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  <VOL>76</VOL>
  <NO>79</NO>
  <DATE>Monday, April 25, 2011</DATE>
  <UNITNAME>Contents</UNITNAME>
  <CNTNTS>
    <AGCY>
      <EAR/>
      <PRTPAGE P="iii"/>
      <HD>Advisory Council on Historic Preservation</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Historic Preservation, Advisory Council</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Agriculture</EAR>
      <HD>Agriculture Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Animal and Plant Health Inspection Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Food and Nutrition Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Forest Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Grain Inspection, Packers and Stockyards Administration</P>
      </SEE>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Wetland Conservation,</DOC>
          <PGS>22785</PGS>
          <FRDOCBP D="0" T="25APR1.sgm">2011-9870</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>22862</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9886</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Animal</EAR>
      <HD>Animal and Plant Health Inspection Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Environmental Assessments; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Determination of Nonregulated Status for Altered Color Roses, Florigene Pty., Ltd.,</SJDOC>
          <PGS>22862</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">C1--2011--8775</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Army</EAR>
      <HD>Army Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Engineers Corps</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Census Bureau</EAR>
      <HD>Census Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Census Employment Inquiry,</SJDOC>
          <PGS>22864-22865</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9908</FRDOCBP>
        </SJDENT>
      </CAT>
    </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>22902-22903</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9922</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Coast Guard</EAR>
      <HD>Coast Guard</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Safety Zones:</SJ>
        <SJDENT>
          <SJDOC>Bay Ferry II Maritime Security Exercise; San Francisco Bay, San Francisco, CA,</SJDOC>
          <PGS>22809-22812</PGS>
          <FRDOCBP D="3" T="25APR1.sgm">2011-9891</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Sea World Fireworks; Mission Bay, San Diego, CA,</SJDOC>
          <PGS>22812-22814</PGS>
          <FRDOCBP D="2" T="25APR1.sgm">2011-9893</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commerce</EAR>
      <HD>Commerce Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Census Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Industry and Security Bureau</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>Patent and Trademark Office</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Commodity Futures</EAR>
      <HD>Commodity Futures Trading Commission</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Swap Data Recordkeeping and Reporting Requirements:</SJ>
        <SJDENT>
          <SJDOC>Pre-Enactment and Transition Swaps,</SJDOC>
          <PGS>22833-22848</PGS>
          <FRDOCBP D="15" T="25APP1.sgm">2011-9446</FRDOCBP>
        </SJDENT>
      </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>22877-22878</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9961</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Defense Department</EAR>
      <HD>Defense Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Engineers Corps</P>
      </SEE>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Privacy Act; Implementation,</DOC>
          <PGS>22807-22809</PGS>
          <FRDOCBP D="1" T="25APR1.sgm">2011-9747</FRDOCBP>
          <FRDOCBP D="1" T="25APR1.sgm">2011-9748</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Alternative Dispute Resolution and Conflict Management,</DOC>
          <PGS>22848-22849</PGS>
          <FRDOCBP D="1" T="25APP1.sgm">2011-9750</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Unclassified Controlled Nuclear Information,</DOC>
          <PGS>22849-22854</PGS>
          <FRDOCBP D="5" T="25APP1.sgm">2011-9751</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Defense Transportation Regulation, Part IV,</DOC>
          <PGS>22878</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9949</FRDOCBP>
        </DOCENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Threat Reduction Advisory Committee,</SJDOC>
          <PGS>22878-22879</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9950</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Delaware</EAR>
      <HD>Delaware River Basin Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings,</DOC>
          <PGS>22880-22882</PGS>
          <FRDOCBP D="2" T="25APN1.sgm">2011-9914</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Department of Transportation</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Pipeline and Hazardous Materials Safety Administration</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Employment and Training</EAR>
      <HD>Employment and Training Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Affirmative Determinations Regarding Applications for Reconsideration:</SJ>
        <SJDENT>
          <SJDOC>JLG Industries, Inc., Hagerstown, MD,</SJDOC>
          <PGS>22922-22923</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9911</FRDOCBP>
        </SJDENT>
        <SJ>Amended Certifications Regarding Eligibility to Apply for Worker Adjustment Assistance:</SJ>
        <SJDENT>
          <SJDOC>Wellpoint, Inc.,</SJDOC>
          <PGS>22923-22924</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9912</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Engineers</EAR>
      <HD>Engineers Corps</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Environmental Impact Statements; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Update of the Shoreline Management Plan and Supplement to the Master Plan; Eufaula Lake, OK,</SJDOC>
          <PGS>22879-22880</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9902</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Environmental Protection</EAR>
      <HD>Environmental Protection Agency</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Approval and Promulgation of Air Quality Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>South Carolina; Update to Materials Incorporated by Reference,</SJDOC>
          <PGS>22817-22821</PGS>
          <FRDOCBP D="4" T="25APR1.sgm">2011-9689</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Virginia; Adoption of the Revised Lead Standards and Related Reference Conditions and Update of Appendices,</SJDOC>
          <PGS>22814-22817</PGS>
          <FRDOCBP D="3" T="25APR1.sgm">2011-9697</FRDOCBP>
        </SJDENT>
        <SJ>Approval and Promulgation of State Plans for Designated Facilities and Pollutants:</SJ>
        <SJDENT>
          <SJDOC>Florida; Jefferson County, KY; Forsyth, Mecklenburg, and Buncombe Counties, NC and South Carolina,</SJDOC>
          <PGS>22822-22825</PGS>
          <FRDOCBP D="3" T="25APR1.sgm">2011-9844</FRDOCBP>
        </SJDENT>
        <SJ>Mandatory Reporting of Greenhouse Gases:</SJ>
        <SJDENT>
          <SJDOC>Petroleum and Natural Gas Systems; Grant of Reconsideration,</SJDOC>
          <PGS>22825-22827</PGS>
          <FRDOCBP D="2" T="25APR1.sgm">2011-10026</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Approval and Promulgation of State Plans for Designated Facilities and Pollutants:</SJ>
        <SJDENT>
          <SJDOC>Florida, Jefferson County, KY, Forsyth, Mecklenburg, and Buncombe Counties, NC, and South Carolina,</SJDOC>
          <PGS>22861</PGS>
          <FRDOCBP D="0" T="25APP1.sgm">2011-9848</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Draft National Pollutant Discharge Elimination System General Permit for Stormwater Discharges from Construction Activities,</DOC>
          <PGS>22882-22891</PGS>
          <FRDOCBP D="9" T="25APN1.sgm">2011-9929</FRDOCBP>
        </DOCENT>
        <PRTPAGE P="iv"/>
        <SJ>National Pollutant Discharge Elimination System:</SJ>
        <SJDENT>
          <SJDOC>Modification to 2008 General Permit for Stormwater Discharges Associated with Construction Activities,</SJDOC>
          <PGS>22891-22895</PGS>
          <FRDOCBP D="4" T="25APN1.sgm">2011-9926</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Equal</EAR>
      <HD>Equal Employment Opportunity Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>22895-22899</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9943</FRDOCBP>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9946</FRDOCBP>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9947</FRDOCBP>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9948</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Aviation</EAR>
      <HD>Federal Aviation Administration</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Airworthiness Directives:</SJ>
        <SJDENT>
          <SJDOC>Boeing Co. Model 737-700 Series Airplanes,</SJDOC>
          <PGS>22828-22830</PGS>
          <FRDOCBP D="2" T="25APP1.sgm">2011-9894</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Sicma Aero Seat 88xx, 89xx, 90xx, 91xx, 92xx, 93xx, 95xx, and 96xx Series Passenger Seat Assemblies,</SJDOC>
          <PGS>22830-22833</PGS>
          <FRDOCBP D="3" T="25APP1.sgm">2011-9942</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Emergency</EAR>
      <HD>Federal Emergency Management Agency</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>National Advisory Council,</SJDOC>
          <PGS>22911-22912</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9901</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Motor</EAR>
      <HD>Federal Motor Carrier Safety Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Qualification of Drivers; Exemption Applications; Diabetes Mellitus,</DOC>
          <PGS>22940-22942</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9896</FRDOCBP>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9897</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Reserve</EAR>
      <HD>Federal Reserve System</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Truth in Lending,</DOC>
          <PGS>22948-23040</PGS>
          <FRDOCBP D="92" T="25APR2.sgm">2011-8843</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Proposals to Engage in Permissible Nonbanking Activities or Acquire Companies that are Engaged in Permissible Nonbanking Activities,</DOC>
          <PGS>22899</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9909</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food and Drug</EAR>
      <HD>Food and Drug Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Medical Devices:</SJ>
        <SJDENT>
          <SJDOC>Reclassification of the Topical Oxygen Chamber for Extremities,</SJDOC>
          <PGS>22805-22807</PGS>
          <FRDOCBP D="2" T="25APR1.sgm">2011-9899</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Draft Guidance for Industry and Food and Drug Administration Staff; Availability:</SJ>
        <SJDENT>
          <SJDOC>Establishing a Tobacco Product Was Commercially Marketed as of February 15, 2007,</SJDOC>
          <PGS>22903-22904</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9939</FRDOCBP>
        </SJDENT>
        <SJ>Food Additive Petitions (Animal Use):</SJ>
        <SJDENT>
          <SJDOC>Ferm Solutions, Inc.; Erythromycin Thiocyanate,</SJDOC>
          <PGS>22904-22905</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9913</FRDOCBP>
        </SJDENT>
        <SJ>Guidance for Food and Drug Administration Staff and Tobacco Retailers; Availability:</SJ>
        <SJDENT>
          <SJDOC>Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers,</SJDOC>
          <PGS>22905-22906</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9938</FRDOCBP>
        </SJDENT>
        <SJ>Guidance for Industry and Food and Drug Administration Staff; Availability:</SJ>
        <SJDENT>
          <SJDOC>Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities,</SJDOC>
          <PGS>22906-22907</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9898</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food and Nutrition</EAR>
      <HD>Food and Nutrition Service</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Direct Certification and Certification of Homeless, Migrant and Runaway Children for Free School Meals,</DOC>
          <PGS>22785-22802</PGS>
          <FRDOCBP D="17" T="25APR1.sgm">2011-9457</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Forest</EAR>
      <HD>Forest Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Colville Resource Advisory Committee,</SJDOC>
          <PGS>22862-22863</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9862</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Kern and Tulare Counties Resource Advisory Committee,</SJDOC>
          <PGS>22863</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9963</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>General Services</EAR>
      <HD>General Services Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Discontinuance of Looseleaf Version of Federal Management Regulation and Federal Travel Regulation,</DOC>
          <PGS>22899</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9959</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Grain Inspection</EAR>
      <HD>Grain Inspection, Packers and Stockyards Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Designation for the Lewiston, ID Area,</DOC>
          <PGS>22863-22864</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9940</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Health and Human</EAR>
      <HD>Health and Human Services Department</HD>
      <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>Federal Health IT Strategic Plan: 2011-2015,</DOC>
          <PGS>22899-22900</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9941</FRDOCBP>
        </DOCENT>
        <SJ>Petitions to Designate a Class of Employees for Inclusion in the Special Exposure Cohort:</SJ>
        <SJDENT>
          <SJDOC>Ames Laboratory, Ames, IA,</SJDOC>
          <PGS>22900</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9928</FRDOCBP>
        </SJDENT>
        <SJ>Request for Information:</SJ>
        <SJDENT>
          <SJDOC>Public or Private Entities with an Interest in Biovigilance,</SJDOC>
          <PGS>22900-22902</PGS>
          <FRDOCBP D="2" T="25APN1.sgm">2011-9966</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Historic</EAR>
      <HD>Historic Preservation, Advisory Council</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>ACHP Quarterly Business,</SJDOC>
          <PGS>22910</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9760</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Homeland</EAR>
      <HD>Homeland Security Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Coast Guard</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Emergency Management Agency</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>U.S. Customs and Border Protection</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>CyberForensics Electronic Technology Clearinghouse Program,</SJDOC>
          <PGS>22910-22911</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9933</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Housing</EAR>
      <HD>Housing and Urban Development Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Emergency Homeowners' Loan Program Data Elements,</SJDOC>
          <PGS>22913</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9953</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Indian Affairs</EAR>
      <HD>Indian Affairs Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Alcoholic Beverage Control Ordinance of the Paiute Tribe of Utah,</DOC>
          <PGS>22913-22917</PGS>
          <FRDOCBP D="4" T="25APN1.sgm">2011-9900</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Industry</EAR>
      <HD>Industry and Security Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Order Renewing Temporary Denial of Export Privileges:</SJ>
        <SJDENT>
          <SJDOC>Orion Air, S.L. and Syrian Pearl Airlines,</SJDOC>
          <PGS>22865-22867</PGS>
          <FRDOCBP D="2" T="25APN1.sgm">2011-9932</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Interior</EAR>
      <HD>Interior Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Indian Affairs Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Park Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>International Trade Adm</EAR>
      <HD>International Trade Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Final Results of Antidumping Duty Administrative Review:</SJ>
        <SJDENT>
          <SJDOC>Polyethylene Terephthalate Film, Sheet, and Strip from the United Arab Emirates,</SJDOC>
          <PGS>22867-22868</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9967</FRDOCBP>
        </SJDENT>
        <PRTPAGE P="v"/>
        <SJ>Final Results of Countervailing Duty Administrative Review:</SJ>
        <SJDENT>
          <SJDOC>Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil,</SJDOC>
          <PGS>22868-22871</PGS>
          <FRDOCBP D="3" T="25APN1.sgm">2011-9965</FRDOCBP>
        </SJDENT>
        <SJ>Final Results of the 2008-2009 Antidumping Duty Administrative Review:</SJ>
        <SJDENT>
          <SJDOC>Certain New Pneumatic Off-the-Road Tires from the People's Republic of China,</SJDOC>
          <PGS>22871-22875</PGS>
          <FRDOCBP D="4" T="25APN1.sgm">2011-9964</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>International Trade Com</EAR>
      <HD>International Trade Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Investigations:</SJ>
        <SJDENT>
          <SJDOC>Certain Handheld Electronic Computing Devices, Related Software, and Components Thereof,</SJDOC>
          <PGS>22918</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9890</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Justice Department</EAR>
      <HD>Justice Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Justice Programs Office</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Lodging of Consent Decree Under the Clean Air Act,</DOC>
          <PGS>22918-22919</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9876</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Justice Programs</EAR>
      <HD>Justice Programs Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>National Institute of Justice Offender Tracking System Standard Workshop,</SJDOC>
          <PGS>22919</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9903</FRDOCBP>
        </SJDENT>
        <SJ>Special Technical Committee Request for Proposals for Certification and Testing Expertise:</SJ>
        <SJDENT>
          <SJDOC>Protective Helmet Standard,</SJDOC>
          <PGS>22919-22920</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9907</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Stab Resistance of Personal Body Armor (2000) Standard,</SJDOC>
          <PGS>22920</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9904</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Labor Department</EAR>
      <HD>Labor Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Employment and Training Administration</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>22920-22921</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9915</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Child Labor and Forced Labor in Foreign Countries in the Production of Goods,</DOC>
          <PGS>22921-22922</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9934</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Maritime</EAR>
      <HD>Maritime Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9905</FRDOCBP>
          <PGS>22942-22943</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9906</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>NASA</EAR>
      <HD>National Aeronautics and Space Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Re-Establishment of the National Space-Based Positioning, Navigation, and Timing Advisory Board,</DOC>
          <PGS>22924</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9872</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Archives</EAR>
      <HD>National Archives and Records Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Records Schedules; Availability,</DOC>
          <PGS>22924-22925</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-10023</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Institute</EAR>
      <HD>National Institutes of Health</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Center for Scientific Review,</SJDOC>
          <PGS>22907-22910</PGS>
          <FRDOCBP D="3" T="25APN1.sgm">2011-9936</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Oceanic</EAR>
      <HD>National Oceanic and Atmospheric Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Fisheries of the Northeastern United States:</SJ>
        <SJDENT>
          <SJDOC>Multispecies Fishery; Framework Adjustment 45,</SJDOC>
          <PGS>23042-23076</PGS>
          <FRDOCBP D="34" T="25APR3.sgm">2011-9705</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Northeast Multispecies Fishery; 2011 Sector Operations Plans and Contracts, and Allocation of Northeast Multispecies Annual Catch Entitlements,</SJDOC>
          <PGS>23076-23108</PGS>
          <FRDOCBP D="32" T="25APR3.sgm">2011-9711</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Atlantic Coastal Fisheries Cooperative Management Act Provisions:</SJ>
        <SJDENT>
          <SJDOC>Domestic Fisheries; Application for Exempted Fishing Permits,</SJDOC>
          <PGS>22875-22876</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9944</FRDOCBP>
        </SJDENT>
        <SJ>Permits:</SJ>
        <SJDENT>
          <SJDOC>Endangered Species; File No. 15566,</SJDOC>
          <PGS>22877</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9945</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Park</EAR>
      <HD>National Park Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Environmental Impact Statements; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Dog Management Plan/Golden Gate National Recreation Area, California,</SJDOC>
          <PGS>22917</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9889</FRDOCBP>
        </SJDENT>
        <SJ>National Register of Historic Places:</SJ>
        <SJDENT>
          <SJDOC>Pending Nominations and Related Actions,</SJDOC>
          <PGS>22917</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9887</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Science</EAR>
      <HD>National Science Foundation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Assumption Buster Workshop; Abnormal Behavior Detection Finds Malicious Actors,</SJDOC>
          <PGS>22925-22926</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9877</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Nuclear Regulatory</EAR>
      <HD>Nuclear Regulatory Commission</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Interim Enforcement Policy for Minimum Days Off Requirements,</DOC>
          <PGS>22802-22804</PGS>
          <FRDOCBP D="2" T="25APR1.sgm">2011-9916</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Environmental Assessments; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Nextera Energy Point Beach, LLC; Point Beach Nuclear Plant, Units 1 and 2; Proposed License Amendment, etc.,</SJDOC>
          <PGS>22928-22934</PGS>
          <FRDOCBP D="6" T="25APN1.sgm">2011-9835</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Westinghouse Electric Co., LLC, Hematite Decommissioning Project,  Festus, MO,</SJDOC>
          <PGS>22926-22928</PGS>
          <FRDOCBP D="2" T="25APN1.sgm">2011-9828</FRDOCBP>
        </SJDENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>ACRS Subcommittee on Reliability and Probabilistic Risk Assessment,</SJDOC>
          <PGS>22934-22935</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9918</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>ACRS Subcommittee on U.S. Evolutionary Power Reactor,</SJDOC>
          <PGS>22935</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9920</FRDOCBP>
        </SJDENT>
        <SJ>Renewal Of Special Nuclear Materials License:</SJ>
        <SJDENT>
          <SJDOC>Calvert Cliffs Nuclear Power Plant, LLC,</SJDOC>
          <PGS>22935-22937</PGS>
          <FRDOCBP D="2" T="25APN1.sgm">2011-9930</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Patent</EAR>
      <HD>Patent and Trademark Office</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Streamlined Patent Reexamination Proceedings,</DOC>
          <PGS>22854-22861</PGS>
          <FRDOCBP D="7" T="25APP1.sgm">2011-9805</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Personnel</EAR>
      <HD>Personnel Management Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>22937-22938</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9885</FRDOCBP>
        </DOCENT>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Evidence to Prove Dependency of a Child,</SJDOC>
          <PGS>22938</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9884</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Pipeline</EAR>
      <HD>Pipeline and Hazardous Materials Safety Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Pipeline Safety; Webinars on Implementation of Distribution Integrity Management Programs,</SJDOC>
          <PGS>22944</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9955</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Securities</EAR>
      <HD>Securities and Exchange Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>22938-22939</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9991</FRDOCBP>
          <FRDOCBP D="0" T="25APN1.sgm">2011-10054</FRDOCBP>
          <FRDOCBP D="0" T="25APN1.sgm">2011-10072</FRDOCBP>
        </DOCENT>
        <SJ>Self-Regulatory Organizations; Proposed Rule Changes; Correction:</SJ>
        <SJDENT>
          <SJDOC>CBOE Futures Exchange, LLC,</SJDOC>
          <PGS>22939</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">C1--2011--7981</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>State Department</EAR>
      <PRTPAGE P="vi"/>
      <HD>State Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>22939-22940</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9952</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Thrift Supervision</EAR>
      <HD>Thrift Supervision Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Appointments of Receivers:</SJ>
        <SJDENT>
          <SJDOC>Superior Bank, Birmingham, AL,</SJDOC>
          <PGS>22944-22945</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9735</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>Maritime Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Pipeline and Hazardous Materials Safety Administration</P>
      </SEE>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Enhancing Airline Passenger Protections,</DOC>
          <PGS>23110-23167</PGS>
          <FRDOCBP D="57" T="25APR4.sgm">2011-9736</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Intelligent Transportation Systems Program Advisory Committee,</SJDOC>
          <PGS>22940</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9954</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Treasury</EAR>
      <HD>Treasury Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Thrift Supervision Office</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Customs</EAR>
      <HD>U.S. Customs and Border Protection</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Technical Amendments to List of CBP Preclearance Offices in Foreign Countries:</SJ>
        <SJDENT>
          <SJDOC>Addition of Dublin, Ireland,</SJDOC>
          <PGS>22804-22805</PGS>
          <FRDOCBP D="1" T="25APR1.sgm">2011-9883</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Cancellation of Customs Broker Licenses,</DOC>
          <PGS>22912</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9957</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Cancellation of Customs Broker Licenses Due to Deaths of License Holders,</DOC>
          <PGS>22912</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9958</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Revocation of Customs Broker License,</DOC>
          <PGS>22912-22913</PGS>
          <FRDOCBP D="1" T="25APN1.sgm">2011-9960</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>U.S. China</EAR>
      <HD>U.S.-China Economic and Security Review Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings,</DOC>
          <PGS>22945</PGS>
          <FRDOCBP D="0" T="25APN1.sgm">2011-9874</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <PTS>
      <HD SOURCE="HED">Separate Parts In This Issue</HD>
      <HD>Part II</HD>
      <DOCENT>
        <DOC>Federal Reserve System,</DOC>
        <PGS>22948-23040</PGS>
        <FRDOCBP D="92" T="25APR2.sgm">2011-8843</FRDOCBP>
      </DOCENT>
      <HD>Part III</HD>
      <DOCENT>
        <DOC>Commerce Department, National Oceanic and Atmospheric Administration,</DOC>
        <PGS>23042-23108</PGS>
        <FRDOCBP D="34" T="25APR3.sgm">2011-9705</FRDOCBP>
        <FRDOCBP D="32" T="25APR3.sgm">2011-9711</FRDOCBP>
      </DOCENT>
      <HD>Part IV</HD>
      <DOCENT>
        <DOC>Transportation Department,</DOC>
        <PGS>23110-23167</PGS>
        <FRDOCBP D="57" T="25APR4.sgm">2011-9736</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/>
      <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>79</NO>
  <DATE>Monday, April 25, 2011</DATE>
  <UNITNAME>Rules and Regulations</UNITNAME>
  <RULES>
    <RULE>
      <PREAMB>
        <PRTPAGE P="22785"/>
        <AGENCY TYPE="F">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <CFR>7 CFR Part 12</CFR>
        <DEPDOC>[Docket No. NRCS-2011-0010]</DEPDOC>
        <RIN>RIN 0578-AA58</RIN>
        <SUBJECT>Wetland Conservation</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Secretary, United States Department of Agriculture (USDA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The United States Department of Agriculture is removing obsolete provisions from the Code of Federal Regulations. This action removes provisions concerning the Natural Resources Conservation Service's (NRCS) coordination responsibilities.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>The rule is effective April 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Terrell Erickson, Director, Ecological Sciences Division, U.S. Department of Agriculture, Natural Resources Conservation Service, Room 6819, South Building, P.O. Box 2890, Washington, DC 20013-2890; Phone: (202) 720-5992; Fax: (202) 720-2646; or E-mail:<E T="03">Terrell.erickson1@wdc.usda.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Regulatory Certifications</HD>
        <HD SOURCE="HD2">Executive Orders</HD>
        <P>This document does not meet the criteria for a significant regulatory action as specified by E.O. 12866. This action also has no federalism or tribal implications, and will not impose substantial unreimbursed compliance costs on States, local governments, or Indian tribal governments. Therefore, impact statements are not required under E.O. 13132 or 13175.</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act</HD>
        <P>The Regulatory Flexibility Act is not applicable to this rule because neither the Secretary of Agriculture nor NRCS is required by 5 U.S.C. 553 or any other law to publish a notice of proposed rulemaking for the subject matter of this rule.</P>
        <HD SOURCE="HD2">Environmental Evaluation</HD>
        <P>This rule will have no significant effect on the human environment and is categorically exempt under 7 CFR 1b.3(a)(6); therefore, neither an environmental assessment nor an environmental impact statement is required.</P>
        <HD SOURCE="HD2">Paperwork Reduction Act</HD>
        <P>This rule does not contain reporting or recordkeeping requirements subject to the Paperwork Reduction Act.</P>
        <HD SOURCE="HD1">Background</HD>
        <P>Existing wetland conservation provisions in 7 CFR part 12 require that NRCS' certification of a wetland determination be completed according to procedures agreed to by the Army Corps of Engineers (COE), the Environmental Protection Agency (EPA), and the U.S. Fish and Wildlife Service. In 1994, the Departments of Agriculture and the Interior, the Army, and the Environmental Protection Agency entered into a Memorandum of Agreement (MOA) concerning the delineation of wetlands for purposes of Section 404 of the Clean Water Act (CWA) and Title XII of the Food Security Act of 1985 (FSA). The MOA was developed to streamline the wetland delineation process on agricultural lands, to promote consistency between the CWA and the FSA, and to provide predictability and simplification for USDA program participants. However, subsequent amendments to FSA and court decisions made the MOA and parts of 7 CFR 12.30 no longer applicable, and USDA and COE withdrew from the MOA in January 2005.</P>
        <P>1996 amendments to FSA eliminated the concept of “abandonment” for prior converted (PC) cropland. As a result, land may be considered non-wetland for FSA compliance purposes, but considered wetland for CWA purposes. 2002 amendments to FSA prohibit NRCS from sharing confidential producer information, including geospatial information, to agencies outside USDA. This prohibits NRCS from providing wetland delineations and determinations to the COE and EPA for CWA permitting and enforcement. Finally, as a result of U.S. Supreme Court decisions, a wetland may be subject to FSA Compliance, but no longer regulated by the COE for CWA purposes. These inconsistencies in jurisdiction do not allow the two agencies to have consistent wetland determinations.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 7 CFR Part 12</HD>
          <P>Administrative practices and procedures, Soil conservation, Wetlands.</P>
        </LSTSUB>
        
