrator or by a delegee of the Administrator.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.43</SECTNO>
              <SUBJECT>Judicial review.</SUBJECT>
              <P>(a) A protester or contractor may seek review of a final FAA order, pursuant to 49 U.S.C. 46110, only after the administrative remedies of this part have been exhausted.</P>
              <P>(b) A copy of the petition for review shall be filed with the ODRA and the FAA Chief Counsel on the date that the petition for review is filed with the appropriate circuit court of appeals.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.45</SECTNO>
              <SUBJECT>Conforming amendments.</SUBJECT>
              <P>The FAA shall amend pertinent provisions of the AMS, standard contract forms and clauses, and any guidance to contracting officials, so as to conform to the provisions of this part.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.47</SECTNO>
              <SUBJECT>Reconsideration.</SUBJECT>
              <P>The ODRA will not entertain requests for reconsideration as a routine matter, or where such requests evidence mere disagreement with a decision or restatements of previous arguments. A party seeking reconsideration must demonstrate either clear errors of fact or law in the underlying decision or previously unavailable evidence that warrants reversal or modification of the decision. In order to be considered, requests for reconsideration must be filed within ten (10) business days of the date of issuance of the public version of the subject decision or order.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart F—Other Matters</HD>
            <SECTION>
              <SECTNO>§ 17.49</SECTNO>
              <SUBJECT>Sanctions.</SUBJECT>
              <P>If any party or its representative fails to comply with an Order or Directive of the ODRA, the ODRA may enter such orders and take such other actions as it deems necessary and in the interest of justice.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.51</SECTNO>
              <SUBJECT>Decorum and professional conduct.</SUBJECT>
              <P>Legal representatives are expected to conduct themselves at all times in a civil and respectful manner appropriate to an administrative forum. Additionally, counsel are expected to conduct themselves at all times in a professional manner and in accordance with all applicable rules of professional conduct.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.53</SECTNO>
              <SUBJECT>Orders and subpoenas for testimony and document production.</SUBJECT>

              <P>(a) Parties are encouraged to seek cooperative and voluntary production of<PRTPAGE P="2048"/>documents and witnesses prior to requesting a subpoena or an order under this section.</P>
              <P>(b) Upon request by a party, or on his or her own initiative, a DRO or Special Master may, for good cause shown, order a person to give testimony by deposition and to produce records. Section 46104(c) of Title 49 of the United States Code governs the conduct of depositions or document production.</P>
              <P>(c) Upon request by a party, or on his or her own initiative, a DRO or Special Master may, for good cause shown, subpoena witnesses or records related to a hearing from any place in the United States to the designated place of a hearing.</P>
              <P>(d) A subpoena or order under this section may be served by a United States marshal or deputy marshal, or by any other person who is not a party and not less than 18 years of age. Service upon a person named therein shall be made by personally delivering a copy to that person and tendering the fees for one day's attendance and the mileage provided by 28 U.S.C. 1821 or other applicable law; however, where the subpoena is issued on behalf of the Product Team, money payments need not be tendered in advance of attendance. The person serving the subpoena or order shall file a declaration of service with the ODRA, executed in the form required by 28 U.S.C. 1746. The declaration of service shall be filed promptly with the ODRA, and before the date on which the person served must respond to the subpoena or order.</P>
              <P>(e) Upon written motion by the person subpoenaed or ordered under this section, or by a party, made within ten (10) business days after service, but in any event not later than the time specified in the subpoena or order for compliance, the DRO may:</P>
              <P>(1) Rescind or modify the subpoena or order if it is unreasonable and oppressive or for other good cause shown, or</P>
              <P>(2) Require the party in whose behalf the subpoena or order was issued to advance the reasonable cost of producing documentary evidence. Where circumstances require, the DRO may act upon such a motion at any time after a copy has been served upon all parties.</P>
              <P>(f) The party that requests the DRO to issue a subpoena or order under this section shall be responsible for the payment of fees and mileage, as required by 49 U.S.C. 46104(d), for witnesses, officers who serve the order, and the officer before whom a deposition is taken.</P>
              <P>(g) Subpoenas and orders issued under this section may be enforced in a judicial proceeding under 49 U.S.C. 46104(b).</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.55</SECTNO>
              <SUBJECT>Standing orders of the ODRA director.</SUBJECT>
              <P>The Director may issue such Standing Orders as necessary for the orderly conduct of business before the ODRA.</P>
            </SECTION>
          </SUBPART>
          <SUBPART>
            <HD SOURCE="HED">Subpart G—Pre-Disputes</HD>
            <SECTION>
              <SECTNO>§ 17.57</SECTNO>
              <SUBJECT>Pre-dispute resolution process.</SUBJECT>
              <P>(a) All potential disputes arising under contracts or solicitations with the FAA may be resolved with the consent of the parties to the dispute under this subpart.</P>
              <P>(b) Pre-disputes shall be filed with the ODRA pursuant to § 17.59.</P>
              <P>(c) The time limitations for the filing of Protests and Contract Disputes established in §§ 17.15(a) and 17.27(c) will not be extended by efforts to resolve the dispute under this subpart.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.59</SECTNO>
              <SUBJECT>Filing a pre-dispute.</SUBJECT>
              <P>(a) A Pre-dispute must be in writing, affirmatively state that it is a Pre-dispute pursuant to this subpart, and shall contain:</P>
              <P>(1) The party's name, address, telephone and Fax numbers and the name, address, telephone and Fax numbers of the contractor's legal representative(s) (if any);</P>
              <P>(2) The contract or solicitation number and the name of the Contracting Officer;</P>
              <P>(3) A chronological statement of the facts and of the legal grounds for the party's positions regarding the dispute citing to relevant contract or solicitation provisions and documents and attaching copies of those provisions and documents; and</P>
              <P>(6) The signature of a duly authorized legal representative of the initiating party.</P>

              <P>(b) Pre-disputes shall be filed at the following address: ODRA, AGC-70, Federal Aviation Administration,  800 Independence Avenue, SW., Room 323, Washington, DC 20591.<E T="03">Telephone:</E>(202) 267-3290,<E T="03">Fax:</E>(202) 267-3720.</P>
              <P>(c) Upon the filing of a Pre-dispute with the ODRA, the ODRA will contact the opposing party to offer its services pursuant to § 17.57. If the opposing party agrees, the ODRA will provide Pre-dispute services. If the opposing party does not agree, the ODRA Pre-dispute file will be closed and no service will be provided.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 17.61</SECTNO>
              <SUBJECT>Use of alternative dispute resolution.</SUBJECT>
              <P>(a) Only non-binding, voluntary ADR will be used to attempt to resolve a Pre-dispute pursuant to § 17.37.</P>
              <P>(b) ADR conducted under this subpart is subject to the confidentiality requirements of § 17.39.</P>
              <HD SOURCE="HD1">Appendix A to Part 17—Alternative Dispute Resolution (ADR)</HD>
              <EXTRACT>
                <P>A. The FAA dispute resolution procedures encourage the parties to protests and contract disputes to use ADR as the primary means to resolve protests and contract disputes, pursuant to the Administrative Dispute Resolution Act of 1996, Public Law 104-320, 5 U.S.C. 570-579, and Department of Transportation and FAA policies to utilize ADR to the maximum extent practicable. Under the procedures presented in this part, the ODRA encourages parties to consider ADR techniques such as case evaluation, mediation, or arbitration.</P>
                <P>B. ADR encompasses a number of processes and techniques for resolving protests or contract disputes. The most commonly used types include:</P>
                <P>(1)<E T="03">Mediation.</E>The neutral or compensated neutral ascertains the needs and interests of both parties and facilitates discussions between or among the parties and an amicable resolution of their differences, seeking approaches to bridge the gaps between the parties' respective positions. The neutral or compensated neutral can meet with the parties separately, conduct joint meetings with the parties' representatives, or employ both methods in appropriate cases.</P>
                <P>(2)<E T="03">Neutral Evaluation.</E>At any stage during the ADR process, as the parties may agree, the neutral or compensated neutral will provide a candid assessment and opinion of the strengths and weaknesses of the parties' positions as to the facts and law, so as to facilitate further discussion and resolution.</P>
                <P>(3)<E T="03">Binding Arbitration.</E>The ODRA, after consultation with the United States Department of Justice in accordance with the provisions of the Administrative Disputes Resolution Act to offer true binding arbitration in cases within its jurisdiction. The ODRA's Guidance for the Use of Binding Arbitration may be found on its Web site at:<E T="03">http://www.faa.gov/go/odra.</E>
                </P>
              </EXTRACT>
            </SECTION>
          </SUBPART>
          <SIG>
            <DATED>Issued in Washington, DC, on January 4, 2011.</DATED>
            <NAME>Anthony N. Palladino,</NAME>
            <TITLE>Director, Office of Dispute Resolution for Acquisition.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-397 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="2049"/>
        <AGENCY TYPE="N">SECURITIES AND EXCHANGE COMMISSION</AGENCY>
        <CFR>17 CFR Parts 240 and 249</CFR>
        <DEPDOC>[Release No. 34-63652; File No. S7-02-11]</DEPDOC>
        <RIN>RIN 3235-AK89</RIN>
        <SUBJECT>Suspension of the Duty To File Reports for Classes of Asset-Backed Securities Under Section 15(d) of the Securities Exchange Act of 1934</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Securities and Exchange Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Section 942(a) of the Dodd-Frank Wall Street Reform and Consumer Protection Act eliminated the automatic suspension of the duty to file under Section 15(d) of the Securities Exchange Act of 1934 for asset-backed securities issuers and granted the Commission the authority to issue rules providing for the suspension or termination of such duty. We are proposing to permit suspension of the reporting obligations for asset-backed securities issuers when there are no longer asset-backed securities of the class sold in a registered transaction held by non-affiliates of the depositor. We are also proposing to amend our rules relating to the Exchange Act reporting obligations of asset-backed securities issuers in light of these statutory changes.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments should be received on or before February 7, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Comments may be submitted by any of the following methods:</P>
        </ADD>
        <HD SOURCE="HD2">Electronic Comments</HD>
        <P>• Use the Commission's Internet comment form (<E T="03">http://www.sec.gov/rules/proposed.shtml</E>);</P>
        <P>• Send an e-mail to<E T="03">rule-comments@sec.gov</E>. Please include File Number S7-02-11 on the subject line; or</P>
        <P>• Use the Federal Rulemaking Portal (<E T="03">http://www.regulations.gov</E>). Follow the instructions for submitting comments.</P>
        <HD SOURCE="HD2">Paper Comments</HD>
        <P>• Send paper comments in triplicate to Elizabeth M. Murphy, Secretary, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549-1090.</P>
        

        <FP>All submissions should refer to File Number S7-02-11. This file number should be included on the subject line if e-mail is used. To help us process and review your comments more efficiently, please use only one method. The Commission will post all comments on the Commission's Internet Web site (<E T="03">http://www.sec.gov/rules/proposed.shtml</E>). Comments are also available for website viewing and printing in the Commission's Public Reference Room, 100 F Street, NE., Washington, DC 20549, on official business days between the hours of 10 a.m. and 3 p.m. All comments received will be posted without change; we do not edit personal identifying information from submissions. You should submit only information that you wish to make available publicly.</FP>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Steven Hearne, Special Counsel, or Kathy Hsu, Senior Special Counsel, in the Office of Rulemaking, at (202) 551-3430, Division of Corporation Finance, U.S. Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549-3628.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>We are proposing amendments to Rules 12h-3 and 15d-22<SU>1</SU>
          <FTREF/>and Form 15<SU>2</SU>
          <FTREF/>under the Securities Exchange Act of 1934 (“Exchange Act”).<SU>3</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>17 CFR 240.12h-3 and 17 CFR 240.15d-22.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>2</SU>17 CFR 249.323.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>15 U.S.C. 78a<E T="03">et seq.</E>
          </P>
        </FTNT>
        <HD SOURCE="HD1">I. Background</HD>
        <P>This release is one of several that the Commission is issuing to implement provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act (the “Act”)<SU>4</SU>
          <FTREF/>related to asset-backed securities (“ABS”). Section 942(a) of the Act eliminated the automatic suspension of the duty to file under Section 15(d)<SU>5</SU>
          <FTREF/>of the Exchange Act for ABS issuers and granted the Commission the authority to issue rules providing for the suspension or termination of such duty. In this release, we propose rule amendments to permit the suspension of reporting obligations for ABS issuers under certain circumstances and to update our rules in light of the amendment of Exchange Act Section 15(d).</P>
        <FTNT>
          <P>
            <SU>4</SU>Public Law 111-203 (July 21, 2010).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>5</SU>15 U.S.C. 78o(d).</P>
        </FTNT>
        <P>Exchange Act Section 15(d) generally requires an issuer with a registration statement that has become effective pursuant to the Securities Act of 1933<SU>6</SU>
          <FTREF/>(“Securities Act”) to file ongoing Exchange Act reports with the Commission. In 2004, the Commission adopted an Exchange Act reporting regime specifically designed for ABS issuers. Under those rules, the Exchange Act reporting requirements for ABS issuers consist of:</P>
        <FTNT>
          <P>
            <SU>6</SU>15 U.S.C. 77a<E T="03">et seq.</E>
          </P>
        </FTNT>
        <P>• Annual reports on Form 10-K<SU>7</SU>
          <FTREF/>that include a report on the assessment of compliance with servicing criteria as well as an attestation report on assessments of compliance by a registered public accounting firm;</P>
        <FTNT>
          <P>
            <SU>7</SU>17 CFR 249.310.</P>
        </FTNT>
        <P>• Distribution reports on Form 10-D<SU>8</SU>
          <FTREF/>that include distribution and pool performance information for the distribution period and disclosure regarding the assets filed based on the frequency of distributions on the ABS; and</P>
        <FTNT>
          <P>
            <SU>8</SU>17 CFR 249.312.</P>
        </FTNT>
        <P>• Current reports on Form 8-K.<SU>9</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>9</SU>17 CFR 249.308.</P>
        </FTNT>
        
        <FP>As discussed in more detail below, in April 2010, the Commission proposed changes to the ongoing reporting requirements for ABS issuers that would include, among other things, loan-level information in the distribution reports and revised triggering events for current reports.</FP>
        <P>Prior to enactment of the Act, Exchange Act Section 15(d) provided that for issuers without a class of securities registered under the Exchange Act the duty to file ongoing reports is automatically suspended as to any fiscal year, other than the fiscal year within which the registration statement for the securities became effective, if the securities of each class to which the registration statement relates are held of record by less than three hundred persons. As a result, the reporting obligations of ABS issuers, other than those with master trust structures,<SU>10</SU>
          <FTREF/>were generally suspended after the ABS issuer filed one annual report on Form 10-K because the number of record holders was below, often significantly below, the 300 record holder threshold.<SU>11</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>10</SU>In a securitization using a master trust structure, the ABS transaction contemplates future issuances of ABS backed by the same, but expanded, asset pool that consists of revolving assets. Pre-existing and newly issued securities would therefore be backed by the same expanded asset pool. Thus, given their continued issuance, master trust ABS issuers typically continue to report, even after the first annual report is filed.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>11</SU>One source noted that in a survey of 100 randomly selected asset-backed transactions, the number of record holders provided in reports on Form 15 ranged from two to more than 70. The survey did not consider beneficial owner numbers.<E T="03">See</E>Committee on Capital Markets Regulation,<E T="03">The Global Financial Crisis: A Plan for Regulatory Reform,</E>May 2009, at fn. 349.</P>
        </FTNT>
        <P>ABS offerings are typically registered on shelf registration statements and each ABS offering is typically sold in a separate “takedown” off of the shelf. In 2004, the Commission adopted Exchange Act Rule 15d-22, relating to ABS reporting under Exchange Act Section 15(d).<SU>12</SU>
          <FTREF/>Exchange Act Rule<PRTPAGE P="2050"/>15d-22(b) codified the staff position that the starting and suspension dates for any reporting obligation with respect to a takedown of ABS is determined separately for each takedown. Exchange Act Rule 15d-22 also clarified that a new takedown for a new ABS offering off the same shelf registration statement did not necessitate continued reporting for a class of securities from a prior takedown that was otherwise eligible to suspend reporting.</P>
        <FTNT>
          <P>
            <SU>12</SU>
            <E T="03">See</E>Asset-Backed Securities, Release No. 33-8518 (Dec. 22, 2004) [70 FR 1506] (“2004 ABS Adopting Release”).</P>
        </FTNT>
        <P>Prior to enactment of the Act, in April of 2010, we proposed rules that would revise the disclosure, reporting and offering process for ABS (the “2010 ABS Proposing Release”).<SU>13</SU>
          <FTREF/>Among other things, the 2010 ABS Proposing Release proposed to replace the investment grade ratings conditions to ABS shelf eligibility with four new eligibility conditions. One of the proposed new conditions would require an ABS issuer to undertake to file the same Exchange Act reports with the Commission as would be required by Section 15(d) of the Exchange Act and rules thereunder, if the issuer were subject to the reporting requirements of that section.<SU>14</SU>
          <FTREF/>Before we acted on that proposal, the Act rendered that proposed shelf eligibility condition unnecessary by removing any class of ABS from the automatic suspension provided in Exchange Act Section 15(d) by inserting the phrase, “other than any class of asset-backed securities.” Consequently, ABS issuers no longer automatically suspend reporting under Exchange Act Section 15(d). Instead, the Act granted the Commission authority to “provide for the suspension or termination of the duty to file under this subsection for any class of asset-backed security, on such terms and conditions and for such period or periods as the Commission deems necessary or appropriate in the public interest or for the protection of investors.”<SU>15</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>13</SU>
            <E T="03">See</E>Asset-Backed Securities, Release No. 33-9117 (April 7, 2010) [75 FR 23328].</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>14</SU>
            <E T="03">See</E>proposed Item 512(a)(7)(ii) of Regulation S-K from the 2010 ABS Proposing Release. The issuer's reporting obligation in the proposed undertaking would have extended as long as non-affiliates of the depositor hold any of the issuer's securities that were sold in registered transactions.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>15</SU>15 U.S.C. 78o(d)(2).</P>
        </FTNT>
        <P>As noted, by adding the exception for ABS, the amendment removed the automatic suspension for any class of ABS. The effect is that the Exchange Act Section 15(d) reporting obligation now requires ongoing reporting for ABS issuers. As a result, we are proposing to update our rules consistent with the changes to Exchange Act Section 15(d), as amended by Section 942(a) of the Act.<SU>16</SU>
          <FTREF/>Our proposal to amend Exchange Act 15d-22 is described below. In addition, because ABS issuers no longer automatically suspend reporting absent Commission action, we are proposing relief where there are no longer ABS of a class that were sold in a registered transaction held by non-affiliates of the depositor.</P>
        <FTNT>
          <P>

            <SU>16</SU>One comment letter relating to the Commission's 2010 ABS Proposing Release argues that Rule 15d-22(b) specifically provides suspension from reporting and is available to automatically suspend reporting obligations despite enactment of Section 942 of the Act.<E T="03">See</E>comment letter from the American Securitization Forum to the 2010 ABS Proposing Release available on-line at<E T="03">http://sec.gov/comments/s7-08-10/s70810-70.pdf. See also</E>comment letter from the American Securitization Forum on Implementing the Dodd-Frank Wall Street Reform and Consumer Protection Act available on-line at<E T="03">http://www.sec.gov/comments/df-title-ix/asset-backed-securities/assetbackedsecurities-10.pdf.</E>However, as explained in the 2004 ABS Adopting Release, Rule 15d-22(b) clarifies that the starting and suspension for any reporting obligation with regard to a takedown of ABS is determined separately for each takedown.<E T="03">See supra</E>note 12 at 1563. It did not, and should not be read, to provide an independent basis for suspending the reporting obligation of Exchange Act Section 15(d).</P>
        </FTNT>
        <HD SOURCE="HD1">II. Discussion of Proposals</HD>
        <P>As indicated above, Exchange Act Section 15(d), as amended by the Act, establishes an ongoing reporting obligation for each class of ABS for which an issuer has filed a registration statement which has become effective pursuant to the Securities Act. Exchange Act Section 15(d) also grants the Commission authority to provide for the suspension or termination of the duty to file. We believe that post-issuance reporting of information by an ABS issuer provides investors and the markets with transparency regarding many aspects of the ongoing performance of the securities and the servicer in complying with servicing criteria, among other things, and further believe this transparency is important for investors and the market in evaluating transaction performance and making ongoing investment decisions. We recognize, however, the costs imposed by ongoing reporting obligations and are proposing limited relief from these reporting obligations that we believe is appropriate in the public interest and consistent with the protection of investors. In addition, we are proposing rule and form amendments to update our rules relating to ABS takedowns under a shelf registration statement.</P>
        <HD SOURCE="HD2">A. Suspension of Exchange Act Section 15(d) Reporting Obligation</HD>
        <P>We are proposing in new Exchange Act Rule 15d-22(b) to permit suspension of the reporting obligations for a given class of ABS pursuant to Exchange Act Section 15(d) for any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year, there are no longer ABS of the class that were sold in a registered transaction held by non-affiliates of the depositor.<SU>17</SU>
          <FTREF/>As revised by the Act, Exchange Act Section 15(d) no longer provides for the automatic suspension of the duty to file periodic and other reports for issuers of a class of ABS. Without action by the Commission, ABS issuers that have filed a registration statement that has become effective pursuant to the Securities Act or that have conducted a takedown off of a shelf registration statement as described above, would be obligated to continue to file such reports for the life of the security.</P>
        <FTNT>
          <P>
            <SU>17</SU>We are also proposing to amend Form 15 to provide a checkbox referring to proposed Rule 15d-22(b).</P>
        </FTNT>
        <P>In the 2010 ABS Proposing Release, we noted the importance to investors of post-issuance reporting of information regarding an ABS transaction in understanding transaction performance and in making ongoing investment decisions.<SU>18</SU>
          <FTREF/>We also believe, however, that there is a point at which the benefits to investors and the market of reporting significantly diminish, such as the limited benefit provided by reporting of an issuer that has no non-affiliated holders of its securities. Where an issuer has only affiliated holders of its securities, there is no public market for the securities and the affiliated holders typically have access to comparable information to that provided by public reports. In addition, preparation of reports under such circumstances would add to the cost of offering and maintaining the ABS and therefore to the cost of capital formation.</P>
        <FTNT>
          <P>
            <SU>18</SU>See 2010 ABS Proposing Release,<E T="03">supra</E>note 13, at 23347.</P>
        </FTNT>
        <P>In the 2010 ABS Proposing Release we sought to balance the value of the information to investors and the market with the burden to issuers of preparing the reports. We proposed in the 2010 ABS Proposing Release to require, as a condition to ABS shelf eligibility, that the issuer undertake to file reports providing disclosure as would be required pursuant to Exchange Act Section 15(d) and the rules thereunder as long as non-affiliates of the depositor hold any of the issuer's securities that were sold in a registered transaction.<SU>19</SU>
          <FTREF/>
          <PRTPAGE P="2051"/>While our proposal to require ongoing reporting as a condition to ABS shelf eligibility and the comments we received on that proposal are informative, the Act no longer provides for the automatic suspension of the duty to file periodic and other reports for issuers of a class of ABS.</P>
        <FTNT>
          <P>
            <SU>19</SU>
            <E T="03">Id.</E>In light of the Act, we are no longer pursuing our proposal relating to ongoing reporting as a condition to ABS shelf eligibility. However, we<PRTPAGE/>found comments on the proposed shelf eligibility condition helpful in preparing proposed Exchange Act Rule 15d-22. Some commentators supported the proposed ongoing reporting requirements. See, for example, comment letters to the 2010 ABS Proposing Release from American Bar Association, Council of Institutional Investors, Metropolitan Life Insurance Company, and Prudential Investment Management, Inc. One commentator, the Council of Institutional Investors, asserted that transparency is related to asset quality and that ongoing reporting would facilitate due diligence by investors. Other commentators noted the burdens of reporting and suggested alternatives to filing reports with the Commission as a condition to shelf eligibility.<E T="03">See,</E>for example, comment letters to the 2010 ABS Proposing Release from Bank of America Corporation (suggesting automatic suspension be continued but on a more delayed basis such as three years), Cleary Gottlieb Steen &amp; Hamilton (suggesting that investors be permitted to opt the class of ABS out of reporting), and Kutak Rock LLP (suggesting a higher threshold below which ABS issuers could suspend reporting pursuant to Section 15(d) such as 50 investors or $3 million). Comments on the 2010 ABS Proposing Release are available on-line at<E T="03">http://www.sec.gov/comments/s7-08-10/s70810.shtml.</E>
          </P>
        </FTNT>
        <P>We believe that the limited benefits of ongoing reporting to investors and the market where there are only affiliated holders of the ABS would not justify the burden of reporting by issuers. Consequently, we are proposing new Exchange Act Rule 15d-22(b) which would provide that the reporting obligation regarding any class of ABS is suspended for any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year there are no longer any securities of such class held by non-affiliates of the depositor that were sold in the registered transaction. We are also proposing to amend Form 15 to add a checkbox for ABS issuers to indicate that they are relying on proposed Exchange Act Rule 15d-22(b) to suspend their reporting obligation to alert the market and the Commission of the change in reporting status.</P>
        <HD SOURCE="HD2">Request for Comment</HD>
        <P>• Is it appropriate to suspend the Exchange Act Section 15(d) reporting obligation regarding a class of ABS for any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year there are no longer any securities of such class held by non-affiliates of the depositor that were sold in a registered transaction?</P>
        <P>• Should we instead consider allowing suspension of the reporting obligation dependent on a limited number of non-affiliates of the depositor holding the securities? If so, what would be an appropriate number and why? Please provide data establishing a basis for such a limit.</P>
        <P>• If an issuer is unable to locate a security holder in order to provide information and make distributions to that security holder, such that the distributions are returned to the issuer without payment to the unknown security holder and the issuer or its agent has attempted to notify the unknown security holder within seven months of the failed distribution, should we allow the issuer not to count such security holders when determining the number of non-affiliates of the depositor that hold its securities? Should we allow an issuer to suspend the Exchange Act Section 15(d) reporting obligation regarding a class of ABS if, at the beginning of the fiscal year there are no longer any securities of such class, other than securities held by such lost or missing security holders, held by non-affiliates of the depositor that were sold in a registered transaction?</P>
        <P>• Should we allow an issuer to suspend the Exchange Act Section 15(d) reporting obligation regarding a class of ABS if that issuer has effected legal or covenant defeasance of such class? Why or why not? Is legal or covenant defeasance typically provided for in ABS indentures or other governing instruments? Is legal or covenant defeasance effected with any meaningful frequency in the ABS market? Are there certain asset classes or tranches where it is more or less common? Please provide data to support your conclusions.</P>
        <P>• Is there another standard, such as one relying on the percentage of pool assets remaining or the percentage of pool assets held by non-affiliates of the depositor, that would be more appropriate? Should we permit suspension based on a mandatory period of time since the registered offering? If so, how long would be appropriate? Three years? Five years? Should the amount of time depend on the asset class?</P>
        <HD SOURCE="HD2">B. Revisions to Existing Exchange Act Rule Provisions</HD>
        <P>In light of the statutory changes to Exchange Act Section 15(d), we are proposing to update Exchange Act Rule 15d-22 to indicate when annual and other reports need to be filed and when starting and suspension dates are determined with respect to a takedown. We are also proposing to amend Exchange Act Rule 12h-3(b)(1) to add the language “, other than any class of asset-backed securities,” to conform the rule to the language of amended Exchange Act Section 15(d) and to add a clarifying note.</P>
        <P>Exchange Act Rule 15d-22 currently provides that: (1) No annual or other reports need be filed pursuant to Exchange Act Section 15(d) for ABS until the first bona fide sale in a takedown of securities under the registration statement; and (2) the starting and suspension dates for any reporting obligation with respect to a takedown of ABS is determined separately for each takedown.</P>
        <P>We are proposing to amend Exchange Act Rule 15d-22. The revised rule would retain the approach that the Exchange Act Section 15(d) reporting obligation relates to each separate takedown in current Exchange Act Rules 15d-22(a) and 15d-22(b) in a new Exchange Act Rule 15d-22(a). Proposed Rule 15d-22(a)(1) tracks the language in current Exchange Act Rule 15d-22(a) providing that with respect to an offering of ABS sold off the shelf pursuant to Securities Act Rule 415(a)(1)(x),<SU>20</SU>
          <FTREF/>the requirement to file annual and other reports pursuant to Exchange Act Section 15(d) regarding a class of securities commences upon the first bona fide sale in a takedown of securities under the registration statement. Proposed Exchange Act Rule 15d-22(a)(2) would restate the concept contained in current Exchange Act Rule 15d-22(b) that the requirement to file annual and other reports pursuant to Exchange Act Section 15(d) regarding a class of securities is determined separately for each takedown of securities under the registration statement. Exchange Act Rule 15d-22(b) currently does this by relying on language relating to when an issuer may suspend reporting under Exchange Act Section 15(d). Because the Act eliminated the automatic suspension of reporting for ABS issuers, we are proposing to delete current Exchange Act Rule 15d-22(b) and replace it with new Exchange Act Rule 15d-22(a)(2).<SU>21</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>20</SU>17 CFR 230.415(a)(1)(x).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>21</SU>Current Exchange Act Rule 15d-22(b) states: “Regarding any class of asset-backed securities in a takedown off of a registration statement pursuant to § 230.415(a)(1)(x) of this chapter, no annual and other reports need be filed pursuant to section 15(d) of the Act regarding such class of securities as to any fiscal year, other than the fiscal year within which the takedown occurred, if at the beginning of such fiscal year the securities of each class in the takedown are held of record by less than three hundred persons.” As is currently the case, proposed Rule 15d-22(a)(2) would only require a registrant to file reports after a takedown of securities under the registration statement. If the registrant has filed a registration statement but has not conducted a takedown, the registrant would not<PRTPAGE/>be required to file annual and other reports related to those securities.</P>
        </FTNT>
        <PRTPAGE P="2052"/>
        <P>As proposed, Exchange Act Rule 15d-22(c), which states that Exchange Act Rule 15d-22 does not affect other reporting obligations applicable to any class of securities from additional takedowns or reporting obligations that may be applicable pursuant to Exchange Act Section 12, such as for an ABS issuer's non-ABS securities, would remain substantially unchanged, except for minor revisions to reflect the amendments discussed above. We believe it is appropriate to continue to apply this provision to all of proposed Exchange Act Rule 15d-22 to make clear that other reporting obligations applicable to a class of securities are not affected by the rules.</P>
        <P>Finally, we are proposing to amend Exchange Act Rule 12h-3(b)(1) to exclude ABS from the classes of securities eligible for suspension. Exchange Act Rule 12h-3(b) currently designates the classes of securities eligible for suspension of the duty to file reports under Exchange Act Section 15(d). The Act explicitly removed “any class of asset-backed security” from the automatic suspension of Exchange Act Section 15(d). Since the language of Exchange Act Rule 12h-3 tracks the language of the Exchange Act, we are proposing to add the language from amended Exchange Act Section 15(d) to our rule. We are also proposing to add a note to direct ABS issuers to Exchange Act Rule 15d-22 for the requirements regarding suspension of reporting for ABS.</P>
        <HD SOURCE="HD2">Request for Comment</HD>
        <P>• Does proposed Exchange Act Rule 15d-22(a) effectively provide guidance relating to when an ABS issuer is required to file annual and other reports pursuant to Section 15(d) of the Exchange Act regarding a class of securities upon a takedown of securities from a shelf registration statement? Are there other changes that we should make to the Commission guidance relating to the application of Exchange Act Section 15(d) to registered ABS?</P>
        <P>• Do our proposed revisions to Exchange Act Rule 12h-3 appropriately modify the rule to give effect to the statutory change and provide clarity to ABS issuers regarding the reporting obligations and where to refer relating to the ability to suspend reporting?</P>
        <HD SOURCE="HD1">III. Reporting Obligation of ABS Whose Exchange Act Section 15(d) Obligation Was Suspended Prior to Enactment of the Act</HD>
        <P>A suspension from reporting under Exchange Act Section 15(d) is applicable under the statute only for a year and needs to be reconsidered each subsequent year:</P>
        
        <EXTRACT>

          <P>The duty to file under this subsection shall also be automatically suspended<E T="03">as to any fiscal year,</E>other than the fiscal year within which such registration statement became effective, if, at the beginning of<E T="03">such fiscal year,</E>the securities of each class, other than any class of asset-backed securities, to which the registration statement relates are held of record by less than three hundred persons.<SU>22</SU>
            <FTREF/>(emphasis added)</P>
        </EXTRACT>
        <FTNT>
          <P>

            <SU>22</SU>15 U.S.C. 78o(d). We note that our staff has previously stated in this regard, “If on the first day of any subsequent fiscal year the thresholds in Rule 12h-3(b)(1) are exceeded, the suspension of reporting obligations under Section 15(d) will lapse, and the issuer would be required to resume periodic and current reporting under Section 15(d) in the manner specified in Rule 12h-3(e).”<E T="03">See</E>Staff Legal Bulletin No. 18 (Mar. 15, 2010), fn. 7.</P>
        </FTNT>
        
        <FP>Consequently, once an issuer has registered an offering under the Securities Act it needs to consider at the beginning of each fiscal year whether it has a reporting obligation under Exchange Act Section 15(d). This is the case even if an issuer has previously been eligible to suspend reporting under Exchange Act Section 15(d). As a result, the revision to Exchange Act Section 15(d) results in a “springing” Section 15(d) reporting obligation for ABS issuers on the first day of their next fiscal year since, by its terms, Section 15(d) as amended, does not provide for the suspension of reporting for ABS, unless the Commission exercises its authority to provide for a suspension or termination of such reporting. We note that unlike corporate issuers that can generate new revenue and actively manage their assets and business, ABS issuers by definition are a discrete pool of self-liquidating assets. One commentator has noted, among other things, that historically the transaction documents have not contained provisions necessary to support an ongoing reporting obligation, or provide for the funds to cover the costs of taking steps to recommence reporting.<SU>23</SU>
          <FTREF/>While the transaction documents may not provide for recommencing reporting, we note that most transaction documents require ABS issuers to provide periodic distribution reports to the trustee or security holders in order to provide information for investors for the life of the securitization. Taking into account all of these factors, the staff of the Division of Corporation Finance has issued a no-action letter applicable to all ABS issuers whose reporting obligations had been suspended prior to the date of enactment of the Act that states that, provided the issuer continues complying with requirements under the transaction agreements to make ongoing information regarding the ABS and the related pool assets available to security holders in the manner and to the extent required under those transaction agreements, the Division would not recommend enforcement action if the issuer continues to determine its reporting requirements based on the standards set forth in Section 15(d) of the Exchange Act immediately prior to enactment of the Act.<SU>24</SU>
          <FTREF/>The letter also requires as an additional condition to the no-action position that the issuer retain the information for at least five years after the ABS are no longer outstanding and provide copies of such information to the Commission or its staff upon request.</FP>
        <FTNT>
          <P>
            <SU>23</SU>
            <E T="03">See</E>comment letters from the American Securitization Forum<E T="03">supra</E>note 16.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>24</SU>
            <E T="03">See</E>Staff no-action letter to American Securitization Forum (January 6, 2011).</P>
        </FTNT>
        <HD SOURCE="HD1">IV. General Request for Comments</HD>
        <P>We request comment on the specific issues we discuss in this release, and on any other approaches or issues that we should consider in connection with the proposed amendments. We seek comment from any interested persons, including investors, securitizers, ABS issuers, sponsors, originators, servicers, trustees, disseminators of EDGAR data, industry analysts, EDGAR filing agents, and any other members of the public.</P>
        <HD SOURCE="HD1">V. Paperwork Reduction Act</HD>
        <HD SOURCE="HD2">A. Background</HD>
        <P>Certain provisions of the disclosure rules and forms applicable to ABS issuers contain “collection of information” requirements within the meaning of the Paperwork Reduction Act of 1995 (“PRA”).<SU>25</SU>
          <FTREF/>While the amendments proposed today do not alter the disclosure requirements set forth in these rules and forms, the amendment to Exchange Act Section 15(d) effected by the Act will increase the number of filings made pursuant to these rules and forms. Accordingly, the Commission is submitting revised burden estimates for certain of these collections of information to the Office of Management and Budget (“OMB”) for review in accordance with the PRA.<SU>26</SU>