        <P>For the reasons stated in the preamble, USDA amends part 12 of Title 7 of the Code of Federal Regulations as set forth below:</P>
        <REGTEXT PART="12" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 12—HIGHLY ERODIBLE AND WETLAND CONSERVATION</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 12 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 3801<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="12" TITLE="7">
          <SUBPART>
            <HD SOURCE="HED">Subpart C—Wetland Conservation</HD>
            <SECTION>
              <SECTNO>§ 12.30</SECTNO>
              <SUBJECT>[Amended]</SUBJECT>
            </SECTION>
          </SUBPART>
          <AMDPAR>2. In § 12.30, remove paragraph (a)(8) and remove the second sentence from paragraph (c)(1).</AMDPAR>
        </REGTEXT>
        <SIG>
          <DATED>Signed in Washington, DC, on April 5, 2011.</DATED>
          <NAME>Thomas J. Vilsack,</NAME>
          <TITLE>Secretary.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9870 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-16-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Food and Nutrition Service</SUBAGY>
        <CFR>7 CFR Parts 210, 215, 220, 225, 226 and 245</CFR>
        <DEPDOC>[FNS-2008-0001]</DEPDOC>
        <RIN>RIN 0584-AD60</RIN>
        <SUBJECT>Direct Certification and Certification of Homeless, Migrant and Runaway Children for Free School Meals</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Nutrition Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Interim rule with request for comments.</P>
        </ACT>
        <SUM>
          <PRTPAGE P="22786"/>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This rule amends the regulations affecting the determination of children's eligibility for free meals under the National School Lunch Program and the School Breakfast Program by direct certification and categorical eligibility. Conforming changes and miscellaneous technical changes are also made, as appropriate, for the Special Milk Program for Children, the Child and Adult Care Food Program and the Summer Food Service Program. The Child Nutrition and WIC Reauthorization Act of 2004 (Reauthorization Act) amended the Richard B. Russell National School Lunch Act to require local educational agencies to conduct direct certification in conjunction with the Food Stamp Program, which is now called the Supplemental Nutrition Assistance Program (SNAP). Under the direct certification process, a local educational agency obtains documentation of a child's receipt of SNAP benefits from the State or local SNAP office. This rule also incorporates provisions from the Reauthorization Act concerning the certification of certain children who are homeless, runaway, or migratory.</P>
          <P>This rule affects State agencies administering SNAP and the Child Nutrition Programs; local offices administering SNAP; local program operators that administer the School Nutrition Programs; and low income households with school age children. The rule is intended to improve school meal program access for low-income children, reduce paperwork for households and program administrators, and improve the integrity of the free and reduced price meal certification process.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective date:</E>This rule is effective June 24, 2011.<E T="03">Comment dates:</E>Comments on rule provisions: Mailed comments on the provisions in this rule must be postmarked on or before October 24, 2011; e-mailed or faxed comments must be submitted by 11:59 p.m. on October 24, 2011; and hand-delivered comments must be received by 5 p.m. October 24, 2011 to be assured of consideration.</P>
          <P>Comments on Paperwork Reduction Act requirements: Comments on the information collection requirements associated with this rule must be received by June 24, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The Food and Nutrition Service (FNS) invites interested persons to submit comments on this interim rule. Comments may be submitted 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 online instructions for submitting comments.</P>
          <P>•<E T="03">Fax:</E>(703) 305-2879, attention Julie Brewer.</P>
          <P>•<E T="03">Mail:</E>Julie Brewer, Chief, Policy and Program Development Branch, Child Nutrition Division, Food and Nutrition Service, Department of Agriculture, 3101 Park Center Drive, Room 640, Alexandria, Virginia 22302-1594.</P>
          <P>•<E T="03">Hand Delivery or Courier:</E>Deliver comments to 3101 Park Center Drive, Room 640, Alexandria, Virginia 22302-1594, during normal business hours of 8:30 a.m.-5 p.m.</P>