          <FTREF/>An agency may not conduct or sponsor, and a person is not required to comply with, a collection of information unless<PRTPAGE P="2053"/>it displays a currently valid control number. The titles for the affected collections of information are:</P>
        <FTNT>
          <P>
            <SU>25</SU>44 U.S.C. 3501<E T="03">et seq.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>26</SU>44 U.S.C. 3507(d) and 5 CFR 1320.11.</P>
        </FTNT>
        <P>(1) “Form 10-K” (OMB Control No. 3235-0063);</P>
        <P>(2) “Form 10-D” (OMB Control No. 3235-0604);</P>
        <P>(3) “Form 8-K” (OMB Control No. 3235-0288); and</P>
        <P>(4) “Form 15” (OMB Control No. 3235-0167).<SU>27</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>27</SU>We are proposing to add a new check box to Form 15 (OMB Control No. 3235-0167) to allow ABS issuers to indicate that they are relying on proposed Rule 15d-22(b) to suspend their reporting obligation. We do not believe that the proposed changes will affect the burden estimates for Form 15.</P>
        </FTNT>
        <P>The forms were adopted under the Exchange Act and set forth the disclosure requirements for periodic and current reports filed with respect to ABS and other types of securities to inform investors.</P>
        <P>Compliance with the information collections is mandatory. Responses to the information collections are not kept confidential and there is no mandatory retention period for the collections of information.</P>
        <HD SOURCE="HD2">B. Revisions to PRA Reporting and Cost Burden Estimates</HD>
        <P>Our PRA burden estimate for Form 10-K, Form 8-K and Form 15 is based on an average of the time and cost incurred by all types of public companies, not just ABS issuers, to prepare the collection of information. Form 10-D is a form that is only prepared and filed by ABS issuers. Form 10-D is filed within 15 days of each required distribution date on the ABS, as specified in the governing documents for such securities, containing periodic distribution and pool performance information.</P>
        <P>Our PRA burden estimates for the collections of information are based on information that we receive on entities assigned to Standard Industrial Classification Code 6189, the code used by ABS issuers, as well as information from outside data sources.<SU>28</SU>
          <FTREF/>When possible, we base our estimates on an average of the data that we have available for years 2004 through 2009. In some cases, our estimates for the number of ABS issuers that file Form 10-D with the Commission are based on an average of the number of ABS offerings in 2006 through 2009.<SU>29</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>28</SU>We rely on two outside sources of ABS issuance data. We use the ABS issuance data from Asset-Backed Alert on the initial terms of offerings, and we supplement that data with information from Securities Data Corporation (SDC).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>29</SU>Form 10-D was not implemented until 2006. Before implementation of Form 10-D, ABS issuers often filed their distribution reports under cover of Form 8-K.</P>
        </FTNT>
        <HD SOURCE="HD3">1. Statutory Effects</HD>
        <P>Prior to the amendment to Exchange Act Section 15(d), except for master trust issuers, the requirement to file Form 10-K for ABS issuers was typically suspended after the year of initial issuance because the issuer had fewer than 300 security holders of record. The Act amended Exchange Act Section 15(d) to remove issuers of a class of ABS from automatic suspension of the filing requirement. Subsequent to the enactment of the Act, the number of Forms 10-K and 10-D filed by ABS issuers is expected to increase each year by the number of ABS registered offerings and the number of Forms 15 filed by ABS issuers is expected to decrease by a similar number. The yearly average of ABS registered offerings with the Commission over the period from 2004 to 2009 was 958. As a result, for PRA purposes, we estimate an annual increase in Form 10-K filings of 958 filings<SU>30</SU>
          <FTREF/>and corresponding increases in Form 10-D filings of 5,748 filings and Form 8-K filings of 1437.<SU>31</SU>
          <FTREF/>Concurrently, for PRA purposes, we estimate an annual decrease in Form 15 filings of 958 filings.<SU>32</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>30</SU>
            <E T="03">See</E>the 2010 ABS Proposing Release,<E T="03">supra</E>note 13, at 23402. In order to estimate the number of Forms 10-K filed by ABS issuers for PRA purposes, we average the number of Forms 10-K over three years. In the first year after implementation, we use 958 as an estimate for the number of Forms 10-K we expect to receive. In the second year, we increase our estimate of the number of Forms 10-K expected by 958 to a total of 1,916 and in the third year, the addition of another 958 brings the total to 2,874. The average number of Forms 10-K over three years would, therefore, be 1,916. As a result, for PRA purposes, we estimate an increase in Form 10-K filings of 958 filings. These estimates assume that the market for ABS returns to historic levels.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>31</SU>We are estimating that each ABS issuer would have an annual Form 10-K filing, six Form 10-D filings and 1.5 8-K filings consistent with our estimates in the 2010 ABS Proposing Release.<E T="03">See</E>2010 ABS Proposing Release,<E T="03">supra</E>note 13, at n. 521.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>32</SU>We assume that in any given year the issuers of all 958 registered ABS issued in the prior year would have suspended reporting using Form 15. The average number of Form 15 over three years would, therefore, have been 958. After the implementation of the Act, Form 15 will no longer be used by these ABS issuers as it was in the past. As a result, for the purposes of PRA, we estimate a decrease in Form 15 filings of 958.</P>
        </FTNT>
        <P>We estimate that, for Exchange Act reports generally, 75% of the burden of preparation is carried by the company internally and that 25% of the burden is carried by outside professionals retained by the registrant at an average cost of $400 per hour. Consistent with our estimates in 2004, we estimate that 120 hours would be needed to complete and file a Form 10-K for an ABS issuer, 30 hours would be needed to complete and file a Form 10-D for an ABS issuer, 5 hours would be needed to complete and file a Form 8-K for an ABS issuer, and 1.5 hours would be needed to complete and file a Form 15 for an ABS issuer.<SU>33</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>33</SU>
            <E T="03">See</E>2010 ABS Proposing Release,<E T="03">supra</E>note 13, at 23402-23403.</P>
        </FTNT>
        <P>In summation, we estimate, for PRA purposes, increases of 114,960 total burden hours for Form 10-K (958 Forms 10-K times 120 burden hours per filing), 172,440 total burden hours for Form 10-D (5,748 Forms 10-D times 30 burden hours per filing), and 7,185 total burden hours for Form 8-K (1,437 Forms 8-K times 5 burden hours per filing), as well as a decrease of 1,437 total burden hours for Form 15 (958 Forms 15 times 1.5 burden hours per filing) as a result of the statutory changes to Exchange Act Section 15(d).<SU>34</SU>
          <FTREF/>We allocate 75% of those hours (an increase of 86,220 hours for Form 10-K, 129,330 hours for Form 10-D, and 5,389 hours for Form 8-K) to internal burden and the remaining 25% to external costs using a rate of $400 per hour (an increase of $11,496,000 for Form 10-K, $17,244,000 for Form 10-D and $718,500 for Form 8-K).</P>
        <FTNT>
          <P>
            <SU>34</SU>We allocate all of the burden for Form 15 filings to internal burden hours.</P>
        </FTNT>
        <HD SOURCE="HD3">2. Effects on Burden Estimates of the Proposed Rules</HD>
        <P>We are proposing to permit ABS issuers to suspend their reporting obligation with respect to a class of ABS for any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year non-affiliates no longer hold any of the issuer's securities of that class that were sold in registered transactions. While we expect that issuers will be able to suspend their reporting obligations in the future, based on average expected deal life data, for purposes of the PRA, we estimate that the proposal will not affect our PRA estimates over the next three years.<SU>35</SU>
          <FTREF/>We are also proposing to amend Exchange Act Rule 15d-22 relating to reporting and shelf registration and Exchange Act Rule 12h-3 to conform the rule to Exchange Act Section 15(d). We do not believe that these proposals will affect our PRA estimates.</P>
        <FTNT>
          <P>
            <SU>35</SU>Since historical data on the numbers of classes of ABS that reduce their non-affiliated holders to zero is not generally available, we are using statistics relating to average expected deal life to establish our PRA estimate. Statistics compiled from SDC Platinum suggest that the average expected deal life of a class of ABS is over 5 years.</P>
        </FTNT>
        <PRTPAGE P="2054"/>
        <HD SOURCE="HD3">3. Summary of Proposed Changes to Annual Burden Compliance in Collection of Information</HD>
        <P>Table 1 illustrates the changes in annual compliance burden in the collection of information in hours and costs for existing reports for ABS issuers.</P>
        <GPOTABLE CDEF="s30,11,11,11,11)0,11,13,11,13" COLS="9" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Form</CHED>
            <CHED H="1">Current<LI>annual</LI>
              <LI>responses</LI>
            </CHED>
            <CHED H="1">Proposed<LI>annual</LI>
              <LI>responses</LI>
            </CHED>
            <CHED H="1">Current<LI>burden</LI>
              <LI>hours</LI>
            </CHED>
            <CHED H="1">Decrease or increase in burden hours</CHED>
            <CHED H="1">Proposed burden hours</CHED>
            <CHED H="1">Current<LI>professional</LI>
              <LI>costs</LI>
            </CHED>
            <CHED H="1">Decrease or increase in professional costs</CHED>
            <CHED H="1">Proposed<LI>professional</LI>
              <LI>costs</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">10-K</ENT>
            <ENT>13,545</ENT>
            <ENT>14,503</ENT>
            <ENT>21,363,548</ENT>
            <ENT>86,220</ENT>
            <ENT>21,449,768</ENT>
            <ENT>2,848,473,000</ENT>
            <ENT>11,496,000</ENT>
            <ENT>2,859,969,000</ENT>
          </ROW>
          <ROW>
            <ENT I="01">10-D</ENT>
            <ENT>10,000</ENT>
            <ENT>15,478</ENT>
            <ENT>225,000</ENT>
            <ENT>129,330</ENT>
            <ENT>354,330</ENT>
            <ENT>30,000,000</ENT>
            <ENT>17,244,000</ENT>
            <ENT>47,244,000</ENT>
          </ROW>
          <ROW>
            <ENT I="01">8-K</ENT>
            <ENT>115,795</ENT>
            <ENT>117,232</ENT>
            <ENT>493,436</ENT>
            <ENT>5,389</ENT>
            <ENT>498,825</ENT>
            <ENT>54,212,000</ENT>
            <ENT>718,500</ENT>
            <ENT>54,930,500</ENT>
          </ROW>
          <ROW>
            <ENT I="01">15</ENT>
            <ENT>3,000</ENT>
            <ENT>2,042</ENT>
            <ENT>4,500</ENT>
            <ENT>(1,437)</ENT>
            <ENT>3,063</ENT>
            <ENT>0</ENT>
            <ENT>0</ENT>
            <ENT>0</ENT>
          </ROW>
        </GPOTABLE>
        <HD SOURCE="HD3">4. Solicitation of Comments</HD>
        <P>We request comments in order to evaluate: (1) Whether the proposed collection of information is necessary for the proper performance of the functions of the agency, including whether the information would have practical utility; (2) the accuracy of our estimate of the burden of the proposed collection of information; (3) whether there are ways to enhance the quality, utility, and clarity of the information to be collected; and (4) whether there are ways to minimize the burden of the collection of information on those who are to respond, including through the use of automated collection techniques or other forms of information technology.<SU>36</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>36</SU>We request comment pursuant to 44 U.S.C. 3506(c)(2)(B).</P>
        </FTNT>
        <P>Any member of the public may direct to us any comments concerning the accuracy of these burden estimates and any suggestions for reducing these burdens. Persons submitting comments on the collection of information requirements should direct the comments to the Office of Management and Budget, Attention: Desk Officer for the Securities and Exchange Commission, Office of Information and Regulatory Affairs, Washington, DC 20503, and should send a copy to Elizabeth M. Murphy, Secretary, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549-1090, with reference to File No. S7-02-11. Requests for materials submitted to OMB by the Commission with regard to these collections of information should be in writing, refer to File No. S7-02-11, and be submitted to the Securities and Exchange Commission, Office of Investor Education and Advocacy, 100 F Street, NE., Washington, DC 20549-0213. OMB is required to make a decision concerning the collection of information between 30 and 60 days after publication of this release. Consequently, a comment to OMB is best assured of having its full effect if OMB receives it within 30 days of publication.</P>
        <HD SOURCE="HD1">VI. Benefit-Cost Analysis</HD>
        <P>The Exchange Act establishes an ongoing reporting obligation for each class of ABS for which an issuer has filed a registration statement that has become effective pursuant to the Securities Act and grants the Commission authority to provide for the suspension or termination of the duty to file. In light of the changes made to Exchange Act Section 15(d) in the Act, the Commission is proposing to amend Exchange Act Rule 12h-3 and 15d-22, and to provide for the suspension of the duty to file for certain issuers as discussed in this release.<SU>37</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>37</SU>The proposed amendments to Exchange Act Rules 12h-3 and 15d-22 do not substantively alter the current requirements and should help issuers comply with their obligations and avoid confusion.</P>
        </FTNT>
        <P>We believe that reporting of the ongoing performance of the ABS is useful to investors and the market by providing readily accessible information upon which investors may evaluate performance and make ongoing investment decisions. We also recognize, however, that there is a point at which the benefits to investors and the market of reporting diminish. In proposing to provide for the suspension of the duty to file for ABS issuers when non-affiliated holders no longer hold securities in the issuer, we have sought to balance the value of the information to investors and the market with the burden on the issuers of preparing the reports. We further recognize that there are other alternatives for determining when the suspension of the duty to file is appropriate and have sought comment on that issue in this release.</P>
        <P>We are sensitive to benefits and costs of the proposed rules, if adopted. The discussion below focuses on the benefits and costs of the decisions made by the Commission in the exercise of the new exemptive authority provided by the Act. We request that commentators provide their views along with supporting data as to the benefits and costs of the proposed amendments.</P>
        <HD SOURCE="HD2">A. Benefits</HD>
        <P>The proposals would allow an issuer to suspend reporting under certain circumstances and update certain provisions relating to reporting obligations under a shelf registration statement. The Act amended Exchange Act Section 15(d) to eliminate the automatic suspension of the duty to file ongoing Exchange Act reports for ABS issuers and granted the Commission authority to issue rules providing for the suspension or termination of such duty. The proposals would permit issuers to suspend their reporting obligation under Exchange Act Section 15(d) for any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year there are no longer ABS of the class that were sold in a registration statement held by non-affiliates of the depositor. Permitting such issuers to suspend reporting would allow those issuers to avoid the costs of preparing and filing annual and periodic reports with the Commission when non-affiliates of the depositor no longer hold any outstanding classes of the securities sold in registered transactions.</P>
        <HD SOURCE="HD2">B. Costs</HD>

        <P>In revising Exchange Act Section 15(d), Congress exhibited an intent to increase the continued reporting by ABS issuers, but gave the Commission authority to place limitations on that reporting in the public interest. The Commission is exercising this authority and proposing a rule which would allow ABS issuers to suspend their reporting obligation under certain limited conditions. Permitting the suspension of reporting would limit the ability of market participants and<PRTPAGE P="2055"/>observers to access and review information for those ABS that suspend reporting. We believe that this cost would be mitigated, since affiliates would generally be able to receive relevant information because of their relationship with the depositor. Thus, only non-holders of a particular ABS would be affected. Furthermore, the utility of the information to market participants and observers would be limited since ABS owned solely by affiliates would generally not have a public market. We recognize that there is an additional cost to preparing ongoing disclosure for registered transactions relative to issuing in the private markets. Issuers' willingness to issue registered ABS may be affected by the proposed threshold at which issuers may suspend their reporting obligations under Section 15(d), or another suspension threshold that we may adopt.</P>
        <HD SOURCE="HD2">C. Request for Comment</HD>
        <P>We seek comments and empirical data on all aspects of this Benefit-Cost Analysis including identification and quantification of any additional benefits and costs.</P>
        <HD SOURCE="HD1">VII. Consideration of Burden on Competition and Promotion of Efficiency, Competition and Capital Formation</HD>
        <P>Section 23(a) of the Exchange Act<SU>38</SU>
          <FTREF/>requires the Commission, when making rules and regulations under the Exchange Act, to consider the impact a new rule would have on competition. Section 23(a)(2) prohibits the Commission from adopting any rule that would impose a burden on competition not necessary or appropriate in furtherance of the purposes of the Exchange Act. Section 3(f) of the Exchange Act<SU>39</SU>
          <FTREF/>requires the Commission, when engaging in rulemaking that requires it to consider whether an action is necessary or appropriate in the public interest, to consider, in addition to the protection of investors, whether the action would promote efficiency, competition, and capital formation.</P>
        <FTNT>
          <P>
            <SU>38</SU>15 U.S.C. 78w(a).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>39</SU>15 U.S.C. 78c(f).</P>
        </FTNT>
        <P>The proposed amendments update the reporting requirements for takedowns from shelf registration in Exchange Act Rule 15d-22 and provide for the suspension of the duty to file for certain ABS issuers as discussed in this release. The proposal to allow ABS issuers without non-affiliated holders to suspend their duty to file would decrease transparency regarding those issuers, to the extent that non-affiliated investors and the market use that information. However, the suspension of the duty to file would reduce compliance costs for issuers which could increase efficiency and facilitate capital formation.</P>
        <P>The Act eliminated the ability of ABS issuers to suspend their duty to file ongoing reports under Exchange Act Section 15(d). An inability to suspend the duty to file may encourage some issuers to offer ABS privately or not to issue ABS at all, rather than registering those ABS and incurring the ongoing reporting costs. If issuers register fewer ABS, this would reduce liquidity and decrease transparency in the ABS market. The current proposal that would allow ABS issuers under limited circumstances to suspend their duty to file and provide issuers certainty regarding when they may suspend reporting may encourage some ABS issuers to register ABS and offer ABS in the public markets, which would increase liquidity and transparency and facilitate capital formation.</P>
        <P>The clarifications provided in Exchange Act Rule 15d-22 and 12h-3 may have a beneficial effect on the efficiency of managing ABS offerings, especially takedowns from ABS shelf registration, by providing issuers with a better understanding of their Exchange Act reporting obligations and facilitating compliance.</P>
        <P>We do not believe the proposed amendments would have an impact or burden on competition. We request comment on whether the proposed amendments, if adopted, would impose a burden on competition not necessary or appropriate in furtherance of the purposes of the Exchange Act. Commentators are requested to provide empirical data and other factual support for their views if possible. We request comment on whether the proposed amendments, if adopted, would promote efficiency, competition, and capital formation. Commentators are requested to provide empirical data and other factual support for their views if possible.</P>
        <HD SOURCE="HD1">VIII. Small Business Regulatory Enforcement Fairness Act</HD>
        <P>For purposes of the Small Business Regulatory Enforcement Fairness Act of 1996,<SU>40</SU>
          <FTREF/>a rule is “major” if it has resulted, or is likely to result in:</P>
        <FTNT>
          <P>
            <SU>40</SU>Public Law 104-121, Title II, 110 Stat. 857 (1996).</P>
        </FTNT>
        <P>• An annual effect on the U.S. economy of $100 million or more;</P>
        <P>• A major increase in costs or prices for consumers or individual industries; or</P>
        <P>• Significant adverse effects on competition, investment, or innovation.</P>
        <P>We request comment on whether our proposed amendments would be a “major rule” for purposes of the Small Business Regulatory Enforcement Fairness Act. We solicit comment and empirical data on:</P>
        <P>• The potential effect on the U.S. economy on an annual basis;</P>
        <P>• Any potential increase in costs or prices for consumers or individual industries; and</P>
        <P>• Any potential effect on competition, investment, or innovation.</P>
        <HD SOURCE="HD1">IX. Regulatory Flexibility Act Certification</HD>
        <P>The Commission hereby certifies pursuant to 5 U.S.C. 605(b) that the proposals contained in this release, if adopted, would not have a significant economic impact on a substantial number of small entities. The proposals relate to the ongoing reporting requirements for ABS issuers under the Exchange Act. Exchange Act Rule 0-10(a)<SU>41</SU>
          <FTREF/>defines an issuer, other than an investment company, to be a “small business” or “small organization” if it had total assets of $5 million or less on the last day of its most recent fiscal year. As the depositor and issuing entity are most often limited purpose entities in an ABS transaction, we focused on the sponsor in analyzing the potential impact of the proposals under the Regulatory Flexibility Act. Based on our data, we only found one sponsor that could meet the definition of a small broker-dealer for purposes of the Regulatory Flexibility Act.<SU>42</SU>
          <FTREF/>Accordingly, the Commission does not believe that the proposals, if adopted, would have a significant economic impact on a substantial number of small entities.</P>
        <FTNT>
          <P>
            <SU>41</SU>17 CFR 240.0-10(a).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>42</SU>This is based on data from Asset-Backed Alert.</P>
        </FTNT>
        <HD SOURCE="HD1">X. Statutory Authority and Text of Proposed Rule and Form Amendments</HD>
        <P>We are proposing the amendments contained in this document under the authority set forth in Section 942 of the Act, and Sections 3(b), 12, 13, 15, 23(a), and 36 of the Exchange Act.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 17 CFR Parts 240 and 249</HD>
          <P>Reporting and recordkeeping requirements, Securities.</P>
        </LSTSUB>
        

        <P>For the reasons set out above, Title 17, Chapter II of the Code of Federal<PRTPAGE P="2056"/>Regulations is proposed to be amended as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 240—GENERAL RULES AND REGULATIONS, SECURITIES EXCHANGE ACT OF 1934</HD>
          <P>1. The authority citation for part 240 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>

            <P>15 U.S.C. 77c, 77d, 77g, 77j, 77s, 77z-2, 77z-3, 77eee, 77ggg, 77nnn, 77sss, 77ttt, 78c, 78d, 78e, 78f, 78g, 78i, 78j, 78j-1, 78k, 78k-1, 78<E T="03">l</E>, 78m, 78n, 78o, 78p, 78q, 78s, 78u-5, 78w, 78x, 78<E T="03">ll</E>, 78mm, 80a-20, 80a-23, 80a-29, 80a-37, 80b-3, 80b-4, 80b-11, and 7201<E T="03">et seq.;</E>and 18 U.S.C. 1350 and 12 U.S.C. 5221(e)(3), unless otherwise noted.</P>
          </AUTH>
          <STARS/>
          <P>2. Amend § 240.12h-3 by:</P>
          <P>a. In paragraph (b)(1) introductory text add “, other than any class of asset-backed securities,” in the first sentence after “Any class of securities”; and</P>
          <P>b. Adding a Note to paragraph (b).</P>
          <P>The addition to read as follows:</P>
          <SECTION>
            <SECTNO>§ 240.12h-3</SECTNO>
            <SUBJECT>Suspension of duty to file reports under section 15(d).</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <NOTE>
              <HD SOURCE="HED">Note to Paragraph (b):</HD>
              <P>The suspension of classes of asset-backed securities is addressed in § 240.15d-22.</P>
            </NOTE>
            <STARS/>
            <P>3. Revise § 240.15d-22 to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 240.15d-22</SECTNO>
            <SUBJECT>Reporting regarding asset-backed securities under section 15(d) of the Act.</SUBJECT>
            <P>(a) With respect to an offering of asset-backed securities registered pursuant to § 230.415(a)(1)(x) of this chapter:</P>
            <P>(1) Annual and other reports need not be filed pursuant to section 15(d) of the Act (15 U.S.C. 78o(d)) regarding any class of securities to which such registration statement relates until the first bona fide sale in a takedown of securities under the registration statement; and</P>
            <P>(2) The starting and suspension dates for any reporting obligation under section 15(d) of the Act (15 U.S.C. 78o(d)) with respect to a takedown of any class of asset-backed securities is determined separately for each takedown of securities under the registration statement.</P>
            <P>(b) The duty to file annual and other reports pursuant to section 15(d) of the Act (15 U.S.C. 78o(d)) regarding any class of asset-backed securities is suspended as to any fiscal year, other than the fiscal year within which the registration statement became effective, if, at the beginning of the fiscal year there are no longer any asset-backed securities of such class that were sold in a registered transaction held by non-affiliates of the depositor.</P>

            <P>(c) This section does not affect any other reporting obligation applicable with respect to any classes of securities from additional takedowns under the same or different registration statements or any reporting obligation that may be applicable pursuant to section 12 of the Act (15 U.S.C. 78<E T="03">l</E>).</P>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 249—FORMS, SECURITIES EXCHANGE ACT OF 1934</HD>
          <P>4. The authority citation for part 249 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>15 U.S.C. 78a<E T="03">et seq.</E>and 7201<E T="03">et seq.</E>; and 18 U.S.C. 1350, unless otherwise noted.</P>
          </AUTH>
          
          <P>5. Amend Form 15 (referenced in § 249.323) by adding a checkbox referring to “Rule 15d-22(b)” after the checkbox referring to “Rule 15d-6”.</P>
          <SIG>
            <DATED>Dated: January 6, 2011.</DATED>
            
            <P>By the Commission.</P>
            <NAME>Elizabeth M. Murphy,</NAME>
            <TITLE>Secretary.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-416 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 8011-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Parts 49, 60, 63, 75, 86, 89, 92, 94, 761, and 1065</CFR>
        <DEPDOC>[EPA-HQ-OPPT-2010-0518; FRL-8846-6]</DEPDOC>
        <RIN>RIN 2070-AJ51</RIN>
        <SUBJECT>Incorporation of Revised ASTM Standards That Provide Flexibility in the Use of Alternatives to Mercury-Containing Thermometers; Solicitation of Public Comment on the Required Use of Mercury-Containing Thermometers in EPA Regulations</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to incorporate the most recent versions of the American Society for Testing and Materials (ASTM) International standards (ASTM standards) into EPA regulations that provide flexibility to use alternatives to mercury-containing industrial thermometers. These proposed amendments will allow the use of such alternatives in certain limited field and laboratory applications previously impermissible as part of compliance with EPA regulations. Additionally, EPA is seeking public input on the need to address the remaining EPA regulations that incorporate by reference ASTM standards that do not allow the use of alternatives to mercury-containing industrial thermometers. EPA believes these embedded ASTM standards may unnecessarily impede the use of effective, comparable, and available mercury alternatives. Due to elemental mercury's high toxicity, EPA seeks to reduce potential mercury exposures to humans and the environment by reducing the overall use of mercury-containing products, including mercury-containing thermometers.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before March 14, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by docket identification (ID) number EPA-HQ-OPPT-2010-0518 by one of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>Follow the on-line instructions for submitting comments.</P>
          <P>•<E T="03">Mail:</E>Document Control Office (7407M), Office of Pollution Prevention and Toxics (OPPT), Environmental Protection Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460-0001.</P>
          <P>•<E T="03">Hand Delivery:</E>OPPT Document Control Office (DCO), EPA East Bldg., Rm. 6428, 1201 Constitution Ave., NW., Washington, DC.<E T="03">Attention:</E>Docket ID Number EPA-HQ-OPPT-2010-0518. The DCO is open from 8 a.m. to 4 p.m., Monday through Friday, excluding legal holidays. The telephone number for the DCO is (202) 564-8930. Such deliveries are only accepted during the DCO's normal hours of operation, and special arrangements should be made for deliveries of boxed information.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to docket ID number EPA-HQ-OPPT-2010-0518. EPA's policy is that all comments received will be included in the docket without change and may be made available on-line at<E T="03">http://www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through regulations.gov or e-mail. The regulations.gov Web site is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an e-mail comment directly to EPA without going through regulations.gov, your e-mail address will be automatically captured and included as part of the comment that is placed in the docket and made available<PRTPAGE P="2057"/>on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses.</P>
          <P>
            <E T="03">Docket:</E>All documents in the docket are listed in the docket index available at<E T="03">http://www.regulations.gov.</E>Although listed in the index, some information is not publicly available, e.g., CBI or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, will be publicly available only in hard copy. Publicly available docket materials are available electronically at<E T="03">http://www.regulations.gov,</E>or, if only available in hard copy, at the OPPT Docket. The OPPT Docket is located in the EPA Docket Center (EPA/DC), Rm. 3334, EPA West Bldg., 1301 Constitution Ave., NW., Washington, DC. The EPA/DC Public Reading Room hours of operation are 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number of the EPA/DC Public Reading Room is (202) 566-1744, and the telephone number for the OPPT Docket is (202) 566-0280. Docket visitors are required to show photographic identification, pass through a metal detector, and sign the EPA visitor log. All visitor bags are processed through an X-ray machine and subject to search. Visitors will be provided an EPA/DC badge that must be visible at all times in the building and returned upon departure.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>
            <E T="03">For technical information contact:</E>Robert Courtnage, National Program Chemicals Division (7404T), Office of Pollution Prevention and Toxics, Environmental Protection Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460-0001;<E T="03">telephone number:</E>(202) 566-1081;<E T="03">e-mail address: courtnage.robert@epa.gov.</E>
          </P>
          <P>
            <E T="03">For general information contact:</E>The TSCA-Hotline, ABVI-Goodwill, 422 South Clinton Ave., Rochester, NY 14620;<E T="03">telephone number:</E>(202) 554-1404;<E T="03">e-mail address: TSCA-Hotline@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. General Information</HD>
        <HD SOURCE="HD2">A. Does this action apply to me?</HD>
        <P>You may be potentially affected by this action if you use mercury-containing thermometers in laboratories, for field analysis, or for other industrial applications. Potentially affected entities may include, but are not limited to:</P>
        <P>• Testing Laboratories (NAICS code 541380).</P>
        <P>• Petroleum Refineries (NAICS code 324110).</P>
        <P>• Analytical Laboratory Instrument Manufacturing (NAICS code 334516).</P>

        <P>This listing is not intended to be exhaustive, but rather provides a guide for readers regarding entities likely to be affected by this action. Other types of entities not listed in this unit could also be affected. The North American Industrial Classification System (NAICS) codes have been provided to assist you and others in determining whether this action might apply to certain entities. If you have any questions regarding the applicability of this action to a particular entity, consult the technical person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>.</P>
        <HD SOURCE="HD2">B. What should I consider as I prepare my comments for EPA?</HD>
        <P>1.<E T="03">Submitting CBI.</E>Do not submit this information to EPA through regulations.gov or e-mail. Clearly mark the part or all of the information that you claim to be CBI. For CBI information in a disk or CD-ROM that you mail to EPA, mark the outside of the disk or CD-ROM that you mail to EPA, mark the outside of the disk or CD-ROM as CBI and then identify electronically within the disk or CD-ROM the specific information that is claimed as CBI. In addition to one complete version of the comment that includes information claimed as CBI, a copy of the comment that does not contain the information claimed as CBI must be submitted for inclusion in the public docket. Information so marked will not be disclosed except in accordance with procedures set forth in 40 CFR part 2.</P>
        <P>2.<E T="03">Tips for preparing your comments.</E>When submitting comments, remember to:</P>

        <P>i. Identify the document by docket ID number and other identifying information (subject heading,<E T="04">Federal Register</E>date and page number).</P>
        <P>ii. Follow directions. The Agency may ask you to respond to specific questions or organize comments by referencing a Code of Federal Regulations (CFR) part or section number.</P>
        <P>iii. Explain why you agree or disagree; suggest alternatives and substitute language for your requested changes.</P>
        <P>iv. Describe any assumptions and provide any technical information and/or data that you used.</P>
        <P>v. If you estimate potential costs or burdens, explain how you arrived at your estimate in sufficient detail to allow for it to be reproduced.</P>
        <P>vi. Provide specific examples to illustrate your concerns and suggest alternatives.</P>
        <P>vii. Explain your views as clearly as possible, avoiding the use of profanity or personal threats.</P>
        <P>viii. Make sure to submit your comments by the comment period deadline identified.</P>
        <HD SOURCE="HD1">II. Background</HD>
        <HD SOURCE="HD2">A. What action is the Agency taking?</HD>

        <P>EPA's action is part of a more expansive Agency initiative to reduce the use of mercury-containing products to help prevent unnecessary human and environmental exposures to elemental mercury. EPA is proposing to incorporate revised ASTM standards that provide flexibility to use alternatives to mercury-containing industrial thermometers as part of complying with EPA regulatory requirements. Separately, EPA is soliciting responses from the public to specific questions (<E T="03">see</E>Unit II.B.) relating to the need to revise the remaining ASTM standards embedded within EPA regulations that require the use of mercury-containing thermometers. EPA is specifically interested in public responses that address the benefits of providing flexibility to use mercury-containing thermometer alternatives and whether the remaining EPA regulations that require the use of mercury-containing thermometers could be revised or whether mercury-containing thermometers are needed for their accuracy and performance.</P>
        <P>Mercury exposures can harm the brain, heart, kidneys, lungs, and immune system. Most human exposure to mercury is through the consumption of fish containing methylmercury. Exposure to methylmercury through ingestion can harm the normal development of the nervous system, resulting in learning disabilities. Elemental mercury and other forms of mercury from industrial sources are deposited from the air and are converted into methylmercury. Mercury exposures can also occur by the inhalation of elemental mercury from the breakage or improper disposal of mercury-containing products such as mercury-containing thermometers. Inhalation exposure of elemental mercury can lead to neurotoxic and developmental neurotoxic effects.</P>

        <P>Following a thorough search, the Agency determined that certain EPA<PRTPAGE P="2058"/>regulations reference ASTM standards that require the use of mercury-containing thermometers for certain temperature measurement applications. EPA seeks to provide the regulated community with the flexibility to use mercury-free alternatives, where feasible, comparable, and available. This action proposes to update EPA regulations to incorporate three specific ASTM standards (D5865-10, D445-09, and D93-09) that allow for the use of alternatives to mercury-containing thermometers. EPA is proposing to update these ASTM standards where they are referenced in regulations pursuant to the Clean Air Act (CAA) and the Toxic Substances Control Act (TSCA) (certain sections of 40 CFR parts 49, 60, 63, 75, 86, 89, 92, 94, 761, and 1065). One of the incorporated ASTM standards (D5865-10) requires the use of a mercury-free device while the other two standards (D445-09 and D93-09) provide the flexibility to use alternatives to mercury-containing thermometers, but do not require their use. EPA is proposing to allow the use of the updated standard D5865-10 and the previous standards, D5856-01a, D5856-03a, and D5856-04 so that flexibility is given to use mercury-free thermometers, but not required. Although a first step, incorporating these current standards comprises only a small percentage of the ASTM standards referenced within EPA regulations that require the use of mercury-containing thermometers. Further revisions to other relevant ASTM standards would be necessary before EPA could provide more comprehensive flexibility. To facilitate the use of mercury alternatives, EPA encourages ASTM to expeditiously review and revise their standards that require the use of mercury-containing thermometers, particularly those currently embedded in EPA regulations.</P>
        <P>As part of the Agency's mercury-product reduction effort, EPA believes it is important to remove unnecessary requirements to use mercury-containing thermometers where viable and comparable non-mercury substitutes exist. The National Institute of Standards and Technology (NIST), recognized experts in the field of thermometry, believe there are no fundamental barriers to the replacement of mercury-containing thermometers. Although perceived as superior in performance, mercury-containing thermometers have readily available and comparable alternatives such as platinum resistance thermometers, thermistors, thermocouples, and portable electronic thermometers (PETs). The use of thermometers in high temperature applications, such as the use of thermometers in autoclaves, traditionally provided significant challenges to the use of mercury-containing thermometer alternatives. However, the use of data-loggers in autoclave operations is an example of an emerging innovation to allow the viable use of mercury substitutes.</P>
        <P>In addition to the embedded ASTM standards, certain EPA regulations directly require the use of mercury-containing thermometers. Most of these regulations are pursuant to CAA and will be addressed through a separate rulemaking currently pursued by EPA's Office of Air and Radiation. It is important to note that for ASTM standards contained within State implementation plan (SIP) approvals the Agency will need to address each ASTM standard separately after consultation with the States.</P>
        <P>Additionally, analytical methods mandated under the Resource Conservation and Recovery Act (RCRA) that use mercury-containing thermometers as a Method Defined Parameter (MDP) will not be addressed in this proposed rule. While the Office of Solid Waste and Emergency Response (OSWER) Methods Innovation Rule (MIR) allows flexibility in RCRA-related sampling and analysis by removing unnecessary requirements in SW-846 Methods, the MIR does not allow for flexibility for test methods that have MDPs. EPA may address MDPs in future actions but not as part of this proposed rule.</P>
        <HD SOURCE="HD2">B. What questions would EPA like the public to answer?</HD>
        <P>1. How can EPA provide additional flexibility in the use of mercury-free thermometers to comply with the Agency's relevant regulations?</P>
        <P>2. Are requirements to use mercury-containing thermometers necessary for performance reasons or should flexibility be provided in most if not all measurement applications?</P>
        <P>3. Does the use of data-loggers for temperature measurement in autoclaves provide a viable alternative to the use of mercury-containing thermometers?</P>
        <P>4. What else can EPA do to help expedite the use of alternatives to mercury-containing thermometers where feasible, comparable, and available?</P>
        <HD SOURCE="HD2">C. What is the Agency's authority for taking this action?</HD>
        <P>This proposed rule is issued under the Agency's authority pursuant to the CAA (42 U.S.C. 7401-7671q) and TSCA (15 U.S.C. 2601-2692).</P>
        <HD SOURCE="HD1">III. Statutory and Executive Order Reviews</HD>
        <HD SOURCE="HD2">A. Regulatory Planning and Review</HD>

        <P>This is not a “significant regulatory action” under Executive Order 12866, entitled<E T="03">Regulatory Planning and Review</E>(58 FR 51735, October 4, 1993). Accordingly, this action was not submitted to the Office of Management and Budget (OMB) for review under Executive Order 12866.</P>
        <HD SOURCE="HD2">B. Paperwork Reduction Act</HD>

        <P>According to the Paperwork Reduction Act (PRA), 44 U.S.C. 3501<E T="03">et seq.,</E>an agency may not conduct or sponsor, and a person is not required to respond to a collection of information that requires OMB approval under PRA, unless it has been approved by OMB and displays a currently valid OMB control number. The OMB control numbers for EPA's regulations in title 40 of the CFR, after appearing in the<E T="04">Federal Register</E>, are listed in 40 CFR part 9, and included on the related collection instrument, or form, if applicable. There are no information collection requirements in this proposed rule that require additional approval or consideration under PRA.</P>
        <HD SOURCE="HD2">C. Small Entity Impacts</HD>

        <P>Pursuant to section 605(b) of the Regulatory Flexibility Act (RFA) (5 U.S.C. 601<E T="03">et seq.</E>), the Agency hereby certifies that this action will not have a significant adverse economic impact on a substantial number of small entities. Small entities include small businesses, small organizations, and small governmental jurisdictions. In making this determination, the impact of concern is any significant adverse economic impact on small entities because the primary purpose of regulatory flexibility analysis is to identify and address regulatory alternatives “which minimize any significant economic impact of the rule on small entities” (5 U.S.C. 603 and 604). Thus, an agency may certify under RFA when the rule relieves regulatory burden, or otherwise has no expected economic impact on small entities subject to the rule. EPA believes that this proposed rule does not have any adverse economic impact because it will provide flexibility by allowing the use mercury-free thermometers, without mandating their use. Of course, EPA welcomes comments on this conclusion.</P>
        <HD SOURCE="HD2">D. Unfunded Mandates</HD>

        <P>This proposed rule does not contain a Federal mandate that may result in expenditures of $100 million or more for State, local, and Tribal governments,<PRTPAGE P="2059"/>in the aggregate, or the private sector in any 1 year. As such, EPA has determined that this proposed rule does not impose any enforceable duty, contain any unfunded mandate, or otherwise have any effect on small governments subject to the requirements of sections 202, 203, 204, or 205 of the Unfunded Mandates Reform Act (UMRA) (2 U.S.C. 1531-1538).</P>
        <HD SOURCE="HD2">E. Federalism</HD>

        <P>This action will not have federalism implications because it is not expected to have a substantial direct effect on States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government, as specified in Executive Order 13132, entitled<E T="03">Federalism</E>(64 FR 43255, August 10, 1999). Thus, Executive Order 13132 does not apply to this action.</P>
        <HD SOURCE="HD2">F. Tribal Implications</HD>

        <P>This action will not have Tribal implications because it is not expected to have substantial direct effects on Indian Tribes, will not significantly or uniquely affect the communities of Indian Tribal governments, and does not involve or impose any requirements that affect Indian Tribes. Accordingly, the requirements of Executive Order 13175, entitled<E T="03">Consultation and Coordination with Indian Tribal Governments</E>(65 FR 67249, November 9, 2000), do not apply to this action.</P>
        <HD SOURCE="HD2">G. Children's Health Protection</HD>
        <P>EPA interprets Executive Order 13045, entitled<E T="03">Protection of Children from Environmental Health Risks and Safety Risks</E>(62 FR 19885, April 23, 1997), as applying only to those regulatory actions that concern health or safety risks, such that the analysis required under section 5-501 of the Executive Order has the potential to influence the regulation. This action is not subject to Executive Order 13045 because it does not establish an environmental standard intended to mitigate health or safety risks, nor is it an “economically significant regulatory action” as defined by Executive Order 12866.</P>
        <HD SOURCE="HD2">H. Effect on Energy Supply, Distribution, or Use</HD>

        <P>This action is not a “significant energy action” as defined in Executive Order 13211, entitled<E T="03">Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use</E>(66 FR 28355, May 22, 2001), because this action is not likely to affect the supply, distribution, or use of energy.</P>
        <HD SOURCE="HD2">I. Technical Standards</HD>
        <P>Section 12(d) of the National Technology Transfer and Advancement Act of 1995 (NTTAA), Public Law 104-113, 12(d) (15 U.S.C. 272 note) directs EPA to use voluntary consensus standards in its regulatory activities unless to do so would be inconsistent with applicable law or otherwise impractical. Voluntary consensus standards are technical standards (e.g., materials specifications, test methods, sampling procedures, and business practices) that are developed or adopted by voluntary consensus standards bodies. NTTAA directs EPA to provide Congress, through OMB, explanations when the Agency decides not to use available and applicable voluntary consensus standards. ASTM standards constitute voluntary consensus standards and, as such, the NTTAA directly applies to this proposed rule. The NTTAA requires that EPA use voluntary consensus standards unless to do so would be inconsistent with applicable law or otherwise impractical. With this proposed rule, EPA is adding the most current versions of applicable ASTM standards that allow flexibility in the use of mercury-containing thermometers and in the spirit of the NTTAA plans to work closely with ASTM to address the remaining standards within EPA regulations that require the use of mercury-containing thermometers.</P>
        <HD SOURCE="HD2">J. Environmental Justice</HD>

        <P>This action does not entail special considerations of environmental justice related issues as delineated by Executive Order 12898, entitled<E T="03">Federal Actions to Address Environmental Justice in Minority Populations and Low-Income Populations</E>(59 FR 7629, February 16, 1994).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Parts 49, 60, 63, 75, 86, 89, 92, 94, 761, and 1065</HD>
          <P>Environmental protection, temperature measurement, thermometers, and mercury.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: January 3, 2011.</DATED>
          <NAME>Lisa P. Jackson,</NAME>
          <TITLE>Administrator.</TITLE>
        </SIG>
        <P>Therefore, it is proposed that 40 CFR chapter I be amended as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 49—[AMENDED]</HD>
          <P>1. The authority citation for part 49 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401,<E T="03">et seq.</E>
            </P>
          </AUTH>
          
          <P>2. In § 49.123 revise the definition of “Heat input” in paragraph (a) and revise paragraph (e)(1)(v) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 49.123</SECTNO>
            <SUBJECT>General provisions.</SUBJECT>
            <P>(a)<E T="03">* * *</E>
            </P>
            <P>
              <E T="03">Heat input</E>means the total gross calorific value [where gross calorific value is measured by ASTM Method D240-02, D1826-94 (Reapproved 2003), D5865-04, D5865-10, or E711-87 (Reapproved 2004) (incorporated by reference, see § 49.123(e))] of all fuels burned.</P>
            <STARS/>
            <P>(e) * * *</P>
            <P>(1)  * * *</P>
            <P>(v) ASTM D5865-04 or 10, Standard Test Method for Gross Calorific Value of Coal and Coke, IBR approved for § 49.123(a).</P>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 60—[AMENDED]</HD>
          <P>3. The authority citation for part 60 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401<E T="03">et seq.</E>
            </P>
          </AUTH>
          
          <P>4. In § 60.17 revise paragraph (a)(78) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 60.17</SECTNO>
            <SUBJECT>Incorporations by reference.</SUBJECT>
            <STARS/>
            <P>(a)  * * *</P>
            <P>(78) ASTM D5865-98 or 10, Standard Test Method for Gross Calorific Value of Coal and Coke, IBR approved for § 60.45(f)(5)(ii), § 60.46(c)(2), and appendix A-7 to part 60, Method 19, section 12.5.2.1.3.</P>
            <STARS/>
            <P>5. In Method 19 of appendix A-7 to part 60 revise section 12.5.2.1.3 to read as follows:</P>
            <HD SOURCE="HD1">Appendix A-7 to Part 60—Test Methods 19 Through 25E</HD>
            <EXTRACT>
              <STARS/>
              <HD SOURCE="HD2">Method 19—Determination of Sulfur Dioxide Removal Efficiency and Particulate Matter, Sulfur Dioxide, and Nitrogen Oxide Emission Rates</HD>
              <STARS/>
              <P>12.5.2.1.3Gross Sample Analysis. Use ASTM D 2013-72 or 86 to prepare the sample, ASTM D 3177- 75 or 89 or ASTM D 4239-85, 94, or 97 to determine sulfur content (%S), ASTM D 3173-73 or 87 to determine moisture content, and ASTM D 2015-77 (Reapproved 1978) or 96, D 3286-85 or 96, or D 5865-98 or 10 to determine gross calorific value (GCV) (all standards cited are incorporated by reference—see§ 60.17 for acceptable versions of the standards) on a dry basis for each gross sample.</P>
              <STARS/>
            </EXTRACT>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 63—[AMENDED]</HD>
          <P>6. The authority citation for part 63 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401<E T="03">et seq.</E>
            </P>
          </AUTH>
          
          <PRTPAGE P="2060"/>
          <P>7. In § 63.14 revise paragraph (b)(48) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 63.14</SECTNO>
            <SUBJECT>Incorporations by reference.</SUBJECT>
            <STARS/>
            <P>(b)  * * *</P>
            <P>(48) ASTM D5865-03a or 10, Standard Test Method for Gross Calorific Value of Coal and Coke, IBR approved for Table 6 to subpart DDDDD of this part.</P>
            <STARS/>
            <P>8. In subpart DDDDD of part 63, Table 6 is amended by revising item d. under entries “1. Mercury * * * ,” “2. Total Selected metals * * * ,” and “3. Hydrogen chloride * * * ” to read as follows:</P>
            <STARS/>
            <GPOTABLE CDEF="s100,r100,r150" COLS="3" OPTS="L1,i1">
              <TTITLE>Table 6 to Subpart Ddddd of Part 63—Fuel Analysis Requirements</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">To conduct a fuel analysis for the following pollutant  * * *</CHED>
                <CHED H="1" O="L">You must  * * *</CHED>
                <CHED H="1" O="L">Using  * * *</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22">1. Mercury  * * *.</ENT>
                <ENT O="xl"/>
                <ENT O="xl"/>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>d. Determine heat content of the fuel type  * * *</ENT>
                <ENT>ASTM D5865-03a or D5865-10 (for coal) (IBR, see § 63.24(b)) or ASTM E711-87 (for biomass) (IBR, see § 63.14(b)) or equivalent.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22">2. Total Selected metals.</ENT>
                <ENT O="xl"/>
                <ENT O="xl"/>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>d. Determine heat content of the fuel type  * * *</ENT>
                <ENT>ASTM D5865-03a or D5865-10 (for coal) (IBR, see § 63.14(b)) or ASTM E711-87 (1996) (for biomass) (IBR, see § 63.14(b)) or equivalent.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">3. Hydrogen chloride * * *</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>d. Determine heat content of the fuel type * * *</ENT>
                <ENT>ASTM D5865-03a or D5865-10 (for coal) (IBR, see § 63.14(b)) or ASTM E711-87 (1996) (for biomass) (IBR, see § 63.14(b)) or equivalent.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 75—[AMENDED]</HD>
          <P>9. The authority citation for part 75 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7601 and 7651K, and 7651K note.</P>
          </AUTH>
          
          <P>10. In § 75.6 add new paragraph (a)(50) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 75.6</SECTNO>
            <SUBJECT>Incorporation by reference.</SUBJECT>
            <STARS/>
            <P>(a)  * * *</P>
            <P>(50) ASTM D5865-10, Standard Test Method for Gross Calorific Value of Coal and Coke, for appendices A, D, and F of this part.</P>
            <STARS/>
            <P>11. In appendix A to part 75 revise paragraph (c) of section 2.1.1.1 to read as follows:</P>
            <HD SOURCE="HD1">Appendix A to Part 75—Specifications and Test Procedures</HD>
            <EXTRACT>
              <STARS/>
              <P>2.1.1.1Maximum Potential Concentration</P>
              <STARS/>
              <P>(c) When performing fuel sampling to determine the MPC, use ASTM Methods: ASTM D3177-02 (Reapproved 2007), Standard Test Methods for Total Sulfur in the Analysis Sample of Coal and Coke; ASTM D4239-02, Standard Test Methods for Sulfur in the Analysis Sample of Coal and Coke Using High-Temperature Tube Furnace Combustion Methods; ASTM D4294-98, Standard Test Method for Sulfur in Petroleum and Petroleum Products by Energy-Dispersive X-ray Fluorescence Spectrometry; ASTM D1552-01, Standard Test Method for Sulfur in Petroleum Products (High-Temperature Method); ASTM D129-00, Standard Test Method for Sulfur in Petroleum Products (General Bomb Method); ASTM D2622-98, Standard Test Method for Sulfur in Petroleum Products by Wavelength Dispersive Xray Fluorescence Spectrometry, for sulfur content of solid or liquid fuels; ASTM D3176-89 (Reapproved 2002), Standard Practice for Ultimate Analysis of Coal and Coke; ASTM D240-00, Standard Test Method for Heat of Combustion of Liquid Hydrocarbon Fuels by Bomb Calorimeter; ASTM D5865-01a or ASTM D5865-10, Standard Test Method for Gross Calorific Value of Coal and Coke (all incorporated by reference under § 75.6).</P>
              <STARS/>
            </EXTRACT>
            <P>12. In appendix D to part 75 revise section 2.2.7 to read as follows:</P>
            <HD SOURCE="HD1">Appendix D to Part 75—Optional So<E T="52">2</E>Emissions Data Protocol for Gas-Fired and Oil-Fired Units</HD>
            <EXTRACT>
              <STARS/>
              <P>2.2.7Analyze oil samples to determine the heat content of the fuel. Determine oil heat content in accordance with ASTM D240-00, Standard Test Method for Heat of Combustion of Liquid Hydrocarbon Fuels by Bomb Calorimeter, ASTM D4809-00, Standard Test Method for Heat of Combustion of Liquid Hydrocarbon Fuels by Bomb Calorimeter (Precision Method), ASTM D5865-01a, or D5865-10, Standard Test Method for Gross Calorific Value of Coal and Coke (all incorporated by reference under § 75.6) or any other procedures listed in section 5.5 of appendix F of this part. Alternatively, the oil samples may be analyzed for heat content by any consensus standard method prescribed for the affected unit under part 60 of this chapter.</P>
              <STARS/>
            </EXTRACT>
            <P>13. Appendix F to part 75 is amended as follows:</P>
            <P>a. Revise sections 3.3.6.2 and 5.5.3.2.</P>
            <P>b. Revise the expression “GCV<E T="52">O</E>” in paragraph (a) of section 5.5.1.</P>
            <P>c. Revise the expression “GCV<E T="52">C</E>” in section 5.5.3.3 to read as follows:</P>
            <HD SOURCE="HD1">Appendix F to Part 75—Conversion Procedures</HD>
            <EXTRACT>
              <STARS/>

              <P>3.3.6.2GCV is the gross calorific value (Btu/lb) of the fuel combusted determined by ASTM D5865-01a or ASTM D5865-10, Standard Test Method for Gross Calorific Value of Coal and Coke, ASTM D240-00, Standard Test Method for Heat of Combustion of Liquid Hydrocarbon Fuels by<PRTPAGE P="2061"/>Bomb Calorimeter, or ASTM D4809-00, Standard Test Method for Heat of Combustion of Liquid Hydrocarbon Fuels by Bomb Calorimeter (Precision Method) for oil; and ASTM D3588-98, Standard Practice for Calculating Heat Value, compressibility Factor, and Relative Density of Gaseous Fuels, ASTM D4891-89 (Reapproved 2006), Standard Test Method for Heating Value of Gases in Natural Gas Range by Stoichiometric Combustion, GPA Standard 2172-96 Calculation of Gross Heating Value, Relative Density and Compressibility Factor for Natural Gas Mixtures from Compositional Analysis, GPA Standard 2261-00 Analysis for Natural Gas and Similar Gaseous Mixtures by Gas Chromatography, or ASTM D1826-94 (Reapproved 1998), Standard Test Method for Calorific (Heating) Value of Gases in Natural Gas Range by Continuous Recording Calorimeter, for gaseous fuels, as applicable. (All of these methods are incorporated by reference under § 75.6.)</P>
              <STARS/>
              <P>5.5.1(a)  * * *</P>
              <P>GCV<E T="52">O</E>= Gross calorific value of oil, as measured by ASTM D240-00, ASTM D5865-01a, ASTM D5865-10, or ASTM D4809-00 for each oil sample under section 2.2 of appendix D to this part, Btu/unit mass (all incorporated by reference under § 75.6).</P>
              <STARS/>
              <P>5.5.3.2All ASTM methods are incorporated by reference under § 75.6. Use ASTM D2013-01, Standard Practice for Preparing Coal Samples for Analysis, for preparation of a daily coal sample and analyze each daily coal sample for gross calorific value using ASTM D5865-01a or ASTM D5865-10, Standard Test Method for Gross Calorific Value of Coal and Coke. On-line coal analysis may also be used if the on-line analytical instrument has been demonstrated to be equivalent to the applicable ASTM methods under §§ 75.23 and 75.66.</P>
              <P>5.5.3.3* * *</P>
              <P>GCV<E T="52">C</E>= Gross calorific value of coal sample, as measured by ASTM D3176-89 (Reapproved 2002), ASTM D5865-01a, or ASTM D5865-10, Btu/lb (incorporated by reference under § 75.6).</P>
              <STARS/>
            </EXTRACT>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 86—[AMENDED]</HD>
          <P>14. The authority citation for part 86 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
          
          <P>15. Section 86.113-07 is amended as follows:</P>
          <P>a. Revise entries (vii) and (viii) in the table in paragraph (b)(2).</P>
          <P>b. Revise entries (vi) and (vii) in the table in paragraph (b)(3) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 86.113-07</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b)  * * *</P>
            <P>(2)  * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9" COLS="4" OPTS="L1,tp0,p8,8/8,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vii) Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(viii) Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <P>(3) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9" COLS="4" OPTS="L1,tp0,p8,8/8,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vi) Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vii) Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>16. In § 86.113-94 revise the entries “Flashpoint, min.” and “Viscosity” in the table in paragraph (b)(2) and in the table in paragraph (b)(3) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 86.113-94</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9" COLS="4" OPTS="L1,tp0,p8,8/8,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>(3) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9" COLS="4" OPTS="L1,tp0,p8,8/8,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.5-4.5</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>17. The authority citation for part 86, subpart D, continues to read as follows:</P>
            <AUTH>
              <HD SOURCE="HED">Authority:</HD>
              <P>Secs. 202, 206, 207, 208, 301(a), Clean Air Act, as amended (42 U.S.C. 1857f-1, 1857f-5, 1857f-5a, 1857f-6, 1857g(a)).</P>
            </AUTH>
            

            <P>18. In § 86.307-82 revise the entries “Flashpoint, °F (minimum)” and “Viscosity, centistokes” in the table in<PRTPAGE P="2062"/>paragraph (b)(2) and in the table in paragraph (b)(3) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 86.307-82</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <GPOTABLE CDEF="s100,r50,9,9" COLS="4" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, °F (minimum)</ENT>
                <ENT>D93-09</ENT>
                <ENT>120</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity, centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.6-2.0</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>(3) * * *</P>
            <GPOTABLE CDEF="s100,r50,9,9" COLS="4" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, °F (minimum)</ENT>
                <ENT>D93-09</ENT>
                <ENT>120</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity, centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.2-2.2</ENT>
                <ENT>1.5-4.5</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>19. The authority citation for part 86, subpart N, continues to read as follows:</P>
            <AUTH>
              <HD SOURCE="HED">Authority:</HD>
              <P>Secs. 202, 206, 207, 208, 301(a), Clean Air Act as amended 42 U.S.C. 7521, 7524, 7541, 7542, and 7601.</P>
            </AUTH>
            
            <P>20. Section 86.1313-94 is amended as follows:</P>
            <P>a. Revise entries “Flashpoint, °F, (°C), and (minimum)” and “Viscosity, Centistokes” in Table N94-2 in paragraph (b)(2).</P>
            <P>b. Revise entries “Flashpoint, min. °F (°C)” and “Viscosity, centistokes” in Table N94-3 in paragraph (b)(3) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 86.1313-94</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <GPOTABLE CDEF="s100,r50,9,9" COLS="4" OPTS="L1,i1">
              <TTITLE>Table N94-2</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">ASTM</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, °F</ENT>
                <ENT>D93-09</ENT>
                <ENT>120</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="03">(°C)</ENT>
                <ENT/>
                <ENT>(48.9)</ENT>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="03">(minimum)</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity, centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.6-2.0</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>(3) * * *</P>
            <GPOTABLE CDEF="s100,r50,9,9" COLS="4" OPTS="L1,i1">
              <TTITLE>Table N94-3</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">ASTM</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, min. °F (°C)</ENT>
                <ENT>D93-09</ENT>
                <ENT>120<LI>(48.9)</LI>
                </ENT>
                <ENT>130<LI>(54.4)</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity, centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.2-2.2</ENT>
                <ENT>1.5-4.5</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>21. In § 86.1313-98 revise the entries “Flashpoint, min.” and “Viscosity” in Table N98-2 in paragraph (b)(2) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 86.1313-98</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9,9" COLS="5" OPTS="L1,i1">
              <TTITLE>Table N98-2</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>120</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(48.9)</ENT>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.6-2.0</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <PRTPAGE P="2063"/>
            <STARS/>
            <P>22. Section 86.1313-2007 is amended as follows:</P>
            <P>a. Revise entries (vii) and (viii) in Table N07-2 in paragraph (b)(2).</P>
            <P>b. Revise entries (vi) and (vii) in Table N07-3 in paragraph (b)(3) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 86.1313-2007</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9,9" COLS="5" OPTS="L1,i1">
              <TTITLE>Table N07-2</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vii) Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>120</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(48.9)</ENT>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(viii) Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.6-2.0</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <P>(3) * * *</P>
            <GPOTABLE CDEF="s75,r50,r50,9,9" COLS="5" OPTS="L1,i1">
              <TTITLE>Table N07-3</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1"/>
                <CHED H="1">ASTM Test Method No.</CHED>
                <CHED H="1">Type 1-D</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vi) Flashpoint, min</ENT>
                <ENT>°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>(°C)</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">(vii) Viscosity</ENT>
                <ENT>centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>1.2-2.2</ENT>
                <ENT>1.5-4.5</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 89—[AMENDED]</HD>
          <P>23. The authority citation for part 89 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
          
          <P>24. In § 89.6 remove entries “ASTM D93-97” and “ASTM D445-97” and add entries “ASTM D93-09” and “ASTM D445-09” in numerical order to the table in paragraph (b)(1) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 89.6</SECTNO>
            <SUBJECT>Reference materials.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(1) * * *</P>
            <GPOTABLE CDEF="s150,xs120" COLS="2" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Document No.  and name</CHED>
                <CHED H="1">40 CFR part 89<LI>reference</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22">ASTM D93-09:</ENT>
              </ROW>
              <ROW>
                <ENT I="03">“Standard Test Methods for Flash Point by Pensky-Martens Closed Cup Tester”</ENT>
                <ENT>Appendix A to Subpart D.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22">ASTM D445-09:</ENT>
              </ROW>
              <ROW>
                <ENT I="03">“Standard Test Method for Kinematic Viscosity of Transparent and Opaque Liquids (the Calculation of Dynamic Viscosity)”</ENT>
                <ENT>Appendix A to Subpart D.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">******</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>25. In appendix A to subpart D of part 89, Table 4 is amended by revising the entries “Flashpoint, °C (minimum)” and “Viscosity @ 38 °C, Centistokes” to read as follows:</P>
            <HD SOURCE="HD1">Appendix A to Subpart D of Part 89—Tables</HD>
            <EXTRACT>
              <STARS/>
              <GPOTABLE CDEF="s100,r50,9" COLS="3" OPTS="L1,i1">
                <TTITLE>Table 4—Federal Test Fuel Specifications</TTITLE>
                <BOXHD>
                  <CHED H="1">Item</CHED>
                  <CHED H="1">Procedure (ASTM)<SU>1</SU>
                  </CHED>
                  <CHED H="1">Value<LI>(type 2-D)</LI>
                  </CHED>
                </BOXHD>
                <ROW>
                  <ENT I="22"/>
                </ROW>
                <ROW>
                  <ENT I="28">*******</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Flashpoint, °C (minimum)</ENT>
                  <ENT>D93-09</ENT>
                  <ENT>54</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Viscosity @ 38 °C, centistokes</ENT>
                  <ENT>D445-09</ENT>
                  <ENT>2.0-3.2</ENT>
                </ROW>
                <TNOTE>
                  <SU>1</SU>All ASTM procedures in this table have been incorporated by reference. See § 89.6.</TNOTE>
              </GPOTABLE>
              <PRTPAGE P="2064"/>
              <STARS/>
            </EXTRACT>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 92—[AMENDED]</HD>
          <P>26. The authority citation for part 92 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
          
          <P>27. In § 92.5, the table in paragraph (b)(1) is amended by removing the entries “ASTM D 93-94” and “ASTM D 445-94” and adding the entries “ASTM D 93-09” and “ASTM D 445-09” to read as follows:</P>
          <SECTION>
            <SECTNO>§ 92.5</SECTNO>
            <SUBJECT>Reference materials.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(1) * * *</P>
            <GPOTABLE CDEF="s200,9" COLS="2" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Document No. and name</CHED>
                <CHED H="1">40 CFR part 92<LI>reference</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D 93-09, Standard Test Methods for Flash-Point by Pensky-Martens Closed Cup Tester</ENT>
                <ENT>§ 92.113</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D 445-09, Standard Test Method for Kinematic Viscosity of Transparent and Opaque Liquids (the Calculation of Dynamic Viscosity)</ENT>
                <ENT>§ 92.113</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>28. In § 92.113 revise the entries “Flashpoint, min., °F and °C” and “Viscosity, centistokes” in Table B113-1 in paragraph (a)(1) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 92.113</SECTNO>
            <SUBJECT>Fuel specifications.</SUBJECT>
            <P>(a) * * *</P>
            <P>(1) * * *</P>
            <GPOTABLE CDEF="s100,r50,9" COLS="3" OPTS="L1,i1">
              <TTITLE>Table B113-1</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">ASTM</CHED>
                <CHED H="1">Type 2-D</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="22">Flashpoint, min.</ENT>
              </ROW>
              <ROW>
                <ENT I="03">°F</ENT>
                <ENT>D93-09</ENT>
                <ENT>130</ENT>
              </ROW>
              <ROW>
                <ENT I="03">°C</ENT>
                <ENT/>
                <ENT>(54.4)</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity, centistokes</ENT>
                <ENT>D445-09</ENT>
                <ENT>2.0-3.2</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 94—[AMENDED]</HD>
          <P>29. The authority citation for part 94 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
          
          <P>30. In § 94.5, Table 1 in paragraph (a) is amended by removing the entries “ASTM D 93-02” and “ASTM D 445-01” and adding the entries “ASTM D 93-09” and “ASTM D 445-09” to read as follows:</P>
          <SECTION>
            <SECTNO>§ 94.5</SECTNO>
            <SUBJECT>Reference materials.</SUBJECT>
            <STARS/>
            <P>(a) * * *</P>
            <GPOTABLE CDEF="s200,9" COLS="2" OPTS="L1,i1">
              <TTITLE>Table 1 of § 94.5—ASTM Materials</TTITLE>
              <BOXHD>
                <CHED H="1">Document No. and name</CHED>
                <CHED H="1">Part 94<LI>reference</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D 93-09, Standard Test Methods for Flash-Point by Pensky-Martens Closed Cup Tester</ENT>
                <ENT>94.108</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D 445-09, Standard Test Method for Kinematic Viscosity of Transparent and Opaque Liquids (the Calculation of Dynamic Viscosity)</ENT>
                <ENT>94.108</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>31. In § 94.108 revise “Flashpoint, °C” and “Viscosity at 38 °C, centistokes” in Table B-5 in paragraph (a)(1) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 94.108</SECTNO>
            <SUBJECT>Test fuels.</SUBJECT>
            <P>(a) * * *</P>
            <P>(1) * * *</P>
            
            <PRTPAGE P="2065"/>
            <GPOTABLE CDEF="s100,r50,xs60" COLS="3" OPTS="L1,i1">
              <TTITLE>Table B-5—Federal Test Fuel Specifications</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">Procedure<SU>1</SU>
                </CHED>
                <CHED H="1">Value</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, °C</ENT>
                <ENT>ASTM D 93-09</ENT>
                <ENT>54 minimum.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Viscosity at 38 °C, centistokes</ENT>
                <ENT>ASTM D445-09</ENT>
                <ENT>2.0-3.2.</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>All ASTM standards are incorporated by reference in § 94.5.</TNOTE>
            </GPOTABLE>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 761—[AMENDED]</HD>
          <P>32. The authority citation for part 761 continues to read as follows:</P>
          
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>15 U.S.C. 2605, 2607, 2611, 2614, and 2616.</P>
          </AUTH>
          
          <P>33. In § 761.19, the table in paragraph (b) is amended by removing the entry “ASTM D 93-90” and adding the entry “ASTM D 93-09” to read as follows:</P>
          
          <SECTION>
            <SECTNO>§ 761.19</SECTNO>
            <SUBJECT>References.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <GPOTABLE CDEF="s200,xs75" COLS="2" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">References</CHED>
                <CHED H="1">CFR citation</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">ASTM D 93-09 Standard Test Methods for Flash Point by Pensky-Martens Closed Tester</ENT>
                <ENT>§ 761.71(b)(2)(vi); § 761.75(b)(8)(iii).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <P>34. In § 761.71 revise paragraph (b)(2)(vi) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 761.71</SECTNO>
            <SUBJECT>High efficiency boilers.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(2) * * *</P>
            <P>(vi) The concentration of PCBs and of any other chlorinated hydrocarbon in the waste and the results of analyses using the American Society of Testing and Materials (ASTM) methods as follows: Carbon and hydrogen content using ASTM D-3178-84, nitrogen content using ASTM E-258-67 (Reapproved 1987), sulfur content using ASTM D-2784-89, ASTM D-1266-87, or ASTM D-129-64, chlorine content using ASTM D-808-87, water and sediment content using either ASTM D-2709-88 or ASTM D-1796-83 (Reapproved 1990), ash content using ASTM D-482-87, calorific value using ASTM D-240-87, carbon residue using either ASTM D-2158-89 or ASTM D-524-88, and flash point using ASTM D-93-09.</P>
            <STARS/>
            <P>35. In § 761.75 revise paragraph (b)(8)(iii) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 761.75</SECTNO>
            <SUBJECT>Chemical waste landfills.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>
            <P>(8) * * *</P>
            <P>(iii) Ignitable wastes shall not be disposed of in chemical waste landfills. Liquid ignitable wastes are wastes that have a flash point less than 60 °C (140 °F) as determined by the following method or an equivalent method: Flash point of liquids shall be determined by a Pensky-Martens Closed Cup Tester, using the protocol specified in ASTM D-93-09, or the Setaflash Closed Tester using the protocol specified in ASTM D-3278-89.</P>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 1065—[AMENDED]</HD>
          <P>36. The authority citation for part 1065 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
          
          <P>37. In § 1065.703 revise the entries “Flashpoint, min.” and “Kinematic Viscosity” in Table 1 of § 1065.703 to read as follows:</P>
          <SECTION>
            <SECTNO>§ 1065.703</SECTNO>
            <SUBJECT>Distillate diesel fuel.</SUBJECT>
            <STARS/>
            <GPOTABLE CDEF="s75,r25,9,9,9,xs72" COLS="6" OPTS="L1,i1">
              <TTITLE>Table 1 of § 1065.703—Test Fuel Specifications for Distillate Diesel Fuel</TTITLE>
              <BOXHD>
                <CHED H="1">Item</CHED>
                <CHED H="1">Units</CHED>
                <CHED H="1">Ultra low<LI>sulfur</LI>
                </CHED>
                <CHED H="1">Low<LI>sulfur</LI>
                </CHED>
                <CHED H="1">High<LI>sulfur</LI>
                </CHED>
                <CHED H="1">Reference<LI>procedure<SU>1</SU>
                  </LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flashpoint, min</ENT>
                <ENT>°C</ENT>
                <ENT>54</ENT>
                <ENT>54</ENT>
                <ENT>54</ENT>
                <ENT>ASTM D93-09.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Kinematic Viscosity</ENT>
                <ENT>cSt</ENT>
                <ENT>2.0-3.2</ENT>
                <ENT>2.0-3.2</ENT>
                <ENT>2.0-3.2</ENT>
                <ENT>ASTM D445-09.</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>ASTM procedures are incorporated by reference in § 1065.1010. See § 1065.701(d) for other allowed procedures.</TNOTE>
            </GPOTABLE>
            <P>38. In § 1065.1010, Table 1 in paragraph (a) is amended by removing the entries “ASTM D93-07” and “ASTM D445-06” and adding the entries “ASTM D93-09” and “ASTM D 445-09” to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 1065.1010</SECTNO>
            <SUBJECT>Reference materials.</SUBJECT>
            <STARS/>
            <P>(a) * * *<PRTPAGE P="2066"/>
            </P>
            <GPOTABLE CDEF="s200,10" COLS="2" OPTS="L1,i1">
              <TTITLE>Table 1 of § 1065.1010—ASTM Materials</TTITLE>
              <BOXHD>
                <CHED H="1">Document No. and name</CHED>
                <CHED H="1">Part 1065 reference</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D93-09, Standard Test Methods for Flash Point by Pensky-Martens Closed Cup Tester</ENT>
                <ENT>1065.703</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ASTM D 445-09, Standard Test Method for Kinematic Viscosity of Transparent and Opaque Liquids (the Calculation of Dynamic Viscosity)</ENT>
                <ENT>1065.703</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
          </SECTION>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-246 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R05-OAR-2009-0729; FRL-9250-7]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Implementation Plans; Indiana; Removal of Vehicle Inspection and Maintenance Programs for Clark and Floyd Counties</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to approve a State Implementation plan (SIP) revision submitted by the State of Indiana to allow the State to discontinue the vehicle inspection and maintenance (I/M) program in Clark and Floyd Counties, IN, the Indiana portion of the Louisville (IN-KY) 1997 8-hour ozone area. The revision specifically requests that I/M program regulations be removed from the active control measures portion of the SIP. The regulations will remain in the contingency measures portion of the Clark and Floyd Counties ozone maintenance plans. The Indiana Department of Environmental Management (IDEM) submitted this request on October 10, 2006, and supplemented it on November 15, 2006, November 29, 2007, November 25, 2008, April 23, 2010, and November 19, 2010. EPA is proposing to approve Indiana's request because the State has demonstrated that discontinuing the I/M program in Clark and Floyd Counties will not interfere with the attainment and maintenance of the 8-hour ozone National Ambient Air Quality Standard (NAAQS) or with the attainment and maintenance of other air quality standards and requirements of the Clean Air Act (CAA).</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before February 11, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit comments, identified by Docket ID No. EPA-R05-OAR-2009-0729, by one of the following methods:</P>
          <P>1.<E T="03">http://www.regulations.gov:</E>Follow the on-line instructions for submitting comments.</P>
          <P>2. Email:<E T="03">aburano.douglas@epa.gov.</E>
          </P>
          <P>3.<E T="03">Fax:</E>(312) 408-2279.</P>
          <P>4.<E T="03">Mail:</E>Douglas Aburano, Chief, Control Strategies Section, (AR-18J), U.S. Environmental Protection Agency, 77 West Jackson Boulevard, Chicago, Illinois 60604.</P>
          <P>5.<E T="03">Hand Delivery:</E>Douglas Aburano, Chief, Control Strategies Section, (AR-18J), U.S. Environmental Protection Agency, 77 West Jackson Boulevard, Chicago, Illinois 60604. Such deliveries are only accepted during the Regional Office normal hours of operation, and special arrangements should be made for deliveries of boxed information. The Regional Office official hours of business are Monday through Friday, 8:30 a.m. to 4:30 p.m., excluding Federal holidays.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to Docket ID No. EPA-R05-OAR-2009-0729. EPA's policy is that all comments received will be included in the public docket without change and may be made available online at<E T="03">http://www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through<E T="03">http://www.regulations.gov</E>or e-mail. The<E T="03">http://www.regulations.gov</E>website is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an e-mail comment directly to EPA without going through<E T="03">http://www.regulations.gov</E>your e-mail address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses. For additional instructions on submitting comments, go to Section I of the<E T="02">SUPPLEMENTARY INFORMATION</E>section of this document.</P>
          <P>
            <E T="03">Docket:</E>All documents in the docket are listed in the<E T="03">http://www.regulations.gov</E>index. Although listed in the index, some information is not publicly available,<E T="03">e.g.,</E>CBI or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, will be publicly available only in hard copy. Publicly available docket materials are available either electronically in<E T="03">http://www.regulations.gov</E>or in hard copy at the Environmental Protection Agency, Region 5, Air and Radiation Division, 77 West Jackson Boulevard, Chicago, Illinois 60604. This Facility is open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding Federal holidays. We recommend that you telephone Francisco J. Acevedo at (312) 886-6061 before visiting the Region 5 office.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Francisco J. Acevedo, Environmental Protection Specialist, Control Strategies Section, Air Programs Branch (AR-18J), U.S. Environmental Protection Agency, Region 5, 77 West Jackson Boulevard, Chicago, Illinois 60604, (312) 886-6052.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>Throughout this document whenever “we,” “us,” or “our” is used, we mean EPA. This<E T="02">SUPPLEMENTARY INFORMATION</E>section is arranged as follows:</P>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. What should I consider as I prepare my comments for EPA?</FP>
          <FP SOURCE="FP1-2">A. Submitting CBI</FP>
          <FP SOURCE="FP1-2">B. Tips for Preparing Your Comments<PRTPAGE P="2067"/>
          </FP>
          <FP SOURCE="FP-2">II. What are EPA's proposed actions</FP>
          <FP SOURCE="FP-2">III. What changes to the Indiana SIP have been submitted to support the removal of the I/M program in Clark and Floyd Counties?</FP>
          <FP SOURCE="FP-2">IV. What criteria apply to Indiana's request?</FP>
          <FP SOURCE="FP-2">V. Has Indiana met the criteria for converting the I/M program in Clark and Floyd Counties to contingency measures?</FP>
          <FP SOURCE="FP-2">VI. What are our conclusions concerning the removal of the I/M program in Clark and Floyd Counties?</FP>
          <FP SOURCE="FP-2">VII. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. What should I consider as I prepare my comments for EPA?</HD>
        <HD SOURCE="HD2">A. Submitting CBI</HD>
        <P>Do not submit this information to EPA through<E T="03">http://www.regulations.gov</E>or e-mail. Clearly mark the part or all of the information that you claim to be CBI. For CBI information in a disk or CD-ROM that you mail to EPA, mark the outside of the disk or CD-ROM as CBI and then identify electronically within the disk or CD-ROM the specific information that is claimed as CBI). In addition to one complete version of the comment that includes information claimed as CBI, a copy of the comment that does not contain the information claimed as CBI must be submitted for inclusion in the public docket. Information so marked will not be disclosed except in accordance with procedures set forth in 40 CFR part 2.</P>
        <HD SOURCE="HD2">B. Tips for Preparing Your Comments</HD>
        <P>When submitting comments, remember to:</P>

        <P>1. Identify the rulemaking by docket number and other identifying information (subject heading,<E T="04">Federal Register</E>date, and page number).</P>
        <P>2. Follow directions—EPA may ask you to respond to specific questions or organize comments by referencing a Code of Federal Regulations (CFR) part or section number.</P>
        <P>3. Explain why you agree or disagree; suggest alternatives and substitute language for your requested changes.</P>
        <P>4. Describe any assumptions and provide any technical information and/or data that you used.</P>
        <P>5. If you estimate potential costs or burdens, explain how you arrived at your estimate in sufficient detail to allow for it to be reproduced.</P>
        <P>6. Provide specific examples to illustrate your concerns, and suggest alternatives.</P>
        <P>7. Explain your views as clearly as possible, avoiding the use of profanity or personal threats.</P>
        <P>8. Make sure to submit your comments by the comment period deadline identified.</P>
        <HD SOURCE="HD1">II. What are EPA's proposed actions?</HD>
        <P>EPA is proposing to approve a SIP revision submitted by the State of Indiana to modify the ozone SIP such that the I/M program in Clark and Floyd Counties (the Indiana portion of the Louisville (IN-KY) 1997 8-hour ozone area) is no longer an active program in this area and remains instead as a contingency measure in this area's maintenance plan for 1997 8-hour ozone.</P>
        <HD SOURCE="HD1">III. What changes to the Indiana SIP have been submitted to support the removal of the I/M program in Clark and Floyd Counties?</HD>
        <P>Indiana House Enrolled Act No. 1798, effective on July 1, 2003, amended Indiana code 13-17-5 to eliminate the applicability of the vehicle emissions testing rule to Clark and Floyd Counties after December 31, 2006, at which time the program ceased operations. IDEM submitted a revision to the Indiana SIP for Clark and Floyd Counties (the Indiana portion of the Louisville (IN-KY) 1997 8-hour ozone nonattainment area) on October 10, 2006, requesting that the Indiana I/M program in Clark and Floyd Counties be moved from the active control measures portion of the SIP to the contingency measures portion of the Clark and Floyd Counties 1997 8-Hour Ozone Maintenance Plan.</P>
        <P>Clark and Floyd Counties were originally required to implement “basic” I/M programs under section 182(b)(4) of the CAA because they had been designated as part of the Louisville moderate 1-hour ozone nonattainment area. In order to maximize the emissions reductions from the I/M program, IDEM chose to implement an “enhanced” program in those areas and incorporated an on-board diagnostic (OBD) component into the program. EPA fully approved Indiana's I/M program on March 19, 1996 (61 FR 11142). The enhanced I/M program component began operation in 1997, to help meet nonattainment area requirements for the ozone NAAQS effective at the time.<SU>1</SU>
          <FTREF/>The Louisville 1-hour ozone nonattainment area was redesignated to attainment for that standard on October 23, 2001 (66 FR 53665).</P>
        <FTNT>
          <P>
            <SU>1</SU>Although the enhanced I/M program component began in 1997, there was a vehicle I/M program operating in the Clark and Floyd Counties prior to that date, and prior to November 15, 1990.</P>
        </FTNT>
        <P>Subsequently, Clark and Floyd Counties were designated as a portion of the IN-KY Louisville nonattainment for the 1997 8-hour ozone NAAQS. On November 15, 2006, IDEM submitted a request to redesignate the Indiana portion of the Louisville nonattainment area to attainment for the 8-hour NAAQS, and for EPA approval of a 14-year maintenance plan for Clark and Floyd Counties. At the same time, IDEM requested EPA approval to terminate the I/M program in these counties. EPA approved the redesignation and maintenance plan for Clark and Floyd Counties on July 19, 2007 (72 FR 39571). The approved maintenance plan demonstrated that the area could maintain the standard without the need for emission reductions from I/M. See 72 FR 26057, 26064-26065 (May 8, 2007).</P>
        <P>The Louisville 1997 8-hour ozone nonattainment area also includes Jefferson County, Kentucky. EPA approved the discontinuation of the I/M program in Jefferson County on May 18, 2005, at 70 FR 28429.</P>
        <HD SOURCE="HD1">IV. What criteria apply to Indiana's request?</HD>
        <P>Areas designated nonattainment for the ozone NAAQS and classified “moderate” are required by the CAA to implement vehicle I/M. See CAA section 182(b)(4).<SU>2</SU>
          <FTREF/>The Louisville area was previously designated moderate nonattainment for the 1-hour ozone standard, prompting the requirement for I/M. However, as noted above, the Louisville area was redesignated to attainment for the 1-hour standard, and the 1-hour standard has been revoked. While Clark and Floyd Counties were designated nonattainment for the 0.08 ppm 8-hour ozone standard, they were not classified for that standard.<SU>3</SU>
          <FTREF/>Thus, these areas are not currently required to have I/M programs under the CAA and the State may move them to the contingency measures portion of the SIP,<SU>4</SU>

          <FTREF/>provided the State can satisfy the anti-backsliding requirements of the CAA (sections 110(l) and 193) and of EPA's ozone implementation rule, 40<PRTPAGE P="2068"/>CFR 51.905. As previously noted, EPA in approving the area's maintenance plan for the 1997 8-hour ozone standard concluded that it demonstrated maintenance without reliance on any emissions reductions from the I/M program.</P>
        <FTNT>
          <P>

            <SU>2</SU>Certain areas classified “marginal” are also required to implement I/M.<E T="03">See</E>CAA section 182(a)(2)(B).</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>3</SU>Clark and Floyd Counties were classified “basic” (<E T="03">i.e.,</E>subject to subpart 1) for the 0.08 parts per million (ppm) 8-hour ozone standard but that classification was vacated by a decision of the United States Court of Appeals for the D.C. Circuit.<E T="03">See South Coast Air Quality Management Dist.</E>v.<E T="03">EPA,</E>472 F.3d 882 (D.C. Cir. 2006). EPA is in the process of responding to that decision through rulemaking. EPA promulgated a 0.075 ppm 8-hour ozone standard but subsequently announced that it was reconsidering that standard and in January 2010 proposed to change it. EPA has not designated areas for the 0.075 ppm 8-hour ozone standard that is being reconsidered.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>As discussed below, the measures must be retained as contingency measures because CAA section 175A(d) requires that the contingency measures portion of the SIP include a requirement that the State will implement all measures that were contained in the SIP before the area was redesignated to attainment.</P>
        </FTNT>
        <P>CAA section 110(l) provides:</P>
        
        <EXTRACT>
          <P>The Administrator shall not approve a revision of a plan if the revision would interfere with any applicable requirement concerning attainment and reasonable further progress (as defined in section 171), or any other applicable requirement of this Act.</P>
        </EXTRACT>
        

        <P>In addition, EPA adopted anti-backsliding requirements as part of the implementation rule for the 0.08 ppm 8-hour ozone standard.<E T="03">See</E>40 CFR 51.905. For areas such as these that were required under the CAA to implement basic I/M, EPA applies the provisions of the implementation rule in concert with the provisions of 40 CFR 51.372(c).</P>

        <P>The provisions of 40 CFR 51.372(c) allow certain areas seeking redesignation to submit only the authority for an I/M program (together with certain commitments), rather than an implemented program, in satisfaction of the applicable I/M requirements. Under these I/M rule provisions, a basic I/M area (<E T="03">i.e.,</E>an area that was required to adopt a basic I/M program) which has been redesignated to attainment for the 1-hour ozone NAAQS can convert the I/M program to a contingency measure as part of the area's 1-hour ozone maintenance plan, notwithstanding the anti-backsliding provisions in EPA's 8-hour ozone implementation rule published April 30, 2004 (69 FR 23858). A basic I/M area which is designated nonattainment for the 8-hour ozone NAAQS, yet is not required to have an I/M program based on its 8-hour ozone classification, continues to have the option to move its I/M program to a contingency measure pursuant to the provisions of 40 CFR 51.372(c), provided the 8-hour ozone nonattainment area can demonstrate that doing so will not interfere with its ability to comply with any NAAQS or any other applicable CAA requirement pursuant to section 110(l) of the Act. For further details on the application of 8-hour ozone anti-backsliding provisions to basic I/M programs in 1-hour ozone maintenance areas, please refer to the May 12, 2004, EPA Memorandum from Tom Helms, Group Leader, Ozone Policy and Strategies Group, Office of Air Quality Planning and Standards, and Leila H. Cook, Group Leader, State Measures and Conformity Group, Office of Transportation and Air Quality, to the Air Program Managers, the subject of which is “1 Hour Ozone Maintenance Plans Containing Basic I/M Programs.” A copy of this memorandum may be obtained at<E T="03">http://www.epa.gov/ttn/oarpg/t1pgm.html</E>under the file date “5-12-04.”</P>
        <HD SOURCE="HD1">V. Has Indiana met the criteria for converting the I/M program in Clark and Floyd Counties to contingency measures?</HD>
        <P>Clark and Floyd Counties were redesignated to attainment of the 1-hour ozone NAAQS on October 23, 2001 (66 FR 53665). On July 19, 2007 (72 FR 39571), EPA approved the redesignation of Clark and Floyd Counties to attainment with respect to the 8-hour ozone NAAQS. EPA approved maintenance plans with respect to each of these standards in connection with these redesignations. The approved maintenance plans show that control measures in place in these areas are sufficient for overall emissions to remain beneath the attainment level of emissions until the end of the maintenance period, even without operation of I/M. In both plans, the conformity budget in the maintenance plans reflects mobile source emissions without I/M in future years, and the maintenance plans demonstrate that the applicable standard will continue to be met without I/M. In accordance with the Act and EPA redesignation guidance, states are free to adjust control strategies in the maintenance plan as long as they can satisfy section 110(l). With such a demonstration of noninterference with attainment or other applicable requirements, control programs may be discontinued and removed from the SIP. However, section 175A(d) of the CAA requires that contingency measures in the maintenance plan include all measures in the SIP for the area before that area was redesignated to attainment. Since the I/M program was in the SIP prior to redesignation to attainment for ozone, the I/M program must be included in the contingency portion of the ozone maintenance plan as required by section 175A(d). As part of its submittal, IDEM provided a demonstration showing continued maintenance of the 8-hour ozone standard without taking credit for reductions from the Clark and Floyd Counties I/M program after December 2006.</P>
        <P>As discussed above, EPA interprets its regulations as allowing basic I/M areas such as these to have the option to move an I/M program to a contingency measure pursuant to 40 CFR 51.372(c), provided that moving I/M to contingency measures will not interfere with the area's ability to comply with any NAAQS or any other applicable CAA requirement (including section 193). Under 40 CFR 51.372(c), an area is required to include in its submittal, with a request to place the I/M program into the contingency measures: (1) Legal authority to implement a basic I/M program; (2) a commitment by the Governor of the State, or the Governor's designee, to adopt or consider adopting regulations to implement an I/M program to correct a violation of the ozone or carbon monoxide standard, in accordance with the maintenance plan; and (3) a contingency commitment that includes an enforceable schedule, with appropriate milestones, for adoption and implementation of an I/M program.</P>
        <P>In the State's supplemental submittal of November 25, 2008, IDEM reaffirms that Indiana has retained the necessary legal authority to implement I/M under Indiana Code 13-17-5. EPA examined the applicable Indiana statutory language and the State's subsequent legal review and concurs with Indiana's finding that it has the necessary legal authority to implement I/M if it becomes necessary under the CAA to implement contingency measures. In addition, the State's supplemental submittal includes a commitment by IDEM to consider the adoption of I/M as a corrective measure should an ambient 8-hour ozone design value trigger a contingency measure in Clark and Floyd Counties, and the required program is determined by the State to be an I/M program. The State's supplemental submittal of April 23, 2010, also contains an I/M implementation schedule in the event that I/M is selected by the State as a corrective measure, as required by 40 CFR 51372(c).</P>
        <P>As mentioned above, on July 19, 2007 (72 FR 39571), EPA concluded that Clark and Floyd Counties met the 0.08 ppm ozone air quality standard and redesignated this area to attainment for that standard. The maintenance plan for this area shows that the area will continue to attain the standard even with the discontinuation of I/M.</P>