          <P>All submissions received in response to this interim rule will be included in the record and will be available to the public. Please be advised that the substance of the comments and the identity of the individuals or entities submitting comments will be subject to public disclosure. FNS may also make the comments publicly available by posting a copy of all comments on<E T="03">http://www.regulations.gov.</E>
          </P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Address any questions to Julie Brewer, Chief, Policy and Program Development Branch, Child Nutrition Division, Food and Nutrition Service, Department of Agriculture, 3101 Park Center Drive, Alexandria, VA 22302 or by telephone at 703-305-2590. A regulatory cost-benefit analysis was completed for this rule. It will be available at<E T="03">http://www.regulations.gov</E>as part of the docket history for this interim rule.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Reauthorization Act (Pub. L. 108-265; June 30, 2004) phased-in mandatory direct certification provisions with the Food Stamp Program<SU>1</SU>
          <FTREF/>and made children participating in certain other programs categorically eligible for free school meals. In order to provide readers with a chronological account of direct certification, this preamble begins with a history of direct certification which includes a discussion of the relevant changes made in the Reauthorization Act. These amendments are intended to streamline the certification and verification processes by reducing paperwork for both program administrators and households by eliminating the need for submission of free and reduced priced meal applications by these households.</P>
        <FTNT>
          <P>
            <SU>1</SU>While the Food, Conservation and Energy Security Act of 2008, Public Law 110-234, renamed the Food Stamp Program as the Supplemental Nutrition Assistance Program, historical references are to the Food Stamp Program, reflecting the Reauthorization Act's language.</P>
        </FTNT>
        <P>This rule is being issued as an interim rule as authorized by section 501(b) of the Reauthorization Act and because of the specific implementation dates therein. The Reauthorization Act also required that regulations be promulgated within two years of enactment which was 2006. In order to accommodate the statutory deadlines imposed for fully phasing-in direct certification with SNAP and to provide access to free meals to children newly added as categorically eligible, the Department implemented the non-discretionary provisions in the Reauthorization Act through guidance as discussed below. In addition, by issuing the guidance, the Department complied with the implementation requirements established in 501(a) of the Reauthorization Act. The delay in issuing this interim rule enabled the Department to develop it using data from the direct certification reports to Congress as well as address issues raised by State and local agencies about the direct certification process as implemented. The Department strongly supports providing any opportunity for public comment from interested parties, which is afforded through the interim rule process. Changes resulting from comments and from experience based on the interim rule would be implemented through a future final rule.</P>
        <HD SOURCE="HD1">I. History</HD>
        <HD SOURCE="HD2">Eligibility Determinations</HD>
        <P>Until 1981 to receive free and reduced price meals or free milk for their children, households were required by statute to complete an application for free or reduced price meals or for free milk, providing income and household size information. The Omnibus Budget Reconciliation Act of 1981, Public Law 97-35, amended the Richard B. Russell National School Lunch Act (NSLA)<SU>2</SU>
          <FTREF/>to include a number of changes to the free and reduced price meal eligibility process. One of those changes allowed submission of documentation showing participation in the Food Stamp Program. This was implemented by permitting households certified to receive benefits under the Food Stamp Program to provide their case number to schools in lieu of completing income information on the free and reduced price meal application. Thus, children who are members of households certified to receive food stamp benefits are “categorically eligible” for free school meals.</P>
        <FTNT>
          <P>
            <SU>2</SU>The NSLA was renamed in 1999.</P>
        </FTNT>