        <P>As noted above, the 1997 8-hour maintenance plan estimated the levels of volatile organic compounds (VOC) and oxides of nitrogen (NO<E T="52">X</E>) emissions in the area associated with attainment of the respective ozone standards, and found that emissions would remain below those quantities even with the discontinuation of I/M. Furthermore, the maintenance plan demonstrates that current emissions of VOC and NO<E T="52">X</E>, without the I/M program, are lower than emissions were in 2005, representing emissions when I/M was still operating.<PRTPAGE P="2069"/>
        </P>
        <P>EPA has also compared the expected reductions of VOC and NO<E T="52">X</E>from the I/M program with the reduction of emissions that have resulted from the Federal Motor Vehicle Control Program and other emission control programs since the I/M program ceased operation. EPA concludes that the ongoing reductions from implementation of these programs, particularly the Tier II standards for motor vehicles,<SU>5</SU>
          <FTREF/>are greater than the emissions reductions that would have been achieved from the I/M program.</P>
        <FTNT>
          <P>
            <SU>5</SU>See 65 FR 6698 (February 10, 2000).</P>
        </FTNT>
        <P>On March 27, 2008 (73 FR 16436), EPA revised the ozone standard to 0.075 ppm as an 8-hour average.<SU>6</SU>
          <FTREF/>EPA therefore examined whether discontinuation of the I/M program in Clark and Floyd Counties might interfere with attainment and maintenance of this standard. The most direct evidence regarding this issue is the most recent three years of air quality data. Since the I/M program in Clark and Floyd Counties was discontinued in 2006, the most recent three years have all reflected emissions without operation of an I/M program in Clark and Floyd Counties. All ozone monitoring sites in the Louisville area are meeting the 0.075 ppm air quality standard, with the highest design value at 0.075 ppm, observed at the Watson Elementary site in Jefferson County, Kentucky (site 21-111-0051). Ozone air quality in the 2007 to 2009 period, representing a period in which the I/M program was discontinued, attains the ozone NAAQS and is better than ozone air quality in the 2004 to 2006, representing the last three years in which the program operated. Furthermore, Indiana's ozone maintenance plan for this area shows a continuing decline in the emissions of ozone precursors.</P>
        <FTNT>
          <P>
            <SU>6</SU>As noted in footnote 3 above, EPA is in the process of reconsidering this standard.</P>
        </FTNT>
        <P>On November 19, 2010, Indiana submitted modeling analyses that further support the conclusion that the discontinuation of the I/M program in Clark and Floyd Counties will not interfere with attainment and maintenance of the 0.075 ppm ozone standard. This submittal reviews analyses conducted by EPA and by the Lake Michigan Air Directors Consortium (LADCO), in both cases reflecting no operation of an I/M program in Clark and Floyd Counties. These analyses indicate that the Louisville area can be expected to continue to attain the 0.075 ppm ozone standard without I/M in Clark and Floyd Counties. Most notably, Indiana reviews the modeling conducted by EPA in support of its proposed transport rule, showing that the Louisville area can be expected to continue to attain the 0.075 ppm ozone standard in 2012 not only with the discontinuation of the I/M program in Clark and Floyd Counties but also with the discontinuation of power plant emission controls mandated by the Clean Air Interstate Rule. Thus, these modeling analyses provide further evidence that the discontinuation of the I/M program in Clark and Floyd Counties will not interfere with attainment and maintenance of the 0.075 ozone standard in the Louisville area.</P>

        <P>EPA also examined whether discontinuation of the I/M program might interfere with attainment of the annual fine particulate matter (PM<E T="52">2.5</E>) standards. Since Indiana discontinued its I/M program at the end of 2006, the PM<E T="52">2.5</E>air quality from 2007 to 2009 are indicative of whether the Louisville area can be expected to attain the annual PM<E T="52">2.5</E>standard notwithstanding the discontinuation of Indiana's I/M program. In a separate rulemaking proceeding, published on September 14, 2010 (75 FR 55725), EPA has proposed to determine that the Louisville area is now attaining the annual PM<E T="52">2.5</E>standards.<SU>7</SU>
          <FTREF/>Furthermore, mobile source emissions affecting PM<E T="52">2.5</E>concentrations are continuing to decline, as a result of the Federal Motor Vehicle Control Program.<SU>8</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>7</SU>EPA received no comments on that proposal and will take final action on that determination before taking final action on Indiana's I/M shutdown request for Clark and Floyd Counties.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>8</SU>As noted above, the Tier II standards are further reducing emissions of new vehicles from the 2004 to the 2009 model years.</P>
        </FTNT>

        <P>EPA also examined whether cessation of the I/M program has interfered with attainment of other air quality standards. The Louisville area is designated attainment for the coarse particulate matter (PM<E T="52">10</E>) standard, for the 24-hour PM<E T="52">2.5</E>standards promulgated on July 18, 1997, and October 17, 2006, for carbon monoxide, for sulfur dioxide, and for nitrogen dioxide. EPA has no reason to believe that discontinuation of the I/M program in Clark and Floyd Counties has caused or will cause the Louisville area to become nonattainment for any of these pollutants. In addition, EPA believes that the discontinuation of the I/M program in Clark and Floyd Counties will not interfere with the area's ability to meet any other CAA requirement.</P>
        <HD SOURCE="HD1">VI. What are our conclusions concerning the removal of the I/M program in Clark and Floyd Counties?</HD>
        <P>For the reasons discussed above, EPA believes that Indiana has satisfied currently applicable criteria for discontinuing I/M in Clark and Floyd Counties. We are proposing to find that the State of Indiana has demonstrated that eliminating the I/M program in Clark and Floyd Counties is consistent with the requirements of sections 110(l) and 193 of the Clean Air Act. Accordingly, we are proposing to approve Indiana's request to modify the SIP such that I/M is no longer an active program in these areas and is instead a contingency measure in this area's maintenance plan.</P>
        <HD SOURCE="HD1">VII. Statutory and Executive Order Reviews</HD>
        <P>Under the CAA, the Administrator is required to approve a SIP submission that complies with the provisions of the CAA and applicable Federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in reviewing SIP submissions, EPA's role is to approve state choices, provided that they meet the criteria of the CAA. Accordingly, this action merely approves state law as meeting Federal requirements and does not impose additional requirements beyond those imposed by state law. For that reason, this action:</P>
        <P>• Is not a “significant regulatory action” subject to review by the Office of Management and Budget under Executive Order 12866 (58 FR 51735, October 4, 1993);</P>

        <P>• Does not impose an information collection burden under the provisions of the Paperwork Reduction Act (44 U.S.C. 3501<E T="03">et seq.</E>);</P>

        <P>• Is certified as not having a significant economic impact on a substantial number of small entities under the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>);</P>
        <P>• Does not contain any unfunded mandate or significantly or uniquely affect small governments, as described in the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4);</P>
        <P>• Does not have Federalism implications as specified in Executive Order 13132 (64 FR 43255, August 10, 1999);</P>
        <P>• Is not an economically significant regulatory action based on health or safety risks subject to Executive Order 13045 (62 FR 19885, April 23, 1997);</P>
        <P>• Is not a significant regulatory action subject to Executive Order 13211 (66 FR 28355, May 22, 2001);</P>

        <P>• Is not subject to requirements of Section 12(d) of the National<PRTPAGE P="2070"/>Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272 note) because application of those requirements would be inconsistent with the Clean Air Act; and</P>
        <P>• Does not provide EPA with the discretionary authority to address, as appropriate, disproportionate human health or environmental effects, using practicable and legally permissible methods, under Executive Order 12898 (59 FR 7629, February 16, 1994).</P>
        <P>In addition, this rule does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the SIP is not approved to apply in Indian country located in the state, and EPA notes that it will not impose substantial direct costs on tribal governments or preempt tribal law.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 52</HD>
          <P>Environmental protection, Air pollution control, Carbon monoxide, Intergovernmental relations, Ozone, Particulate matter, Volatile organic compounds.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: December 22, 2010.</DATED>
          <NAME>Susan Hedman,</NAME>
          <TITLE>Regional Administrator, Region 5.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-343 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R03-OAR-2010-1028; FRL-9251-6]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality Implementation Plans; Virginia; Prevention of Significant Deterioration; Greenhouse Gas Permitting Authority and Tailoring Rule Revision</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to approve a State Implementation Plan (SIP) revision submitted by the Virginia Department of Environmental Quality (VADEQ). This revision pertains to EPA's greenhouse gas (GHG) permitting provisions as promulgated on June 3, 2010. This action is being taken under the Clean Air Act (CAA).</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments must be received on or before February 11, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID Number EPA-R03-OAR-2010-1028 by one of the following methods:</P>
          <P>A.<E T="03">www.regulations.gov.</E>Follow the online instructions for submitting comments.</P>
          <P>B.<E T="03">E-mail: cox.kathleen@epa.gov.</E>
          </P>
          <P>C.<E T="03">Mail:</E>EPA-R03-OAR-2010-1028, Kathleen Cox, Associate Director, Office of Permits and Air Toxics, Mailcode 3AP10, U.S. Environmental Protection Agency, Region III, 1650 Arch Street, Philadelphia, Pennsylvania 19103.</P>
          <P>D.<E T="03">Hand Delivery:</E>At the previously-listed EPA Region III address. Such deliveries are only accepted during the Docket's normal hours of operation, and special arrangements should be made for deliveries of boxed information.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to Docket ID No. EPA-R03-OAR-2010-1028. EPA's policy is that all comments received will be included in the public docket without change, and may be made available online at<E T="03">www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through<E T="03">www.regulations.gov</E>or e-mail. The<E T="03">www.regulations.gov</E>Web site is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an e-mail comment directly to EPA without going through<E T="03">www.regulations.gov,</E>your e-mail address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses.</P>
          <P>
            <E T="03">Docket:</E>All documents in the electronic docket are listed in the<E T="03">www.regulations.gov</E>index. Although listed in the index, some information is not publicly available, i.e., CBI or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, is not placed on the Internet and will be publicly available only in hard copy form. Publicly available docket materials are available either electronically in<E T="03">www.regulations.gov</E>or in hard copy during normal business hours at the Air Protection Division, U.S. Environmental Protection Agency, Region III, 1650 Arch Street, Philadelphia, Pennsylvania 19103. Copies of the State submittal are available at the Virginia Department of Environmental Quality, 629 East Main Street, Richmond, Virginia 23219.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>David Talley, (215) 814-2117, or by e-mail at<E T="03">talley.david@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Throughout this document, whenever “we,” “us,” or “our” is used, we mean EPA. On October 27, 2010, the Virginia Department of Environmental Quality submitted a revision to its SIP for the addition of a new Chapter 85 of 9VAC5.</P>
        <HD SOURCE="HD1">I. Background</HD>
        <P>On October 27, 2010, VADEQ submitted a draft revision to EPA for approval into the Virginia SIP to establish appropriate emission thresholds for determining which new or modified stationary sources become subject to Virginia's Prevention of Significant Deterioration (PSD) permitting requirements for GHG emissions. Final approval of Virginia's October 27, 2010, SIP revision will put in place the GHG emission thresholds for PSD applicability set forth in EPA's “Prevention of Significant Deterioration and Title V Greenhouse Gas Tailoring Rule,” (the Tailoring Rule) Final Rule, 75 FR 31514 (June 3, 2010), ensuring that smaller GHG sources emitting less than these thresholds will not be subject to permitting requirements when these requirements begin applying to GHGs on January 2, 2011. Pursuant to section 110 of the CAA, EPA is proposing to approve this revision into the Virginia SIP.</P>
        <P>Today's proposed action on the Virginia SIP generally relates to three federal rulemaking actions. The first rulemaking is EPA's Tailoring Rule. The second rulemaking is EPA's “Action to Ensure Authority to Issue Permits Under the Prevention of Significant Deterioration Program to Sources of Greenhouse Gas Emissions: Finding of Substantial Inadequacy and SIP Call,” Proposed Rule (GHG SIP Call). 75 FR 53892 (September 2, 2010). The third rulemaking is EPA's “Action to Ensure Authority to Issue Permits Under the Prevention of Significant Deterioration Program to Sources of Greenhouse Gas Emissions: Federal Implementation Plan,” Proposed Rule, 75 FR 53883 (September 2, 2010) (GHG FIP), which serves as a companion rulemaking to EPA's proposed GHG SIP Call. A summary of each of these rulemakings is described below.</P>

        <P>In the first rulemaking, the Tailoring Rule, EPA established appropriate GHG<PRTPAGE P="2071"/>emission thresholds for determining the applicability of PSD requirements to GHG-emitting sources. In the second rulemaking, the GHG SIP Call (which is not yet final), EPA proposed to find that the EPA-approved PSD programs in 13 States (not including Virginia) are substantially inadequate to meet CAA requirements because they do not appear to apply PSD requirements to GHG-emitting sources. For each of these States, EPA proposed to require the State (through a “SIP Call”) to revise its SIP as necessary to correct such inadequacies. EPA proposed an expedited schedule for these States to submit their SIP revision, in light of the fact that as of January 2, 2011, certain GHG-emitting sources will become subject to the PSD requirements and may not be able to obtain a PSD permit in order to construct or modify. In the third rulemaking, the GHG FIP (which is not yet final), EPA proposed a FIP to apply in any state that is unable to submit, by its deadline, a SIP revision to ensure that the state has authority to issue PSD permits for GHG-emitting sources. Because Virginia already has authority to regulate GHGs, Virginia is only seeking to revise its SIP to put in place the GHG emission thresholds for PSD applicability set forth in EPA's Tailoring Rule, thereby ensuring that smaller GHG sources emitting less than these thresholds will not be subject to permitting requirements when these requirements begin applying to GHGs on January 2, 2011.</P>
        <P>Below is a brief overview of GHGs and GHG-emitting sources, the CAA PSD program, minimum SIP elements for a PSD program, and EPA's recent actions regarding GHG permitting. Following this section, EPA discusses, in sections III and IV, the relationship between the proposed Virginia SIP revision and EPA's other national rulemakings as well as EPA's analysis of Virginia's SIP revision.</P>
        <HD SOURCE="HD2">A. What are GHGs and their sources?</HD>

        <P>A detailed explanation of GHGs, climate change and the impact on health, society, and the environment is included in EPA's technical support document for EPA's GHG endangerment finding final rule (Document ID No. EPA-HQ-OAR-2009-0472-11292 at<E T="03">www.regulations.gov</E>).</P>
        <P>The endangerment finding rulemaking is discussed later in this rulemaking. A summary of the nature and sources of GHGs is provided below.</P>
        <P>GHGs trap the Earth's heat that would otherwise escape from the atmosphere into space and form the greenhouse effect that helps keep the Earth warm enough for life. GHGs are naturally present in the atmosphere and are also emitted by human activities. Human activities are intensifying the naturally occurring greenhouse effect by increasing the amount of GHGs in the atmosphere, which is changing the climate in a way that endangers human health, society, and the natural environment.</P>
        <P>Some GHGs, such as carbon dioxide (CO<E T="52">2</E>), are emitted to the atmosphere through natural processes as well as human activities. Other gases, such as fluorinated gases, are created and emitted solely through human activities. The well-mixed GHGs of concern directly emitted by human activities include CO<E T="52">2</E>, methane (CH<E T="52">4</E>), nitrous oxide (N<E T="52">2</E>O), hydrofluorocarbons (HFCs), perfluorocarbons (PFCs), and sulfur hexafluoride (SF<E T="52">6</E>), hereafter referred to collectively as “the six well-mixed GHG,” or, simply, GHGs. Together these six well-mixed GHGs constitute the “air pollutant” upon which the GHG thresholds in EPA's Tailoring Rule are based. These six gases remain in the atmosphere for decades to centuries where they become well-mixed globally in the atmosphere. When they are emitted more quickly than natural processes can remove them from the atmosphere, their concentrations increase, thus increasing the greenhouse effect.</P>

        <P>In the United States, the combustion of fossil fuels (e.g., coal, oil, gas) is the largest source of CO<E T="52">2</E>emissions and accounts for 80 percent of the total GHG emissions by mass. Anthropogenic CO<E T="52">2</E>emissions released from a variety of sources, including through the use of fossil fuel combustion and cement production from geologically stored carbon (e.g., coal, oil, and natural gas) that is hundreds of millions of years old, as well as anthropogenic CO<E T="52">2</E>emissions from land-use changes such as deforestation, perturb the atmospheric concentration of CO<E T="52">2</E>, and the distribution of carbon within different reservoirs readjusts. More than half of the energy-related emissions come from large stationary sources such as power plants, while about a third come from transportation. Of the six well-mixed GHGs, four (CO<E T="52">2</E>, CH<E T="52">4</E>, N<E T="52">2</E>O, and HFCs) are emitted by motor vehicles. In the United States, industrial processes (such as the production of cement, steel, and aluminum), agriculture, forestry, other land use, and waste management are also important sources of GHGs.</P>

        <P>Different GHGs have different heat-trapping capacities. The concept of Global Warming Potential (GWP) was developed to compare the heat-trapping capacity and atmospheric lifetime of one GHG to another. The definition of a GWP for a particular GHG is the ratio of heat trapped by one unit mass of the GHG to that of one unit mass of CO<E T="52">2</E>over a specified time period. When quantities of the different GHGs are multiplied by their GWPs, the different GHGs can be summed and compared on a carbon dioxide equivalent (CO<E T="52">2</E>e) basis. For example, CH<E T="52">4</E>has a GWP of 21, meaning each ton of CH<E T="52">4</E>emissions would have 21 times as much impact on global warming over a 100-year time horizon as 1 ton of CO<E T="52">2</E>emissions. Thus, on the basis of heat-trapping capability, 1 ton of CH<E T="52">4</E>would equal 21 tons of CO<E T="52">2</E>e. The GWPs of the non-CO<E T="52">2</E>GHG range from 21 (for CH<E T="52">4</E>) up to 23,900 (for SF<E T="52">6</E>). Aggregating all GHG on a CO<E T="52">2</E>e basis at the source level allows a facility to evaluate its total GHG emissions contribution based on a single metric.</P>
        <HD SOURCE="HD2">B. What are the general requirements of the PSD program?</HD>
        <HD SOURCE="HD3">1. Overview of the PSD Program</HD>

        <P>The PSD program is a preconstruction review and permitting program applicable to new major stationary sources and major modifications at existing stationary sources. The PSD program applies in areas that are designated “attainment” or “unclassifiable” for a national ambient air quality standard (NAAQS). The PSD program is contained in part C of title I of the CAA. The “nonattainment new source review (NSR)” program applies in areas not in attainment of a NAAQS or in the Ozone Transport Region, and it is implemented under the requirements of part D of title I of the CAA. Collectively, EPA commonly refers to these two programs as the major NSR program. The governing EPA rules are contained in 40 CFR 51.165, 51.166, 52.21, 52.24, and part 51, Appendices S and W. There is no NAAQS for CO<E T="52">2</E>or any of the other well-mixed GHGs, nor has EPA proposed any such NAAQS; therefore, unless and until EPA takes such further action, the nonattainment NSR program does not apply to GHGs.</P>

        <P>The applicability of PSD to a particular source must be determined in advance of construction or modification and is pollutant-specific. The primary criterion in determining PSD applicability for a proposed new or modified source is whether the source is a “major emitting facility,” based on its predicted potential emissions of regulated pollutants, within the meaning of CAA section 169(1) that either constructs or undertakes a modification. EPA has implemented these requirements in its regulations, which use somewhat different<PRTPAGE P="2072"/>terminology than the CAA does, for determining PSD applicability.</P>
        <HD SOURCE="HD3">a. Major Stationary Source</HD>
        <P>Under PSD, a “major stationary source” is any source belonging to a specified list of 28 source categories that emits or has the potential to emit (PTE) 100 tons per year (tpy) or more of any air pollutant subject to regulation under the CAA, or any other source type that emits or has the potential to emit such pollutants in amounts equal to or greater than 250 tpy. We refer to these levels as the 100/250-tpy thresholds. A new source with a potential to emit (PTE) at or above the applicable “major stationary source threshold” is subject to major NSR. These limits originate from section 169 of the CAA, which applies PSD to any “major emitting facility” and defines the term to include any source that emits or has a PTE of 100 or 250 tpy, depending on the source category. Note that the major source definition incorporates the phrase “subject to regulation,” which, as described later, will begin to include GHGs on January 2, 2011, under our interpretation of that phrase as discussed in the recent memorandum entitled, “EPA's Interpretation of Regulations that Determine Pollutants Covered by Federal Prevention of Significant Deterioration (PSD) Permit Program.” 75 FR 17004 (April 2, 2010).</P>
        <HD SOURCE="HD3">b. Major Modifications</HD>
        <P>PSD also applies to existing sources that undertake a “major modification,” which occurs when: (1) There is a physical change in, or change in the method of operation of, a “major stationary source;” (2) the change results in a “significant” emissions increase of a pollutant subject to regulation (equal to or above the significance level that EPA has set for the pollutant in 40 CFR 52.21(b)(23)); and (3) there is a “significant net emissions increase” of a pollutant subject to regulation that is equal to or above the significance level (defined in 40 CFR 52.21(b)(23)). Significance levels, which EPA has promulgated for criteria pollutants and certain other pollutants, represent a de minimis contribution to air quality problems. When EPA has not set a significance level for a regulated NSR pollutant, PSD applies to an increase of the pollutant in any amount (that is, in effect, the significance level is treated as zero).</P>
        <HD SOURCE="HD3">2. General Requirements for PSD</HD>
        <P>This section provides a very brief summary of the main requirements of the PSD program. One principal requirement is that a new major source or major modification must apply best available control technology (BACT), which is determined on a case-by-case basis taking into account, among other factors, the cost effectiveness of the control and energy and environmental impacts. EPA has developed a “top-down” approach for BACT review, which involves a decision process that includes identification of all available control technologies, elimination of technically infeasible options, ranking of remaining options by control and cost effectiveness, and then selection of BACT. Under PSD, once a source is determined to be major for any regulated NSR pollutant, a BACT review is performed for each attainment pollutant that exceeds its PSD significance level as part of new construction or for modification projects at the source, where there is a significant increase and a significant net emissions increase of such pollutant.<SU>1</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>EPA notes that the PSD program has historically operated in this fashion for all pollutants—when new sources or modifications are “major,” PSD applies to all pollutants that are emitted in significant quantities from the source or project. This rule does not alter that for sources or modifications that are major due to their GHG emissions.</P>
        </FTNT>
        <P>In addition to performing BACT, the source must analyze impacts on ambient air quality toassure that sources do not cause or contribute to violation of any NAAQS or PSD increments and must analyze impacts on soil, vegetation, and visibility. In addition, sources or modifications that would impact Class I areas (e.g., national parks) may be subject to additional requirements to protect air quality related values (AQRVs) that have been identified for such areas. Under PSD, if a source's proposed project may impact a Class I area, the Federal Land Manager is notified and is responsible for evaluating a source's projected impact on the AQRVs and recommending either approval or disapproval of the source's permit application based on anticipated impacts. There are currently no NAAQS or PSD increments established for GHGs, and therefore these PSD requirements would not apply for GHGs, even when PSD is triggered for GHGs. However, if PSD is triggered for a GHG-emitting source, all regulated NSR pollutants that the new source emits in significant amounts would be subject to PSD requirements. Therefore, if a facility triggers NSR for non-GHG pollutants for which there are established NAAQS or increments, the air quality, additional impacts, and Class I requirements would apply to those pollutants.</P>
        <P>Pursuant to existing PSD requirements, the permitting authority must provide notice of its preliminary decision on a source's application for a PSD permit and must provide an opportunity for comment by the public, industry, and other interested persons. After considering and responding to comments, the permitting authority must issue a final determination on the construction permit. Usually NSR permits are issued by a state or local air pollution control agency that has its own authority to issue PSD permits under a permit program that has been approved by EPA for inclusion in its SIP. In some areas, EPA has delegated its authority to issue PSD permits under federal regulations to the state or local agency. In other areas, EPA issues the permits under its own authority.</P>
        <HD SOURCE="HD2">C. What are the CAA requirements to include the PSD program in the SIP?</HD>
        <P>The CAA contemplates that the PSD program be implemented in the first instance by the states and requires that states include PSD requirements in their SIPs. CAA section 110(a)(2)(C) requires that—</P>
        
        <EXTRACT>
          <P>Each implementation plan * * * shall * * * include a program to provide for * * * regulation of the modification and construction of any stationary source within the areas covered by the plan as necessary to assure that national ambient air quality standards are achieved, including a permit program as required in part[] C * * * of this subchapter.</P>
        </EXTRACT>
        
        <FP>CAA section 110(a)(2)(J) requires that—</FP>
        
        <EXTRACT>
          <P>Each implementation plan * * * shall * * *  meet the applicable requirements of * * * part C of this subchapter (relating to significant deterioration of air quality and visibility protection).</P>
        </EXTRACT>
        
        <FP>CAA section 161 provides that—</FP>
        
        <EXTRACT>
          <P>Each applicable implementation plan shall contain emission limitations and such other measures as may be necessary, as determined under regulations promulgated under this part [C], to prevent significant deterioration of air quality for such region * * * designated * * * as attainment or unclassifiable.</P>
        </EXTRACT>
        
        <P>These provisions, read in conjunction with the PSD applicability provisions as well as other provisions such as the BACT provision the under CAA Section 165(a)(4), mandate that SIPs include PSD programs that are applicable to, among other things, any air pollutant that is subject to regulation. As discussed below, this includes GHGs on and after January 2, 2011.<SU>2</SU>
          <FTREF/>A number of<PRTPAGE P="2073"/>states do not have PSD programs approved into their SIPs. In those states, EPA's regulations at 40 CFR 52.21 govern, and either EPA or the state as EPA's delegatee acts as the permitting authority. However, most states have PSD programs that have been approved into their SIPs, and these states implement their PSD programs and act as the permitting authority. Virginia's PSD program has been granted a “limited” approval. The approval was limited because the definition of “baseline actual emissions” at 9 VAC5 Chapter 80 differs from the federal definition at 40 CFR 51.166 (b)(47). This issue will not prevent today's proposed action from being fully approved.</P>
        <FTNT>
          <P>
            <SU>2</SU>In the Tailoring Rule, EPA noted that commenters argued, with some variations, that the PSD provisions applied only to NAAQS pollutants,<PRTPAGE/>and not GHG, and EPA responded that the PSD provisions apply to all pollutants subject to regulation, including GHG. See 75 FR 31560-62 (June 3, 2010). EPA maintains its position that the PSD provisions apply to all pollutants subject to regulation, and the Agency incorporates by reference the discussion of this issue in the Tailoring Rule.</P>
        </FTNT>
        <HD SOURCE="HD2">D. What actions has EPA taken concerning PSD requirements for GHG-emitting sources?</HD>
        <HD SOURCE="HD3">1. What are the Endangerment Finding, the Light Duty Vehicle Rule, and the Johnson Memo Reconsideration?</HD>

        <P>By notice dated December 15, 2009, and pursuant to CAA section 202(a), EPA issued two findings regarding GHGs that are commonly referred to as the “Endangerment Finding” and the “Cause or Contribute Finding.” “Endangerment and Cause or Contribute Findings for Greenhouse Gases Under Section 202(a) of the Clean Air Act,” 74 FR 66496. In the Endangerment Finding, the Administrator found that six long-lived and directly emitted GHGs—CO<E T="52">2</E>, CH<E T="52">4</E>, N<E T="52">2</E>O, HFCs, PFCs, and SF<E T="52">6</E>—may reasonably be anticipated to endanger public health and welfare. In the Cause or Contribute Finding, the Administrator “define[d] the air pollutant as the aggregate group of the same six * * * greenhouse gases,” 74 FR 66536, and found that the combined emissions of this air pollutant from new motor vehicles and new motor vehicle engines contribute to the GHG air pollution that endangers public health and welfare.</P>

        <P>By notice dated May 7, 2010, EPA published what is commonly referred to as the “Light-Duty Vehicle Rule” (LDVR), which for the first time established federal controls on GHGs emitted from light-duty vehicles. “Light-Duty Vehicle Greenhouse Gas Emission Standards and Corporate Average Fuel Economy Standards; Final Rule.” 75 FR 25324. In its applicability provisions, the LDVR specifies that it “contains standards and other regulations applicable to the emissions of six greenhouse gases,” including CO<E T="52">2</E>, CH<E T="52">4</E>, N<E T="52">2</E>O, HFCs, PFCs, and SF<E T="52">6</E>. 75 FR 25686 (40 CFR 86.1818-12(a)). Shortly before finalizing the LDVR, by notice dated April 2, 2010, EPA published a notice commonly referred to as the Johnson Memo Reconsideration. On December 18, 2008, EPA issued a memorandum, “EPA's Interpretation of Regulations that Determine Pollutants Covered by Federal Prevention of Significant Deterioration (PSD) Permit Program” (known as the “Johnson Memo” or the “PSD Interpretive Memo,” and referred to in this preamble as the “Interpretive Memo”), that set forth EPA's interpretation regarding which EPA and state actions, with respect to a previously unregulated pollutant, cause that pollutant to become “subject to regulation” under the CAA. Whether a pollutant is “subject to regulation” is important for the purposes of determining whether it is covered under the federal PSD permitting program. The Interpretive Memo established that a pollutant is “subject to regulation” only if it is subject to either a provision in the CAA or regulation adopted by EPA under the CAA that requires actual control of emissions of that pollutant (referred to as the “actual control interpretation”). On February 17, 2009, EPA granted a petition for reconsideration on the Interpretive Memo and announced its intent to conduct a rulemaking to allow for public comment on the issues raised in the memorandum and on related issues. EPA also clarified that the Interpretive Memo would remain in effect pending reconsideration.</P>
        <P>On March 29, 2010, EPA signed a notice conveying its decision to continue applying (with one limited refinement) the Interpretive Memo's interpretation of “subject to regulation” (“Interpretation of Regulations that Determine Pollutants Covered by Clean Air Act Permitting Programs,” 75 FR 17004). EPA concluded that the “actual control interpretation” is the most appropriate interpretation to apply given the policy implications. However, EPA refined the Agency's interpretation in one respect: EPA established that PSD permitting requirements apply to a newly regulated pollutant at the time a regulatory requirement to control emissions of that pollutant “takes effect” (rather than upon promulgation or the legal effective date of the regulation containing such a requirement). In addition, based on the anticipated promulgation of the LDVR, EPA stated that the GHG requirements of the vehicle rule would take effect on January 2, 2011, because that is the earliest date that a 2012 model year vehicle may be introduced into commerce. In other words, the compliance obligation under the LDVR does not occur until a manufacturer may introduce into commerce vehicles that are required to comply with GHG standards, which will begin with model year 2012 and will not occur before January 2, 2011.</P>
        <HD SOURCE="HD3">2. What is EPA's Tailoring Rule?</HD>
        <P>On June 3, 2010 (effective August 2, 2010), EPA promulgated a final rulemaking, the Tailoring Rule, for the purpose of relieving overwhelming permitting burdens that would, in the absence of the rule, fall on permitting authorities and sources. 75 FR 31514. EPA accomplished this by tailoring the applicability criteria that determine which GHG emission sources become subject to the PSD program<SU>3</SU>
          <FTREF/>of the CAA. In particular, EPA established in the Tailoring Rule a phase-in approach for PSD applicability and established the first two steps of the phase-in for the largest GHG-emitters. Additionally, EPA committed to certain follow-up actions regarding future steps beyond the first two, discussed in more detail later in this notice.</P>
        <FTNT>
          <P>
            <SU>3</SU>The Tailoring Rule also applies to the title V program, which requires operating permits for existing sources. However, today's action does not affect Virginia's title V program.</P>
        </FTNT>

        <P>For the first step of the Tailoring Rule, which will begin on January 2, 2011, PSD requirements will apply to major stationary source GHG emissions only if the sources are subject to PSD anyway due to their emissions of non-GHG pollutants. Therefore, in the first step, EPA will not require sources or modifications to evaluate whether they are subject to PSD requirements solely on account of their GHG emissions. Specifically, for PSD, Step 1 requires that as of January 2, 2011, the applicable requirements of PSD, most notably, the BACT requirement, will apply to projects that increase net GHG emissions by at least 75,000 tpy CO<E T="52">2</E>e, but only if the project also significantly increases emissions of at least one non-GHG pollutant.</P>

        <P>The second step of the Tailoring Rule, beginning on July 1, 2011, will phase in additional large sources of GHG emissions. New sources that emit, or have the PTE, at least 100,000 tpy CO<E T="52">2</E>e will become subject to the PSD requirements. In addition, sources that emit or have the PTE at least 100,000 tpy CO<E T="52">2</E>e and that undertake a modification that increases net GHG<PRTPAGE P="2074"/>emissions by at least 75,000 tpy CO<E T="52">2</E>e will also be subject to PSD requirements. For both steps, EPA notes that if sources or modifications exceed these CO<E T="52">2</E>e-adjusted GHG triggers, they are not covered by permitting requirements unless their GHG emissions also exceed the corresponding mass-based triggers in tpy.</P>
        <P>EPA believes that the costs to the sources and the administrative burdens to the permitting authorities of PSD permitting will be manageable at the levels in these initial two steps and that it would be administratively infeasible to subject additional sources to PSD requirements at those times. However, EPA also intends to issue a supplemental notice of proposed rulemaking in 2011, in which the Agency will propose or solicit comment on a third step of the phase-in that would include more sources, beginning on July 1, 2013. In the Tailoring Rule, EPA established an enforceable commitment that the Agency will complete this rulemaking by July 1, 2012, which will allow 1 year's notice before Step 3 would take effect. In addition, EPA committed to explore streamlining techniques that may well make the permitting programs much more efficient to administer for GHG, and that therefore may allow their expansion to smaller sources. EPA expects that the initial streamlining techniques will take several years to develop and implement.</P>

        <P>In the Tailoring Rule, EPA also included a provision, that no source with emissions below 50,000 tpy CO<E T="52">2</E>e, and no modification resulting in net GHG increases of less than 50,000 tpy CO<E T="52">2</E>e, will be subject to PSD permitting before at least 6 years (i.e., April 30, 2016). This is because EPA has concluded that at the present time, the administrative burdens that would accompany permitting sources below this level would be so great that even with the streamlining actions that EPA may be able to develop and implement in the next several years, and even with the increases in permitting resources that EPA can reasonably expect the permitting authorities to acquire, it would be impossible to administer the permit programs for these sources until at least 2016.</P>

        <P>As EPA explained in the Tailoring Rule, the threshold limitations are necessary because without it, PSD would apply to all stationary sources that emit or have the PTE more than 100 or 250 tons of GHG per year beginning on January 2, 2011. This is the date when EPA's recently promulgated LDVR takes effect, imposing control requirements for the first time on CO<E T="52">2</E>and other GHGs. If this January 2, 2011, date were to pass without the Tailoring Rule being in effect, PSD requirements would apply to GHG emissions at the 100/250 tpy applicability levels provided under a literal reading of the CAA as of that date. From that point forward, a source owner proposing to construct any new major source that emits at or higher than the applicability levels (and which therefore may be referred to as a “major” source) or modify any existing major source in a way that would increase GHG emissions would need to obtain a permit under the PSD program that addresses these emissions before construction or modification could begin.</P>
        <P>Under these circumstances, many small sources would be burdened by the costs of the individualized PSD control technology requirements and permit applications that the PSD provisions, absent streamlining, require. Additionally, state and local permitting authorities would be burdened by the extraordinary number of these permit applications, which are orders of magnitude greater than the current inventory of permits and would vastly exceed the current administrative resources of the permitting authorities. Permit gridlock would result since the permitting authorities would likely be able to issue only a tiny fraction of the permits requested.</P>
        <P>In the Tailoring Rule, EPA adopted regulatory language codifying the phase-in approach. As explained in that rulemaking, many state, local and tribal area programs will likely be able to immediately implement the approach without rule or statutory changes by, for example, interpreting the term “subject to regulation” that is part of the applicability provisions for PSD permitting. EPA has requested permitting authorities to confirm that they will follow this implementation approach for their programs, and if they cannot, then EPA has requested that they notify the Agency so that we can take appropriate follow-up action to narrow federal approval of their programs before GHGs become subject to PSD permitting on January 2, 2011.<SU>4</SU>
          <FTREF/>On July 28, 2010, Virginia provided a letter to EPA with confirmation that the Commonwealth has the authority to regulate GHG in its PSD and title V programs. See the docket for this proposed rulemaking for a copy of Virginia's letter.</P>
        <FTNT>
          <P>
            <SU>4</SU>Narrowing EPA's approval will ensure that for federal purposes, sources with GHG emissions that are less than the Tailoring Rule's emission thresholds will not be obligated under federal law to obtain PSD permits during the gap between when GHG PSD requirements go into effect on January 2, 2011 and when either (1) EPA approves a SIP revision adopting EPA's tailoring approach, or (2) if a state opts to regulate smaller GHG-emitting sources, the state demonstrates to EPA that it has adequate resources to handle permitting for such sources. EPA expects to finalize the narrowing action prior to the January 2, 2011 deadline with respect to those States for which EPA will not have approved the Tailoring Rule thresholds in their SIPs by that time.</P>
        </FTNT>

        <P>The thresholds that EPA established in the Tailoring Rule are based on CO<E T="52">2</E>e for the aggregate sum of six GHGs that constitute the pollutant that will be subject to regulation, which we refer to as GHG.<SU>5</SU>
          <FTREF/>These gases are: CO<E T="52">2</E>, CH<E T="52">4</E>, N<E T="52">2</E>O, HFCs, PFCs, and SF<E T="52">6</E>. Thus, in EPA's Tailoring Rule, EPA provided that PSD applicability is based on the quantity that results when the mass emissions of each of these gases is multiplied by the GWP of that gas, and then summed for all six gases. However, EPA further provided that in order for a source's GHG emissions to trigger PSD requirements, the quantity of the GHG emissions must equal or exceed both the applicability thresholds established in the Tailoring Rule on a CO<E T="52">2</E>e basis and the statutory thresholds of 100 or 250 tpy on a mass basis.<SU>6</SU>

          <FTREF/>Similarly, in order for a source to be subject to the PSD modification requirements, the source's net GHG emissions increase must exceed the applicable significance level on a CO<E T="52">2</E>e basis and must also result in a net mass increase of the constituent gases combined.</P>
        <FTNT>
          <P>
            <SU>5</SU>The term “greenhouse gases” is commonly used to refer generally to gases that have heat-trapping properties. However, in this notice, unless noted otherwise, we use it to refer specifically to the pollutant regulated in the LDVR.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>6</SU>The relevant thresholds are 100 tpy for title V, and 250 tpy for PSD, except for 28 categories listed in EPA regulations for which the PSD threshold is 100 tpy.</P>
        </FTNT>
        <HD SOURCE="HD3">3. What is the GHG SIP Call?</HD>
        <P>By<E T="04">Federal Register</E>notice dated September 2, 2010, EPA proposed the GHG SIP Call. In that action, along with the companion GHG FIP rulemaking published at the same time, EPA took steps to ensure that in the 13 States that do not appear to have authority to issue PSD permits to GHG-emitting sources at present, either the State or EPA will have the authority to issue such permits by January 2, 2011. EPA explained that although for most states, either the state or EPA is already authorized to issue PSD permits for GHG-emitting sources as of that date, our preliminary information shows that these 13 States have EPA-approved PSD programs that do not appear to include GHG-emitting sources and therefore do not appear to authorize these States to issue PSD permits to such sources. Therefore, EPA<PRTPAGE P="2075"/>proposed to find that these 13 States' SIPs are substantially inadequate to comply with CAA requirements and, accordingly, proposed to issue a SIP Call to require a SIP revision that applies their SIP PSD programs to GHG-emitting sources. In the companion GHG FIP rulemaking, EPA proposed a FIP that would give EPA authority to apply EPA's PSD program to GHG-emitting sources in any State that is unable to submit a corrective SIP revision by its deadline. Virginia was not one of the States for which EPA proposed a SIP Call.</P>
        <HD SOURCE="HD1">II. What is the relationship between today's proposed action and EPA's proposed GHG SIP Call and GHG FIP?</HD>
        <P>As noted above, by notice dated September 2, 2010, EPA proposed the GHG SIP Call. At the same time, EPA proposed a FIP to apply in any state that is unable to submit, by its deadline, a SIP revision to ensure that the state has authority to issue PSD permits to GHG-emitting sources.<SU>7</SU>
          <FTREF/>As discussed in Section IV of this rulemaking, Virginia interprets its current PSD regulations as providing them with the authority to regulate GHG, and as such, Virginia is not included on the list of areas for the proposed SIP call. Additionally, Virginia would not be subject to the FIP to implement GHG for PSD applicability. Virginia's October 27, 2010, proposed SIP revision (the subject of this rulemaking) merely modifies Virginia's SIP to establish appropriate thresholds for determining which stationary sources and modification projects become subject to permitting requirements for GHG emissions under the PSD program of the CAA.</P>
        <FTNT>
          <P>
            <SU>7</SU>As explained in the proposed GHG SIP Call (75 FR 53892, 53896), EPA intends to finalize its finding of substantial inadequacy and the SIP call for the 13 listed states by December 1, 2010. EPA requested that the states for which EPA is proposing a SIP call identify the deadline—between 3 weeks and 12 months from the date of signature of the final SIP Call—that they would accept for submitting their corrective SIP revision.</P>
        </FTNT>
        <HD SOURCE="HD1">III. General Information Pertaining to SIP Submittals From the Commonwealth of Virginia</HD>
        <P>In 1995, Virginia adopted legislation that provides, subject to certain conditions, for an environmental assessment (audit) “privilege” for voluntary compliance evaluations performed by a regulated entity. The legislation further addresses the relative burden of proof for parties either asserting the privilege or seeking disclosure of documents for which the privilege is claimed. Virginia's legislation also provides, subject to certain conditions, for a penalty waiver for violations of environmental laws when a regulated entity discovers such violations pursuant to a voluntary compliance evaluation and voluntarily discloses such violations to the Commonwealth and takes prompt and appropriate measures to remedy the violations. Virginia's Voluntary Environmental Assessment Privilege Law, Va. Code Sec. 10.1-1198, provides a privilege that protects from disclosure documents and information about the content of those documents that are the product of a voluntary environmental assessment. The Privilege Law does not extend to documents or information (1) that are generated or developed before the commencement of a voluntary environmental assessment; (2) that are prepared independently of the assessment process; (3) that demonstrate a clear, imminent and substantial danger to the public health or environment; or (4) that are required by law.</P>
        <P>On January 12, 1998, the Commonwealth of Virginia Office of the Attorney General provided a legal opinion that states that the Privilege law, Va. Code Sec. 10.1-1198, precludes granting a privilege to documents and information “required by law,” including documents and information “required by Federal law to maintain program delegation, authorization or approval,” since Virginia must “enforce Federally authorized environmental programs in a manner that is no less stringent than their Federal counterparts. * * *” The opinion concludes that “[r]egarding § 10.1-1198, therefore, documents or other information needed for civil or criminal enforcement under one of these programs could not be privileged because such documents and information are essential to pursuing enforcement in a manner required by Federal law to maintain program delegation, authorization or approval.” Virginia's Immunity law, Va. Code Sec. 10.1-1199, provides that “[t]o the extent consistent with requirements imposed by Federal law,” any person making a voluntary disclosure of information to a state agency regarding a violation of an environmental statute, regulation, permit, or administrative order is granted immunity from administrative or civil penalty. The Attorney General's January 12, 1998 opinion states that the quoted language renders this statute inapplicable to enforcement of any Federally authorized programs, since “no immunity could be afforded from administrative, civil, or criminal penalties because granting such immunity would not be consistent with Federal law, which is one of the criteria for immunity.”</P>
        <P>Therefore, EPA has determined that Virginia's Privilege and Immunity statutes will not preclude the Commonwealth from enforcing its PSD program consistent with the Federal requirements. In any event, because EPA has also determined that a state audit privilege and immunity law can affect only state enforcement and cannot have any impact on Federal enforcement authorities, EPA may at any time invoke its authority under the CAA, including, for example, sections 113, 167, 205, 211 or 213, to enforce the requirements or prohibitions of the state plan, independently of any state enforcement effort. In addition, citizen enforcement under section 304 of the CAA is likewise unaffected by this, or any, state audit privilege or immunity law.</P>
        <HD SOURCE="HD1">IV. What is EPA's analysis of Virginia's SIP revision?</HD>
        <P>On October 27, 2010, VADEQ provided a revision to Virginia's SIP to EPA for approval. This revision to Virginia's SIP is necessary because without it, PSD requirements would apply, as of January 2, 2011, at the 100- or 250-tpy levels provided under the CAA. This would greatly increase the number of required permits, imposing undue costs on small sources; which would overwhelm Virginia's permitting resources and severely impair the function of the program.</P>