        <P>The School Lunch and Child Nutrition Amendments of 1986, Public Law 99-661, made further amendments to the NSLA to mandate categorical eligibility for free meals and a simplified verification of eligibility<PRTPAGE P="22787"/>process for children in food stamp households and children in Aid to Families with Dependent Children (AFDC)<SU>3</SU>
          <FTREF/>assistance units. Since the regulations had already been amended to allow simplified application and verification procedures for food stamp households, the regulations were revised to extend these provisions to AFDC households.</P>
        <FTNT>
          <P>
            <SU>3</SU>The Personal Responsibility and Work Opportunity Reconciliation Act of 1996, Public Law 104-193, later replaced the AFDC program with the Temporary Assistance for Needy Families (TANF) Program. Please note that categorical eligibility for recipients of TANF is subject to the limitation in section 9(b)(12)(A)(ii) of the NSLA, 42 U.S.C. 1758(b)(1)(A)(ii) concerning eligibility standards that were comparable to or more restrictive than those in effect on June 1, 1995. This qualification will not be repeated in other references to TANF in this preamble.</P>
        </FTNT>
        <P>The Child Nutrition and WIC Reauthorization Act of 1989, Public Law 101-147, again amended the NSLA to respond to concerns expressed by program operators regarding the volume of paperwork associated with the Child Nutrition Programs. The NSLA authorized school officials to certify children eligible for free meals, without further application, based on documentation obtained directly from the appropriate State or local agency that the children are part of households receiving assistance under the Food Stamp Program or AFDC Program. This certification process is commonly referred to as “direct certification.”</P>
        <P>Because the Food Distribution Program on Indian Reservations (FDPIR) is authorized by section 4 of the Food and Nutrition Act of 2008, 7 U.S.C. 2013, the same law authorizing SNAP, formerly the Food Stamp Program, and because eligible households on and near reservations have the option of participating in either SNAP or FDPIR, the Department extended the provisions on categorical eligibility and direct certification to include FDPIR households.</P>
        <HD SOURCE="HD2">Reauthorization Act 2004 Changes</HD>
        <P>In 2004, the Reauthorization Act made several amendments to the NSLA to improve the integrity of the free and reduced price meal certification and verification processes, without hindering access of low-income children. Section 104 of the Reauthorization Act added section 9(b)(4) to the NSLA, 42 U.S.C. 1758(b)(4) to require local educational agencies to directly certify, without further application, any child who is a member of a household receiving benefits under SNAP. To facilitate this requirement, an agreement between the State agency administering SNAP and the State agency or agencies administering the school meals programs is required. The required direct certificationwith SNAP is in addition to the previous and still existing optional authority for direct certification with TANF and FDPIR.</P>
        <P>In accordance with the Reauthorization Act, the requirement to directly certify children receiving benefits under SNAP was phased-in based on the enrollment of the local educational agency as follows—<FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>4</SU>All other regulatory citations in this preamble shall be considered references to Title 7, Code of Federal Regulations, unless otherwise indicated.</P>
        </FTNT>
        <GPOTABLE CDEF="s100,xs64,16" COLS="3" OPTS="L2,tp0,p1,8/9,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1"/>
            <CHED H="1"/>
          </BOXHD>
          <ROW RUL="n,s">
            <ENT I="21">The provision was effective as follows</ENT>
            <ENT A="01">For school districts with enrollments of</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="22"/>
            <ENT A="01">At least in school year</ENT>
          </ROW>
          <ROW>
            <ENT I="01">July 1, 2006</ENT>
            <ENT>25,000 students*</ENT>
            <ENT>2005-2006</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="01">July 1, 2007</ENT>
            <ENT>10,000 students*</ENT>
            <ENT>2006-2007</ENT>
          </ROW>
          <ROW>
            <ENT I="01">July 1, 2008</ENT>
            <ENT A="01">All local educational agencies.</ENT>
          </ROW>
          <TNOTE>* From prior year's October data collection as required under 7 CFR 210.8(c)(2).<SU>4</SU>
          </TNOTE>
        </GPOTABLE>
        <P>In addition, the 2004 Reauthorization Act included provisions making children who are homeless, runaway, or migratory, as determined by the homeless coordinator for homeless or runaway children or by officials of the Migrant Education Program (MEP) for migratory children, categorically eligible for free meals, effective July 1, 2004. To ensure that the affected children could access free meal benefits as quickly as possible, the Department issued guidance to implement these statutory provisions. The pertinent memoranda are:</P>
        <P>• July 19, 2004—Categorical Eligibility for Free Lunches and Breakfasts of Runaway, Homeless, and Migrant Youth: Reauthorization 2004 Implementation Memo SP 4;</P>
        <P>• August 16, 2004—Categorical Eligibility for Free Lunches and Breakfasts for Migrant Children; and</P>
        <P>• September 17, 2004—Guidance on Determining Categorical Eligibility for Free Lunches and Breakfasts for Youth Served under the Runaway and Homeless Youth Act.</P>
        
        <FP>These can be reviewed on our Web site—<E T="03">http://www.fns.usda.gov/cnd/Governance/policy.htm.</E>
        </FP>
        <HD SOURCE="HD1">II. Direct Certification Implementation and Studies</HD>
        <P>Because of the benefits of direct certification relating to improving access and reducing paperwork, the Department felt that is was important to determine both the number of local educational agencies that were doing direct certification and what percentage of the total number of children eligible for free and reduced meals they represented. Studies and surveys conducted by FNS have indicated that, prior to School Year 2007-2008, a little more than 60 percent of local educational agencies were using direct certification. Please note that the majority of these studies were conducted prior to mandatory direct certification with SNAP. This data has given FNS a baseline to measure the success of mandatory direct certification with SNAP. Data for School Year 2009-2010 showed that 83 percent of local educational agencies conduct direct certification. Studies and sources include—</P>

        <P>“Analysis of Verification Summary Data SY2004-05” (May 2006) which may be found at<E T="03">http://www.fns.usda.gov/oane/menu/Published/CNP/FILES/CNVerification.pdf;</E>
        </P>

        <P>“Preliminary Report on the Feasibility of Computer Matching in the National School Lunch Program” (January 2005) which may be found at<E T="03">http://www.fns.usda.gov/oane/menu/Published/CNP/FILES/NSLPDataMatch.pdf;</E>
        </P>

        <P>“Direct Certification in the National School Lunch Program—Impacts on Program Access and Integrity Study of Direct Certification in the National School Lunch Program” (October 2003, Economic Research Service, USDA, contracted study) which may be found at<E T="03">http://www.ers.usda.gov/Publications/EFAN03009;</E>
        </P>

        <P>“Study of Direct Certification in the National School Lunch Program” (September 2000) which may be found<PRTPAGE P="22788"/>at<E T="03">http://www.fns.usda.gov/oane/menu/Published/CNP/FILES/directcert.pdf;</E>and</P>

        <P>“Direct Certification in the National School Lunch Program: State Implementation Progress Report to Congress” (December 2008) found at<E T="03">http://www.fns.usda.gov/oane/menu/Published/CNP/FILES/DirectCert08.pdf.</E>
        </P>

        <P>“Direct Certification in the National School Lunch Program: State Implementation Progress Report to Congress—October 2009” found at<E T="03">http://www.fns.usda.gov/ora/MENU/Published/CNP/FILES/NSLPDirectCertification2009.pdf.</E>
        </P>

        <P>“Direct Certification in the National School Lunch Program: State Implementation Progress School Year 2009-2010” found at<E T="03">http://www.fns.usda.gov/ora/menu/Published/CNP/FILES/DirectCert2010.pdf.</E>
        </P>
        <HD SOURCE="HD1">III. Current Procedures for Direct Certification and Categorical Eligibility</HD>
        <HD SOURCE="HD2">Methods Used for Direct Certification</HD>
        <P>The studies cited in section II indicated that the methods commonly used for direct certification involve matching and non-matching processes. In the non-matching method, the States' assistance agencies generate lists or databases of TANF and SNAP households with school age children. The assistance agencies use the lists/databases to send households a letter that includes the necessary direct certification documentation. The letter instructs the household to provide the letter to the school if they want free meals or milk for their children. Children in households that provide the letters to the school or local educational agency are certified eligible for free meals or milk based on this documentation. This procedure is considered the “letter method.”</P>
        <P>In the matching method, the State assistance agency databases/lists of SNAP or TANF households with school age children are matched at the State or local educational agency level against student enrollment databases or lists. Most systems involve a matching of two or three identifiers, such as the children's names and birth dates and/or addresses. Matching at the State level is generally automated, while matching at the local educational agency level may be a manual process, especially in smaller districts or those districts with fewer families receiving benefits from SNAP, TANF or FDPIR. Once eligible children have been identified through direct certification, their parents or guardians are notified, in writing by the local educational agency, that their children are eligible to receive free meals without any additional application. Further, these households are not subject to verification since the local educational agency has already documented that the child is a member of a household receiving other programs' benefits.</P>
        <HD SOURCE="HD2">Frequency of Direct Certification Efforts</HD>
        <P>Typically, direct certification is conducted at or around the beginning of the school year. However, a number of States and local educational agencies have the capability of doing direct certification more frequently, on a monthly or even daily basis.</P>
        <HD SOURCE="HD2">Applications With Case Numbers</HD>
        <P>Households receiving assistance from SNAP, TANF or FDPIR may also submit an application with their case number(s) for the child(ren) on the free and reduced price meal or free milk application to establish their categorical eligibility for free meals or milk. The only other information needed on the application is each child's name and the signature of an adult household member. Should the application be selected for verification of eligibility, the household must submit proof of participation in SNAP, TANF or FDPIR in order to continue program participation.</P>
        <HD SOURCE="HD1">IV. Requirements for Direct Certification With SNAP</HD>
        <HD SOURCE="HD2">Scope of Mandatory Direct Certification With SNAP</HD>
        <P>All participating NSLP and School Breakfast Program (SBP) schools, including public and private non-profit schools and residential child care institutions (RCCIs), must implement the mandatory direct certification provisions for children who are members of households receiving benefits from the SNAP. RCCIs that operate a day school must conduct direct certification for day students. However, RCCIs that only have residential students are exempted from this requirement. Residential students would not receive SNAP benefits since they are residing in an institution. This exemption is found in this interim rule at paragraph 245.6(b)(1)(ii).</P>
        <P>The administering entity for the private schools or RCCIs should contact their State agency to work out the logistics for obtaining information from the agency administering SNAP about the children enrolled in their schools. Please note when determining claiming percentages for Provision 2 or Provision 3, which are the special assistance certification and reimbursement alternatives permitted in § 245.9, direct certification is required only in base years. This provision may be found at paragraph 245.6(b)(1)(v).</P>
        <HD SOURCE="HD2">Frequency of Mandatory Direct Certification With SNAP</HD>
        <P>As indicated earlier, the NSLA requires that all children in households receiving SNAP benefits be directly certified for free meals and paragraph 245.6(b) is amended by this rule to address mandatory direct certification of children receiving benefits from SNAP.</P>
        <P>Because direct certification is a useful tool for schools and reduces paperwork and increases participation, the Department's ultimate goal for direct certification is for State and local educational agencies to have the capability to conduct on-going direct certification with SNAP, TANF and FDPIR through computer matching that provides the most current information about households receiving benefits from those programs. Once an on-going system becomes operational, the local educational agency would be able to promptly determine when children who were not already certified for free meal benefits become eligible, based on membership in a household recently approved for benefits from SNAP, TANF or FDPIR. The eligibility of children previously directly certified is not affected by more frequent direct certification because, once eligibility is established, it is in effect for the entire school year and up to thirty (30) operating days in the following school year.</P>
        <P>To this end, this interim rule requires that local educational agencies conduct direct certification with SNAP at least three times during the school year (July 1 to June 30) beginning no later than School Year 2011-2012. This increased number of matching efforts has the potential to facilitate participation of children in the school meals programs. Of course, more frequent direct certification efforts are permissible and encouraged.</P>

        <P>The efforts must be made at or around the beginning of the school year; three months after the beginning of the school year; and six months after the beginning of the school year. For example, if the school classes begin on August 15th, the initial direct certification effort would be in July or August; the second would be in October or November and the last in January or February. Direct certification efforts are required for children who were not initially directly certified and who are currently reduced price or paid. If the local educational agency has the capability, the status of any newly enrolled child must be checked for SNAP eligibility at the time<PRTPAGE P="22789"/>of enrollment. If this is not possible, the household must be provided with an application so that the child's benefits are not delayed until the next scheduled direct certification update.</P>
        <P>Any newly eligible children identified in matches made subsequent to the beginning of the school year must be certified for free meals and the local educational agency must promptly notify their parents or guardians in writing of the new status. This includes children who had been certified for reduced price meals but who are subsequently identified as receiving SNAP benefits. The requirement for the frequency of direct certification efforts with SNAP is found at paragraph 245.6(b)(3) of this interim rule. Please note direct certification with FDPIR and TANF remains optional. The authority for direct certification with FDPIR or TANF is found at paragraph 245.6(b)(2).</P>
        <HD SOURCE="HD2">Use of the Letter Method</HD>
        <P>As discussed earlier, some State and local SNAP or other assistance agencies currently provide letters to households as their method of direct certification. The household takes the letter indicating its receipt of SNAP benefits to the local educational agency in lieu of an application. Studies show that states have been able to improve the effectiveness of their direct certification process by changing from the letter method to an electronic matching approach. Further, since the original availability of direct certification in the early 1990s, sharing information between SNAP and other assistance agencies and State/local educational agencies has become easier and more cost effective.</P>
        <P>A 2007 study,<E T="03">Data Matching in the National School Lunch Program: 2005 Volume 1: Final Report, available at  http://www.fns.usda.gov/oane/menu/Published/CNP/FILES/DataMatching-V1.pdf.</E>discussed the effectiveness of the various direct certification methods. This study showed that States with mandatory statewide State-level matching had the highest rates of direct certification, with 74 percent of categorically certified children directly certified. The letter method resulted in a significantly lower rate of direct certification, with only 52 percent of categorically certified children.</P>
        <P>Therefore, this interim rule requires, at paragraph 245.6(b)(1)(iii), that, in School Year 2011-2012, all State agencies phase out the letter method as their method for direct certification with SNAP. And for School Year 2012-2013, the letter method can no longer be used to conduct direct certification. This provision is consistent with the requirement in the Healthy, Hunger-Free Kids Act of 2010 (Pub. L. 111-296; December 13, 2010). All State agencies must have a method to exchange eligibility information from SNAP more directly with the local educational agency through some type of automated data-matching process. Currently, there are a range of systems in use. However, State and local agencies may continue to provide letters to families as a secondary method along with use of automated system, especially during the initial use of an automated system. The additional notification to families would help to ensure that they were aware of their children's categorical eligibility.</P>
        <P>Please note that the use of the letter method only as a secondary method of identifying categorical eligibility only applies to SNAP. The letter method may continue to be used as the primary method for other sources of categorical eligibility.</P>
        <HD SOURCE="HD2">Extension of Eligibility to All Children in the Household</HD>
        <P>Section 9(b)(12) of the NSLA provides for categorical eligibility for children who are members of households receiving assistance from SNAP, FDPIR, and TANF. The implementing regulations required that a child be a member of the household as determined by the assistance program in order to be categorically eligible for free school meals. For direct certification, this has been an individual match. For applications, each child had to have a case number listed in order to be categorically eligible. For consistency, we did not extend categorical eligibility to newly enrolled siblings in the subsequent school year.</P>
        <P>We have heard from various program operators and other stakeholders that this interpretation is problematic administratively and unnecessarily omits eligible children from the direct certification process. For direct certification, school-age children from the same household who are not identified through the match are most likely receiving SNAP or other benefits but are not matched because of minor differences in the identifying information used in the match.</P>
        <P>Individual eligibility also results in households with some children directly certified and others for whom an application must be submitted. If some of the children in the family are directly certified, the family may not realize until after school starts that an application is needed for their other children. This sometimes requires the family to pay for meals for the uncertified children until the application is submitted and approved.</P>
        <P>For local educational agencies, maintaining different types of eligibility for direct certification and application-based records for the same household may be difficult. It also complicates reporting and may result in misleading information for determining verification sample sizes and other purposes.</P>
        <P>Therefore, under this interim rule, if one or more children in the household is also a member of a family receiving assistance under SNAP, FDPIR or TANF, all school-aged children in the household are considered categorically eligible for free meals or free milk. This applies for both direct certification and applications with case numbers. The local educational agency must extend eligibility for free meals to all children that can be identified as members of a household on an application for free or reduced price meals or free milk. If the local educational agency does not have a prior application to refer to, school district enrollment records are acceptable to determine if there any additional children in the household who were not directly certified. For households submitting applications with case numbers for some children, the local educational agency must certify all children as categorically eligible for free meals and disregard income information. This requirement is found at § 245.2 (definition of “Documentation”), paragraph 245.6(b)(7) and paragraph 245.6(c)(5).</P>
        <HD SOURCE="HD2">Agreement Between SNAP State Agency and the State Agency Administering the School Meals Programs</HD>
        <P>To facilitate mandatory direct certification of children receiving benefits from SNAP, the NSLA requires, at section 9(b)(4)(A), 42 U.S.C. 1758 (b)(4)(A), that the State agency responsible for administering SNAP and the State agency responsible for administering the school meals programs enter into an agreement to facilitate the mandatory direct certification with SNAP. The Reauthorization Act included a parallel conforming amendment in section 11(u) of the Food and Nutrition Act of 2008 (formerly the Food Stamp Act) 7 U.S.C. 2020(u).</P>

        <P>As specified in the NSLA, the agreements were to be in place by July 1, 2005. In a memorandum dated April 19, 2005 (SP 14, Agreement Checklist for Direct Certification and Direct Verification of Children in Food Stamp Households;<E T="03">http://www.fns.usda.gov/cnd/governance/Reauthorization_Policy_04/Reauthorization_04/2005-04-19.pdf</E>), the Department provided guidance on initial items that the State agencies responsible for administering<PRTPAGE P="22790"/>the school meals programs and the State agencies administering SNAP should include in the agreement. All State administering agencies, including those responsible for non-public schools or residential child care institutions, must have an agreement with the State agency administering SNAP. In order to fully support effective direct certification efforts, this interim rule requires that the agreement address how direct certification will be conducted, including frequency; what notification method(s) will be used; how use of the letter method will be phased-out as the primary method and what system will replace it; how the system and procedures will identify additional children in the household who are categorically eligible based on one household members' receipt of benefits; and other specifics needed to ensure efficient operation of direct certification.</P>
        <P>The methods used to conduct direct certification can always be improved and expanded and should not be considered static. The more children who are identified as eligible through direct certification assists both families and local educational agencies by simplifying the certification process and by more accurately targeting free meal benefits.</P>
        <P>As a result of this interim rule, the State agencies administering the school meals programs may need to amend their existing agreements with the State agencies responsible for SNAP to set up procedures to conduct more frequent direct certification. Because the addenda to the agreement would depend on the system used, State agencies must determine what amendments are needed. The requirement for the agreement is found at paragraph 245.6(b)(1)(iv) of this interim rule.</P>
        <HD SOURCE="HD1">V. Requirements for Certification of Certain Homeless, Migrant, Runaway and Head Start Children</HD>
        <P>The Reauthorization Act also extended categorical eligibility and direct certification to additional programs for homeless, migrant and runaway children.<SU>5</SU>
          <FTREF/>In most cases, we expect that these children will be certified through direct contact with official sources as discussed below. However, it is also possible that the families of some of these children might identify themselves through the free/reduced price application as categorically eligible. Paragraph 245.6(b)(5) of this interim rule specifies what documentation is needed to substantiate certification with appropriate officials. Officials responsible for free meal or free milk eligibility determinations are not responsible for making the determination that a child is homeless, migrant or a runaway. Rather, they are to coordinate with and accept the documentation from a person or agency authorized to make those determinations.</P>
        <FTNT>
          <P>
            <SU>5</SU>Please note that the Healthy, Hunger-Free Kids Act of 2010 extended categorical eligibility to foster children. This provision was implemented through a policy memorandum, SP 17-2011, CACFP 08-2011, SFSP 05-2011-Revised, Categorical Eligibility of Foster Children, dated March 11, 2011. This new requirement will be incorporated into the regulations in a separate rulemaking.</P>
        </FTNT>
        <HD SOURCE="HD2">Homeless Children</HD>
        <P>Section 107 of the Reauthorization Act amended the NSLA to extend categorical eligibility for free school meals to children who are homeless, as defined under section 725(2) of the McKinney-Vento Homeless Assistance Act 42 U.S.C. 11434a(2). The McKinney-Vento Homeless Assistance Act defines as homeless individuals those lacking a fixed, regular and adequate nighttime residence.</P>

        <P>In accordance with requirements of the McKinney-Vento Homeless Assistance Act, each local educational agency must designate a local educational liaison for homeless children and youth. The local liaison serves as one of the primary contacts between homeless families and school staff and district personnel, shelter workers and other service providers. The shelter director or local educational liaison for homeless children and youth provides the necessary documentation for direct certification to be used by local educational agencies. A memorandum dated July 19, 2004, “SP 4 Categorical Eligibility for Free Lunches and Breakfasts of Runaway, Homeless and Migrant Youth (<E T="03">http://www.fns.usda.gov/cnd/Governance/policy.htm</E>) advised State agencies of categorical free meal or free milk eligibility provisions relating to homeless children and youth mandated by the Reauthorization Act.</P>
        <P>School officials must accept documentation which meets regulatory requirements and confirms that identified children are homeless from the local educational agency's liaison for homeless children. School officials also must accept a letter or other document from the director of the homeless shelter where the child resides. This provision is found at paragraph 245.6(b)(6)(ii). In addition, this interim rule provides at paragraph 245.6(b)(5) that documentation to substantiate free meal or milk eligibility includes the child's name or a list of names, a statement that certifying that the children are eligible for that program and the signature of the local educational liaison or the director of the homeless shelter and the date of the signature. This rule provides that documentation is acceptable in lieu of a free and reduced price meal or free milk application. We continue to encourage local educational agencies to identify and work with the local educational agency liaison for homeless children and with directors of homeless shelters where children may reside to expedite benefits to homeless children.</P>
        <HD SOURCE="HD2">Runaway Children</HD>

        <P>Section 107 of the Reauthorization Act made children served by a runaway and homeless youth grant program established under the Runaway and Homeless Youth Act (42 U.S.C. 5701<E T="03">et seq.</E>) categorically eligible for free school meals. A child who is a runaway must be participating in a runaway and homeless youth grant program under the Runaway and Homeless Youth Act to be categorically eligible for free meal benefits and for direct certification. The Family and Youth Services Bureau (FYSB), part of the Administration on Children and Families of the United States Department of Health and Human Services, awards funding to local community agencies to offer services to young people and their families. There are three grant programs for runaways under that title—Basic Center Program, Transitional Living Program and the Street Outreach Program. The agencies receiving grants under these three programs are referred to as either FYSB grantees, or Runaway and Homeless Youth (RHY) service providers.</P>
        <P>Additionally, the 2003 Reauthorization of the RHY Program directed FYSB to coordinate with local educational agency liaisons under the McKinney-Vento Homeless Assistance Act to assure that RHY are provided information about the educational services available to them and to ensure they receive support services guaranteed under the law. Therefore, the first source for documentation for these children is the local educational agency's homeless liaison.</P>

        <P>This interim rule provides in paragraph 245.6(b)(5)(iii) that documentation to substantiate free meal or milk eligibility must consist, at a minimum, of the youth's name, or a list of names, a statement certifying that the children are eligible for that program, the signature of the McKinney-Vento local educational agency's liaison or the RHY service provider(s) and the date signed. Documentation which meets the regulatory requirements must be<PRTPAGE P="22791"/>accepted in lieu of a free meal or milk application. It is important that schools/local educational agencies become familiar with their local RHY service providers and their McKinney-Vento local educational agency's liaison in order to facilitate the service of free school meals or milk for youth in the programs administered by the FYSB.</P>
        <HD SOURCE="HD2">Migrant Children</HD>
        <P>The Reauthorization Act extended categorical eligibility to migratory children as defined in section 1309 of the Elementary and Secondary Education Act of 1965 (ESEA). In general, a migrant child is one who has moved across local educational agency boundaries, within the last three years, to accompany or join a parent or guardian who has moved to seek or obtain temporary or seasonal work in agriculture or fishing. Please note, however, that it is not necessary for local educational agency personnel to apply the ESEA definition because there are State educational agency and local MEP staff who are responsible for identifying (and maintaining supporting documentation) for each eligible migrant child under ESEA.</P>
        <P>As recognized in paragraph 245.6(b)(6)(ii) of this interim rule, local educational agencies will benefit from working directly with MEP coordinators or, where appropriate, the State MEP director, to identify migrant children and to document their eligibility for free school meals. Pursuant to paragraph 245.6(b)(5)(iii), local educational agencies must accept documentation that the children are migrant children from the MEP coordinator. Such documentation of migrant status to substantiate free meal eligibility may be a list that includes each child's name, a statement certifying that the children are eligible for that program, and the signature of the MEP coordinator or the State MEP director and the date of the signature. This list serves as documentation of categorical eligibility for or migrant children.</P>
        <HD SOURCE="HD2">Newly Enrolled Homeless, Runaway or Migrant Students</HD>