        <P>Virginia's October 27, 2010, proposed SIP revision establishes thresholds for determining which stationary sources and modification projects become subject to permitting requirements for GHG emissions under Virginia's PSD program. Specifically, Virginia's October 27, 2010, proposed SIP revision includes changes to VADEQ's Rule 9VAC5, specifically the creation of Chapter 85:<E T="03">Permits for Stationary Sources Subject to Regulation,</E>and addresses the thresholds for GHG permitting applicability.</P>
        <P>The current SIP-approved program (adopted prior to the promulgation of EPA's Tailoring Rule) applies to major stationary sources (having the potential to emit at least 100 tpy or 250 tpy or more of a regulated NSR pollutant, depending on the type of source) or modifications constructing in areas designated attainment or unclassifiable with respect to the NAAQS.</P>

        <P>The changes to Virginia's PSD program regulations at 9VAC5 Chapter 85:<E T="03">Permits for Stationary Sources Subject to Regulation</E>are substantively the same as the federal provisions amended in EPA's Tailoring Rule. As<PRTPAGE P="2076"/>part of its review of the Virginia submittal, EPA performed a line-by-line review of Virginia's proposed revision and has preliminarily determined that they are consistent with the Tailoring Rule. These changes to Virginia's regulations are also consistent with section 110 of the CAA because they are incorporating GHGs for regulation in the Virginia SIP.</P>
        <HD SOURCE="HD1">V. Proposed Action</HD>
        <P>Pursuant to section 110 of the CAA, EPA is proposing to approve Virginia's October 27, 2010, SIP revision, relating to PSD requirements for GHG-emitting sources. Specifically, Virginia's October 27, 2010, proposed SIP revision establishes appropriate emissions thresholds for determining PSD applicability to new and modified GHG-emitting sources in accordance with EPA's Tailoring Rule. EPA has made the preliminary determination that this SIP revision is approvable because it is in accordance with the CAA and EPA regulations regarding PSD permitting for GHGs. EPA is soliciting public comments on the issues discussed in this document. These comments will be considered before taking final action.</P>
        <HD SOURCE="HD1">VI. Statutory and Executive Order Reviews</HD>
        <P>Under the CAA, the Administrator is required to approve a SIP submission that complies with the provisions of the Act and applicable federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in reviewing SIP submissions, EPA's role is to approve state choices, provided that they meet the criteria of the CAA. Accordingly, this proposed action merely approves the State's law as meeting federal requirements and does not impose additional requirements beyond those imposed by the State's law. For that reason, this proposed action:</P>
        <P>• Is not a “significant regulatory action” subject to review by the Office of Management and Budget under Executive Order 12866 (58 FR 51735, October 4, 1993);</P>

        <P>• Does not impose an information collection burden under the provisions of the Paperwork Reduction Act (44 U.S.C. 3501<E T="03">et seq.</E>);</P>

        <P>• Is certified as not having a significant economic impact on a substantial number of small entities under the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>);</P>
        <P>• Does not contain any unfunded mandate or significantly or uniquely affect small governments, as described in the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4);</P>
        <P>• Does not have Federalism implications as specified in Executive Order 13132 (64 FR 43255, August 10, 1999);</P>
        <P>• Is not an economically significant regulatory action based on health or safety risks subject to Executive Order 13045 (62 FR 19885, April 23, 1997);</P>
        <P>• Is not a significant regulatory action subject to Executive Order 13211 (66 FR 28355, May 22, 2001);</P>
        <P>• Is not subject to requirements of Section 12(d) of the National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272 note) because application of those requirements would be inconsistent with the CAA; and</P>
        <P>• Does not provide EPA with the discretionary authority to address, as appropriate, disproportionate human health or environmental effects, using practicable and legally permissible methods, under Executive Order 12898 (59 FR 7629, February 16, 1994).</P>
        <P>In addition, this proposed SIP revision pertaining to greenhouse gas permitting does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the SIP is not approved to apply in Indian country located in the State, and EPA notes that it will not impose substantial direct costs on tribal governments or preempt tribal law.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 52</HD>
          <P>Environmental protection, Air pollution control, Intergovernmental relations, and Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>42 U.S.C. 7401<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: January 3, 2011.</DATED>
          <NAME>W.C. Early,</NAME>
          <TITLE>Acting Regional Administrator, Region III.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-495 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF THE INTERIOR</AGENCY>
        <SUBAGY>Fish and Wildlife Service</SUBAGY>
        <CFR>50 CFR Part 17</CFR>
        <DEPDOC>[Docket No. FWS-R3-ES-2010-0042; MO 92210-0-0009-B4]</DEPDOC>
        <RIN>RIN 1018-AW90</RIN>
        <SUBJECT>Endangered and Threatened Wildlife and Plants; Designation of Critical Habitat for Tumbling Creek Cavesnail</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Fish and Wildlife Service, Interior.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule; reopening of comment period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>We, the U.S. Fish and Wildlife Service (Service), announce the reopening of the comment period on June 23, 2010, proposed designation of critical habitat for the Tumbling Creek cavesnail (<E T="03">Antrobia culveri</E>) under the Endangered Species Act of 1973, as amended (Act). We also announce the availability of a draft economic analysis (DEA) of the proposed designation of critical habitat for the Tumbling Creek cavesnail and an amended required determinations section of the proposal. We are reopening the comment period for an additional 30 days to allow all interested parties an opportunity to comment on the items listed above. Comments previously submitted need not be resubmitted and will be fully considered in preparation of the final rule.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>We will consider public comments we receive on or before February 11, 2011. Comments must be received by 11:59 p.m. Eastern Time on the closing date. Any comments that we receive after the closing date may not be considered in the final decision on this action.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments by one of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal:  http://www.regulations.gov.</E>Follow the instructions for submitting comments on Docket No. FWS-R3-ES-2010-0042.</P>
          <P>•<E T="03">U.S. mail or hand-delivery:</E>Public Comments Processing, Attn: FWS-R3-ES-2010-0042; Division of Policy and Directives Management; U.S. Fish and Wildlife Service, 4401 N. Fairfax Drive, Suite 222, Arlington, VA 22203.</P>
          
          <FP>We will post all comments on<E T="03">http://www.regulations.gov.</E>This generally means that we will post any personal information you provide us (<E T="03">see</E>the Public Comments section below for more information).</FP>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Paul McKenzie, Endangered Species Coordinator, Columbia Missouri Ecological Services Field Office, 101 Park DeVille Dr.; Suite A, Columbia, MO 65203; telephone (573) 234-2132; facsimile (573) 234-2181. Persons who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at (800) 877-8339.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Public Comments</HD>

        <P>We intend that any final action resulting from the proposed rule will be based on the best scientific data available and will be as accurate and effective as possible. Therefore, we request comments or information from other concerned government agencies, the scientific community, industry, or any other interested party during this<PRTPAGE P="2077"/>reopened comment period on the proposed designation of critical habitat for the Tumbling Creek cavesnail published in the<E T="04">Federal Register</E>on June 23, 2010 (75 FR 35751), including the draft economic analysis of the proposed designation of critical habitat for the Tumbling Creek cavesnail and the amended required determinations provided in this document. We will consider information and recommendations from all interested parties. We are particularly interested in comments concerning:</P>

        <P>(1) The reasons why we should or should not designate habitat as “critical habitat” under section 4 of the Act (16 U.S.C. 1531<E T="03">et seq.</E>), including whether there are threats to the species from human activity, the degree of which can be expected to increase due to the designation, and whether that increase in threat outweighs the benefit of designation such that the designation of critical habitat is not prudent.</P>
        <P>(2) Specific information on:</P>
        <P>• The amount and distribution of Tumbling Creek cavesnail habitat,</P>
        <P>• What areas within the geographical area occupied by the species at the time of listing that contain features essential to the conservation of the species we should include in the designation and why, and</P>
        <P>• What areas outside the geographical area occupied at the time of listing are essential to the conservation of the species and why.</P>
        <P>(3) Land-use designations and current or planned activities in the subject areas and their possible effects on the proposed critical habitat for the Tumbling Creek cavesnail.</P>

        <P>(4) Any foreseeable economic, national security, or other relevant impacts of designating any area that may be included in the final designation. We are particularly interested in any impacts on small entities (<E T="03">i.e.,</E>small businesses, small organizations, and small government jurisdictions), and the benefits of including or excluding areas from the proposed designation that exhibit these impacts.</P>
        <P>(5) The likelihood of adverse social reactions to the designation of critical habitat, as discussed in the DEA, and how the consequences of such reactions, if likely to occur, would relate to the conservation and regulatory benefits of the proposed critical habitat designation.</P>
        <P>(6) Comments or information that may assist us in identifying or clarifying the primary constituent elements and the resulting physical and biological features essential to the conservation of the Tumbling Creek cavesnail.</P>
        <P>(7) How the proposed critical habitat boundaries could be refined to more closely circumscribe the landscapes identified as essential.</P>
        <P>(8) Information on the potential effects of climate change on the Tumbling Creek cavesnail and its habitat.</P>
        <P>(9) Any foreseeable impacts on energy supplies, distribution, and use resulting from the proposed designation and, in particular, any impacts on electricity production, and the benefits of including or excluding any particular areas that exhibit these impacts.</P>
        <P>(10) Whether our approach to designating critical habitat could be improved or modified in any way to provide for greater public participation and understanding, or to better accommodate public concerns and comments.</P>
        <P>(11) Information on whether the DEA makes appropriate assumptions regarding current practices and any regulatory changes that likely may occur if we designate proposed critical habitat for the Tumbling Creek cavesnail.</P>
        <P>(12) Information on the accuracy of our methodology in the DEA for distinguishing baseline and incremental costs, and the assumptions underlying the methodology.</P>
        <P>(13) Information on whether the DEA correctly assesses the effect on regional costs associated with any land use controls that may result from the proposed designation of critical habitat for the Tumbling Creek cavesnail.</P>
        <P>(14) Information on whether the proposed designation of critical habitat will result in disproportionate economic impacts to specific areas or small businesses, including small businesses in the land development sector in Taney County.</P>
        <P>(15) Information on whether the DEA identifies all costs that could result from the proposed designation of critical habitat for the Tumbling Creek cavesnail.</P>
        <P>(16) Economic data on the incremental costs of designating a particular area as critical habitat.</P>
        <P>If you submitted comments or information on the proposed rule (75 FR 35751) during the initial comment period from June 23, 2010, to August 23, 2010, please do not resubmit them. We will incorporate them into the public record as part of this comment period, and we will fully consider them in the preparation of our final determination. Our final determination concerning critical habitat will take into consideration all written comments and any additional information we receive during both comment periods. On the basis of public comments, we may, during the development of our final determination, find that areas proposed are not essential, are appropriate for exclusion under section 4(b)(2) of the Act, or are not appropriate for exclusion.</P>

        <P>You may submit your comments and materials concerning our proposed rule, the associated DEA, and our amended required determinations by one of the methods listed in the<E T="02">ADDRESSES</E>section. We will not consider comments sent by e-mail or fax or to an address not listed in the<E T="02">ADDRESSES</E>section.</P>
        <P>If you submit a comment via<E T="03">http://www.regulations.gov,</E>your entire comment—including any personal identifying information—will be posted on the Web site. If you submit a hard copy comment that includes personal identifying information, you may request at the top of your document that we withhold this information from public review. However, we cannot guarantee that we will be able to do so. We will post all hard copy comments on<E T="03">http://www.regulations.gov.</E>
        </P>

        <P>Comments and materials we receive (and have received), as well as supporting documentation we used in preparing the proposed rule and DEA, will be available for public inspection on<E T="03">http://www.regulations.gov</E>(Docket Number FWS-R3-ES-2010-0042), or by appointment, during normal business hours, at the U.S. Fish and Wildlife Service, Columbia, Missouri Ecological Services Field Office (<E T="03">see</E>
          <E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>

        <P>You may obtain copies of the proposed rule and DEA by mail from the Columbia, Missouri Ecological Services Field Office (<E T="03">see</E>
          <E T="02">FOR FURTHER INFORMATION CONTACT</E>), by visiting the Federal eRulemaking Portal at<E T="03">http://www.regulations.gov</E>(Docket Number FWS-R3-ES-2010-0042), or on our Web site at<E T="03">http://www.fws.gov/midwest/Endangered.</E>
        </P>
        <HD SOURCE="HD1">Background</HD>

        <P>It is our intent to discuss only those topics directly relevant to the proposed designation of critical habitat for the Tumbling Creek cavesnail in this document. For more information on previous Federal actions concerning the Tumbling Creek cavesnail, refer to the proposed designation of critical habitat published in the<E T="04">Federal Register</E>on June 23, 2010 (75 FR 35751). Additional information on the Tumbling Creek cavesnail may also be found in the final listing rule published in the<E T="04">Federal Register</E>on August 14, 2002 (67 FR 52879). These documents are available on our Web site at<E T="03">http://www.fws.gov/midwest/Endangered.</E>
          <PRTPAGE P="2078"/>
        </P>

        <P>On December 27, 2001 (66 FR 66803), we published an emergency rule to list the Tumbling Creek cavesnail, due to water degradation and a precipitous decline in the cavesnail populations. The species was subsequently listed as endangered on August 14, 2002 (67 FR 52879). At the time, critical habitat was not designated in order to allow the Service to concentrate its resources on immediate protections needed for the conservation of the species. On August 11, 2008, the Institute for Wildlife Protection and Crystal Grace Rutherford filed a lawsuit against the Secretary of the Interior for our failure to timely designate critical habitat for the Tumbling Creek cavesnail (<E T="03">Institute for Wildlife Protection et al.</E>v.<E T="03">Kempthorne,</E>(Case No. CV-07-01202-CMP)). In a court-approved settlement agreement, we agreed to submit to the<E T="04">Federal Register</E>a prudency determination, and if the designation was found to be prudent, a proposed designation of critical habitat, by June 30, 2010, and a final designation by June 30, 2011. On June 23, 2010, we proposed to designate 25 acres of Tumbling Creek and associated springs as critical habitat.</P>
        <P>The Tumbling Creek cavesnail is a small, white, blind, aquatic snail, restricted to a single cave stream in Tumbling Creek Cave in Taney County, southwestern Missouri. Significant declines in the snail's population have been documented since 1996. The Tumbling Creek cavesnail is likely threatened by habitat degradation through diminished water quality from upstream locations within the unprotected or improperly managed areas within the cave's delineated recharge zone. The species may also be threatened with competition from limpets or from changes in the cave's normal hydrological cycles due to recent droughts.</P>
        <P>Section 3 of the Act defines critical habitat as the specific areas within the geographical area occupied by a species, at the time it is listed in accordance with the Act, on which are found those physical or biological features essential to the conservation of the species and that may require special management considerations or protection, and specific areas outside the geographical area occupied by a species at the time it is listed, upon a determination that such areas are essential for the conservation of the species. If the proposed rule is made final, section 7 of the Act will prohibit destruction or adverse modification of critical habitat by any activity funded, authorized, or carried out by any Federal agency. Federal agencies proposing actions affecting areas designated as critical habitat must consult with us on the effects of their proposed actions, under section 7(a)(2) of the Act.</P>
        <HD SOURCE="HD1">Possible Exclusions From Critical Habitat and Draft Economic Analysis</HD>

        <P>Section 4(b)(2) of the Act requires that we designate critical habitat based upon the best scientific data available, after taking into consideration the economic impact, impact on national security, or any other relevant impact of specifying any particular area as critical habitat. We may exclude an area from critical habitat if we determine that the benefits of excluding the area outweigh the benefits of including the area as critical habitat, provided such exclusion will not result in the extinction of the species. We have not proposed to exclude any areas from critical habitat. However, the final decision on whether to exclude any areas will be based on the best scientific data available at the time of the final designation, including information obtained during the comment period and information about the economic impact of designation. Accordingly, we have prepared a draft economic analysis concerning the proposed critical habitat designation (DEA), which is available for review and comment (<E T="03">see</E>
          <E T="02">ADDRESSES</E>section).</P>

        <P>The intent of the DEA is to identify and analyze the potential economic impacts associated with the proposed designation of critical habitat for the Tumbling Creek cavesnail. The DEA quantifies the economic impacts of all potential conservation efforts for the Tumbling Creek cavesnail; some of these costs will likely be incurred regardless of whether we designate critical habitat. The economic impact of the proposed designation of critical habitat for the Tumbling Creek cavesnail is analyzed by comparing scenarios both “with critical habitat” and “without critical habitat.” The “without critical habitat” scenario represents the baseline for the analysis, considering protections already in place for the species (for example, under the Federal listing and other Federal, State, and local regulations). The baseline, therefore, represents the costs incurred regardless of whether critical habitat is designated and may include costs incurred in the future. The “with critical habitat” scenario describes the incremental impacts associated specifically with the designation of critical habitat for the species. The incremental conservation efforts and associated impacts are those not expected to occur absent the designation of critical habitat for the species. In other words, the incremental costs are those attributable solely to the designation of critical habitat above and beyond the baseline costs; these are the costs we may consider in the final designation of critical habitat. The analysis looks retrospectively at baseline impacts incurred since we listed the species, and forecasts both baseline and incremental impacts likely to occur if we finalize the proposed designation of critical habitat for the Tumbling Creek cavesnail. For a further description of the methodology of the analysis,<E T="03">see</E>Chapter 2, “Framework for the Analysis,” of the DEA.</P>
        <P>The current DEA estimates the foreseeable economic impacts of the proposed designation of critical habitat for the Tumbling Creek cavesnail by identifying the potential resulting incremental costs. The DEA analyzed economic impacts of Tumbling Creek cavesnail conservation efforts on the following activities: Water management and other activities that may affect water quality such as road construction and maintenance; oil, gas, and utility easements; forest and pasture management; alteration of septic systems; and effluent discharges. It also assessed possible indirect impacts to economic activities as the result of possible applications of other State and local laws and regulatory uncertainty or delay. The DEA considers future baseline and incremental impacts over the next 20 years (2011 to 2030).</P>
        <P>The DEA estimates that minimal economic impacts are likely to result from the designation of critical habitat. The main reason for this conclusion is that the private landowners of all surface critical habitat areas and the Tumbling Creek Cave Foundation, which owns lands within much of the cave's recharge area, have been undertaking extensive restoration and conservation efforts for the benefit of the cavesnail. Those lands have recently been enrolled in a voluntary conservation program that encourages the landowners to undertake and continue additional conservation activities. These efforts are expected to continue after critical habitat designation.</P>

        <P>An additional reason that minimal economic impacts are likely to result from critical habitat designation is that, while cavesnails may not always be detected through surveys within critical habitat every year, the Service assumes the species is present within the entire area proposed for designation. Thus, we anticipate that Action agencies will initiate consultation regarding the cavesnail regardless of whether critical habitat is designated. Activities taking place outside of the proposed designation but within the recharge area for the cave may affect the cavesnail.<PRTPAGE P="2079"/>These projects may include road construction projects, U.S. Forest Service activities, or management changes at Bull Shoals reservoir. These types of projects are already subject to section 7 consultation under the jeopardy standard; therefore, the only incremental costs are those resulting from the additional administrative costs by the Service and action agency to include an adverse modification finding within the Biological Opinion and Biological Assessment as part of a formal consultation. As a result, the total incremental costs associated with this rule are estimated to be $4,420 annually over the next 20 years, assuming a 7 percent discount rate.</P>
        <P>The DEA also discusses the potential benefits associated with the designation of critical habitat. The primary intended benefit of critical habitat is to support the conservation of endangered and threatened species, such as the Tumbling Creek cavesnail. However, economic benefits are not quantified or monetized in the DEA. As described in the DEA, designation of critical habitat is not anticipated to result in additional conservation efforts for the cavesnail. As a result, no changes in economic activity or land management are expected to result from critical habitat designation.</P>

        <P>The DEA considered both economic efficiency and distributional effects. In the case of habitat conservation, efficiency effects generally reflect the “opportunity costs” associated with the commitment of resources to comply with habitat protection measures (<E T="03">e.g.,</E>lost economic opportunities associated with restrictions on land use). The DEA also addresses how potential economic impacts are likely to be distributed, including an assessment of any local or regional impacts of habitat conservation and the potential effects of conservation activities on government agencies, small entities, and the energy industry. We can use this information to assess whether the effects of the proposed designation might unduly burden a particular group or economic sector.</P>
        <P>As we stated earlier, we are soliciting data and comments from the public on the DEA, as well as on all aspects of the proposed designation of critical habitat, and our amended required determinations. We may revise the proposed rule or the economic analysis to incorporate or address information we receive during this public comment period. In particular, we may exclude an area from critical habitat if we determine that the benefits of excluding the area outweigh the benefits of including the area as critical habitat, provided the exclusion will not result in the extinction of the species.</P>
        <HD SOURCE="HD1">Required Determinations—Amended</HD>

        <P>In our proposed rule dated June 23, 2010 (75 FR 35751), we indicated that we would defer our determination of compliance with several statutes and executive orders until the information concerning potential economic impacts of the designation and potential effects on landowners and stakeholders became available in the DEA. We have now made use of the DEA to make these determinations. In this document, we affirm the information in our proposed rule concerning Executive Order (E.O.) 12866 (Regulatory Planning and Review), E.O. 12630 (Takings), E.O. 13132 (Federalism), E.O. 12988 (Civil Justice Reform), the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>), the National Environmental Policy Act (42 U.S.C. 4321<E T="03">et seq.</E>), and the President's memorandum of April 29, 1994, “Government-to-Government Relations with Native American Tribal Governments” (59 FR 22951). Based on the DEA data, we are also affirming our required determinations made in the proposed rule concerning the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>), Unfunded Mandates Reform Act (2 U.S.C. 1501<E T="03">et seq.</E>), and E.O. 13211 (Energy, Supply, Distribution, and Use).</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act (5 U.S.C. 601 et seq.)</HD>

        <P>Under the Regulatory Flexibility Act, as amended by the Small Business Regulatory Enforcement Fairness Act (5 U.S.C. 802(2)), whenever an agency is required to publish a notice of rulemaking for any proposed or final rule, it must prepare and make available for public comment a regulatory flexibility analysis that describes the effect of the rule on small entities (<E T="03">i.e.,</E>small businesses, small organizations, and small government jurisdictions). However, no regulatory flexibility analysis is required if the head of an agency certifies the rule will not have a significant economic impact on a substantial number of small entities. Based on our DEA of the proposed designation, we provide our analysis for determining whether the proposed rule would result in a significant economic impact on a substantial number of small entities. Based on comments we receive, we may revise this determination as part of a final rulemaking.</P>
        <P>According to the Small Business Administration, small entities include small organizations, such as independent nonprofit organizations; small governmental jurisdictions, including school boards and city and town governments that serve fewer than 50,000 residents; and small businesses (13 CFR 121.201). Small businesses include manufacturing and mining concerns with fewer than 500 employees, wholesale trade entities with fewer than 100 employees, retail and service businesses with less than $5 million in annual sales, general and heavy construction businesses with less than $27.5 million in annual business, special trade contractors doing less than $11.5 million in annual business, and agricultural businesses with annual sales less than $750,000. To determine if potential economic impacts to these small entities are significant, we considered the types of activities that might trigger regulatory impacts under this designation as well as types of project modifications that may result. In general, the term “significant economic impact” is meant to apply to a typical small business firm's business operations.</P>
        <P>To determine if the proposed designation of critical habitat for the Tumbling Creek cavesnail would affect a substantial number of small entities, we considered the number of small entities affected within particular types of economic activities, such as residential and commercial development. In order to determine whether it is appropriate for our agency to certify that this rule would not have a significant economic impact on a substantial number of small entities, we considered each industry or category individually. In estimating the numbers of small entities potentially affected, we also considered whether their activities have any Federal involvement. Critical habitat designation will not affect activities that do not have any Federal involvement; designation of critical habitat only affects activities conducted, funded, permitted, or authorized by Federal agencies. Some kinds of activities are unlikely to have any Federal involvement and so will not be affected by critical habitat designation. In areas where the species is present, Federal agencies already are required to consult with us under section 7 of the Act on activities they fund, permit, or implement that may affect the Tumbling Creek cavesnail. If the proposed critical habitat designation is finalized, consultations to avoid the destruction or adverse modification of critical habitat would be incorporated into the existing consultation process.</P>

        <P>In the DEA of the proposed designation of critical habitat, we evaluated the potential economic effects resulting from implementation of conservation actions related to the proposed designation of critical habitat.<PRTPAGE P="2080"/>Although the DEA forecasts approximately $50,100 in incremental impacts over the next 20 years, these impacts are expected to be borne by Federal and State agencies, including the U.S. Forest Service, U.S. Army Corps of Engineers, the Natural Resource Conservation Service, and the Missouri Department of Transportation. Such agencies are not considered small entities.</P>
        <P>In summary, we have considered whether the proposed designation would result in a significant economic impact on a substantial number of small entities. Information for this analysis was gathered from the Small Business Administration, stakeholders, and the Service. For the reasons discussed above, and based on currently available information, we certify that if promulgated, the proposed designation would not have a significant economic impact on a substantial number of small entities. Therefore, an initial regulatory flexibility analysis is not required.</P>
        <HD SOURCE="HD2">Executive Order 13211—Energy Supply, Distribution, and Use</HD>
        <P>Executive Order 13211 requires an agency to prepare a Statement of Energy Effects when undertaking certain actions. We implement this executive order using the Office of Management and Budget's guidance which outlines nine outcomes that may constitute “a significant adverse effect” when compared to no regulatory action. As discussed in chapter 3, the DEA finds that this proposed critical habitat designation is not expected to have any impacts on the energy industry. As a result, a Statement of Energy Effects is not required.</P>
        <HD SOURCE="HD2">Unfunded Mandates Reform Act (2 U.S.C. 1501 et seq.)</HD>
        <P>In accordance with the Unfunded Mandates Reform Act, the Service makes the following findings:</P>
        <P>(a) This rule will not produce a Federal mandate. In general, a Federal mandate is a provision in legislation, statute, or regulation that would impose an enforceable duty upon State, local, or Tribal governments, or the private sector, and includes both “Federal intergovernmental mandates” and “Federal private sector mandates.” These terms are defined in 2 U.S.C. 658(5)-(7). “Federal intergovernmental mandate” includes a regulation that “would impose an enforceable duty upon State, local or Tribal governments,” with two exceptions. It excludes “a condition of Federal assistance.” It also excludes “a duty arising from participation in a voluntary Federal program,” unless the regulation “relates to a then-existing Federal program under which $500,000,000 or more is provided annually to State, local and Tribal governments under entitlement authority,” if the provision would “increase the stringency of conditions of assistance” or “place caps upon, or otherwise decrease, the Federal Government's responsibility to provide funding,” and the State, local, or Tribal governments “lack authority” to adjust accordingly. “Federal private sector mandate” includes a regulation that “would impose an enforceable duty upon the private sector, except (i) as a condition of Federal assistance; or (ii) a duty arising from participation in a voluntary Federal program.”</P>
        <P>Critical habitat designation does not impose a legally binding duty on non-Federal government entities or private parties. Under the Act, the only regulatory effect is that Federal agencies must ensure that their actions do not destroy or adversely modify critical habitat under section 7. Designation of critical habitat may indirectly impact non-Federal entities that receive Federal funding, assistance, or permits, or that otherwise require approval or authorization from a Federal agency for an action that may affect designated critical habitat. However, the legally binding duty to avoid destruction or adverse modification of critical habitat rests squarely on the Federal agency. Furthermore, to the extent that non-Federal entities are indirectly impacted because they receive Federal assistance or participate in a voluntary Federal aid program, the Unfunded Mandates Reform Act would not apply, nor would critical habitat shift the costs of the large entitlement programs listed above on to State governments.</P>
        <P>(b) As discussed in the DEA of the proposed designation of critical habitat for the Tumbling Creek cavesnail, we do not believe that this rule would significantly or uniquely affect small governments because it would not produce a Federal mandate of $100 million or greater in any year; that is, it is not a “significant regulatory action” under the Unfunded Mandates Reform Act. The DEA concludes that incremental impacts expected to result from the designation of critical habitat are limited to additional administrative effort to consider adverse modification in section 7 consultation. In total, these impacts are estimated at $50,100 in present value terms over the next 20 years, or $4,420 on an annualized basis (discounted at seven percent). Consequently, we do not believe critical habitat designation would significantly or uniquely affect small government entities. As such, a Small Government Agency Plan is not required.</P>
        <HD SOURCE="HD1">References Cited</HD>

        <P>A complete list of all references we cited in the proposed rule and in this document is available on the Internet at<E T="03">http://www.regulations.gov</E>at Docket No. FWS-R3-ES-2010-0042 or from the Columbia, Missouri Ecological Services Field Office (<E T="03">see</E>
          <E T="02">FOR FURTHER INFORMATION CONTACT</E>section).</P>
        <HD SOURCE="HD1">Authors</HD>

        <P>The primary authors of this notice are staff members of the Columbia, Missouri Ecological Services Field Office (<E T="03">see</E>
          <E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <HD SOURCE="HD1">Authority</HD>

        <P>The authority for this action is the Endangered Species Act of 1973, as amended (16 U.S.C. 1531<E T="03">et seq.</E>).</P>
        <SIG>
          <DATED>Dated: December 30, 2010.</DATED>
          <NAME>Will Shafroth,</NAME>
          <TITLE>Acting Assistant Secretary for Fish and Wildlife and Parks.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-468 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4310-55-P</BILCOD>
    </PRORULE>
  </PRORULES>
  <VOL>76</VOL>
  <NO>8</NO>
  <DATE>Wednesday, January 12, 2011</DATE>
  <UNITNAME>Notices</UNITNAME>
  <NOTICES>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="2081"/>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Forest Service</SUBAGY>
        <SUBJECT>Ketchikan Resource Advisory Committee</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Forest Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of meeting.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Ketchikan Resource Advisory Committee will meet in Ketchikan, Alaska, March 29, 2011. The purpose of this meeting is to discuss potential projects under the Secure Rural Schools and Community Self-Determination Act of 2008.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The meeting will be held March 29, 2011 at 6 p.m.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The meeting will be held at the Ketchikan Misty Fiords Ranger District Office, 3031 Tongass Avenue, Ketchikan, Alaska. Send written comments to Ketchikan Resource Advisory Committee, c/o District Ranger, USDA Forest Service, 3031 Tongass Ave., Ketchikan, AK 99901, or electronically to Diane Daniels, RAC Coordinator at<E T="03">ddaniels@fs.fed.us.</E>
          </P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Diane Daniels, RAC Coordinator Ketchikan-Misty Fiords Ranger District, Tongass National Forest, (907) 228-4105.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The meeting is open to the public. Committee discussion is limited to Forest Service staff and Committee members. However, public input opportunity will be provided and individuals will have the opportunity to address the Committee at that time.</P>
        <SIG>
          <DATED>Dated: January 4, 2011.</DATED>
          <NAME>Jeff DeFreest,</NAME>
          <TITLE>District Ranger.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-325 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-11-M</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Forest Service</SUBAGY>
        <SUBJECT>El Dorado County Resource Advisory Committee</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Forest Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of meeting.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The El Dorado County Resource Advisory Committee will meet in Placerville, California. The committee is meeting as authorized under the Secure Rural Schools and Community Self-Determination Act (Pub. L. 110-343) and in compliance with the Federal Advisory Committee Act. The Agenda for the meeting includes review of the October field trip, administrative costs update and a report out on outreach for proposals.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The meeting will be held on January 24, 2011 at 6 p.m.-9 p.m.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The meeting will be held at the El Dorado Center of Folsom Lake College, Community Room, 6699 Campus Drive, Placerville, CA 95667. Written comments should be sent to Frank Mosbacher, Forest Supervisor's Office, 100 Forni Road, Placerville, CA 95667. Comments may also be sent via e-mail to<E T="03">fmosbacher@fs.fed.us,</E>or via facsimile to 530-621-5297.</P>
          <P>All comments, including names and addresses when provided, are placed in the record and are available for public inspection and copying. The public may inspect comments received at 100 Forni Road, Placerville, CA 95667. Visitors are encouraged to call ahead to 530-622-5061 to facilitate entry into the building.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Frank Mosbacher, Public Affairs Officer, Eldorado National Forest Supervisor's Office, 530-621-5230.</P>
          <P>Individuals who use telecommunication devices for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 1-800-877-8339 between 8:00 a.m. and 8:00 p.m., Eastern Standard Time, Monday through Friday.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The meeting is open to the public. The following business will be conducted: Preliminary “RAC group” voting to determine which projects will move forward for further consideration by the RAC. The purpose of this activity is to reduce the number of projects requiring presentations before the RAC at future meetings which will be scheduled in February 2011. This will not be an activity that will determine which projects will be officially recommended to the Eldorado National Forest and Lake Tahoe Basin Management Unit Forest Supervisors for approval. RAC voting to determine which projects will be recommended to the Forest Supervisors will take place after the presentations in February 2011. More information will be posted on the Eldorado National Forest Web site @<E T="03">http://www.fs.fed.us/r5/Eldorado.</E>A public comment opportunity will be made available following the business activity. Future meetings will have a formal public input period for those following the yet to be developed public input process.</P>
        <SIG>
          <DATED>Dated: January 5, 2011.</DATED>
          <NAME>Ramiro Villalvazo,</NAME>
          <TITLE>Forest Supervisor.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-364 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-11-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBJECT>Submission for OMB Review; Comment Request</SUBJECT>
        <P>The Department of Commerce (DoC) will submit to the Office of Management and Budget (OMB) for clearance the following proposal for collection of information under the emergency provisions of the Paperwork Reduction Act (44 (44 U.S.C. Chapter 35)).</P>
        <P>
          <E T="03">Agency:</E>National Institute of Standards and Technology (NIST).</P>
        <P>
          <E T="03">Title:</E>NIST Summer Institute for Middle School Science Teachers (NIST Summer Institute) and NIST Research Experience for Teachers (NIST RET) Application Requirements.</P>
        <P>
          <E T="03">OMB Control Number:</E>None.</P>
        <P>
          <E T="03">Form Number(s):</E>NIST-1103.</P>
        <P>
          <E T="03">Type of Request:</E>Emergency submission.</P>
        <P>
          <E T="03">Burden Hours:</E>400.</P>
        <P>
          <E T="03">Number of Respondents:</E>100.</P>
        <P>
          <E T="03">Average Hours per Response:</E>4.</P>
        <P>
          <E T="03">Needs and Uses:</E>The NIST Summer Institute and the NIST RET are competitive financial assistance (cooperative agreement) programs designed to support middle school science teachers to participate in hands-on activities, lectures, tours, visits, or in scientific research with scientists and engineers in NIST laboratories in<PRTPAGE P="2082"/>Gaithersburg, Maryland, that will encourage them to inspire students to pursue careers in science, technology, engineering, and mathematics (STEM) fields.</P>
        <P>To receive funding, nominated teachers must submit applications for potential selection to participate in the NIST Summer Institute or the NIST RET. This request is for the information collection requirements associated with applying for funding. The information will be used to perform the requisite reviews of the applications to determine if an award should be granted. In order to begin and complete the application and award processes before the end of this school year, NIST is requesting approval by February 4, 2011.</P>
        <P>Once OMB approval is received, NIST will announce competitions under these two programs in February 2011, applications will be received in March, and applications can be reviewed and funding decisions made in time to start the programs in July. The regular Paperwork Reduction Act process would delay the collection beyond this timeframe.</P>
        <P>
          <E T="03">Affected Public:</E>Middle school (Grades 6-8) science teachers in a U.S. public school district or U.S. accredited private educational institution.</P>
        <P>
          <E T="03">Frequency:</E>Annually.</P>
        <P>
          <E T="03">Respondent's Obligation:</E>Required to obtain or retain a benefit.</P>
        <P>
          <E T="03">OMB Desk Officer:</E>Jasmeet Seehra, (202) 395-3123.</P>

        <P>Copies of the above information collection proposal can be obtained by calling or writing Diana Hynek, Departmental Paperwork Clearance Officer, (202) 482-0266, U.S. Department of Commerce, Room 6616, 14th and Constitution Avenue, NW., Washington, DC 20230 (or via the Internet at<E T="03">dHynek@doc.gov</E>).</P>

        <P>Written comments and recommendations for the proposed information collection should be sent by February 4, 2011 to Jasmeet Seehra, OMB Desk Officer, FAX number (202) 395-5167 or via the Internet at<E T="03">Jasmeet_K._Seehra@omb.eop.gov.</E>
        </P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>Gwellnar Banks,</NAME>
          <TITLE>Management Analyst, Office of the Chief Information Officer.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-399 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-13-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Economic Development Administration</SUBAGY>
        <SUBJECT>Notice of Petitions by Firms for Determination of Eligibility To Apply for Trade Adjustment Assistance</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Economic Development Administration, Department of Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice and opportunity for public comment.</P>
        </ACT>

        <P>Pursuant to Section 251 of the Trade Act of 1974, as amended (19 U.S.C. 2341<E T="03">et seq.</E>), the Economic Development Administration (EDA) has received petitions for certification of eligibility to apply for Trade Adjustment Assistance from the firms listed below. Accordingly, EDA has initiated investigations to determine whether increased imports into the United States of articles like or directly competitive with those produced by each of these firms contributed importantly to the total or partial separation of the firm's workers, or threat thereof, and to a decrease in sales or production of each petitioning firm.</P>
        <GPOTABLE CDEF="s100,r100,xs60,r200" COLS="4" OPTS="L2,i1">
          <TTITLE>List of Petitions Received by EDA for Certification of Eligibility To Apply for Trade Adjustment Assistance</TTITLE>
          <TDESC>[12/09/2010 through 1/6/2011]</TDESC>
          <BOXHD>
            <CHED H="1">Firm name</CHED>
            <CHED H="1">Address</CHED>
            <CHED H="1">Date accepted for investigation</CHED>
            <CHED H="1">Products</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">BB Diversified Services, Ltd. dba IceAge Manufacturing, Inc</ENT>
            <ENT>34621 Highway 11 West, Roseau, MN 56751</ENT>
            <ENT>09-Dec-10</ENT>
            <ENT>The firm manufactures rails, A-arms, axels and various other components for snowmobiles.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Concept Works, Inc</ENT>
            <ENT>W3126 State Highway 32, Elkhart Lake, WI 53020</ENT>
            <ENT>28-Dec-10</ENT>
            <ENT>The firm manufactures industrial products, displays, commercial furnishings and other custom products.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Green Gear Cycling, Inc dba Bike Friday</ENT>
            <ENT>3364 West 11th Street, Eugene, OR 97402</ENT>
            <ENT>05-Jan-11</ENT>
            <ENT>The firm manufacturers bicycles, specifically designed for ease of travel (folding bicycles).</ENT>
          </ROW>
          <ROW>
            <ENT I="01">J. R. Setina Manufacturing Company, Inc</ENT>
            <ENT>2926 Yelm Highway, SE., Olympia, WA 98501</ENT>
            <ENT>06-Jan-11</ENT>
            <ENT>The firm manufactures parts and accessories of motor vehicle bodies.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Jensen Tuna Inc</ENT>
            <ENT>5885 Highway 311, Houma, LA 70360</ENT>
            <ENT>06-Jan-11</ENT>
            <ENT>The firm processes fresh fish from basic cleaning to custom cuts and packaging.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Matson Industries, Inc</ENT>
            <ENT>132 Main Street, Brookville, PA 15825</ENT>
            <ENT>06-Jan-11</ENT>
            <ENT>The firm manufactures furniture grade hardwood lumber and logs.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Quality Metal Finishing Co</ENT>
            <ENT>421 N. Walnut Street, Byron, IL 61010</ENT>
            <ENT>21-Dec-10</ENT>
            <ENT>The firm manufactures chrome plated zinc castings such as kitchen faucets, commercial hardware, bathroom fixtures and motorcycle components.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">RW Chang &amp; Co. Inc</ENT>
            <ENT>1202 Fountain Parkway, Grand Prairie, TX 75050</ENT>
            <ENT>05-Jan-11</ENT>
            <ENT>The firm performs glass cutting, mat cutting, mounting, stretching and fitting of frames.</ENT>
          </ROW>
        </GPOTABLE>
        <P>Any party having a substantial interest in these proceedings may request a public hearing on the matter. A written request for a hearing must be submitted to the Trade Adjustment Assistance for Firms Division, Room 7106, Economic Development Administration, U.S. Department of Commerce, Washington, DC 20230, no later than ten (10) calendar days following publication of this notice.</P>
        <P>Please follow the requirements set forth in EDA's regulations at 13 CFR 315.9 for procedures to request a public hearing. The Catalog of Federal Domestic Assistance official number and title for the program under which these petitions are submitted is 11.313, Trade Adjustment Assistance for Firms.</P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>Bryan Borlik,</NAME>
          <TITLE>Program Director.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-503 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-24-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="2083"/>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>International Trade Administration</SUBAGY>
        <SUBJECT>Initiation of Five-Year (“Sunset”) Review</SUBJECT>
        <HD SOURCE="HD2">Correction</HD>
        <P>In notice document 2010-27522 beginning on page 67082 in the issue of Monday, November 1, 2010, make the following correction:</P>
        <P>On page 67082, in the table, in the fourth column, the sixth entry “Certain Cut-to-Length Carbon-Quality Steel Plate (3rd Review)” should read “Granular Polytetrafluoroethylene (3rd Review)”.</P>
        