        <P>It is important that newly enrolled homeless, runaway and migrant children in the local educational agency be identified and certified for free meals or milk as promptly as possible. The<E T="03">Eligibility Guidance for School Meals Manual</E>(<E T="03">http://www.fns.usda.gov/cnd/Guidance/default.htm</E>) indicates that, to the extent possible, applications should be processed immediately. This includes determination of eligibility through sources such as the homeless liaison. Local educational agencies need to establish procedures with the coordinators/liaisons to assure they are notified when the coordinators/liaisons identify a new homeless, runaway or migrant child so these children may be promptly certified at any time during the school year. Children also may be determined eligible through the standard application process. If the child is not indentified through coordinators/liaisons and an application is not submitted, paragraph 245.6(d) of the existing regulations allows school officials to complete an application on the child's behalf noting the child is homeless, etc. and giving the source for his/her knowledge. This must be done only on a case-by-case basis.</P>
        <HD SOURCE="HD2">Children Enrolled in Head Start Programs</HD>

        <P>This interim rule also adds as categorically eligible children who are enrolled as participants in Head Start programs authorized under the Head Start Act. Until enactment of the Improving Head Start for School Readiness Act of 2007 (Pub. L. 110-134), only children enrolled in Head Start who met that program's prescribed low-income criteria were categorically eligible for free school meals. However, section 29(c) of Public Law 110-134 amended section (9)(b)(12)(A)(iii) and section 17(c)(5) of the NSLA to extend categorical eligibility for free meals and free milk to all Head Start enrollees. The original policy on limited categorical eligibility was issued in a memorandum dated April 14, 1995 and the most recent policy was issued in a memorandum dated May 16, 2008, “SP-23-2008, CACFP 07-2008, SFSP 06-2008, Automatic Eligibility for Free Meal Benefits Extended to All Children Enrolled in Head Start” (<E T="03">http://www.fns.usda.gov/cnd/Governance/policy.htm</E>). We are now incorporating the most recent statutory requirement into the regulations. Therefore, a definition of a Head Start child is added to § 245.2 and a definition of categorically eligible is added which states that children enrolled in Head Start are categorically eligible for free school meals.</P>
        <HD SOURCE="HD1">VI. Other Provisions and Technical Amendments</HD>
        <HD SOURCE="HD2">Confidentiality and Prevention of Overt Identification</HD>
        <P>Paragraph 245.6(b)(9) of this interim rule addresses the confidentiality of information obtained through the direct certification process and the prevention of overt identification of children eligible for free or reduced-price meals or free milk. This paragraph incorporates the provisions found in paragraph 245.6(b)(1) prior to the effective date of this rule. However, the wording has been revised to improve readability and to clarify that information obtained about the child's participation in SNAP, FDPIR or TANF must be used for direct certification purposes only and information regarding a child's eligibility status in the Child Nutrition Programs may be used or disclosed solely in accordance with the disclosure provisions in section 9(b)(6) of the NSLA.</P>
        <HD SOURCE="HD2">Providing Application Materials</HD>
        <P>The existing provision that schools are not required to provide application materials to children who were approved for free meals through the direct certification process was moved in this interim rule from paragraph 245.6(b)(2) to paragraph 245.6(b)(10).</P>
        <HD SOURCE="HD2">Notice of Approval</HD>
        <P>The existing provision concerning the notification of households in writing of children determined eligible for free meals or free milk through the direct certification process was moved from paragraph 245.6(b)(2) to paragraph 245.6(c)(6)(ii). The current provision also requires that households have an opportunity to decline school meals benefits for their children. A written notice to the household is not required if the direct certification documentation is provided to the school by the household, such as a letter indicating receipt of benefits from SNAP. By providing the school with documentation, the household is indicating that they want free meals or milk for their children. Paragraph 245.6(c)(5) is also being revised in this interim rule to include the new categories of children (homeless, Head Start, runaways and migrants) who may be directly certified.</P>
        <HD SOURCE="HD2">Definitions</HD>
        <P>The following outlines changes, made by Public Law 108-265 and Public Law 110-134, which are addressed in § 245.2, Definitions, to reflect statutory amendments and for clarification purposes.</P>
        <P>Categorically eligible—This rule adds a new definition, “Categorically eligible,” in§ 245.2. “Categorically eligible” means that children are eligible for free meals or free milk, as applicable, based on the child's status as—</P>
        <P>• A member of a household receiving assistance under SNAP or FDPIR or a member of a family receiving benefits under the TANF program;</P>
        <P>• An enrollee in the Head Start Program;<PRTPAGE P="22792"/>
        </P>
        <P>• A runaway child served by grant programs established under the Runaway and Homeless Youth Act;</P>
        <P>• A homeless child as defined under the McKinney-Vento Homeless Assistance Act; or</P>
        <P>• A migratory child as specified under the Migrant Education Program.</P>
        
        <FP>This definition also clarifies that categorical eligibility and automatic eligibility may be used synonymously.</FP>
        
        <FP>Direct certification—This rule adds a new definition of “Direct certification” in§ 245.2. Although the regulations have not previously included a definition for this term, it has generally been understood to mean the process of determining eligibility for certain categories of children by obtaining information directly from the State or local agency authorized to certify children's status as being members of households receiving assistance from SNAP, TANF or FDPIR. A child is directly certified in lieu of completion of an application. Children who are homeless, migrant, or runaway or enrolled in a Head Start Program are directly certified by obtaining information from an individual or agency to certify that the child is participating in one of these programs.</FP>
        <P>Documentation—Paragraph (2) of the definition of “Documentation” in § 245.2 defines documentation for direct certification purposes as the name of the child; a statement certifying that the child is receiving assistance from SNAP, FDPIR or TANF program; information in sufficient detail to match the child attending school in the local educational agency; the signature of the appropriate SNAP, FDPIR, or TANF official; and the date. The definition also clarifies that when the signature is impracticable to obtain, such as in computerized operations providing an electronic signature, other arrangements may be accepted if the local educational agency has a method to ensure that a responsible official from the assistance program can attest to the accuracy of the information provided. This interim rule revises the definition of “Documentation” to address acceptable documentation from SNAP, FDPIR or TANF Program; acceptable documentation for children in a family with at least one member receiving benefits from SNAP, FDPIR or TANF; acceptable documentation for Head Start children, homeless and migrant children and runaway children who participate in the respective Federal program.</P>
        <P>Head Start child, Homeless child, Migrant child and Runaway child—Definitions for each of these are added consistent with the intent of Section 107 of the Reauthorization Act.</P>
        <HD SOURCE="HD2">Technical Amendments</HD>
        <P>Pursuant to section 12(a) of the NSLA and current regulations, local educational agencies agree to maintain files of currently approved and denied applications and documentation for direct certification as part of their agreement to administer the program at the school district level. Paragraph 210.9(b) is being revised by this rule to include the new categories of children who may be directly certified (i.e., homeless, certain runaway and migrant children and Head Start enrollees). The review requirements in paragraph 210.18(g) are also amended to add the new categories of children who may be directly certified. Paragraph 210.18(g)(1)(B) is also being amended to conform with changes made in the November 13, 2007, interim regulation (72 FR 63785) that established year-long eligibility for free and reduced price meals.</P>
        <P>We are also using this opportunity to clarify the relationship between delayed implementation of Provision 2 as permitted in paragraph 245.9(b)(6)(ii) and use of a child's prior year's eligibility status for the first 30 operating days in the new school year (“carryover”) in paragraph 245.6(c)(2). Delayed implementation permits schools establishing claiming percentages for Provision 2 to charge participating students for meals in the first claiming period of the base year. This exception is permitted to assist schools in securing completed free and reduced price applications from households which might not otherwise submit an application if there is no charge for meals. With the State agency's approval, schools may delay implementing Provision 2 for a period not to exceed the first claiming period of the base year. When the carryover provision was added in the interim rulemaking dated November 13, 2007, (72 FR 63793), we did not address how it applied to delayed implementation. Therefore, we are revising paragraph 245.6(c)(2) to indicate that carryover is not required when schools are approved to use the delayed implementation in relation to Provision 2.</P>
        <P>We are also making technical amendments to paragraph 210.18(g)(1)(i)(A)(3) to reflect the recent changes to the carryover provision that no longer permit the State agency to establish a different timeframe. Other technical changes are to correct an omission in the introductory text of paragraph 210.19(c) by adding a reference to paragraph 210.19(c)(iii), which was inadvertently left out, and to correct a citation in the definition of “School in severe need” in § 220.2 that should refer to paragraph 220.9(d), not paragraph 220.9(e).</P>
        <P>We are also using this interim rule to correct a number of obsolete names, addresses, terms of usage, and spelling errors that may appear in parts 210, 215, 220, 225, 226, and 245.</P>
        <P>As mandated by the Food, Conservation and Energy Act of 2008, effective October 1, 2008, the Food Stamp Program was renamed as the Supplemental Nutrition Assistance Program or SNAP. This interim rule amends parts 210, 215, 225, 226, and 245 to reflect this change.</P>
        <P>The new name of the General Accounting Office, the Government Accountability Office (GAO), is made to paragraphs 225.6(h)(vii) and 226.10(d). This interim rule also replaces the term “handicap” with the term “disability” in paragraphs 225.8(g)(i), 225.15(e), 226.23(c)(5), 226.23(e)(2)(iv), and 226.23(h). Other corrections are a reference to CACFP in paragraph 226.23(e)(1)(iii)(E) and the spelling of “labeled” in paragraph 225.15(e).</P>
        <P>Paragraph 245.3(b) is also revised to improve the readability of regulations and to delete a procedure applicable only to single child applications, which may no longer be used by local educational agencies.</P>
        <HD SOURCE="HD1">VII. Procedural Matters</HD>
        <HD SOURCE="HD2">Executive Order 12866 and Executive Order 13563</HD>
        <P>Executive Orders 12866 and 13563 direct agencies to assess all costs and benefits of available regulatory alternatives and, if regulation is necessary, to select regulatory approaches that maximize net benefits (including potential economic, environmental, public health and safety effects, distributive impacts, and equity). Executive Order 13563 emphasizes the importance of quantifying both costs and benefits, of reducing costs, of harmonizing rules, and of promoting flexibility.</P>
        <P>This interim rule has been designated a “significant regulatory action,” although not economically significant, under section 3(f) of Executive Order 12866. Accordingly, the rule has been reviewed by the Office of Management and Budget.</P>
        <HD SOURCE="HD3">Regulatory Impact Analysis</HD>
        <HD SOURCE="HD3">Need for Action</HD>

        <P>The 2004 Reauthorization Act requires local educational agencies to establish systems to directly certify SNAP participant children for free<PRTPAGE P="22793"/>school meals no later than School Year 2008-2009. The Reauthorization Act also extends categorical eligibility and provides for the direct certification of certain homeless, migrant, or runaway children. This interim rule makes necessary changes to implement these statutory requirements.</P>
        <HD SOURCE="HD3">Benefits</HD>
        <P>The rule is expected to enhance access to the school meals and milk programs by needy children, decrease duplicative paperwork for households, decrease the administrative costs of processing and reviewing applications, and improve program integrity. Mandatory direct certification based on SNAP participation increased certifications for free school meals by an estimated 190,000 children in School Year 2008-2009. The interim rule's requirement that local educational agencies conduct direct certification at least three times per year beginning in School Year 2011-2012 may increase the number of children certified for free meals (for at least part of the school year) by an additional 270,000.</P>
        <HD SOURCE="HD3">Costs</HD>
        <P>Direct certification increases the number of children certified to receive free school meals, which raises the cost of federal meal reimbursements to participating schools. State and local education, SNAP, and child welfare agencies also incur administrative costs associated with direct certification. Total meal reimbursement and administrative costs are estimated to have increased by more than $114 million over the five fiscal years from 2005 through 2009. (State SNAP and Child Nutrition Agencies begin to incur administrative costs in fiscal year 2005, the year prior to the mandatory implementation of direct certification by large LEAs under the terms of the 2004 Reauthorization Act.) The estimated ten-year cost of the rule, through FY 2014, is nearly $760 million. More than $730 million of this amount is the cost of Federal reimbursement to schools for free meals served to newly certified children.</P>
        <HD SOURCE="HD3">Regulatory Flexibility Act</HD>
        <P>This interim rule has been reviewed with regard to the requirements of the Regulatory Flexibility Act. It is certified that this interim rule will not have a significant economic impact on a substantial number of small entities. Determining children eligible for free meals or free milk by obtaining eligibility information directly from another agency will reduce duplicative paperwork for households who have already established their need for assistance to certain programs which serve low-income children and adults, and will streamline the free and reduced price application and certification process for schools. The provisions of this rule will enhance access to these programs by needy children. Although there may be some initial burdens associated with implementation of this rule, the burdens will not be significant and will be outweighed by the long-term benefits of direct certification and expanded categorical eligibility.</P>
        <HD SOURCE="HD3">Unfunded Mandates Reform Act</HD>
        <P>Title II of the Unfunded Mandates Reform Act of 1995 (UMRA) establishes a requirement for Federal agencies to assess the effects of their regulatory actions on State, local, and tribal governments and the private sector. Under section 202 of the UMRA, the Department generally must prepare a written statement, including a cost-benefit analysis. This is done for proposed and final rules that have Federal mandates which may result in expenditures of $100 million or more in any one year by State, local, or tribal governments, in the aggregate, or by the private sector. When this statement is needed for a rule, section 205 of the UMRA generally requires the Department to identify and consider a reasonable number of regulatory alternatives. It must then adopt the least costly, most cost-effective or least burdensome alternative that achieves the objectives of the rule.</P>
        <P>This rule contains no Federal mandates of $100 million or more in any one year (under regulatory provisions of Title II of the UMRA) for State, local, and tribal governments or the private sector. Thus, this interim rule is not subject to the requirements of sections 202 and 205 of the UMRA.</P>
        <HD SOURCE="HD3">Executive Order 12372</HD>
        <P>The National School Lunch Program, Special Milk Program, School Breakfast Program Summer Food Service Program, and Child and Adult Care Food Program are listed in the Catalog of Federal Domestic Assistance under Nos. 10.555, 10.556, 10.553, 10.559 and 10.558, respectively. For the reasons set forth in the final rule in 7 CFR part 3015, subpart V, and final rule related notice at 48 FR 29114, June 24, 1983, these programs are included in the scope of Executive Order 12372, which requires intergovernmental consultation with State and local officials.</P>
        <HD SOURCE="HD3">Federalism Summary Impact Statement</HD>
        <P>Executive Order 13132 requires Federal agencies to consider the impact of their regulatory actions on State and local governments. Where such actions have federalism implications, agencies are directed to provide a statement for inclusion in the preamble to the regulation describing the agency's considerations in terms of the three categories called for under section (6)(b)(2)(B) of Executive Order 13132.</P>
        <HD SOURCE="HD3">Prior Consultation With State Officials</HD>
        <P>Prior to drafting this rule, we received input from State and local agencies at various times. The Child Nutrition Programs (CNP) are State administered, federally funded programs. Staff from FNS' headquarters and regional offices had informal and formal discussions with State and local officials on an ongoing basis regarding program implementation and performance. This arrangement allows State and local agencies to provide feedback that helps form the basis for any discretionary decisions in this and other CNP rules. Additionally, we convened a meeting of representative Federal and State administrators of SNAP and CNP State directors to discuss their current direct certification procedures. Department officials have also provided overviews of the changes made in the certification process at meetings attended by local educational agency representatives, advocacy groups and other interested parties. These sessions provided FNS officials with insights into areas of concerns from these groups and allowed us to obtain background into how local and State administrators are currently doing certification and direct certification and how the statutory changes will affect these procedures.</P>
        <HD SOURCE="HD3">Nature of Concerns and the Need To Issue This Rule</HD>
        <P>State and local agencies are generally concerned about improving the integrity of the free and reduced price meal eligibility process without hindering access to the programs. They also are concerned about the paperwork and financial burdens placed on food service to determine free and reduced price meal eligibility and the initial cost of implementing direct certification.</P>

        <P>The issuance of this regulation is required by amendments made to the Richard B. Russell National School Lunch Act by the Reauthorization Act. Prior to those amendments, program officials were permitted to directly certify children in households receiving benefits from SNAP, TANF and FDPIR. This rule now requires local educational agencies to directly certify children in households receiving benefits from SNAP and permits the direct certification of children in households<PRTPAGE P="22794"/>receiving TANF or FDPIR benefits, as well as homeless, some runaway children and migrant children.</P>
        <HD SOURCE="HD3">Extent to Which We Meet These Concerns</HD>
        <P>By extending categorical eligibility to all children in a family based on one (or more) children's receipt of SNAP, FDPIR or TANF benefits, access to free meals is improved and the application process streamlined for both families and local educational agencies. Integrity is also addressed in this provision because the large majority of these other children are otherwise income eligible for free meals or are actually receiving assistance from these programs but were not readily identified. Additionally, children whose eligibility is determined through the direct certification process are exempt from the verification of eligibility process which reduces the burden placed on households. The inclusion of all children in the family as categorically eligible if other children are identified through direct certification eliminates the need for an application and further reduces the number of applications subject to verification. Local educational agencies can reduce the number of applications/households that are subject to verification by using direct certification as much as possible. These amendments will reduce paperwork and financial burdens placed on local educational agencies.</P>
        <P>This rule is intended to have a preemptive effect on any State law that conflicts with its provisions or that would otherwise impede its full implementation. To the extent the rule includes discretionary changes, the Department has established compliance timeframes which give due consideration to State agency processes for notification of customers and stakeholders for the implementation of the new procedures in local offices.</P>
        <HD SOURCE="HD3">Executive Order 12988</HD>
        <P>This interim rule has been reviewed under Executive Order 12988, Civil Justice Reform. It is intended to have preemptive effect with respect to any State or local laws, regulations or policies which conflict with its provisions or which would impede its full implementation. This rule is not intended to have retroactive effect unless that is specified in the Effective Date section of the preamble of the rule. Before any judicial challenge to the provisions of this rule or the application of its provisions, all administrative procedures that apply must be followed. The only administrative appeal procedures relevant to this interim rule are the hearings that local educational agencies must provide for decisions relating to eligibility for free and reduced price meals and free milk (§ 245.7 for the NSLP, SBP, and SMP in schools).</P>
        <HD SOURCE="HD3">Civil Rights Impact Analysis</HD>
        <P>FNS has reviewed this interim rule in accordance with the Department Regulations 4300-4, “Civil Rights Impact Analysis,” to identify any major civil rights impacts the rule might have on children on the basis of race, color, national origin, sex, age or disability. After a careful review of the rule's intent and provisions, FNS has determined that this interim rule facilitates the participation of all eligible participants and does not establish any new burdens.</P>
        <HD SOURCE="HD3">Executive Order 13175</HD>
        <P>USDA will undertake, within six months after this rule becomes effective, a series of Tribal consultation sessions to gain input from elected Tribal officials or their designees concerning the impact of this rule on Tribal governments, communities and individuals. These sessions will establish a baseline of consultation for future actions, should any be necessary, regarding this rule. Reports from these sessions for consultation will be made part of the USDA annual reporting on Tribal Consultation and Collaboration. USDA will respond in a timely and meaningful manner to all Tribal government requests for consultation concerning this rule and will provide additional venues, such as webinars and teleconferences, to periodically host collaborative conversations with Tribal leaders and their representatives concerning ways to improve this rule in Indian country.</P>
        <P>The policies contained in this rule would not have Tribal implications that preempt Tribal law.</P>
        <HD SOURCE="HD3">Paperwork Reduction Act</HD>

        <P>The Paperwork Reduction Act of 1995 (44 U.S.C. Chapter 35; see 5 CFR 1320), requires that the Office of Management and Budget (OMB) approve all collections of information by a Federal agency from the public before they can be implemented. Respondents are not required to respond to any collection of information unless it displays a current, valid OMB control number. This is a new collection. The new provisions in this rule, which do increase burden hours, affect the information collection requirements that will be merged into the National School Lunch Program, OMB Control Number #0584-0006, expiration date March 31, 2012, and the Determining Eligibility for Free and Reduced Price Meals, OMB Control #0584-0026, expiration date March 31, 2013. The current collection burden inventory for the National School Lunch Program (7 CFR 210) is 11,846,904; and the current collection burden inventory for Determining Eligibility for Free and Reduced Price Meals (7 CFR part 245) is 1,073,432. These changes are contingent upon OMB approval under the Paperwork Reduction Act of 1995. When the information collection requirements have been approved, FNS will publish a separate action in the<E T="04">Federal Register</E>announcing OMB's approval.</P>
        <P>Comments on the information collection in this interim rule must be received by June 24, 2011. Send comments to the Office of Information and Regulatory Affairs, OMB, Attention: Desk Officer for FNS, Washington, DC 20503. Please also send a copy of your comments to Lynn Rodgers-Kuperman, Chief, Program Analysis and Monitoring Branch, Child Nutrition Division, 3101 Park Center Drive, Alexandria, VA 22302. For further information, or for copies of the information collection requirements, please contact Lynn Rodgers-Kuperman at the address indicated above. Comments are invited on: (1) Whether the proposed collection of information is necessary for the proper performance of the Agency's functions, including whether the information will have practical utility; (2) the accuracy of the Agency's estimate of the proposed information collection burden, 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 those who are to respond, including use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology.</P>
        <P>All responses to this request for comments will be summarized and included in the request for OMB approval. All comments will also become a matter of public record.</P>
        <P>
          <E T="03">Title:</E>Direct Certification and Certification of Homeless, Migrant and Runaway Children for Free School Meals.</P>
        <P>
          <E T="03">OMB Number:</E>0584-NEW.</P>
        <P>
          <E T="03">Expiration Date:</E>Not Yet Determined.</P>
        <P>
          <E T="03">Type of Request:</E>New Collection.</P>
        <P>
          <E T="03">Abstract:</E>Under the mandatory direct certification process, the local educational agency (note: this term replaces the term school food authority for the purposes of determining eligibility for free or reduced price<PRTPAGE P="22795"/>school meals) must directly certify, as eligible for free school meals, children who are members of a household that is receiving benefits from the Supplemental Nutrition Assistance Program (SNAP). In addition, they will continue to have the option of directly certifying children who are members of households receiving assistance under the Food Distribution Program on Indian Reservations (FDPIR), or Temporary Assistance for Needy Families (TANF) program. The local educational agency obtains documentation from the State or local agency administering SNAP, FDPIR or TANF. The documentation establishes children's automatic eligibility for free meals because of receipt of benefits from the SNAP, FDPIR or TANF. Direct certification is done in lieu of a family filing a free and reduced price application.</P>