      </PREAMB>
      <FRDOC>[FR Doc. C1-2010-27522 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 1505-01-D</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <SUBJECT>National Estuarine Research Reserve System</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Estuarine Reserves Division, Office of Ocean and Coastal Resource Management, National Ocean Service, National Oceanic and Atmospheric Administration, U.S. Department of Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of Public Comment Period for the revised Jobos Bay National Estuarine Research Reserve Management Plan.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Notice is hereby given that the Estuarine Reserves Division, Office of Ocean and Coastal Resource Management, National Ocean Service, National Oceanic and Atmospheric Administration (NOAA), U.S. Department of Commerce is announcing a thirty day public comment period for the review of the revised Jobos Bay National Estuarine Research Reserve Management Plan.</P>
          <P>The Jobos Bay National Estuarine Research Reserve was designated in 1981 pursuant to Section 315 of the Coastal Zone Management Act of 1972, as amended, 16 U.S.C. 1461. The Reserve has been operating in partnership with the Puerto Rico Department of Natural and Environmental Resources under a management plan approved in 2000. Pursuant to 15 CFR Section 921.33(c), a state must revise their management plan every five years. The submission of this plan fulfills this requirement and sets a course for successful implementation of the goals and objectives of the Reserve.</P>
          <P>Since 2000, the Reserve has added an estuary training program that delivers science-based information to key decision makers in Puerto Rico; completed a characterization of the Reserve's benthic habitats and watershed land use and land cover; acquired new parcels of land behind the visitor center and in the offshore keys; constructed a new pier to support reserve operations; and expanded the monitoring, stewardship and education programs.</P>
          <P>Notable updates in the 2011-2016 management plan include priorities for new facilities, updated programmatic objectives, and a boundary expansion to include the lands that have been purchased since the last management plan was approved. The additional parcels included in the reserve boundary include 416.9 acres of mangrove, upland forest and salt flat habitats.</P>
          <P>The revised management plan outlines the administrative structure; the education, stewardship, and research goals of the Reserve; and the plans for future land acquisition and facility development to support Reserve operations. This management plan describes how the strengths of the Reserve will focus on several issues relevant to the Jobos Bay, Puerto Rico and the broader Caribbean region, including sea level rise and other effects of climate change, development pressure, and tourism.</P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Nina Garfield at (301) 563-1171 or Laurie McGilvray at (301) 563-1158 of NOAA's National Ocean Service, Estuarine Reserves Division, 1305 East-West Highway, N/ORM5, 10th floor, Silver Spring, MD 20910. For copies of the Jobos Bay Management Plan revision, visit:<E T="03">http://jbnerr.org.</E>
          </P>
          <SIG>
            <DATED>Dated: December 22, 2010.</DATED>
            <NAME>Donna Wieting,</NAME>
            <TITLE>Director, Office of Ocean andCoastal Resource Management,National Oceanic and AtmosphericAdministration.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-506 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-08-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA137</RIN>
        <SUBJECT>Pacific Fishery Management Council; Public Meeting</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public meeting.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Joint Canada-U.S. Review Panel (Panel) for Pacific hake/whiting will hold a work session that is open to the public.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The Joint Canada-U.S. Review Panel will be held beginning at 9 a.m., Monday, February 7, 2011 and end at 5:30 p.m. or as necessary to complete business for the day. The Panel will reconvene on Tuesday, February 8 and will continue through Friday, February 11, 2011 beginning at 8 a.m. and ending at 5:30 p.m. each day, or as necessary to complete business. The Panel will adjourn by noon on Friday, February 11.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The Joint Canada-U.S. Review Panel for Pacific hake/whiting will be held at the Hotel Deca, 4507 Brooklyn Avenue, NE., Seattle, WA 98105;<E T="03">telephone:</E>(1-800) 899-0251.</P>
          <P>
            <E T="03">Council address:</E>Pacific Fishery Management Council (Pacific Council), 7700 NE Ambassador Place, Suite 101, Portland, OR 97220-1384.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Stacey Miller, NMFS Northwest Fisheries Science Center;<E T="03">telephone:</E>(541) 961-8475; or Mr. John DeVore, Pacific Fishery Management Council; telephone: (503) 820-2280.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The purpose of the Joint Canada-U.S. Review Panel for Pacific hake/whiting is to review draft 2011 stock assessment documents and any other pertinent information for Pacific hake/whiting, work with the Stock Assessment Team to make necessary revisions, and produce a Joint Canada-U.S. Review Panel report for use by the Pacific Council family and other interested persons for developing management recommendations for 2011 fisheries. No management actions will be decided by the Panel. The Panel's role will be development of recommendations and reports for consideration by the Pacific Council at its March meeting in Vancouver, WA.</P>

        <P>Although non-emergency issues not contained in the meeting agenda may come before the Panel participants for discussion, those issues may not be the subject of formal Joint Canada-U.S. Review Panel action during this meeting. Panel action will be restricted to those issues specifically listed in this notice and any issues arising after publication of this notice that require emergency action under Section 305(c) of the Magnuson-Stevens Fishery Conservation and Management Act, provided the public has been notified of the Panel participants' intent to take final action to address the emergency.<PRTPAGE P="2084"/>
        </P>
        <HD SOURCE="HD1">Special Accommodations</HD>
        <P>This meeting is physically accessible to people with disabilities. Requests for sign language interpretation or other auxiliary aids should be directed to Ms. Carolyn Porter at (503) 820-2280 at least 5 days prior to the meeting date.</P>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Tracey L. Thompson,</NAME>
          <TITLE>Acting Director, Office of Sustainable Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-520 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA139</RIN>
        <SUBJECT>North Pacific Fishery Management Council; Public Meetings</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public meetings.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The North Pacific Fishery Management Council (Council) and its advisory committees will hold public meetings, January 31-February 8, 2011 at the Renaissance Hotel, 515 Madison Street, South Room, Seattle, WA.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The Council will begin its plenary session at 8 a.m. on Wednesday, February 2 continuing through Monday, February 7. The Council's Advisory Panel (AP) will begin at 8 a.m., Monday, January 31 and continue through Thursday, February 3 (Northwest Room). The Scientific and Statistical Committee (SSC) will begin at 8 a.m. on Monday, January 31 and continue through Wednesday, February 2, 2011 (East Room). The Enforcement Committee will meet Tuesday, February 1 from 1 p.m. to 5 p.m. (Marion Room). The Ecosystem Committee will meet Thursday, February 3, 2010 from 1 p.m. to 5 p.m. (James Room). All meetings are open to the public, except executive sessions.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The meetings will be held at the Renaissance Hotel, 515 Madison Street, Seattle, WA.</P>
          <P>
            <E T="03">Council address:</E>North Pacific Fishery Management Council, 605 W. 4th Avenue, Suite 306, Anchorage, AK 99501-2252.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>David Witherell, Council staff, telephone: (907) 271-2809.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Council Plenary Session: The agenda for the Council's plenary session will include the following issues. The Council may take appropriate action on any of the issues identified.</P>
        <P>
          <E T="03">Reports:</E>
        </P>
        <P>1. Executive Director's Report (including Statement of Organization, Practices and Procedures (SOPP)).</P>
        <P>NMFS Management Report (including update on BSAI Freezer longline catch accounting, white paper on electronic monitoring).</P>
        <P>Alaska Fishery Science Center Annual Report (include sablefish recruitment factors discussion paper and TRAWLEX report).</P>
        <P>Alaska Department of Fish &amp; Game Report.</P>
        <P>International Pacific Halibut Commission Report.</P>
        <P>United States Coast Guard Report.</P>
        <P>United States Fish &amp; Wildlife Service Report.</P>
        <P>Protected Species Report (including update on Steller Sea Lion (SSL); Endangered Species Act (ESA) listed salmon).</P>
        <P>American Fisheries Act (AFA) Cooperative reports.</P>
        <P>2. Halibut/Sablefish Individual Fishing Quota (IFQ) Program: Initial review on Halibut/Sablefish Hired Skipper; Final action on Community Quota Entity (CQE) area 3A D class purchase.</P>
        <P>3. Amendment 80 Program: Discussion paper on Am 80 Replacement Vessel Sideboards; Final action on Amendment 80 Groundfish Retention Standard (GRS) Program Changes; Report on flexibility of using unspecified reserves in specification process to address Am 80 hard caps.</P>
        <P>4. Salmon Bycatch: Preliminary review BSAI Chum Salmon Bycatch; Review workplan for GOA Chinook Salmon Bycatch.</P>
        <P>5. Essential Fish Habitat (EFH): Discussion paper/finalize alternatives on Habitat Area Particular Concern (HAPC)—Skate sites; Initial review for EFH Amendment(T).</P>
        <P>6. Aleutian Island (AI) Pacific Cod Issues: Discussion paper on BS&amp;AI Pacific cod Split take action as necessary; Initial review AI Pacific cod processing Sideboards; (postponed).</P>
        <P>7. BSAI Crab Management: Final action on Right of First Refusal; Initial Review of IFQ/Individual Processing Quota (IPQ) Application Deadline.</P>
        <P>8. Miscellaneous Groundfish Issues: Discussion paper on Sablefish Recruitment Factors; Discussion paper on GOA Trawl Sweep Modifications; Estimation of non-target species catch in halibut fishery (SSC only); Initial review on Octopus management(T).</P>
        <P>9. Staff Tasking: Review Committees and tasking.</P>
        <P>10. Other Business.</P>
        <P>The SSC agenda will include the following issues:</P>
        <P>1. Salmon Bycatch.</P>
        <P>2. EFH.</P>
        <P>3. AI Pacific Cod.</P>
        <P>4. BSAI Crab Management.</P>
        <P>5. Miscellaneous Groundfish.</P>
        <P>6. Economic SAFE review.</P>
        <P>7. NOAA Bering Sea Fisheries Research Foundation Survey results.</P>

        <P>The Advisory Panel will address most of the same agenda issues as the Council, except for #1 reports. The Agenda is subject to change, and the latest version will be posted at<E T="03">http://www.alaskafisheries.noaa.gov/npfmc/.</E>
        </P>
        <P>Although non-emergency issues not contained in this agenda may come before these groups for discussion, those issues may not be the subject of formal action during these meetings. Action will be restricted to those issues specifically listed in this notice and any issues arising after publication of this notice that require emergency action under section 305(c) of the Magnuson-Stevens Fishery Conservation and Management Act, provided the public has been notified of the Council's intent to take final action to address the emergency.</P>
        <HD SOURCE="HD1">Special Accommodations</HD>
        <P>These meetings are physically accessible to people with disabilities. Requests for sign language interpretation or other auxiliary aids should be directed to Gail Bendixen at (907) 271-2809 at least 7 working days prior to the meeting date.</P>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Tracey L. Thompson,</NAME>
          <TITLE>Acting Director, Office of Sustainable Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-521 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA136</RIN>
        <SUBJECT>Pacific Fishery Management Council; Public Meeting</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public meeting.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Pacific Fishery Management Council's (Council) Ad Hoc Groundfish Process Improvement Committee (PIC) will hold a working meeting, which is open to the public.</P>
        </SUM>
        <DATES>
          <PRTPAGE P="2085"/>
          <HD SOURCE="HED">DATES:</HD>
          <P>The PIC meeting will be held Thursday, February 3, 2011 from 8:30 a.m. until business for the day is completed. The PIC meeting will reconvene Friday, February 4, from 8:30 a.m. until noon.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The PIC meeting will be held at the Pacific Fishery Management Council office, Large Conference Room, 7700 NE Ambassador Place, Suite 101, Portland, Oregon 97220-1384.</P>
          <P>
            <E T="03">Council address:</E>Pacific Fishery Management Council, 7700 NE Ambassador Place, Suite 101, Portland, OR 97220-1384.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Kelly Ames or Mr. John DeVore, Groundfish Management Staff Officers;<E T="03">telephone:</E>(503) 820-2280.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The purpose of the PIC work session is to develop an optimum detailed process and schedule for the 2013-14 groundfish biennial cycle for harvest specifications and management measures. The PIC will also consider whether an amendment to the Groundfish Fishery Management Plan should be pursued by the Council for long-term solutions. The PIC recommendations will be brought forward for Council consideration and action at its April 9-14 meeting in San Mateo, CA. The PIC may also address other assignments relating to groundfish management. No management actions will be decided by the PIC.</P>
        <P>Although non-emergency issues not contained in the meeting agenda may come before the PIC for discussion, those issues may not be the subject of formal PIC action during this meeting. PIC action will be restricted to those issues specifically listed in this notice and any issues arising after publication of this notice that require emergency action under Section 305(c) of the Magnuson-Stevens Fishery Conservation and Management Act, provided the public has been notified of the PIC's intent to take final action to address the emergency.</P>
        <HD SOURCE="HD1">Special Accommodations</HD>
        <P>This meeting is physically accessible to people with disabilities. Requests for sign language interpretation or other auxiliary aids should be directed to Mr. Kris Kleinschmidt at (503) 820-2280 at least 5 days prior to the meeting date.</P>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Tracey L. Thompson,</NAME>
          <TITLE>Acting Director, Office of Sustainable Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-519 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA138</RIN>
        <SUBJECT>Pacific Fishery Management Council; Public Meeting</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public meetings.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Pacific Fishery Management Council (Pacific Council) will hold two consecutive meetings related to west coast CPS fisheries. The Coastal Pelagic Species Management Team (CPSMT) will meet February 1-2, 2011; and the CPS Methodology Review Panel will meet February 3-5, 2011. Both meetings are open to the public.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The CPSMT meeting will be held Tuesday, February 1 through Wednesday, February 2, 2011. Business will begin each day at 8:30 a.m. and conclude at 5 p.m. or until business for the day is completed. The CPS Methodology Review Panel will meet February 3-5, 2011. Business will begin each day at 8:30 a.m. and conclude at 5 p.m. or until business for the day is completed.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The meetings will be held in the Large Conference Room of the National Marine Fisheries Service's Southwest Fisheries Science Center, Torrey Pines Campus; 8604 La Jolla Shores Drive, La Jolla, CA 92037.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Kerry Griffin, Staff Officer; telephone: (503) 820-2280.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The purpose of the CPSMT meeting is: (1) To initiate discussion of potential changes to the Pacific sardine Harvest Control Rule, based on recent evidence indicating that using the sea surface temperature at Scripps Pier may be an unreliable basis for setting harvest guidelines; (2) to discuss potential improvements to the market squid Acceptable Biological Catch (ABC) and Overfishing Limit (OFL); (3) election of officers; and (4) to initiate discussion and develop a statement for the March, 2011 Council meeting regarding potential requests to utilize the Council's 4,200 mt Exempted Fishing Permit set-aside. Other issues relevant to coastal pelagic species fisheries management and science may be addressed as time permits.</P>
        <P>The purpose of the CPS Methodology Review Panel meeting is to consider acoustic-trawl survey and data analysis methods, to assess their utility in stock assessment models to monitor trends at the population level for Pacific sardine and other CPS stocks.</P>
        <P>Although non-emergency issues not contained in the meeting agenda may come before the CPSMT and Methodology Review Panel for discussion, those issues may not be the subject of formal action during this meeting. CPSMT and Methodology Review Panel action will be restricted to those issues specifically listed in this notice and any issues arising after publication of this notice that require emergency action under Section 305(c) of the Magnuson-Stevens Fishery Conservation and Management Act, provided the public has been notified of the CPSMT's and Methodology Review Panel's intent to take final action to address the emergency.</P>
        <HD SOURCE="HD1">Special Accommodations</HD>
        <P>These meetings are physically accessible to people with disabilities. Requests for sign language interpretation or other auxiliary aids should be directed to Mr. Kris Kleinschmidt at (503) 820-2280 at least 5 days prior to the meeting date.</P>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Tracey L. Thompson,</NAME>
          <TITLE>Acting Director, Office of Sustainable Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-518 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <SUBJECT>National Estuarine Research Reserve System; North Inlet-Winyah Bay, SC and San Francisco Bay, CA; Revised Management Plans</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Estuarine Reserves Division, Office of Ocean and Coastal Resource Management, National Ocean Service, National Oceanic and Atmospheric Administration, U.S. Department of Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of final approval and availability of the revised management plans for the following National Estuarine Research Reserves: North Inlet-Winyah Bay, SC and San Francisco Bay, CA.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Estuarine Reserves Division, Office of Ocean and Coastal Resource Management, National Ocean Service, National Oceanic and Atmospheric Administration (NOAA), U.S. Department of Commerce has approved the Management Plan<PRTPAGE P="2086"/>Revisions of the North Inlet-Winyah Bay National Estuarine Research Reserve and San Francisco Bay National Estuarine Research Reserve.</P>
          <P>The revised management plan for the North Inlet-Winyah Bay, SC National Estuarine Research Reserve outlines the administrative structure; the education, training, stewardship, and research programs of the reserve; and the plans for future land acquisition and facility development to support reserve operations. The goals described in this plan provide a framework that supports program integration based on priority issues defined by the reserve. The objectives described in this plan address the most critical coastal issues in North Inlet-Winyah Bay such as impacts from coastal and watershed development, climate events on coastal ecosystems and human communities, and invasive species and habitat loss impacts on biodiversity.</P>

          <P>Since the last approved management plan in 1992, the reserve has become fully staffed; added a Coastal Training Program that delivers science-based information to key decision makers; and added significant monitoring of emergent marsh vegetation, invasive species, water quality, and bird populations. In addition to programmatic and staffing advances, the reserve upgraded its headquarters building with a 4,500 square foot structure to support research, stewardship, and the coastal training programs that includes six offices, a monitoring lab, and library. In cooperation with the Belle W. Baruch Foundation, a 12,500 square foot education facility was developed to support reserve educational programs and includes interpretive exhibits, aquaria, classrooms, and education staff offices, as well as an outdoor classroom. This plan can be accessed at<E T="03">http://www.northinlet.sc.edu.</E>
          </P>
          <P>The revised management plan for the San Francisco Bay National Estuarine Research Reserve outlines a framework of overarching goals and program specific objectives that will guide the education, training, research, and developing stewardship programs of the reserve; describes land acquisition and boundary expansion; as well as outlines plans for facility use and development to support reserve operations. The goals and objectives put forth in this plan focus programmatic efforts on four critical issues that affect the reserve's ability to conserve ecological communities in support of the Bay's growing population: Climate change, species interactions, water quality, and habitat restoration. Broadly, the goals for each of these issues include increasing knowledge, understanding effects, and improving the ability of partners and stakeholders to respond to these issues. The goals described in this plan provide a framework that supports program integration for collaborative management of the San Francisco Bay National Estuarine Research Reserve.</P>

          <P>Since the last approved management plan in 2003, the reserve has hired a full complement of core staff; established a research lab, fully operational System-wide Monitoring Program, and Graduate Research Fellowship Program; added a Coastal Training Program that delivers science-based information to key decision makers; developed education programs focused on sharing estuarine research with non-academic audiences; and constructed facilities to support essential functions of the reserve at its headquarters on the Romberg Tiburon Center campus of San Francisco State University. These facilities include office space for staff, classroom space, laboratory, and meeting facilities. The reserve has also constructed facilities and interpretive exhibits at its components sites, China Camp State Park and Rush Ranch Open Space Preserve, that support on-site research and educational programs. This plan can be accessed at<E T="03">http://www.sfbaynerr.org</E>
          </P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Alison Krepp at (301) 563-7105 or Laurie McGilvray at (301) 563-1158 of NOAA's National Ocean Service, Estuarine Reserves Division, 1305 East-West Highway, N/ORM5, 10th floor, Silver Spring, MD 20910.</P>
          <SIG>
            <DATED>Dated: December 22, 2010.</DATED>
            <NAME>Donna Wieting,</NAME>
            <TITLE>Director, Office of Ocean and Coastal Resource Management, National Oceanic and Atmospheric Administration.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-504 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-08-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Telecommunications and Information Administration</SUBAGY>
        <SUBJECT>Call for Applications for Commerce Spectrum Management Advisory Committee; National Telecommunications and Information Administration, U.S. Department of Commerce</SUBJECT>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Reopening of Application Period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The National Telecommunications and Information Administration (NTIA) seeks applications from persons interested in serving on the Department of Commerce's Spectrum Management Advisory Committee (CSMAC) for new two-year terms. This Notice reopens the application period announced in the<E T="04">Federal Register</E>on December 7, 2010 (December Notice) in order to identify additional candidates. Any applicant who provided NTIA with the requested materials in response to the December Notice will be considered for appointment and need not resubmit materials, although they are permitted to supplement their applications with new or additional information.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Applications must be postmarked or electronically transmitted on or before January 31, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Persons wishing to submit applications as described below should send that information to: Joe Gattuso, Designated Federal Officer, by e-mail to<E T="03">spectrumadvisory@ntia.doc.gov;</E>by U.S. mail or commercial delivery service to: Office of Policy Analysis and Development, National Telecommunications and Information Administration, 1401 Constitution Avenue, NW., Room 4725, Washington, DC 20230; or by facsimile transmission to (202) 482-6173.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Joe Gattuso at (202) 482-0977, or<E T="03">jgattuso@ntia.doc.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The CSMAC was first chartered in 2005 under the Federal Advisory Committee Act (FACA), 5 U.S.C. App. 2, to carry out the functions of the National Telecommunications and Information Administration Act, 47 U.S.C. 904(b). The CSMAC advises the Assistant Secretary of Commerce for Communications and Information on a broad range of issues regarding spectrum policy.</P>
        <P>The Secretary of Commerce appoints members to the CSMAC for two year terms. They are experts in radio spectrum policy, and do not represent any organization or interest, and serve in the capacity of Special Government Employees. Members do not receive compensation or reimbursement for travel or for per diem expenses. Members may not be federally registered lobbyists. Previously, the charter allowed CSMAC to have up to 20 members. The renewed charter, effective April 6, 2009, allows up to 25 members to serve on the CSMAC.</P>
        <P>On December 7, 2010, NTIA published a Notice in the<E T="04">Federal Register</E>seeking additional persons interested in appointment, with applications due January 10, 2011<PRTPAGE P="2087"/>(December Notice): 75 FR 75967 (Dec. 7, 2010), available at<E T="03">http://www.ntia.doc.gov/notices/2010/FR_CSMAC_CallforApplications_12072010.pdf.</E>This Notice reopens the application period in order to identify additional candidates. The December Notice sought applicants for vacancies that will occur when the appointments of 18 members expire on January 13, 2011.</P>
        <P>Any applicant who provided NTIA with the requested materials in response to the December Notice will be considered for appointment and need not resubmit materials, although they are permitted to supplement their applications with new or additional information. The evaluation criteria for selecting members contained in the December Notice shall continue to apply.</P>
        <P>All parties wishing to be considered should submit their full name, address, telephone number and e-mail address and a summary of their qualifications that identifies with specificity how their education, training, experience, or other factors would support the CSMAC's work and how their participation would provide balance to the CSMAC. They should also include a detailed resume or curriculum vitae (CV).</P>
        <P>Persons may submit applications with the information specified above to Joe Gattuso, Designated Federal Officer, by e-mail or commercial delivery service to Office of Policy Analysis and Development, National Telecommunications and Information Administration, 1401 Constitution Avenue, NW., Room 4725, Washington, DC 20230; or by facsimile transmission to (202) 482-6173.</P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>Kathy D. Smith,</NAME>
          <TITLE>Chief Counsel, National Telecommunications and Information Administration.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-423 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-60-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">COMMISSION OF FINE ARTS</AGENCY>
        <SUBJECT>Notice of Meeting</SUBJECT>
        <P>The next meeting of the U.S. Commission of Fine Arts is scheduled for 20 January 2011, at 10 a.m. in the Commission offices at the National Building Museum, Suite 312, Judiciary Square, 401 F Street, NW., Washington, DC 20001-2728. Items of discussion may include buildings, parks and memorials.</P>

        <P>Draft agendas and additional information regarding the Commission are available on our Web site:<E T="03">http://www.cfa.gov.</E>Inquiries regarding the agenda and requests to submit written or oral statements should be addressed to Thomas Luebke, Secretary, U.S. Commission of Fine Arts, at the above address; by e-mailing<E T="03">staff@cfa.gov;</E>or by calling 202-504-2200. Individuals requiring sign language interpretation for the hearing impaired should contact the Secretary at least 10 days before the meeting date.</P>
        <SIG>
          <DATED>Dated: January 4, 2011, in Washington, DC.</DATED>
          <NAME>Frederick J. Lindstrom,</NAME>
          <TITLE>Assistant Secretary.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-251 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6330-01-M</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">CORPORATION FOR NATIONAL AND COMMUNITY SERVICE</AGENCY>
        <SUBJECT>Information Collection; Submission for OMB Review, Comment Request</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Corporation for National and Community Service.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Corporation for National and Community Service (hereinafter the “Corporation”), has submitted a public information collection request (ICR) entitled the National Service Trust Voucher and Payment Request Form to the Office of Management and Budget (OMB) for review and approval in accordance with the Paperwork Reduction Act of 1995, Public Law 104-13, (44 U.S.C. Chapter 35). Copies of this ICR, with applicable supporting documentation, may be obtained by calling the Corporation for National and Community Service, Bruce Kellogg, at (202) 606-6954 or e-mail to<E T="03">bkellogg@cns.gov.</E>Individuals who use a telecommunications device for the deaf (TTY-TDD) may call (202) 606-3472 between 8:30 a.m. and 5 p.m. Eastern Time, Monday through Friday.</P>
        </SUM>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Comments may be submitted, identified by the title of the information collection activity, to the Office of Information and Regulatory Affairs, Attn: Ms. Sharon Mar, OMB Desk Officer for the Corporation for National and Community Service, by any of the following two methods within 30 days from the date of publication in the<E T="04">Federal Register</E>:</P>
          <P>(1)<E T="03">By fax to:</E>(202) 395-6974, Attention: Ms. Sharon Mar, OMB Desk Officer for the Corporation for National and Community Service; and</P>
          <P>(2)<E T="03">Electronically by e-mail to: smar@omb.eop.gov.</E>
          </P>
        </ADD>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The OMB is particularly interested in comments which:</P>
        <P>• Evaluate whether the proposed collection of information is necessary for the proper performance of the functions of the Corporation, including whether the information will have practical utility;</P>
        <P>• Evaluate the accuracy of the agency's estimate of the burden of the proposed collection of information, including the validity of the methodology and assumptions used;</P>
        <P>• Propose ways to enhance the quality, utility, and clarity of the information to be collected; and</P>

        <P>• Propose ways to minimize the burden of the collection of information on those who are to respond, including through the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology,<E T="03">e.g.,</E>permitting electronic submissions of responses.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>A 60-day public comment Notice was published in the<E T="04">Federal Register</E>on November 2, 2010. This comment period ended January 3, 2011. No public comments were received from this Notice.</P>
        <P>
          <E T="03">Description:</E>The Corporation is seeking approval of the Voucher and Payment Request Form which in paper or electronic version is used by AmeriCorps members to request a payment from their education award account, by schools and lenders to verify eligibility for the payments, and by both parties to verify certain legal requirements. This version provides guidance on recent legislative changes and identification of Veterans Affairs Approved Programs.</P>
        <P>
          <E T="03">Type of Review:</E>Renewal.</P>
        <P>
          <E T="03">Agency:</E>Corporation for National and Community Service.</P>
        <P>
          <E T="03">Title:</E>National Service Trust Voucher and Payment Request Form.</P>
        <P>
          <E T="03">OMB Number:</E>3045-0014.</P>
        <P>
          <E T="03">Agency Number:</E>None.</P>
        <P>
          <E T="03">Affected Public:</E>AmeriCorps members, educational institutions, and lenders.</P>
        <P>
          <E T="03">Total Respondents:</E>45,000.</P>
        <P>
          <E T="03">Frequency:</E>Once.</P>
        <P>
          <E T="03">Average Time per Response:</E>5 minutes.</P>
        <P>
          <E T="03">Estimated Total Burden Hours:</E>3,750 hours.</P>
        <P>
          <E T="03">Total Burden Cost (capital/startup):</E>None.</P>
        <P>
          <E T="03">Total Burden Cost (operating/maintenance):</E>None.</P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>William Anderson,</NAME>
          <TITLE>Chief Financial Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-461 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6050-$$-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="2088"/>
        <AGENCY TYPE="S">CORPORATION FOR NATIONAL AND COMMUNITY SERVICE</AGENCY>
        <SUBJECT>Proposed Information Collection; Comment Request</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Corporation for National and Community Service.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Corporation for National and Community Service (hereinafter the “Corporation”), as part of its continuing effort to reduce paperwork and respondent burden, conducts a pre-clearance consultation program to provide the general public and federal agencies with an opportunity to comment on proposed and/or continuing collections of information in accordance with the Paperwork Reduction Act of 1995 (PRA95) (44 U.S.C. 3506(c)(2)(A)). This program helps to ensure that requested data can be provided in the desired format, reporting burden (time and financial resources) is minimized, collection instruments are clearly understood, and the impact of collection requirement on respondents can be properly assessed.</P>
          <P>Currently, the Corporation is soliciting comments concerning its proposed renewal of its Financial Management Survey. The Financial Management Survey collects information from new grantees about their financial management systems so the Corporation can determine if appropriate systems are in place to manage federal grant funds or, if not, to identify training and technical assistance a new grantee may need to implement appropriate financial systems. The Corporation requires new grantees who have not received Corporation funds before to complete the form.</P>
          <P>Copies of the information collection request can be obtained by contacting the office listed in the addresses section of this Notice.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>

          <P>Written comments must be submitted to the individual and office listed in the<E T="02">ADDRESSES</E>section by March 14, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by the title of the information collection activity, by any of the following methods:</P>
          <P>(1) By mail sent to: Corporation for National and Community Service, Office of Grants Management, Attention: Margaret Rosenberry, Director of Grants Management, Room 8207; 1201 New York Avenue, NW., Washington, DC 20525.</P>
          <P>(2) By hand delivery or by courier to the Corporation's mailroom at Room 8100 at the mail address given in paragraph (1) above, between 9 a.m. and 4 p.m. Eastern Time, Monday through Friday, except Federal holidays.</P>
          <P>(3) By fax to: (202-606-3485) Attention: Margaret Rosenberry, Director of Grants Management</P>
          <P>(4) Electronically through<E T="03">http://www.regulations.gov.</E>Individuals who use a telecommunications device for the deaf (TTY-TDD) may call (202) 606-3472 between 8:30 a.m. and 5 p.m. Eastern Time, Monday through Friday.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Margaret Rosenberry, (202-606-6974) or by e-mail at<E T="03">prosenbe@cns.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P SOURCE="NPAR">The Corporation is particularly interested in comments that:</P>
        <P>• Evaluate whether the proposed collection of information is necessary for the proper performance of the functions of the Corporation, including whether the information will have practical utility;</P>
        <P>• Evaluate the accuracy of the agency's estimate of the burden of the proposed collection of information, including the validity of the methodology and assumptions used;</P>
        <P>• Enhance the quality, utility, and clarity of the information to be collected; and</P>

        <P>• Minimize the burden of the collection of information on those who are expected to respond, including the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology (<E T="03">e.g.,</E>permitting electronic submissions of responses).</P>
        <P>
          <E T="03">Background:</E>Organizations that are receiving Corporation funds for the first time complete the form. It can be completed and submitted via e-mail. The survey requests some existing organizational documents, such as an IRS Form 990 and audited financial statements. Organizations can provide those documents electronically or submit them on paper.</P>
        <P>
          <E T="03">Current Action:</E>The Corporation seeks to renew its current Financial Management Survey with slight revisions. The renewal form requests additional information from the grantee about organizational size and Board of Directors structure and operations. It also requires submission of an organizational chart and Articles of Incorporation.</P>
        <P>The information collection will otherwise be used in the same manner as the existing survey form. The Corporation also seeks to continue using the current application until the revised application is approved by OMB. The current application is due to expire on March 31, 2011.</P>
        <P>
          <E T="03">Type of Review:</E>Renewal.</P>
        <P>
          <E T="03">Agency:</E>Corporation for National and Community Service.</P>
        <P>
          <E T="03">Title:</E>Financial Management Survey.</P>
        <P>
          <E T="03">OMB Number:</E>3045-0102.</P>
        <P>
          <E T="03">Agency Number:</E>None.</P>
        <P>
          <E T="03">Affected Public:</E>Organizations that are new grantees to the Corporation.</P>
        <P>
          <E T="03">Total Respondents:</E>20.</P>
        <P>
          <E T="03">Frequency:</E>Once.</P>
        <P>
          <E T="03">Average Time per Response:</E>Averages 45 minutes (.75 hours) to complete the form and one hour to gather and submit the requested documents.</P>
        <P>
          <E T="03">Estimated Total Burden Hours:</E>35 hours.</P>
        <P>
          <E T="03">Total Burden Cost (capital/startup):</E>None.</P>
        <P>
          <E T="03">Total Burden Cost (operating/maintenance):</E>None.</P>
        <P>Comments submitted in response to this notice will be summarized and/or included in the request for Office of Management and Budget approval of the information collection request; they will also become a matter of public record.</P>
        <SIG>
          <DATED>Dated: January 5, 2011.</DATED>
          <NAME>Margaret Rosenberry,</NAME>
          <TITLE>Office of Grants Management.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-465 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6050-$$-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Department of the Navy</SUBAGY>
        <SUBJECT>Notice of Intent To Grant Exclusive Patent License; IRFlex Corporation</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of the Navy, DOD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Department of the Navy hereby gives notice of its intent to grant to IRFlex Corporation a revocable, nonassignable, exclusive license to practice the field of use of nonlinear, mid-infrared fiber and fiber devices to generate and/or guide mid-infrared sources over long distances (1-500 meters) in the United States, the Government-owned inventions described in U.S. Patent No. 5,949,935: Infrared Optical Fiber Couple, Navy Case No. 78,344.//U.S. Patent No. 6,928,227: Amplification with Chalcogenide Glass Fiber, Navy Case No. 82,848.//U.S. Patent No. 7,133,590: IR Supercontinuum Source, Navy Case No. 96,194.//U.S. Patent No. 7,809,030: OPO Mid-IR Wavelength Converter, Navy Case No. 98,538.//U.S. Patent Application No. 12/179,797: Manufacturing Process for Chalcogenide Glasses, Navy Case No. 96,838.//U.S. Patent Application No. 12/851,377: Microstructured Fiber End, Navy Case No. 98,546.//U.S. Patent Application<PRTPAGE P="2089"/>No. 12/645,315: Fiber-Based Mid-IR Signal Combiner and Method of Making Same, Navy Case No. 99,613 and any continuations, divisionals or re-issues thereof.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Anyone wishing to object to the grant of this license must file written objections along with supporting evidence, if any, not later than January 27, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Written objections are to be filed with the Naval Research Laboratory, Code 1004, 4555 Overlook Avenue, SW., Washington, DC 20375-5320.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Rita Manak, Head, Technology Transfer Office, NRL Code 1004, 4555 Overlook Avenue, SW., Washington, DC 20375-5320, telephone 202-767-3083. Due to U.S. Postal delays, please fax 202-404-7920, e-mail:<E T="03">rita.manak@nrl.navy.mil</E>or use courier delivery to expedite response.</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>35 U.S.C. 207, 37 CFR part 404.</P>
          </AUTH>
          <SIG>
            <DATED>Dated: January 6, 2011.</DATED>
            <NAME>D.J. Werner,</NAME>
            <TITLE>Lieutenant Commander, Judge Advocate General's Corps, U.S. Navy, Federal Register Liaison Officer.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-451 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3810-FF-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Notice of Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Comment request.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Director, Information Collection Clearance Division, Regulatory Information Management Services, Office of Management invites comments on the submission for OMB review as required by the Paperwork Reduction Act of 1995 (Pub. L. 104-13).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Interested persons are invited to submit comments on or before February 11, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Written comments should be addressed to the Office of Information and Regulatory Affairs, Attention: Education Desk Officer, Office of Management and Budget, 725 17th Street, NW., Room 10222, New Executive Office Building, Washington, DC 20503, be faxed to (202) 395-5806 or e-mailed to<E T="03">oira_submission@omb.eop.gov</E>with a cc: to<E T="03">ICDocketMgr@ed.gov.</E>Please note that written comments received in response to this notice will be considered public records.</P>
        </ADD>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Section 3506 of the Paperwork Reduction Act of 1995 (44 U.S.C. Chapter 35) requires that the Office of Management and Budget (OMB) provide interested Federal agencies and the public an early opportunity to comment on information collection requests. The OMB is particularly interested in comments which: (1) Evaluate whether the proposed collection of information is necessary for the proper performance of the functions of the agency, including whether the information will have practical utility; (2) Evaluate the accuracy of the agency's estimate of the burden of the proposed collection of information, including the validity of the methodology and assumptions used; (3) Enhance the quality, utility, and clarity of the information to be collected; and (4) Minimize the burden of the collection of information on those who are to respond, including through the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology.</P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>Darrin A. King,</NAME>
          <TITLE>Director,Information Collection Clearance Division,Regulatory Information Management Services,Office of Management.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Office of Postsecondary Education</HD>
        <P>
          <E T="03">Type of Review:</E>Extension.</P>
        <P>
          <E T="03">Title of Collection:</E>Application Package to Request Designation As An Eligible Institution under the Title III and Title V Programs and to Request a Waiver of the Non-Federal Cost-Share Requirement.</P>
        <P>
          <E T="03">OMB Control Number:</E>1840-0103.</P>
        <P>
          <E T="03">Agency Form Number(s):</E>N/A.</P>
        <P>
          <E T="03">Frequency of Responses:</E>Annually.</P>
        <P>
          <E T="03">Affected Public:</E>Not-for-profit institutions.</P>
        <P>
          <E T="03">Total Estimated Number of Annual Responses:</E>1,200.</P>
        <P>
          <E T="03">Total Estimated Annual Burden Hours:</E>8,400.</P>
        <P>
          <E T="03">Abstract:</E>This collection of information is necessary in order for the Secretary of Education to designate an institution of higher education eligible to apply for funding under Title III, Part A and Title V of the Higher Education Act of 1965, as amended. An institution must apply to the Secretary to be designated as an eligible institution. The programs authorized include the Strengthening Institutions Program, the American Indian Tribally Controlled Colleges and Universities, and the Alaskan Native and Native Hawaiian-Serving Institutions Programs, Asian-American and Native American Pacific Islander-Serving Institutions, Native American Serving Institutions, Hispanic-Serving Institutions, Hispanic-Serving Institutions (Science, Technology, Engineering and Math and Articulation), Promoting Postbaccalaureate Opportunities for Hispanic Americans, and Predominantly Black Institutions. These programs award discretionary grants to eligible institutions of higher education so that they might increase their self-sufficiency by improving academic programs, institutional management and fiscal stability.</P>
        <P>This information collection is being submitted under the Streamlined Clearance Process for Discretionary Grant Information Collections (1894-0001). Therefore, the 30-day public comment period notice will be the only public comment notice published for this information collection.</P>

        <P>Requests for copies of the information collection submission for OMB review may be accessed from the RegInfo.gov Web site at<E T="03">http://www.reginfo.gov/public/do/PRAMain</E>or from the Department's Web site at<E T="03">http://edicsweb.ed.gov,</E>by selecting the “Browse Pending Collections” link and by clicking on link number 4441. When you access the information collection, click on “Download Attachments” to view. Written requests for information should be addressed to U.S. Department of Education, 400 Maryland Avenue, SW., LBJ, Washington, DC 20202-4537. Requests may also be electronically mailed to the Internet address<E T="03">ICDocketMgr@ed.gov</E>or faxed to 202-401-0920. Please specify the complete title of the information collection and OMB Control Number when making your request.</P>
        <P>Individuals who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 1-800-877-8339.</P>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-500 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Notice of Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Comment request.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Director, Information Collection Clearance Division, Regulatory Information Management Services, Office of Management invites comments on the submission for OMB review as required by the Paperwork Reduction Act of 1995 (Pub. L. 104-13).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Interested persons are invited to submit comments on or before February 11, 2011.</P>
        </DATES>
        <ADD>
          <PRTPAGE P="2090"/>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Written comments should be addressed to the Office of Information and Regulatory Affairs,<E T="03">Attention:</E>Education Desk Officer, Office of Management and Budget, 725 17th Street, NW., Room 10222, New Executive Office Building, Washington, DC 20503, be faxed to (202) 395-5806 or e-mailed to<E T="03">oira_submission@omb.eop.gov</E>with a cc: to<E T="03">ICDocketMgr@ed.gov.</E>Please note that written comments received in response to this notice will be considered public records.</P>
        </ADD>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Section 3506 of the Paperwork Reduction Act of 1995 (44 U.S.C. chapter 35) requires that the Office of Management and Budget (OMB) provide interested Federal agencies and the public an early opportunity to comment on information collection requests. The OMB is particularly interested in comments which: (1) Evaluate whether the proposed collection of information is necessary for the proper performance of the functions of the agency, including whether the information will have practical utility; (2) Evaluate the accuracy of the agency's estimate of the burden of the proposed collection of information, including the validity of the methodology and assumptions used; (3) Enhance the quality, utility, and clarity of the information to be collected; and (4) Minimize the burden of the collection of information on those who are to respond, including through the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology.</P>
        <SIG>
          <DATED>Dated: January 7, 2011.</DATED>
          <NAME>Darrin A. King,</NAME>
          <TITLE>Director, Information Collection Clearance Division, Regulatory Information Management Services, Office of Management.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Office of Postsecondary Education</HD>
        <P>
          <E T="03">Type of Review:</E>New.</P>
        <P>
          <E T="03">Title of Collection:</E>TEACH Grant Supplementary Data Collection.</P>
        <P>
          <E T="03">OMB Control Number:</E>1840-NEW.</P>
        <P>
          <E T="03">Agency Form Number(s):</E>N/A.</P>
        <P>
          <E T="03">Frequency of Responses:</E>Biennially.</P>
        <P>
          <E T="03">Affected Public:</E>Business or for-profit institutions; Not-for-profit institutions.</P>
        <P>
          <E T="03">Total Estimated Number of Annual Responses:</E>488.</P>
        <P>
          <E T="03">Total Estimated Annual Burden Hours:</E>488.</P>
        <P>
          <E T="03">Abstract:</E>The Secretary of Education is required to report to Congress about the TEACH Grant Program, including the student's: (1) Eligible field of study and (2) cost of education. The Secretary includes these data elements as part of a report submitted to congressional authorizing committees with respect to schools and students served by Teach Grant recipient schools. This report is required by Section 420P of the Higher Education Act, as amended by the Higher Education Opportunity Act of 2008.</P>

        <P>Requests for copies of the information collection submission for OMB review may be accessed from the RegInfo.gov Web site at<E T="03">http://www.reginfo.gov/public/do/PRAMain</E>or from the Department's Web site at<E T="03">http://edicsweb.ed.gov,</E>by selecting the “Browse Pending Collections” link and by clicking on link number 4430. When you access the information collection, click on “Download Attachments” to view. Written requests for information should be addressed to U.S. Department of Education, 400 Maryland Avenue, SW., LBJ, Washington, DC 20202-4537. Requests may also be electronically mailed to the Internet address<E T="03">ICDocketMgr@ed.gov</E>or faxed to 202-401-0920. Please specify the complete title of the information collection and OMB Control Number when making your request.</P>
        <P>Individuals who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 1-800-877-8339.</P>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-530 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Notice of Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Comment request.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Director, Information Collection Clearance Division, Regulatory Information Management Services, Office of Management invites comments on the submission for OMB review as required by the Paperwork Reduction Act of 1995 (Pub. L. 104-13).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Interested persons are invited to submit comments on or before February 11, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Written comments should be addressed to the Office of Information and Regulatory Affairs, Attention: Education Desk Officer, Office of Management and Budget, 725 17th Street, NW., Room 10222, New Executive Office Building, Washington, DC 20503, be faxed to (202) 395-5806 or e-mailed to<E T="03">oira_submission@omb.eop.gov</E>with a cc: to<E T="03">ICDocketMgr@ed.gov.</E>Please note that written comments received in response to this notice will be considered public records.</P>
        </ADD>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Section 3506 of the Paperwork Reduction Act of 1995 (44 U.S.C. Chapter 35) requires that the Office of Management and Budget (OMB) provide interested Federal agencies and the public an early opportunity to comment on information collection requests. The OMB is particularly interested in comments which: (1) Evaluate whether the proposed collection of information is necessary for the proper performance of the functions of the agency, including whether the information will have practical utility; (2) Evaluate the accuracy of the agency's estimate of the burden of the proposed collection of information, including the validity of the methodology and assumptions used; (3) Enhance the quality, utility, and clarity of the information to be collected; and (4) Minimize the burden of the collection of information on those who are to respond, including through the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology.</P>
        <SIG>
          <DATED>Dated: January 6, 2011.</DATED>
          <NAME>Darrin A. King,</NAME>
          <TITLE>Director, Information Collection Clearance Division, Regulatory Information Management Services, Office of Management.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Office of Vocational and Adult Education</HD>
        <P>
          <E T="03">Type of Review:</E>Extension.</P>
        <P>
          <E T="03">Title of Collection:</E>Measuring Educational Gain in the National Reporting System for Adult Education.</P>
        <P>
          <E T="03">OMB Control Number:</E>1830-0567.</P>
        <P>
          <E T="03">Agency Form Number(s):</E>N/A.</P>
        <P>
          <E T="03">Frequency of Responses:</E>Annually.</P>
        <P>
          <E T="03">Affected Public:</E>State, Local, or Tribal Government, State Educational Agencies or Local Educational Agencies.</P>
        <P>
          <E T="03">Total Estimated Number of Annual Responses:</E>15.</P>
        <P>
          <E T="03">Total Estimated Annual Burden Hours:</E>600.</P>
        <P>
          <E T="03">Abstract:</E>Title 34 of the Code of Federal Regulations part 462 establish procedures that the Secretary uses when considering the suitability of tests for use in the National Reporting System (NRS) for adult education. The regulations further the Department's implementation of section 212 of the Adult Education and Family Literacy Act (AEFLA). These regulations also include procedures that States and Local eligible providers would follow when using suitable tests. The AEFLA makes accountability for results a central focus of the law. It sets out performance accountability requirements for States and Local programs that measure program<PRTPAGE P="2091"/>effectiveness on the basis of student academic achievement and other outcomes.</P>
        <P>Educational gain, is the key outcome measure in the NRS, which describes students' improvement in literacy skills during instruction. States are required to have their local programs assessments gained by administering standardized pre-post assessments to students, following valid administration procedures. The NRS Guidelines allow states to select the assessments most appropriate for their state, which may be published standardized tests or performance-based assessments. If the state uses performance-based assessments, NRS guidelines require the assessment to have standardized procedures and scoring rubrics that meet accepted psychometric standards.</P>

        <P>Requests for copies of the information collection submission for OMB review may be accessed from the RegInfo.gov Web site at<E T="03">http://www.reginfo.gov/public/do/PRAMain</E>or from the Department's Web site at<E T="03">http://edicsweb.ed.gov,</E>by selecting the “Browse Pending Collections” link and by clicking on link number 4422. When you access the information collection, click on “Download Attachments ” to view. Written requests for information should be addressed to U.S. Department of Education, 400 Maryland Avenue, SW., LBJ, Washington, DC 20202-4537. Requests may also be electronically mailed to the Internet address<E T="03">ICDocketMgr@ed.gov</E>or faxed to 202-401-0920. Please specify the complete title of the information collection and OMB Control Number when making your request.</P>
        <P>Individuals who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 1-800-877-8339.</P>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-502 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Indian Education Formula Grants to Local Educational Agencies; Office of Elementary and Secondary Education Overview Information; Notice Inviting Applications for Fiscal Year (FY) 2011</SUBJECT>
        
        <EXTRACT>
          <FP SOURCE="FP-1">Catalog of Federal Domestic Assistance (CFDA) Number: 84.060A.</FP>
        </EXTRACT>
        
        <P>
          <E T="03">Dates:</E>
        </P>
        <P>Part I of the Formula Grant Electronic Application System for Indian Education (EASIE) Applications Available: January 13, 2011.</P>
        <P>Deadline for Transmittal of Part I Applications: February 14, 2011, 11:59:59 p.m., Washington, DC time.</P>
        <P>Part II of Formula Grant (EASIE) Applications Available: April 4, 2011.</P>
        <P>Deadline for Transmittal of Part II Applications: May 6, 2011, 11:59:59 p.m., Washington, DC time.</P>
        <P>Applicants must meet the deadlines for both Part I and Part II to receive funds as part of the initial grant awards, which are expected to be issued around July 1, 2011. If there are funds remaining after the initial grant awards are made, the Department will give priority to applicants that filed a timely application for Part I, but missed the deadline for Part II. Applicants that missed the Part I deadline will only be funded if there are funds remaining after awards are made to all applicants that met the Part I deadline (including those applicants that met the Part I deadline, but missed the Part II deadline).</P>
        <P>
          <E T="03">Deadline for Intergovernmental Review:</E>July 5, 2011.</P>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>
          <E T="03">Purpose of Program:</E>The Indian Education Formula Grants to Local Educational Agencies program provides grants to support local educational agencies (LEAs) and other eligible entities described in this notice in their efforts to reform and improve elementary and secondary school programs that serve Indian students. The Department funds programs designed to help Indian students meet the same State academic content and student academic achievement standards used for all students. In addition, under section 7116 of the Elementary and Secondary Education Act of 1965, as amended (ESEA), the Secretary will, upon receipt of an acceptable plan for the integration of education and related services, authorize the entity receiving the funds under this program to consolidate, in accordance with the entity's plan, the funds for any Federal program exclusively serving Indian children, or the funds reserved under any Federal program to exclusively serve Indian children, that are awarded under a statutory or administrative formula to the entity, for the purpose of providing education and related services to Indian students. Instructions for submitting an integration of education and related services plan are included in the EASIE described elsewhere in this notice under Application Process and Submission Information.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>Under the Indian Education Formula Grants to Local Educational Agencies program, applicants are required to develop the project for which application is made (a) in open consultation with parents of Indian children and teachers and, if appropriate, Indian students from secondary schools, including through public hearings held to provide a full opportunity to understand the program and to offer recommendations regarding the program (section 7114(c)(3)(C) of the ESEA); (b) with the participation of a parent committee selected in accordance with section 7114(c)(4) of the ESEA and with the written approval of that parent committee (section 7114(c)(4) of the ESEA).</P>
        </NOTE>
        <P>
          <E T="03">Eligible Applicants:</E>LEAs, including charter schools authorized as LEAs under State law, certain schools funded by the Bureau of Indian Education of the U.S. Department of the Interior, and Indian tribes under certain conditions, as prescribed by section 7112(c) of the ESEA.</P>
        <P>
          <E T="03">Application Process and Submission Information:</E>
        </P>

        <P>Applications for grants under this program must be submitted electronically unless you qualify for an exception to this requirement in accordance with the instructions in this section. We will reject your application if you submit it in paper format unless, as described elsewhere in this section, you qualify for one of the exceptions to the electronic submission requirement and submit, no later than two weeks before the application deadline dates for both Part I and Part II applications, a written statement to the Department that you qualify for one of these exceptions. Further information regarding calculation of the date that is two weeks before the application deadline date is provided later in this section under<E T="03">Exception to Electronic Submission Requirement.</E>
        </P>

        <P>Formula Grant EASIE Electronic Application System: Formula Grant EASIE is an easy-to-use, electronic application system. It communicates with data from State submissions to ED<E T="03">Facts,</E>the Department's data collection system that contains performance information from State educational agencies about schools and Federal education programs. To the extent that your State has provided the necessary ED<E T="03">Facts</E>data files, Formula Grant EASIE will be able to interface with ED<E T="03">Facts</E>and pull those LEA-specific data into the application. Additionally, this system allows the Department to review applications and interact online with applicants during the application review and approval process.</P>
        <P>The Formula Grant EASIE application is divided into two parts—Part I and Part II.</P>
        <P>Part I, Student Count, provides the appropriate data-entry screens to submit your Indian student count totals.</P>

        <P>Part II, Program and Budget Information, provides your award<PRTPAGE P="2092"/>amount based on the Indian student count total submitted under Part I. Part II also enables you to enter student performance data, identify your project's services and activities, and build a realistic program budget based on a known grant amount. Based on student assessment data, you will select your program objectives and services from a variety of menu options that were designed with grantee input.</P>

        <P>Registration for Formula Grant EASIE: Entities are encouraged to register as soon as possible at the registration Web site:<E T="03">http://www.easie.org</E>to ensure that any potential registration issues are resolved prior to the deadline for the submission of an application. The purpose of the initial registration is to re-activate entities' access to EASIE and to ensure that the correct entity information (<E T="03">e.g.,</E>NCES or DUNS numbers) is pre-populated into the first part of EASIE. The registration Web site does not serve as the entity's grant application. The registration may be completed by current, former, and new applicants interested in submitting an Indian Formula Grant EASIE application. For information on how to register, contact the ED<E T="03">Facts</E>Partner Support Center listed elsewhere in this notice under<E T="02">FOR FURTHER INFORMATION CONTACT.</E>
        </P>
        <P>
          <E T="03">Exception to Electronic Submission Requirement:</E>You qualify for an exception to the electronic submission requirement, and may submit your application in paper format, if you are unable to submit an application through the EASIE system because—</P>
        <P>• You do not have access to the Internet; or</P>
        <P>• You do not have the capacity to upload large documents to the EASIE system; and</P>
        <P>• No later than two weeks before the application deadline date (14 calendar days or, if the fourteenth calendar day before the application deadline date falls on a Federal holiday, the next business day following the Federal holiday), you mail or fax a written statement to the Department, explaining which of the two grounds for an exception prevent you from using the Internet to submit your application.</P>
        <P>If you mail your written statement to the Department, it must be postmarked no later than two weeks before the application deadline date. If you fax your written statement to the Department, we must receive the faxed statement no later than two weeks before the application deadline date.</P>
        <P>Address and mail or fax your statement to: Bernard Garcia, U.S. Department of Education, Office of Indian Education, 400 Maryland Avenue, SW., room 3E307, Washington, DC 20202-6335. FAX: (202) 205-0606. Your paper application must be submitted in accordance with the mail or hand delivery instructions described in this notice.</P>
        <P>
          <E T="03">Submission of Paper Applications by Mail.</E>
        </P>
        <P>If you qualify for an exception to the electronic submission requirement, you may mail (through the U.S. Postal Service or a commercial carrier) your application to the U.S. Department of Education, Office of Indian Education. You must mail the original and two copies of your application, on or before the application deadline date, to the Office of Indian Education at the following address: U.S. Department of Education, Office of Indian Education, Attention: CFDA Number 84.060A, 400 Maryland Avenue, SW., Room 3E307, Washington, DC 20202-6335.</P>
        <P>You must show proof of mailing consisting of one of the following:</P>
        <P>(1) A legibly dated U.S. Postal Service postmark.</P>
        <P>(2) A legible mail receipt with the date of mailing stamped by the U.S. Postal Service.</P>
        <P>(3) A dated shipping label, invoice, or receipt from a commercial carrier.</P>
        <P>(4) Any other proof of mailing acceptable to the Secretary of the U.S. Department of Education.</P>
        <P>If you mail your application through the U.S. Postal Service, we do not accept either of the following as proof of mailing:</P>
        <P>(1) A private metered postmark.</P>
        <P>(2) A mail receipt that is not dated by the U.S. Postal Service.</P>
        <P>If your application is postmarked after the application deadline date, we will not consider your application.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The U.S. Postal Service does not uniformly provide a dated postmark. Before relying on this method, you should check with your local post office.</P>
        </NOTE>
        <P>
          <E T="03">Submission of Paper Applications by Hand Delivery.</E>
        </P>
        <P>If you qualify for an exception to the electronic submission requirement, you (or a courier service) may deliver your paper application to the Department by hand. You must deliver the original and two copies of your application by hand, on or before the application deadline date, to the Department at the following address: U.S. Department of Education, Office of Indian Education, Attention: CFDA Number 84.060A, 400 Maryland Avenue, SW., Room 3E307, Washington, DC 20202-6335.</P>
        <P>The Program Office accepts hand deliveries daily between 8:00 a.m. and 4:30:00 p.m., Washington, DC time, except Saturdays, Sundays, and Federal holidays.</P>
        <NOTE>
          <HD SOURCE="HED">Note for Mail or Hand Delivery of Paper Applications:</HD>
          <P>If you mail or hand deliver your application to the Department—</P>
          <P>(1) You must indicate on the envelope and—if not provided by the Department—in Item 11 of the SF 424 the CFDA number, including suffix letter, if any, of the competition under which you are submitting your application; and</P>
          <P>(2) The Program Office will mail to you a notification of receipt of your grant application. If you do not receive this notification within 15 business days from the application deadline date, you should call the U.S. Department of Education Office of Indian Education at (202) 260-3774.</P>
        </NOTE>
        <P>
          <E T="03">Data Universal Numbering System Number, Taxpayer Identification Number, and Central Contractor Registry:</E>To do business with the Department of Education, you must—</P>
        <P>a. Have a Data Universal Numbering System (DUNS) number and a Taxpayer Identification Number (TIN);</P>
        <P>b. Register both your DUNS number and TIN with the Central Contractor Registry (CCR), the Government's primary registrant database;</P>
        <P>c. Provide your DUNS number and TIN on your application; and</P>
        <P>d. Maintain an active CCR registration with current information while your application is under review by the Department and, if you are awarded a grant, during the project period.</P>
        <P>You can obtain a DUNS number from Dun and Bradstreet. A DUNS number can be created within one business day.</P>
        <P>If you are a corporate entity, agency, institution, or organization, you can obtain a TIN from the Internal Revenue Service. If you are an individual, you can obtain a TIN from the Internal Revenue Service or the Social Security Administration. If you need a new TIN, please allow 2-5 weeks for your TIN to become active.</P>
        <P>The CCR registration process may take five or more business days to complete. If you are currently registered with the CCR, you may not need to make any changes. However, please make certain that the TIN associated with your DUNS number is correct. Also note that you will need to update your CCR registration on an annual basis. This may take three or more business days to complete.</P>
        <P>
          <E T="03">Estimated Available Funds:</E>The Administration has requested $104,331,000 for this program for FY 2011. The actual level of funding, if any, depends on final Congressional action. However, we are inviting applications to allow enough time to complete the grant process if Congress appropriates funds for this program.</P>
        <P>
          <E T="03">Estimated Range of Awards:</E>$4,000-$2,750,000.</P>
        <P>
          <E T="03">Estimated Average Size of Awards:</E>$82,475.<PRTPAGE P="2093"/>
        </P>
        <P>
          <E T="03">Estimated Number of Awards:</E>1,265.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The Department is not bound by any estimates in this notice and funding levels may change based on final appropriations for the program.</P>
        </NOTE>
        <P>
          <E T="03">Project Period:</E>12 months.</P>
        <P>
          <E T="03">Applicable Regulations:</E>The Education Department General Administrative Regulations (EDGAR) in 34 CFR 75, 77, 79, 80, 81, 82, 84, 85, 86, 97, 98, and 99.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 79 apply to all applicants except federally recognized Indian tribes.</P>
        </NOTE>
        <P>
          <E T="03">Performance Measures:</E>The Secretary has established the following key performance measures for assessing the effectiveness and efficiency of the Indian Education Formula Grants to Local Educational Agencies program: (1) The percentage of American Indian and Alaska Native students in grades four and eight who score at or above the basic level in reading on the National Assessment of Educational Progress (NAEP); (2) the percentage of American Indian and Alaska Native students in grades four and eight who score at or above the basic level in mathematics on the NAEP; (3) the percentage of American Indian and Alaska Native students in grades three through eight meeting State performance standards by scoring at the proficient or the advanced levels in reading and mathematics on State assessments; (4) the difference between the percentage of American Indian and Alaska Native students in grades 3 through 8 at the proficient or advanced levels in reading and mathematics on State assessments and the percentage of all students scoring at those levels; (5) the percentage of American Indian and Alaska Native students who graduate from high school; and (6) the percentage of funds used by grantees prior to award close-out.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Contact the ED<E T="03">Facts</E>Partner Support Center, telephone: 877-457-3336 (877-HLP-EDEN) or by e-mail at:<E T="03">eden_OIE@ed.gov.</E>
          </P>

          <P>If you use a telecommunications device for the deaf (TDD), call the ED<E T="03">Facts</E>Partner Support Center, toll free, at 1-888-403-3336 (888-403-EDEN).</P>

          <P>Individuals with disabilities can obtain this document and a copy of the application package in an accessible format (<E T="03">e.g.,</E>braille, large print, audiotape, or computer diskette) by contacting the ED<E T="03">Facts</E>Partner Support Center.</P>
          <P>
            <E T="03">Electronic Access to This Document:</E>You can view this document, as well as all other documents of this Department published in the<E T="04">Federal Register</E>, in text or Adobe Portable Document Format (PDF) on the Internet at the following site:<E T="03">http://www.ed.gov/news/fedregister.</E>
          </P>
          <P>To use PDF you must have Adobe Acrobat Reader, which is available free at this site.</P>
          <NOTE>
            <HD SOURCE="HED">Note:</HD>

            <P>The official version of this document is the document published in the<E T="04">Federal Register</E>. Free Internet access to the official edition of the<E T="04">Federal Register</E>and the Code of Federal Regulations is available on GPO Access at:<E T="03">http://www.gpoaccess.gov/nara/index.html.</E>
            </P>
          </NOTE>
          <AUTH>
            <HD SOURCE="HED">Program Authority:</HD>
            <P>20 U.S.C. 7421<E T="03">et seq.</E>
            </P>
          </AUTH>
          <SIG>
            <DATED>Dated: January 7, 2011.</DATED>
            <NAME>Thelma Meléndez de Santa Ana,</NAME>
            <TITLE>Assistant Secretary for Elementary and Secondary Education.</TITLE>
          </SIG>
        </FURINF>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-529 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF ENERGY</AGENCY>
        <DEPDOC>[FE Docket No. 10-152-LNG]</DEPDOC>
        <SUBJECT>Eni USA Gas Marketing LLC; Application for Blanket Authorization To Export Liquefied Natural Gas</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Fossil Energy, DOE.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of application.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Office of Fossil Energy (FE) of the Department of Energy (DOE) gives notice of receipt of an application (Application), filed on November 30, 2010, by Eni USA Gas Marketing LLC (Eni USA), requesting blanket authorization to export liquefied natural gas (LNG) that previously had been imported into the United States from foreign sources in an amount up to the equivalent of 100 billion cubic feet (Bcf) of natural gas. The LNG would be exported from the Cameron LNG Terminal (Cameron Terminal), owned by Cameron, LNG, LLC in Cameron Parish, Louisiana, to any country with the capacity to import LNG via ocean-going carrier and with which trade is not prohibited by U.S. law or policy. Eni USA seeks to export the LNG over a two-year period commencing on the date of the authorization. The application was filed under section 3 of the Natural Gas Act (NGA). Protests, motions to intervene, notices of intervention, and written comments are invited.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>

          <P>Protests, motions to intervene or notices of intervention, as applicable, requests for additional procedures, and written comments are to be filed at the address listed below in<E T="02">ADDRESSES</E>no later than 4:30 p.m., eastern time, February 11, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>U.S. Department of Energy (FE-34), Office of Oil and Gas Global Security and Supply, Office of Fossil Energy, Forrestal Building, Room 3E-042, 1000 Independence Avenue, SW., Washington, DC 20585.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          
          <FP SOURCE="FP-1">Larine Moore or Beverly Howard, U.S. Department of Energy (FE-34), Office of Oil and Gas Global Security and Supply, Office of Fossil Energy, Forrestal Building, Room 3E-042, 1000 Independence Avenue, SW., Washington, DC 20585, (202) 586-9478; (202) 586-9387.</FP>
          <FP SOURCE="FP-1">Edward Myers, U.S. Department of Energy, Office of the Assistant General Counsel for  Electricity and Fossil Energy, Forrestal Building, Room 6B-159, 1000 Independence Ave., SW., Washington, DC 20585, (202) 586-3397.</FP>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>
        <P>Eni USA is a Delaware limited liability company with its principal place of business in Houston, Texas. Eni USA is a wholly-owned subsidiary of Eni Petroleum Co., Inc., a Delaware corporation. Eni USA is engaged in the business of purchasing and marketing supplies of natural gas and LNG. Eni USA is a customer of the Cameron Terminal in Cameron Parish, LA.</P>
        <P>On May 12, 2010, FE granted Eni USA blanket authorization to import LNG up to the equivalent of 400 Bcf of natural gas from various international sources for a two-year term beginning on May 12, 2010.<SU>1</SU>
          <FTREF/>Under the terms of the blanket authorization, the LNG may be imported to any LNG receiving facility in the United States or its territories.</P>
        <FTNT>
          <P>
            <SU>1</SU>
            <E T="03">Eni USA Gas Marketing LLC,</E>DOE/FE Order No. 2786 issued May 12, 2010.</P>
        </FTNT>
        <HD SOURCE="HD1">Current Application</HD>

        <P>In the instant application, Eni USA is seeking blanket authorization to export from its capacity at the Cameron Terminal LNG that has been previously imported from foreign sources to any country with the capacity to import LNG via ocean-going carrier and with which trade is not prohibited by U.S. law. Eni USA seeks authorization to export this LNG over a two-year period in an amount up to the equivalent of 100 Bcf of natural gas beginning on the date such authorization is granted, but no later than March 1, 2011. Eni USA states that it does not seek authorization to export domestically-produced LNG or natural gas.<PRTPAGE P="2094"/>
        </P>
        <HD SOURCE="HD1">Public Interest Considerations</HD>
        <P>In support of its application, Eni USA states that pursuant to section 3 of the NGA, FE is required to authorize exports to a foreign country unless there is a finding that such exports “will not be consistent with the public interest.”<SU>2</SU>
          <FTREF/>Eni USA states that there is thus a presumption in favor of a finding that the Application is in the public interest that must be rebutted.<SU>3</SU>
          <FTREF/>Eni USA states further that in reviewing an application to export LNG under Section 3, DOE/FE applies the principles set forth in DOE Delegation Order No. 0204-111, focusing primarily on the domestic need for the gas to be exported, and the Secretary of Energy's natural gas policy guidelines. Eni USA asserts that in its order issued on October 5, 2010, granting LNG export authorization to the Dow Chemical Company, the DOE/FE considered another application to export LNG that was not produced domestically in the U.S. Eni USA asserts that the DOE/FE stated that the fundamental question posed by such an application with respect to the public interest standard was whether the foreign-sourced LNG to be exported is needed to meet domestic demand.<SU>4</SU>
          <FTREF/>Further, Eni USA states that the order pointed to a number of factors indicating that U.S. consumers currently have access to substantial quantities of natural gas sufficient to meet U.S. domestic demand without drawing on the foreign-sourced LNG sought to be re-exported, including the fact that the DOE's Energy Information Agency forecasts increasing U.S. domestic shale gas production through 2015.<SU>5</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>2</SU>15 U.S.C. 717b.(a).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>
            <E T="03">Panhandle Producers and Royalty Owners Association</E>v.<E T="03">ERA,</E>822 F.2d 1105, 1111 (DC Cir. 1987).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>
            <E T="03">Dow Chemical Co.,</E>DOE/FE Order No. 2859, October 5, 2010 at pp. 3 and 4.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>5</SU>
            <E T="03">Id.</E>at pp. 4 and 5.</P>
        </FTNT>
        <P>As detailed in the application, Eni USA states the blanket export authorization it seeks satisfies the public interest standard, based on the same evidence recognized by DOE/FE in two recent similar applications/orders.<SU>6</SU>

          <FTREF/>Eni USA states that the LNG that may be exported pursuant to the blanket authorization requested in the Application is not needed to meet domestic demand. Eni USA states that granting the requested export authorization will encourage the continued importation of LNG into the United States. Eni USA also states that granting the requested export authorization will not diminish domestically-produced natural gas supplies. Further details can be found in the Application, which has been posted at<E T="03">http://www.fe.doe.gov/programs/gasregulation/index.html.</E>
        </P>
        <FTNT>
          <P>
            <SU>6</SU>
            <E T="03">Id,</E>and<E T="03">Cheniere Marketing, LLC,</E>DOE/FE/Order No. 2795, June 1, 2010.</P>
        </FTNT>
        <HD SOURCE="HD1">Environmental Impact</HD>
        <P>Eni USA states that its requested LNG export authorization does not require the construction of any new facilities (or modifications to any existing facilities) at the Cameron Terminal but that the owner of the Cameron Terminal, Cameron LNG, LLC, has filed a still-pending application before the Federal Energy Regulatory Commission seeking authority to provide LNG export services at the Cameron Terminal. Exports of LNG from the Cameron Terminal also would not increase the number of LNG carriers that the Cameron Terminal is designed and authorized to accommodate. Eni USA states that approval of the Application would not constitute a federal action significantly affecting the human environment under the National Environmental Policy Act (NEPA).<SU>7</SU>
          <FTREF/>Eni USA further states, as the DOE/FE has recognized in similar cases, approval of this Application would not require an environmental impact statement or environmental assessment.<SU>8</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>7</SU>42 U.S.C. 4321<E T="03">et seq.</E>
          </P>
        </FTNT>C<FTNT>
          <P>
            <SU>8</SU>For example,<E T="03">Cheniere Marketing, LLC,</E>DOE/FE Order No. 2795, June 1, 2010 at p. 7.</P>
        </FTNT>
        <HD SOURCE="HD1">DOE/FE Evaluation</HD>
        <P>This export application will be reviewed pursuant to section 3 of the NGA, as amended, and the authority contained in DOE Delegation Order No. 00-002.00J (Sept. 17, 2010) and DOE Redelegation Order No. 00-002.04D (Nov. 6, 2007). In reviewing this LNG export application, DOE will consider domestic need for the gas, as well as any other issues determined to be appropriate, including whether the arrangement is consistent with DOE's policy of promoting competition in the marketplace by allowing commercial parties to freely negotiate their own trade arrangements. Parties that may oppose this application should comment in their responses on these issues.</P>

        <P>The National Environmental Policy Act (NEPA), 42 U.S.C. 4321<E T="03">et seq.,</E>requires DOE to give appropriate consideration to the environmental effects of its proposed decisions. No final decision will be issued in this proceeding until DOE has met its NEPA responsibilities.</P>
        <HD SOURCE="HD1">Public Comment Procedures</HD>

        <P>You may submit comments in electronic form on the Federal eRulemaking Portal at<E T="03">http://www.regulations.gov.</E>Alternatively, written comments can be submitted using the procedures discussed below. If using electronic filing, follow the on-line instructions and submit such comments under FE Docket No. 10-152-LNG. DOE/FE suggests that electronic filers carefully review information provided in their submissions, and include only information that is intended to be publicly disclosed.</P>
        <P>In addition to electronic filings using the procedures above, any person may file a protest, motion to intervene or notice of intervention, and written comments, as provided in DOE's regulations at 10 CFR part 590.</P>
        <P>Any person wishing to become a party to the proceeding and to have their written comments considered as a basis for any decision on the application must file a motion to intervene or notice of intervention, as applicable. The filing of comments or a protest with respect to the application will not serve to make the commenter or protestant a party to the proceeding, although protests and comments received from persons who are not parties may be considered in determining the appropriate action to be taken on the application. All protests, motions to intervene, notices of intervention, and written comments must meet the requirements specified by the regulations in 10 CFR part 590. Except where comments are filed electronically, as described above, comments, protests, motions to intervene, notices of intervention, and requests for additional procedures shall be filed with the Office of Oil and Gas Global Security and Supply at the address listed above.</P>

        <P>A decisional record on the application will be developed through responses to this notice by parties, including the parties' written comments and replies thereto. Additional procedures will be used as necessary to achieve a complete understanding of the facts and issues. A party seeking intervention may request that additional procedures be provided, such as additional written comments, an oral presentation, a conference, or trial-type hearing. Any request to file additional written comments should explain why they are necessary. Any request for an oral presentation should identify the substantial question of fact, law, or policy at issue, show that it is material and relevant to a decision in the proceeding, and demonstrate why an oral presentation is needed. Any request for a conference should demonstrate why the conference would materially advance the proceeding. Any request for a trial-type hearing must<PRTPAGE P="2095"/>show that there are factual issues genuinely in dispute that are relevant and material to a decision and that a trial-type hearing is necessary for a full and true disclosure of the facts.</P>
        <P>If an additional procedure is scheduled, notice will be provided to all parties. If no party requests additional procedures, a final Opinion and Order may be issued based on the official record, including the application and responses filed by parties pursuant to this notice, in accordance with 10 CFR 590.316.</P>

        <P>The application filed by Eni USA is available for inspection and copying in the Office of Oil and Gas Global Security and Supply docket room, 3E-042, at the address listed in<E T="02">ADDRESSES</E>. The docket room is open between the hours of 8 a.m. and 4:30 p.m., Monday through Friday, except Federal holidays. The application and any filed protests, motions to intervene or notice of interventions, and comments will also be available electronically by going to the following DOE/FE Web address:<E T="03">http://www.fe.doe.gov/programs/gasregulation/index.html.</E>In addition, any electronic comments filed will also be available at:<E T="03">http://www.regulations.gov.</E>
        </P>
        <SIG>
          <DATED>Issued in Washington, DC, on January 5, 2011.</DATED>
          <NAME>John A. Anderson,</NAME>
          <TITLE>Manager, Natural Gas Regulatory Activities, Office of Oil and Gas Global Security and Supply, Office of Fossil Energy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-481 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6450-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF ENERGY</AGENCY>
        <SUBJECT>Notice of Public Scoping Meetings for the Hawai'i Interisland Renewable Energy Program: ’Wind Programmatic Environmental Impact Statement (DOE/EIS-0459)</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Energy (DOE).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public scoping meetings and opportunity to comment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>DOE will host four public meetings in the Hawaiian Islands to receive comments on the scope of the Hawai`i Interisland Renewable Energy Program: Wind Programmatic Environmental Impact Statement (hereinafter referred to as the Hawai`i Wind EIS or the EIS). The public scoping meetings will be conducted jointly with the State of Hawai`i Department of Business, Economic Development and Tourism (DBEDT), which is a co-lead agency with DOE in the preparation of the EIS. The EIS will assess the foreseeable environmental impacts that may arise from wind energy development under the Hawai`i Interisland Renewable Energy Program (HIREP) and the range of reasonable alternatives.</P>
          <P>On December 14, 2010, DOE and DBEDT announced in the<E T="04">Federal Register</E>(75 FR 77859) their intention to prepare the EIS and opened a public scoping period which will close on March 1, 2011.</P>

          <P>During the scoping period, DOE and DBEDT invite the public to submit written comments by any of the means listed in the<E T="02">ADDRESSES</E>section. Oral as well as written comments may also be provided at the public scoping meetings to be held as listed under<E T="02">SUPPLEMENTARY INFORMATION</E>.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>DOE and DBEDT invite comments on the proposed scope of the EIS from all interested parties. The public scoping period began on December 14, 2010, and will close on March 1, 2011. Comments on the scope of the EIS should be submitted by March 1, 2011. Comments e-mailed or postmarked after that date will be considered to the extent practicable. DOE and DBEDT also invite members of the public to participate in public scoping meetings. Requests to speak at any of the public scoping meetings should be submitted to Allen Kam as indicated in the<E T="02">ADDRESSES</E>section on or before January 28, 2011. Requests to speak also may be made at the scoping meetings; however, requests received by January 28, 2011, will be given priority in the speaking order. For interested parties wishing to speak with a DOE representative, see the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section of this announcement.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Requests to speak at the public scoping meetings and written comments on the proposed scope of the EIS may be submitted by any of the following means:</P>
          <P>• By e-mail to<E T="03">comments@hirep-wind.com.</E>
          </P>

          <P>• By submitting electronic comments on the EIS web page at<E T="03">http://www.hirep-wind.com.</E>
          </P>
          <P>• By facsimile (fax) to 808-586-2536, Attention Allen G. Kam.</P>
          <P>• By mail to Allen G. Kam, Esq., AICP, HIREP EIS Manager, State of Hawai’i, Department of Business, Economic Development and Tourism, Renewable Energy Branch, State Energy Office, P.O. Box 2359, Honolulu, HI 96804.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>For information on DOE's proposed action, contact Anthony J. Como, DOE NEPA Document Manager, Office of Electricity Delivery and Energy Reliability (OE-20), U.S. Department of Energy, 1000 Independence Avenue, SW., Washington, DC 20585; or at 202-586-5935 or<E T="03">anthony.como@hq.doe.gov.</E>
          </P>

          <P>For general information about the DOE National Environmental Policy Act (NEPA) process, contact Carol Borgstrom, Director, Office of NEPA Policy and Compliance (GC-54), U.S. Department of Energy, 1000 Independence Avenue, SW., Washington, DC 20585; or at 800-472-2756 or<E T="03">askNEPA@hq.doe.gov.</E>
          </P>

          <P>For information on the Hawai`i Interisland Renewable Energy Program, contact Mr. Allen G. Kam, Esq., AICP, HIREP EIS Manager, State of Hawai'i, Department of Business, Economic Development and Tourism, Renewable Energy Branch, State Energy Office, P.O. Box 2359, Honolulu, HI 96804; or at 808-587-9023 or<E T="03">hirep@dbedt.hawaii.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>On December 14, 2010, DOE published a notice in the<E T="04">Federal Register</E>(75 FR 77859) announcing its intention to prepare the Hawai'i Wind EIS jointly with the State of Hawai'i and opening a scoping period that will close on March 1, 2011. The EIS will be prepared pursuant to NEPA, as amended (42 U.S.C. 4321-4347), the Council on Environmental Quality NEPA regulations (40 CFR parts 1500-1508), the DOE NEPA implementing procedures (10 CFR part 1021), and the Hawai`i Environmental Policy Act (Hawai`i Revised Statutes (HRS) chapter 343). The EIS will assess the potential environmental impacts from the development of up to 400 megawatts of wind generation facilities on one or more of the Maui County islands of Maui, Lāna`i, and/or Moloka'i, the transmission of wind-generated energy to O`ahu via submarine transmission cables and the required improvements to the existing electric transmission infrastructure on O'ahu. In the December 14, 2010 notice, DOE and DBEDT also indicated that they would hold public scoping meetings and announce the dates and locations of them in a subsequent<E T="04">Federal Register</E>notice.</P>
        <P>DOE and DBEDT now announce that they will jointly host the following public scoping meetings:</P>
        <P>• February 1, 2011—McKinley High School Cafeteria, 1039 South King Street, Honolulu, HI 96814, from 5:30 p.m. to 9 p.m.</P>

        <P>• February 2, 2011—Pomaika'i Elementary Cafeteria, 4650 South Kamehameha Avenue, Kahului, HI 96732, from 5:30 p.m. to 9 p.m.<PRTPAGE P="2096"/>
        </P>
        <P>• February 3, 2011—Mitchell Pauole Community Center, 90 Ainoa Street, Kaunakakai, Moloka’i, HI 96748, from 5:30 p.m. to 9 p.m.</P>
        <P>• February 5, 2011—Lāna‘i High &amp; Elementary School Cafeteria, 555 Fraser Avenue, Lāna`i City, HI 96763, from 9:30 a.m. to 3 p.m.</P>

        <P>Each scoping meeting will be conducted in two parts: An informal “workshop” discussion period that will not be recorded, and a formal commenting session that will be transcribed by a court stenographer. Meeting participants may also have their comments entered into the record during the informal portion of the meetings, on request. Those who do not arrange in advance to speak may register at a meeting (preferably at the beginning of the meeting) and may speak after previously scheduled speakers. The presiding officer will establish procedures to ensure that everyone who wishes to speak has an opportunity to do so. Depending on the number of speakers, the presiding officer may limit all speakers to a set amount of time initially and provide additional opportunities to speak as time permits. Speakers may also provide written materials to supplement their presentations, and such additional information may be submitted in writing by the date listed in the<E T="02">DATES</E>section. Both oral and written comments will be considered and given equal weight by DOE and DBEDT.</P>
        <P>The formal commenting session will begin with an overview of the proposed Wind Phase of the Hawai`i Interisland Renewable Energy Program and a description of the State and Federal environmental review processes. The presiding officer will establish the order of speakers and provide any additional procedures necessary to conduct the formal commenting session. Speakers may be asked questions to help ensure that DOE and DBEDT fully understand all suggestions and comments.</P>
        <SIG>
          <DATED>Issued in Washington, DC, on January 7, 2011.</DATED>
          <NAME>Patricia A. Hoffman,</NAME>
          <TITLE>Assistant Secretary, Office of Electricity Delivery and Energy Reliability.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-479 Filed 1-11-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6450-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF ENERGY</AGENCY>
        <SUBJECT>Record of Decision for the Environmental Impact Statement for the Proposed Abengoa Biorefinery Project Near Hugoton, Stevens County, KS (DOE/EIS-0407)</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Energy, Office of Energy Efficiency and Renewable Energy.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Record of Decision.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The U.S. Department of Energy (DOE or the Department) prepared an environmental impact statement (EIS) (DOE/EIS-0407) to assess the potential environmental impacts associated with the proposed action of providing Federal financial assistance to Abengoa Bioenergy Biomass of Kansas, LLC (Abengoa Bioenergy) to support the design, construction, and startup of a commercial-scale integrated biorefinery to be located near the city of Hugoton in Stevens County, southwestern Kansas (the Project). The integrated biorefinery would use a combination of biomass feedstocks, such as corn stover and wheat straw, to produce ethanol and to generate sufficient electricity to power the facility and supply excess electricity to the regional power grid. The Project site comprises approximately 810 acres of row-cropped agricultural land. The biorefinery facilities would be developed on 385 acres of the Project site, and the remaining 425 acres would remain agricultural and act as a buffer between the biorefinery and the city of Hugoton.</P>

          <P>After careful consideration of the potential environmental impacts and other factors such as program goals and objectives, DOE has decided that it will provide Federal funding under Section 932 of the<E T="03">Energy Policy Act of 2005</E>(EPAct 2005) of up to $71 million (2009 dollars), subject to annual appropriations, to Abengoa Bioenergy for the Project. A separate decision will be made regarding a potential loan guarantee; and if DOE decides to proceed to consider the loan guarantee, DOE would consider using the Final Abengoa Biorefinery EIS to comply with NEPA review requirements for the loan guarantee. If DOE determines that the Final Biorefinery EIS sufficiently addresses all activities covered by the loan guarantee, DOE could either issue a Record of Decision (ROD) deciding to issue a loan guarantee, or amend this ROD.</P>
        </SUM>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The Final EIS is available on the DOE<E T="03">National Environmental Policy Act</E>(NEPA) Web site at:<E T="03">http://nepa.energy.gov/</E>and on the Abengoa Biorefinery Project Web site at:<E T="03">http://www.biorefineryprojecteis-abengoa.com.</E>This ROD also is available on these Web sites. Copies of the Final EIS and this ROD may be obtained from Ms. Kristin Kerwin, Office of Energy Efficiency and Renewable Energy, U.S. Department of Energy, Golden Field Office, 1617 Cole Blvd., Golden, CO 80401; telephone: 720-356-1564; or fax: 720-356-1650.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>To obtain additional information about this Project, the EIS or the ROD, contact Ms. Kristin Kerwin by the means specified above under<E T="02">ADDRESSES</E>. For general information on the DOE NEPA process, contact Ms. Carol M. Borgstrom, Director, Office of NEPA Policy and Compliance (GC-54), U.S. Department of Energy, 1000 Independence Avenue, SW., Washington, DC 20585; telephone: 202-586-4600; fax: 202-586-7031; or leave a toll-free message at: 1-800-472-2756.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>DOE prepared this ROD pursuant to the Council on Environmental Quality regulations for implementing the procedural provisions of NEPA [40<E T="03">Code of Federal Regulations</E>(CFR) Parts 1500-1508] and the DOE NEPA regulations (10 CFR Part 1021). This ROD is based in part on DOE's Final EIS for the Proposed Abengoa Biorefinery Project (DOE/EIS-0407, August 2010).</P>
        <HD SOURCE="HD1">Background</HD>
        <P>Under EPAct 2005, Congress directed DOE to carry out a program to demonstrate the commercial application of integrated biorefineries for the production of biofuels, in particular ethanol, from lignocellulosic feedstocks. Federal funding for cellulosic ethanol production facilities is intended to further the government's goal of rendering ethanol cost-competitive with gasoline by 2012, and along with increased automobile fuel efficiency, reducing gasoline consumption in the United States by 20 percent within 10 years.</P>

        <P>To implement its responsibilities under EPAct 2005, DOE issued a funding opportunity announcement in February 2006 for the design, construction, and startup of commercial-scale integrated biorefineries. In February 2007, the Department selected Abengoa Bioenergy and five other applicants for negotiation of award. Abengoa Bioenergy proposed an innovative approach to biorefinery operations that would involve production of biofuel and energy in the form of steam that could be used to meet energy needs and displace fossil fuels, such as coal and natural gas. The<PRTPAGE P="2097"/>proposal also included an integrated grain-to-ethanol facility.</P>

        <P>In January 2009, Abengoa Bioenergy modified its proposal by omitting the integrated grain-to-ethanol facility and including a steam-driven turbine that would generate sufficient electricity to power the production facility and supply excess electricity to the regional power grid. In addition, Abengoa applied for a loan guarantee from the Department's Loan Guarantee Program pursuant to Title XVII of EPAct 2005, and from the U.S. Department of Agriculture Rural Development Biorefinery Assistance Program pursuant to Section 9003 of the<E T="03">Food, Conservation, and Energy Act of 2008.</E>The Department of Agriculture Rural Development was a cooperating agency in the preparation of the EIS.</P>
        <P>DOE considered Abengoa Bioenergy's proposed project changes and concluded that the Project remained eligible for Federal funding under Section 932 of EPAct 2005. On August 28, 2009, the Department determined, however, that it would not proceed with Abengoa's request for a DOE loan guarantee.</P>
        <P>On December 22, 2009, after publication of the Draft Abengoa Biorefinery Project EIS on September 23, 2009, Abengoa Bioenergy filed a revised loan guarantee application, and in March 2010, the Department determined that the proposed biorefinery was eligible for consideration under Title XVII, Section 1703 of EPAct 2005, and requested that Abengoa submit the Part II portion of its loan guarantee application. Abengoa submitted the Part II application on May 14, 2010.</P>
        <P>At this time, DOE is not proposing to issue a loan guarantee for the construction and startup of the biorefinery. DOE is reviewing the Part II submission and, pending the results of the Part II review, will decide whether to initiate the due diligence, underwriting, and negotiation phase of the loan guarantee process. If DOE initiates that process with Abengoa, DOE's proposed action (that is, to issue a loan guarantee) would be subject to NEPA review. If DOE decides to proceed to consider the loan guarantee, DOE would consider using the Final Biorefinery EIS to comply with NEPA review requirements for the loan guarantee. If DOE determines that the Final Biorefinery EIS sufficiently addresses all activities covered by the loan guarantee, DOE could either issue a Record of Decision deciding to issue a loan guarantee, or amend this Record of Decision.</P>
        <P>The U.S. Department of Agriculture Rural Development also considered Abengoa's application for a loan guarantee and did not approve it for funding in Fiscal Year 2009. Should Abengoa submit an application for a loan guarantee in the future, Rural Development will use DOE's Final Biorefinery EIS as part of its evaluation of project eligibility and sufficiency.</P>
        <HD SOURCE="HD1">Purpose and Need for Agency Action</HD>

        <P>EPAct 2005, Section 932, directs the Secretary of Energy to conduct a program of research, development, demonstration, and commercial application for bioenergy, including integrated biorefineries that can produce biopower, biofuels, and bioproducts. In carrying out a program to demonstrate the commercial application of integrated biorefineries, EPAct 2005 authorizes the Secretary to provide funds to biorefinery demonstration projects to encourage (1) the demonstration of a wide variety of lignocellulosic feedstocks; (2) the commercial application of biomass technologies for a variety of uses, including liquid transportation fuels, high-value bio-based chemicals, substitutes for petroleum-based feedstocks and products, and energy in the form of electricity or useful heat; and (3) the demonstration of the collection and treatment of a variety of biomass feedstocks. Accordingly, DOE needs to implement Section 932 of EPAct 2005 and support advanced biofuel production pursuant to the Renewable Fuel Standard established by the<E T="03">Energy Independence and Security Act of 2007</E>(EISA 2007). EISA 2007's Renewable Fuel Standard requires the U.S. Environmental Protection Agency (EPA) to ensure that transportation fuel sold or introduced in the United States contain at least 36 billion gallons per year of biofuels by 2022, and includes specific provisions for advanced biofuels, such as cellulosic ethanol and biomass-based diesel fuels. Thus, DOE's purpose is to demonstrate that commercial-scale integrated biorefineries that use a wide variety of lignocellulosic (second-generation) feedstocks to produce biofuels, bio-based chemicals, and biopower can operate without direct Federal subsidy after construction costs are paid, and that these biorefineries can be easily replicated.</P>
        <HD SOURCE="HD1">EIS Process</HD>
        <P>In August 2008, DOE published in the<E T="04">Federal Register</E>its “Notice of Intent to Prepare an Environmental Impact Statement and Notice of Wetlands Involvement for the Abengoa Biorefinery Project near Hugoton, KS” (73 FR 50001), starting a 45-day public scoping period during which DOE held a public scoping meeting in Hugoton, Kansas. In April 2009, DOE re-opened public scoping and published in the<E T="04">Federal Register</E>its “Amended Notice of Intent to Modify the Scope of the Environmental Impact Statement for the Abengoa Biorefinery Project near Hugoton, KS” (74 FR 19543). The amended notice informed the public about changes in the Project relevant to the scope of the ongoing EIS. The Department conducted a 30-day public scoping period and held a second public scoping meeting in Hugoton, Kansas. During these scoping periods, the Department received oral and written comments of the following three types: Expressions of support for the Project, statements of no negative environmental impacts, and requests for additional information from Federal and state agencies and members of the public.</P>
        <P>On September 23, 2009, DOE published in the<E T="04">Federal Register</E>its Notice of Availability for the<E T="03">Draft Environmental Impact Statement for the Abengoa Biorefinery Project Near Hugoton, Stevens County, KS</E>(DOE/EIS-0407D) (74 FR 48525). DOE's Notice of Availability invited the public to comment on the Draft EIS during a 45-day public comment period, and described how the public could submit oral and written comments on the Draft EIS. DOE's Notice also announced a public hearing, which DOE conducted in Hugoton, Kansas on October 21, 2009. On September 25, 2009, EPA listed the Draft Abengoa Biorefinery Project EIS in its weekly notice of availability (74 FR 48951).</P>

        <P>The Department received approximately 40 comments from six commenters during the public comment period. DOE prepared a comment-response chapter for the Final Biorefinery EIS (Chapter 10), which provides each comment and DOE's response. One commenter reiterated comments submitted during public scoping, and another commenter submitted suggestions regarding region-specific studies for corn stover removal and runoff index scores for agricultural lands. One commenter recommended that the proposed transmission line be designed to protect migratory birds and raptors. A few commenters expressed concern about landfill management of refinery waste. A couple of commenters expressed support for the Project. One commenter submitted a number of comments regarding the impacts of biomass harvest on soil sustainability, potential impacts to groundwater, the timeframe for construction of the grain-to-ethanol facility, the use of the latest<PRTPAGE P="2098"/>biorefinery design for the air quality analysis, the site selection process, and the reliance on irrigated corn crops.</P>
        <P>DOE issued the Final EIS and on August 20, 2010, EPA listed the Final Abengoa Biorefinery Project EIS in its weekly notice of availability (75 FR 51458). The Final EIS reflects changes resulting from public comments, and, accordingly, the responses in the comment-response chapter identify sections of the Final EIS to which changes have been made. The Final EIS also reflects changes based on new and updated information. Substantive changes in the Final EIS are indicated by vertical change bars shown in the margins. DOE received one comment on the Final EIS from EPA, Region VII. EPA stated that DOE had adequately addressed the concerns expressed in EPA's comments on the Draft EIS.</P>
        <HD SOURCE="HD1">Proposed Action and Project Description</HD>
        <P>DOE's Proposed Action is to provide Federal funding of up to $71 million (2009 dollars), subject to annual appropriations, to Abengoa Bioenergy to support the design, construction, and startup of the biorefinery, whose total anticipated cost is approximately $685 million (2009 dollars).</P>
        <P>The biorefinery would be constructed on a 385-acre parcel near Hugoton, Kansas. Abengoa Bioenergy has optioned an additional 425 acres immediately east of the biorefinery parcel, between the biorefinery and the Hugoton city limits, as a buffer area. The optioned parcel would continue to be used as agricultural land, and might be used to test production of biomass feedstocks.</P>
        <P>The biomass-to-ethanol and -energy facility proposed by Abengoa Bioenergy would use lignocellulosic biomass (biomass) as feedstock to produce biofuels. Biomass, including corn stover, wheat straw, milo stubble, mixed warm season grasses (such as switchgrass), and other available materials, would be harvested as feedstock and fermented to produce ethanol.</P>
        <P>The biorefinery would also produce biopower, or bioenergy, in the form of electricity. The bioenergy generation facilities co-located at the site would use direct-firing (that is, using the biomass as a solid fuel in a boiler) to produce steam. Steam produced in the biomass boilers would be used for facility processes and to produce electricity.</P>
        <P>Under the Proposed Action, the biorefinery would process approximately 2,500 dry short tons per day of feedstock, which would be obtained from producers within 50 miles of the Biorefinery Project site. The biorefinery would produce up to 19 million gallons of denatured ethanol per year and 125 megawatts of electricity. Seventy-five megawatts of electricity would be sold commercially.</P>
        <P>Construction of the biorefinery would take approximately 18 months and would require infrastructure improvements, such as construction of site roads that would tie to Rural Road P, a 1.5-mile-long electrical transmission line, and an approximately 0.5-mile railroad spur on the Biorefinery Project site that would tie into the Cimarron Valley Railroad. Temporary connections to utilities would include electricity, cable, telephone, and a nonpotable water line. Temporary potable water and sanitary facilities would be provided onsite until construction of permanent, onsite facilities.</P>
        <P>Harvested bales of biomass would be transported to a 10-acre onsite storage yard or to one of seven offsite storage sites to be located within 30 miles of the Biorefinery Project site. Each offsite storage location would be about 160 acres and would have no permanent structures. Combined, these sites would store enough biomass to support biorefinery operations for up to 1 year. Bales of corn stover and other biomass ready to be processed at the biorefinery would be transported to a bale barn and sent by conveyor for grinding and cleaning. The ground feedstock would then enter the production process or be stored temporarily in silos onsite. In addition, wood waste would be used as boiler fuel to generate electricity. Up to 1,000 tons per day would be brought from various sources by rail and truck to the biorefinery.</P>
        <P>The ethanol production process would involve the following steps: (1) Enzymatic hydrolysis and fermentation, (2) distillation and dehydration, and (3) ethanol denaturization and storage. During hydrolysis and fermentation, the feedstock would be treated with enzymes and genetically modified organisms (enzymatic hydrolysis) to simultaneously break down the cellulose and ferment the recovered sugars. The resulting “beer,” which would be 4 to 5 percent ethanol at that point, would then be distilled and dehydrated to remove water and residual solids. Distillation would also destroy genetically modified and other organisms.</P>
        <P>The facility design incorporates two 45,200-gallon-capacity shift tanks to hold the anhydrous ethanol produced during each 8-hour shift. The storage tanks would be enclosed in a bermed area to contain spills. Gasoline would be added to denature the ethanol and make it unfit for human consumption prior to temporary storage and loading of the product into tanker railcars for shipment.</P>
        <P>Solids would be recovered from the distillation process. Approximately 120,000 dry short tons of solids, referred to as lignin-rich stillage cake, would be produced per year. The stillage cake would be transferred by conveyor to an onsite third-party lignin producer. After extracting the lignin, the lignin producer would return the lignin-poor stillage cake to the biorefinery and Abengoa Bioenergy would use it as fuel for the solid biomass boilers. Until a lignin extraction facility is built, Abengoa would burn the lignin-rich stillage cake as solid fuel in the biomass boilers. As an option, Abengoa could use lignin-rich stillage cake as fuel for the solid biomass boiler during the life of the biorefinery.</P>
        <P>The biomass receiving, grinding, and storage operations would be an enclosed system with a high-velocity, positive pressure collection system to transfer airborne particles to a dirt loadout tank. The loadout tank, grinding activities, and associated transfer points would have fabric filter dust collectors (baghouses). Volatile organic matter released during processing would be captured in a vent scrubber.</P>
        <P>Approximately 1,900 dry short tons per day of biomass feedstock would be supplied to the boilers. The biomass boilers would also burn much of the waste resulting from ethanol production, including fines collected during milling, stillage cake, and syrup from the distillation process. These processes would produce approximately 127,000 tons of ash annually. This ash would contain potassium and phosphorus and would be marketed to the contracted feedstock producers as a soil amendment. If there is no market for the ash, it would be sent to landfills.</P>
        <HD SOURCE="HD1">Alternatives</HD>
        <P>In addition to the Proposed Action, the EIS analyzes an Action Alternative and the No Action Alternative.</P>
        <HD SOURCE="HD2">Action Alternative</HD>

        <P>Under the Action Alternative, DOE would provide Federal funding to support the design, construction and startup of a biorefinery that would use a two-stage process to produce fermentable sugars for bioethanol production and that would produce syngas using a gasification system. A syngas boiler as well as the biomass boilers would produce steam. Steam would be used for ethanol production<PRTPAGE P="2099"/>processes and electricity production. Under the Action Alternative, the biomass boilers and the turbines would be used to generate electricity solely to operate the plant and would be smaller than those for the Proposed Action.</P>
        <P>The biorefinery would produce approximately 12 million gallons per year of denatured ethanol, 19,000 short tons per year of lignin-rich stillage cake, and 20 megawatts of electricity for use at the facility.</P>
        <P>The milling process for the Proposed Action and Action Alternative is the same. Once milled, the feedstock would be pretreated with dilute acid to remove hemicellulose and pectin (the Proposed Action is a one stage process and does not include two pretreatment stages as does the Action Alternative). It is this pretreatment step and the subsequent processing of the fractionated biomass where the two-stage process differs from the one-stage process described in the Proposed Action. After this pretreatment, two types of hydrolysate or pretreated biomass would be processed in two separate steps. One type contains a hydrolysate primarily consisting of hemicellulose and pectin, which would be further saccharified to fermentable sugars; these simple sugars would then be fermented to ethanol. The second type includes the cellulose-rich, lignin-rich fiber hydrolysate, which would be further processed with enzymes to produce simple sugars that would be simultaneously fermented to ethanol. Each separate step produces beers containing between 4 and 5 percent ethanol and both beers would be conveyed to distillation operations for purification. Volatile organic matter released during both of these processes would be captured in a vent scrubber.</P>
        <P>Approximately 71,000 dry short tons per year of soluble and insoluble solids would be recovered from the bottom of the distillation column. The soluble solids would be concentrated to a thin stillage syrup in an evaporator and would be combusted in the biomass boilers. About 130 dry short tons per day of insoluble, lignin-rich stillage cake would be transferred to an onsite processing facility for extraction of lignin. After the lignin was extracted, the lignin producer would return the lignin-poor stillage cake to the biorefinery, and Abengoa Bioenergy would use it as fuel for the solid biomass boiler. Until a lignin extraction facility is built, Abengoa would burn the lignin-rich stillage cake as solid fuel in the biomass boiler. If recovery of lignin is not economically feasible, the lignin-rich stillage cake would be used as fuel in the biomass boiler.Denaturing the produced ethanol and loadout for the Proposed Action and Action Alternative would be the same.</P>
        <P>Syngas produced in the gasification plant under the Action Alternative would be used to operate a fire-tube boiler to produce steam. A small biomass solids boiler would also produce steam to power the biorefinery process operations only. Steam would be used to operate a small turbine that would produce 20 megawatts of power.</P>
        <HD SOURCE="HD2">No-Action Alternative</HD>
        <P>Under the No-Action Alternative, DOE would not provide Federal funding to Abengoa Bioenergy to support the design, construction, and startup of a biorefinery. Abengoa would not build a biorefinery and the biorefinery parcel would remain agricultural land. The Department recognizes, however, that Abengoa could pursue alternative sources of capital for development of the biorefinery.</P>
        <HD SOURCE="HD1">Potential Environmental Impacts of the Proposed Action</HD>
        <P>In making its decision, DOE considered the environmental impacts of the Proposed Action, Action Alternative, and the No-Action Alternative on potentially affected resource areas. These include: land use; air quality; hydrology; biological resources; utilities, energy, and materials; wastes, byproducts, and hazardous materials; transportation; aesthetics; socioeconomics; cultural resources; health and safety; and environmental justice. DOE also considered potential impacts on these resources from accidents and acts of sabotage. No wetlands would be filled and no floodplains would be affected. The EIS also considered cumulative impacts, that is, impacts from the Project combined with those from other past, present, and reasonably foreseeable future actions. The following sections discuss the potential impacts.</P>
        <HD SOURCE="HD2">Land Use</HD>
        <P>Operation of the biorefinery would require approximately 880,000 dry short tons of lignocellulosic feedstock per year. Abengoa Bioenergy anticipates that, at the start of operations, the primary feedstock would be corn stover, with secondary feedstocks consisting of grain sorghum stover, wheat straw, and mixed warm season grasses. Approximately 20 percent of the total feedstock demand would consist of corn stover for cellulosic ethanol production, with the remaining 80 percent consisting of any combination of feedstocks for bioenergy production.</P>
        <P>DOE conservatively estimates that the total annual demand for crop residue by the biorefinery would equal about 60 percent of the targeted crop residues that could be sustainably removed from the 50-mile region surrounding the Biorefinery Project site. The demand for corn residue for ethanol production would be about 20 percent of the amount that could be sustainably removed from irrigated corn acreage. Thus, production of targeted crop residues exceeds biorefinery demand and Abengoa would have flexibility in feedstock procurement. DOE anticipates the demand for crop residue by the biorefinery would have a negligible impact on changes in land use type, including use of lands in the Conservation Reserve Program, because there would be no incentive to alter land use type for the purpose of meeting demand.</P>
        <P>Over time, it is anticipated that mixed warm season grasses (such as switchgrass) would replace corn residue as the primary feedstock for producing ethanol resulting in (1) beneficial environmental impacts where marginal cropland was converted, and (2) minimal environmental changes where land use types such as nonharvested cropland, former Conservation Reserve Program acreage, and pasture were converted. The beneficial environmental impacts of converting marginal cropland to mixed warm season grasses are related to establishment of a crop that is resistant to many pests and plant diseases; uses relatively less water, fertilizer, and pesticides; and establishes deep roots that store carbon in the soil. Increased mixed warm season grasses production would not be expected to result in an adverse impact to land enrolled in the Conservation Reserve Program.</P>
        <P>Contracts between Abengoa Bioenergy and producers of biomass would include a requirement that crop residues would be harvested in accordance with U.S. Department of Agriculture guidelines for minimizing wind erosion. DOE concludes that, on a regional basis, removing crop residue following these guidelines would have a negligible adverse impact on soil organic matter content. On a field-by-field basis, crop residue removal would have a negligible to minor adverse impact on soil organic matter content. Any adverse impact to soil organic matter content would be limited to land for which the producer was compensated for residue removal.</P>

        <P>Development of the biorefinery would result in the irreversible conversion of 385 acres from agricultural to industrial use. The Proposed Action is consistent with existing land use and zoning at the<PRTPAGE P="2100"/>Project site. The reduction in irrigated farmland associated with the water rights Abengoa Bioenergy would transfer to industrial use at the biorefinery would be a negligible change in regional irrigated cropland.</P>
        <HD SOURCE="HD2">Air Quality</HD>
        <P>Construction of the biorefinery would cause emissions from various activities including use of heavy diesel-operated equipment, disturbance of the soil, grading activities, material transport, and material handling. These activities would be short term or intermittent in nature and would only occur during the 18-month construction phase. Best management practices would be employed to minimize these emissions.</P>

        <P>Concentrations of criteria pollutants estimated to be released during operation of the biorefinery would be well below the National Ambient Air Quality Standards. The estimated concentrations from the biorefinery, combined with ambient background concentrations of pollutants in the region, are about 67 percent of the National Ambient Air Quality Standard for 24-hour PM<E T="52">10</E>, 12 percent for nitrogen dioxide, and less than 10 percent of the standard for other pollutants. DOE concludes that air emissions would not harm human health and the environment.</P>
        <P>The biorefinery also would be a source of greenhouse gases, with carbon dioxide the most abundant. The boilers would be the main source of the greenhouse gases carbon dioxide, methane, and nitrous oxide. Biomass fermentation and distillation processes also would emit carbon dioxide. The total emissions of carbon dioxide equivalents (used to represent the contribution of all gases) from operation would be 3.61 million tons per year. According to the DOE Energy Information Administration, the total U.S. greenhouse gas emissions in 2008 was 7,775 million tons of carbon dioxide equivalents, with 6,409 million tons of the total from energy-related carbon dioxide. The projected greenhouse gas emissions from the biorefinery would be 0.046 percent of the total U.S. carbon dioxide equivalent value.</P>
        <P>Although the biorefinery would be a source of greenhouse gas emissions, operation of the biorefinery would provide a net reduction in greenhouse gas emissions when considering the emissions produced during the lifecycle of ethanol production and use relative to the lifecycle of gasoline production and use. To determine the level of greenhouse gas reduction from the Proposed Action, DOE used the Greenhouse gases, Regulated Emissions, and Energy use in Transportation (GREET) Model, developed by DOE's Argonne National Laboratory. The GREET Model examines “well-to-wheel” fuel lifecycles by considering factors such as producing raw materials for fuels, refining the raw materials into fuels, and using the fuel in vehicles.</P>
        <P>The Abengoa Biorefinery Project would reduce greenhouse gas emissions not only by producing a fuel that displaces gasoline, but also by producing power that displaces electricity from other electricity generating sources. The GREET Model combines these reductions and other factors into a single metric to express the net effect on lifecycle greenhouse gas emissions relative to a baseline scenario in which the biorefinery is not built. Because the majority of the electricity the biorefinery would produce would be exported rather than used for biorefinery operations, the greenhouse gases displaced by the biorefinery would be larger than the greenhouse gases emitted by biorefinery operations, thus causing a decrease in greenhouse gas emissions that exceeds 100 percent. As a comparison, if only enough electricity was produced to run the biorefinery (none would be sold to the grid), the percent reduction under the Proposed Action would be 69 percent as compared with the baseline where the biorefinery is not built and passenger vehicles use 100 percent conventional or reformulated gasoline.</P>
        <HD SOURCE="HD2">Hydrology</HD>
        <P>Wastewater, petroleum products, and hazardous chemicals would be generated by the biorefinery. Planned releases of wastewater would be limited to the non-contact wastewater that would be used for irrigation of the buffer area. Petroleum products and hazardous chemicals used during construction and operations would be managed within secondary containment on the site, and there are no surface waters in the nearby area that would be affected by accidental releases.</P>
        <P>Disturbed and built-up land areas would result in increased runoff; this runoff would be directed to natural low areas within the biorefinery parcel. Changes in infiltration would be minor and likely would be limited to small changes in the exact locations where infiltration would occur. Alterations to surface water drainage would be limited to minor changes within the 385-acre parcel and possibly within the buffer area. Natural low areas where runoff accumulates would not be altered. The Department concludes the potential for adverse impacts to surface waters from the Proposed Action is negligible.</P>
        <P>Construction of the biorefinery would require approximately 220 acre-feet of water, and operations would require about 2,900 acre-feet of water per year. DOE estimates that an additional 46 acre-feet of groundwater would be withdrawn per year by the city of Hugoton to meet the domestic needs of biorefinery workers, bringing the total annual estimated demand to support the biorefinery to approximately 2,950 acre-feet per year.</P>
        <P>Abengoa Bioenergy has optioned existing irrigation water rights from eight wells to meet the water demand for construction and operation of the biorefinery under the Proposed Action. The maximum permitted withdrawal associated with those water rights is about 7,240 acre-feet per year, and the total volume discharged from those wells in 2008 was about 4,380 acre-feet. Thus, use of those water rights for operation of the biorefinery would result in a reduction of more than 4,290 acre-feet compared with the permitted annual volume, and a reduction of more than 1,430 acre-feet compared with withdrawals during 2008. DOE concludes that operation of the biorefinery would result in a beneficial decrease in groundwater withdrawals from the High Plains aquifer.</P>
        <P>Changes in cropping practices as a result of the Proposed Action are not expected to occur. Further, increases in water withdrawals for agricultural purposes in Kansas are limited by State water appropriation regulations, although increases in Oklahoma and Colorado may be allowed. Thus, DOE concludes that changes in water use in the region resulting from changes in land use to meet the demand of the biorefinery for biomass are not expected to occur.</P>
        <P>Any spills of hazardous materials would be handled in accordance with a spill prevention, control, and countermeasures plan, which would minimize or eliminate potential impacts to the groundwater quality from construction and operation of the biorefinery.</P>
        <HD SOURCE="HD2">Biological Resources</HD>

        <P>There are no Federal- or state-endangered and/or threatened species, candidate species, or state species in need of conservation present or within 1 mile of the Biorefinery Project site. DOE concludes that construction and operation of the biorefinery would have no impacts on threatened or endangered species or their designated critical habitat.<PRTPAGE P="2101"/>
        </P>
        <P>To construct the biorefinery, the biorefinery parcel, which is currently used for dry-land farming, would be converted to industrial use. There would be some minor, short-term adverse impacts to biological resources from the construction and some minor, long-term adverse impacts from the operation of the biorefinery, but these impacts would affect only common species on or within 1 mile of the Biorefinery Project site. The analysis of potential changes in land use resulting from the Proposed Action indicated that conversion of Conservation Reserve Program lands to tilled cropland from the Proposed Action is not expected, and other changes in land use would be minimal. Thus, DOE does not expect the Proposed Action to impact biological resources within the region surrounding the Project site.</P>
        <HD SOURCE="HD2">Utilities, Energy, and Materials</HD>
        <P>Biorefinery workers and their families would rely on the city of Hugoton water system, the city of Hugoton sewage system, and the Stevens County landfill. The Hugoton water system also would supply potable water for the biorefinery facilities. Anticipated demands are well below the excess capacity of the City water system. The sewage collection system in Hugoton has sufficient capacity to accommodate use of the system by construction and operations workers and their families. In addition, the Stevens County landfill has enough capacity to handle the increase in solid waste during construction and operations due to the influx of workers and their families living in Hugoton.</P>
        <P>The biorefinery would require no electric power from the regional grid during operations. Rather, the biorefinery would supply 75 megawatts of electricity to the grid during normal operations, which equals 5.8 percent of the production capacity in the western-central region of Kansas, but only about 0.2 percent of current summer demand in the Southwest Power Pool. The amount of natural gas and diesel fuel required for normal operation of the biorefinery is approximately 0.1 and 0.05 percent, respectively, of the amounts of these fuels used in Kansas and would not adversely impact their supply and distribution in the region.</P>
        <P>The Proposed Action would involve a commitment of building materials. With the possible exception of stainless steel, these materials would be available and their procurement would not decrease availability to other users in regional markets. Components used in stainless steel production (such as chromium and nickel) are in high demand and, at times, affect availability of stainless steel. However, the amount of stainless steel required for construction of the biorefinery is a very small portion of the amount that moves through the U.S. market annually.</P>
        <HD SOURCE="HD2">Wastes, Byproducts, and Hazardous Materials</HD>
        <P>The wastes and byproducts the biorefinery would produce include construction wastes, wastewater, solid biomass boiler ash, distiller's residual biomass solids (stillage cake), stillage syrup, wastewater treatment facility sludge, lignin, genetically modified organisms, dirt and fines resulting from biomass processing, municipal solid waste, and hazardous waste.</P>
        <P>Solid biomass boiler ash and lignin are byproducts that could be sold to consumers within the 50-mile region of influence. Abengoa Bioenergy would burn stillage cake, dirt and fines from biomass processing, and genetically modified organisms in the solid biomass boilers as part of the Proposed Action. Domestic and process wastewater would be treated in the onsite wastewater treatment facilities, and treated process wastewater would be recycled in the ethanol production process. Wastewater treatment facility sludge would be used in the boiler fly ash pelletization process or burned in the solid biomass boilers. Abengoa would use non-contact wastewater for crop irrigation on the buffer area, and would treat, recycle, and/or dispose of boiler bottom ash, municipal solid waste, hazardous waste, and construction debris at permitted facilities within the region of influence.</P>
        <P>The Stevens County landfill would not have adequate capacity to receive the construction wastes generated and maintain its small arid landfill exempt permit status (limited to 20 tons per day); revising that permit would be expensive. The non-recycled construction waste streams would be split among other permitted landfills and transfer stations within 35 miles of the biorefinery without significantly affecting their capacity. Less than 1 ton per day of municipal solid waste would be generated during the expected 30-year operating life of the biorefinery and would be sent to the Stevens County landfill. This waste stream would be about a 3 percent increase to the landfill's current waste stream and would reduce the life of the landfill by less than 1 year.</P>
        <P>The onsite wastewater treatment facility would treat all process wastewater generated at the Biorefinery Project site and would not discharge any to the Hugoton wastewater system. Wastewater treated onsite would be reused in the ethanol production process. Wastewater that would not be recycled and reused in the production process or treated onsite (non-contact wastewater) would be produced at a rate of 370 gallons per minute and would be used to irrigate biomass crops on the buffer area. This water would be conveyed to two 11.5-acre storage ponds prior to application to the buffer area. Wastewater treatment facility sludge would be used in the boiler fly ash pelletization process or burned in the solid biomass boilers. Based on an agronomy study, the chemical composition of the wastewater and the anticipated stipulations of a required discharge permit, DOE does not anticipate adverse impacts from the land application of wastewater, including odor or aesthetic impacts. Abengoa Bioenergy would have to modify the facility water balance and wastewater treatment facility design if lignin was extracted from the stillage cake, thereby generating additional wastewater.</P>
        <P>Chemicals required for operation of the biorefinery would be received by truck or rail and off-loaded and transferred by an enclosed chemical delivery system to storage tanks, silos, or other chemical storage facilities. Chemicals would have to be obtained from outside the region. The demand for chemicals for the biorefinery would be an insignificant percentage of the production in the United States.</P>
        <P>The Project would generate 2,000 pounds per year of hazardous waste (for example, spent solvents, waste ethanol, and caustics). Those wastes would be collected and treated/disposed of by licensed hazardous waste facilities. DOE does not anticipate adverse impacts from the handling and disposal of hazardous wastes generated at the biorefinery because Abengoa Bioenergy's proposed hazardous waste management practices will be implemented.</P>
        <P>Genetically modified organisms used in the enzymatic hydrolysis process would be killed by a heat sterilization process and would be contained in the beer column bottoms. The bottoms stream would be dewatered and the residual solids sent to the solid biomass boiler for burning.</P>

        <P>The solid biomass boilers would generate up to 16 tons of bottom ash per day. The bottom ash would be sent to the Seward County landfill. Disposal of the bottom ash at this landfill over the life of the biorefinery would reduce the life of permitted landfill space by about 2.2 years. In addition, the solid biomass boilers would generate up to 350 tons of fly ash per day. Abengoa Bioenergy plans to sell the fly ash as a nutrient<PRTPAGE P="2102"/>replacement co-product to biomass producers in the region. If the ash could not be sold or otherwise used in a beneficial manner, it would require disposal at permitted solid waste disposal facilities. The Stevens County landfill does not have adequate capacity to receive this amount of ash without a permit modification, so this waste stream would be split among permitted landfills and transfer stations within 35 miles of the biorefinery. However, impacts on existing permitted solid waste disposal facilities could be problematic if a significant percentage of the boiler fly ash was not marketable as a soil amendment byproduct. The loss of land used for landfill disposal of solid wastes generated during construction and operation of the biorefinery would be an irreversible and irretrievable loss of resources.</P>
        <HD SOURCE="HD2">Transportation</HD>
        <P>There would be approximately 32,000 truck shipments of materials during construction, and about 80,000 to 116,000 truck and 1,300 to 6,600 rail shipments per year during the 30-year operating period of the biorefinery. DOE estimates there would be 35 to 41 traffic fatalities during the 30-year operations period due to these shipments and the commuting of workers, the majority (32 to 38) of which would be due to shipments of biomass, chemicals, denatured ethanol product, and waste. For perspective, over the 30-year operations period, there would be an estimated 13,400 traffic fatalities in Kansas and 820 traffic fatalities in the nine counties surrounding the Project site.</P>
        <P>DOE estimates that 1,075 rail carloads of denatured ethanol and waste and 211 to 5,554 rail carloads of biomass and chemicals would be shipped to and from the biorefinery per year of operation, which is equivalent to about 49 to 241 additional trains per year. This would result in an increase in the approximately 600 trains per year that travel on the Cimarron Valley Railroad, but is less than the capacity of 40 to 60 trains per day on that line. Thus, the additional rail traffic for the Proposed Action would not adversely affect the operations of the Cimarron Valley Railroad.</P>
        <P>Increased truck traffic would result in increased pavement deterioration. For biomass, chemical, and waste shipments associated with the Proposed Action, DOE estimated the annual cost of this pavement damage to range from $580,000 to $840,000.</P>
        <HD SOURCE="HD2">Aesthetics</HD>
        <P>DOE considered the potential impacts of the Abengoa Biorefinery Project on views in the area surrounding the Biorefinery Project site and evaluated how noise and odor from the biorefinery could affect residents in the area.</P>
        <P>Visual Resources—The tallest structure at the biorefinery considered under the Proposed Action would be approximately 115 feet, but many of the other structures would be 40 feet tall or less. The biorefinery would be visually similar to the grain storage silos and elevators, chemical tanks, and other structures located adjacent to the Biorefinery Project site and would be visible from surrounding vantage points, such as the city of Hugoton and the Forewinds Golf Course. The Proposed Action would require a new 1.5-mile-long transmission line that would be visible from Road P and Road 11 near the Biorefinery Project site, but would result in minimal visual impacts to viewers from a distance.</P>
        <P>The biorefinery would operate 24 hours a day, 350 days a year, and thus would be a source of night lighting.</P>
        <P>Noise—Workers would be exposed to noise during construction from construction equipment and trucks traveling to and from the biorefinery construction site. Workers would also be exposed to noise from equipment and biorefinery processes during operations. Best management practices would be employed to limit noise, and a hearing conservation program would be implemented; therefore, permissible noise exposure levels are not expected to be exceeded.</P>
        <P>The nearest residence to the Biorefinery Project site, approximately 0.6 mile away, may experience some annoyance from construction noise. The noise level at that distance would be approximately 56 decibels which is approximately the same noise level as a normal conversation.</P>
        <P>In addition to being temporary, EPA states that this noise level should not interfere with daily activities such as conversation, working, or recreation. As such, the impact would be small. At 0.6 mile, noise from wood hog operations could be distinguishable from other background sources of noise. Noise from biorefinery operations would attenuate to below background levels beyond 0.6 mile. Therefore, except for the residence at the northwest property boundary, DOE does not anticipate impacts to members of the public from construction or operation of the biorefinery due to noise.</P>
        <P>During construction, there would be about 70 truck shipments to the biorefinery site per day, or about one truck arriving every 12 minutes (assuming all traffic occurs from 7 a.m. to 9 p.m.). During operations, 202 trucks per day are expected (one truck every 4 minutes). The routes taken by those trucks through and around Hugoton would vary, but it is anticipated that at least 50 percent of the traffic (one truck every 8 minutes during operations) would use the truck bypass and affect two residences along Road Q. Along a route that passes the Stevens County Hospital, several schools, and places of worship, trucks are anticipated to pass at a rate of one every 21 minutes during operations. Noise from these passing trucks would frequently interfere with outdoor conversations and cause annoyance indoors. Rail traffic would increase by about 255 trains per year. Most of the rail shipments would carry wood waste and are expected to occur on weekdays during normal working daylight hours.</P>
        <P>Odor—Odors may result from emissions of volatile organic compounds, including ethanol, and hazardous air pollutants, and from nitrogen dioxide and sulfur dioxide. Engineered controls implemented to minimize these emissions would reduce odors from the biorefinery. Air dispersion modeling indicates that no odorous compounds would be detected at the biorefinery parcel fence line or offsite locations where the public would commonly be located. Therefore, DOE anticipates no impacts to the public from the release of odorous compounds.</P>
        <HD SOURCE="HD2">Socioeconomics</HD>
        <P>DOE evaluated the potential impacts of construction and operation of the biorefinery on socioeconomic variables, including population and housing, employment and income, taxes, and public services, in Stevens County and the three surrounding counties; that is, Morton and Seward counties in Kansas and Texas County in Oklahoma.</P>

        <P>The Proposed Action would require 256 workers at the peak of construction. About 190 of those positions likely would be filled by people who would migrate into the four-county region, which would result in a temporary increase in the population in the region of less than 1 percent and would have little impact on the availability or cost of housing or on public services. In addition to the jobs directly associated with the construction of the biorefinery, 88 indirect jobs are expected to be created during the peak period of construction. DOE estimates that during construction, there would be about 110 additional students enrolled in local school districts. This represents a 1.0<PRTPAGE P="2103"/>percent increase in enrollment in the region. During the 12-month period of the most-intense construction activity, the region could experience an approximately $17-million infusion of earnings, which equals about 1 percent of the 2006 per capita income in the region.</P>
        <P>The anticipated life of the biorefinery is 30 years, during which it would employ 43 people. This would result in a regional increase in the local population of less than 0.1 percent, and would have little or no impact on housing, public services, or educational services. During operations, the region would experience an annual $4.4 million infusion in earnings. In addition, 23 indirect jobs are expected to be created during the operations phase.</P>
        <HD SOURCE="HD2">Cultural Resources</HD>
        <P>No properties listed on the National Register of Historic Places are within or on properties adjoining the Biorefinery Project site. Based on DOE review of published information, coordination with the State Historic Preservation Officer, and the results of a Phase I/II investigation of a 160-acre portion (areas investigated were coordinated with the State Historic Preservation Officer) of the Project site, construction and operation of the biorefinery would not result in adverse impacts to State-preserved or National Historic Register sites, sites of prehistoric or early historic occupation, or historic resources of local significance. When selected, offsite biomass storage locations will be evaluated for cultural resources in coordination with the Kansas State Historical Preservation Office to ensure no adverse impacts.</P>
        <HD SOURCE="HD2">Health and Safety</HD>
        <P>DOE estimated health and safety impacts to workers from industrial hazards using incidence rates for 2007 for both nonfatal occupational injuries and occupational fatalities from the U.S. Department of Labor, Bureau of Labor Statistics. Members of the public would not be located within the Biorefinery Project site and would not be affected by industrial hazards at the biorefinery.</P>
        <P>The potential for adverse impacts to health and safety from the Proposed Action would be very minor. During construction, the industrial health and safety impacts to workers are estimated to be 14 total recordable cases (that is, work-related deaths, illnesses, or injuries that result in the loss of consciousness, days away from work restricted work activity or job transfer, or required medical treatment beyond first aid), 7 days away from work, and 0.026 fatality. During operations, the total annual industrial health and safety impacts to workers from all operations at the biorefinery (such as, ethanol manufacturing, milling and grinding operations, and electric power generation) are estimated to be 2.7 total recordable cases, 0.94 day away from work, and 0.0014 fatality. Based on these results, DOE concludes that a fatality would be unlikely. No adverse health impacts to members of the public from air emissions under normal operations are anticipated.</P>
        <HD SOURCE="HD2">Facility Accidents and Sabotage</HD>
        <P>Based on the operational history of existing ethanol plants, DOE concludes that the hazards of ethanol production to members of the public are minor, and that accidents during biorefinery operations are not likely to result in permanent health effects to offsite members of the public. In some accident scenarios, such as the failure of an ethanol or gasoline storage tank, workers could be injured or killed depending on the location of the worker at the time of the event.</P>
        <P>DOE considered the most hazardous intentional destructive act to be the deliberate destruction of a toxic chemical storage tank. The consequences of such an act would be similar to the accidental failure of a toxic chemical tank and would be limited to injury and, in unlikely circumstances, death to nearby workers.</P>
        <HD SOURCE="HD2">Environmental Justice</HD>
        <P>No impacts to communities with high percentages of minority or low-income populations were identified that would exceed those identified for the general population. In addition, during the scoping process, DOE identified no unique exposure pathways, sensitivities, or cultural practices that would result in different impacts on minority or low-income populations. Dispropor