        <P>This interim rule also establishes categorical eligibility for free meals for children in other programs. These are—children enrolled in a Head Start program; children identified as homeless under the McKinney-Vento Homeless Assistance Act (42 U.S.C. 11434a (2)); children identified as migratory under section 1309 of the Elementary and Secondary Education Act of 1965 (20 U.S.C. 6399); and children identified as runaways receiving assistance under a program under the Runaway and Homeless Youth Act (42 U.S.C. 5701<E T="03">et seq.</E>). These children are identified by officials responsible for administering these programs or by school officials responsible for identifying these children who are enrolled in their school districts. For example, each school district must have a local liaison who identifies homeless, runaway or migratory children. In addition, Head Start officials or representatives of the local Migrant Education Program may provide the names of eligible children.</P>
        <P>For mandatory direct certification with SNAP, optional direct certification with FDPIR or TANF and eligibility determinations made for children who are categorically eligible based on Head Start participation and the other programs discussed above, the paperwork burden for the local educational agency is due to the requirement to obtain documentation and retain it for review purposes.</P>
        <P>This interim rule will increase the recordkeeping burden on the current collection burden inventory for the National School Lunch Program, OMB Control Number #0584-0006, because local educational agencies will be required to retain additional records containing the names of children directly certified for National School Lunch Program. This interim rule will increase the recordkeeping burden and decrease the reporting burden on the current collection burden inventory for Determining Eligibility for Free and Reduced Price Meals, OMB Control #0584-0026, because State agencies must maintain additional agreements and fewer households will be required to complete an application form. The interim rule will not change the recordkeeping nor the reporting burden on the current collection burden inventory for School Breakfast Program, OMB Control #0584-0012, as those respondents participating in the School Breakfast Program also participate in the National School Lunch Program; thus the burden associated with the School Breakfast Program will be carried in the National School Lunch Program. The average burden per response and the annual burden hours are explained below and summarized in the charts which follow.</P>
        <HD SOURCE="HD3">Estimated Annual Burden for 0584-NEW, National School Lunch Program, 7 CFR 210</HD>
        <P>
          <E T="03">Respondents for this Interim Rule:</E>Local Educational Agencies.</P>
        <P>
          <E T="03">Estimated Number of Respondents for this Interim Rule:</E>20,948.</P>
        <P>
          <E T="03">Estimated Number of Responses per Respondent for this Interim Rule:</E>4.</P>
        <P>
          <E T="03">Estimated Total Annual Responses:</E>83,792.</P>
        <P>
          <E T="03">Estimated Total Annual Burden on Respondents for this Interim Rule:</E>52,370.</P>
        <GPOTABLE CDEF="s100,r50,12,12,12,12,12" COLS="7" OPTS="L2,i1">
          <TTITLE>Estimated Annual Burden for 0584—New, National School Lunch Program, 7 CFR 210</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1">Section</CHED>
            <CHED H="1">Estimated number of<LI>respondents</LI>
            </CHED>
            <CHED H="1">Frequency<LI>of</LI>
              <LI>responses</LI>
            </CHED>
            <CHED H="1">Average<LI>annual</LI>
              <LI>responses</LI>
            </CHED>
            <CHED H="1">Average<LI>burden per</LI>
              <LI>response</LI>
            </CHED>
            <CHED H="1">Annual burden<LI>hours</LI>
            </CHED>
          </BOXHD>
          <ROW EXPSTB="06" RUL="s">
            <ENT I="21">
              <E T="02">Recordkeeping (Local Educational Agencies)</E>
            </ENT>
          </ROW>
          <ROW EXPSTB="00">
            <ENT I="01">Names of children approved for meals based on documentation certifying that the child is included in a household currently approved to receive benefits under SNAP</ENT>
            <ENT>7 CFR 210.9 (b)(19) and 7 CFR 210.15 (b)(4)</ENT>
            <ENT>20,948</ENT>
            <ENT>3</ENT>
            <ENT>62,844</ENT>
            <ENT>0.5</ENT>
            <ENT>31,422</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Names of children approved for meals based on documentation certifying that the child is included in a household currently approved to receive benefits under FDPIR, TANF, or is a homeless child, migrant child, Head Start child, or a runaway child</ENT>
            <ENT>7 CFR 210.9 (b)(19) and 7 CFR 210.15 (b)(4)</ENT>
            <ENT>20,948</ENT>
            <ENT>1</ENT>
            <ENT>20,948</ENT>
            <ENT>1</ENT>
            <ENT>20,948</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Recordkeeping for Interim Rule</ENT>
            <ENT/>
            <ENT>20,948</ENT>
            <ENT>4</ENT>
            <ENT>83,792</ENT>
            <ENT>0.625</ENT>
            <ENT>* 52,370</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Existing Recordkeeping Burden for Part 210</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>8,903,547</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Burden Increase for Part 210</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>51,620</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Recordkeeping Burden for Part 210 with Interim Rule</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>8,955,167</ENT>
          </ROW>
          <TNOTE>* Includes 750 hours already in existing rule for this purpose, so net change is 51,620.</TNOTE>
        </GPOTABLE>
        <PRTPAGE P="22796"/>
        <HD SOURCE="HD3">Estimated Annual Burden for 0584—NEW, Determining Eligibility for Free and Reduced Price Meals, 7 CFR 245</HD>
        <P>
          <E T="03">Respondents for this Interim Rule:</E>Households (8,262,043) and State Education Agencies (54).</P>
        <P>
          <E T="03">Estimated Number of Respondents for this Interim Rule:</E>8,262,097.</P>
        <P>
          <E T="03">Estimated Number of Responses per Respondent for this Interim Rule:</E>1.0232267.</P>
        <P>
          <E T="03">Estimated Total Annual Responses:</E>8,453,997.</P>
        <P>
          <E T="03">Estimated Total Annual Burden on Respondents for this Interim Rule:</E>673,665.710.</P>
        <GPOTABLE CDEF="s100,r50,13,13,13,12,12" COLS="7" OPTS="L2,i1">
          <TTITLE>Estimated Annual Burden for 0584—New, Determining Eligibility for Free and Reduced Price Meals, 7 CFR 245</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1">Section</CHED>
            <CHED H="1">Estimated number of respondents</CHED>
            <CHED H="1">Frequency of response</CHED>
            <CHED H="1">Average annual responses</CHED>
            <CHED H="1">Average<LI>burden per</LI>
              <LI>response</LI>
            </CHED>
            <CHED H="1">Annual burden hours</CHED>
          </BOXHD>
          <ROW EXPSTB="06" RUL="s">
            <ENT I="21">
              <E T="02">Reporting (Households)</E>
            </ENT>
          </ROW>
          <ROW EXPSTB="00">
            <ENT I="01">Households complete application form</ENT>
            <ENT>7 CFR 245.6(a)</ENT>
            <ENT>8,262,043</ENT>
            <ENT>1</ENT>
            <ENT>8,262,043</ENT>
            <ENT>0.07</ENT>
            <ENT>578,343.01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Households assemble written evidence and send to local educational agency</ENT>
            <ENT>7 CFR 245.6a (a)(7)(i)</ENT>
            <ENT>190,000</ENT>
            <ENT>1</ENT>
            <ENT>167,441</ENT>
            <ENT>0.5</ENT>
            <ENT>95,000.00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Households cooperate by providing collateral contacts</ENT>
            <ENT>7 CFR 245.6a (a)(7)(ii)</ENT>
            <ENT>1,900</ENT>
            <ENT>1</ENT>
            <ENT>1,900</ENT>
            <ENT>0.167</ENT>
            <ENT>317.30</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Reporting for Interim Rule</ENT>
            <ENT/>
            <ENT>8,262,043</ENT>
            <ENT>1</ENT>
            <ENT>8,453,943</ENT>
            <ENT>0.079686</ENT>
            <ENT>*673,660.31</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Existing Reporting Burden for Part 245</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>1,067,387.132</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Burden Decrease for Part 245</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>(113,070.55)</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Reporting Burden for Part 245 with Interim Rule</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>954,316.582</ENT>
          </ROW>
          <TNOTE>* Represents reduction of 113,070.55 from existing burden.</TNOTE>
        </GPOTABLE>
        <GPOTABLE CDEF="s100,r50,12,12,12,12,12" COLS="7" OPTS="L2,i1">
          <TTITLE>Estimated Annual Burden for 0584—New, Determining Eligibility for Free and Reduced Price Meals, 7 CFR 245</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1">Section</CHED>
            <CHED H="1">Estimated number of<LI>respondents</LI>
            </CHED>
            <CHED H="1">Frequency of response</CHED>
            <CHED H="1">Average<LI>annual</LI>
              <LI>responses</LI>
            </CHED>
            <CHED H="1">Average<LI>burden per</LI>
              <LI>response</LI>
            </CHED>
            <CHED H="1">Annual<LI>burden hours</LI>
            </CHED>
          </BOXHD>
          <ROW EXPSTB="06" RUL="s">
            <ENT I="21">
              <E T="02">Recordkeeping</E>
            </ENT>
          </ROW>
          <ROW EXPSTB="00">
            <ENT I="01">State agency must maintain agreements with local educational agencies conducting eligibility determinations for SNAP</ENT>
            <ENT>7 CFR 245.6(b)<LI>(1)(iv)</LI>
            </ENT>
            <ENT>54</ENT>
            <ENT>1</ENT>
            <ENT>54</ENT>
            <ENT>0.1</ENT>
            <ENT>5.40</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Recordkeeping for Interim Rule</ENT>
            <ENT/>
            <ENT>54</ENT>
            <ENT>1</ENT>
            <ENT>54</ENT>
            <ENT>0.1</ENT>
            <ENT>5.40</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Existing Recordkeeping Burden for Part 245</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>6,045.000</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total Recordkeeping Burden for Part 245 with Interim Rule</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>6,050.400</ENT>
          </ROW>
        </GPOTABLE>
        <GPOTABLE CDEF="s150,16" COLS="2" OPTS="L2,p1,8/9,i1">
          <TTITLE>Summary of Burden (OMB #0584—New) 7 CFR 210</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1"/>
          </BOXHD>
          <ROW>
            <ENT I="01">TOTAL NUMBER of RESPONDENTS</ENT>
            <ENT>20,948</ENT>
          </ROW>
          <ROW>
            <ENT I="01">AVERAGE NUMBER of RESPONSES PER RESPONDENT</ENT>
            <ENT>4</ENT>
          </ROW>
          <ROW>
            <ENT I="01">TOTAL ANNUAL RESPONSES</ENT>
            <ENT>83,792</ENT>
          </ROW>
          <ROW>
            <ENT I="01">AVERAGE HOURS PER RESPONSE</ENT>
            <ENT>.625</ENT>
          </ROW>
          <ROW>
            <ENT I="01">TOTAL BURDEN HOURS FOR PART 210 WITH INTERIM RULE</ENT>
            <ENT>11,898,524</ENT>
          </ROW>
          <ROW>
            <ENT I="01">CURRENT OMB INVENTORY FOR PART 210</ENT>
            <ENT>11,846,904</ENT>
          </ROW>
          <ROW>
            <ENT I="01">DIFFERENCE (NEW BURDEN REQUESTED WITH INTERIM RULE)</ENT>
            <ENT>51,620</ENT>
          </ROW>
        </GPOTABLE>
        <GPOTABLE CDEF="s150,16" COLS="2" OPTS="L2,p1,8/9,i1">
          <TTITLE>Summary of Burden (OMB #0584—New) 7 CFR 245</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1"/>
          </BOXHD>
          <ROW>
            <ENT I="01">TOTAL NUMBER of RESPONDENTS</ENT>
            <ENT>8,262,097</ENT>
          </ROW>
          <ROW>
            <ENT I="01">AVERAGE NUMBER OF RESPONSES PER RESPONDENT</ENT>
            <ENT>1.0232266</ENT>
          </ROW>
          <ROW>
            <ENT I="01">TOTAL ANNUAL RESPONSES</ENT>
            <ENT>8,453,997</ENT>
          </ROW>
          <ROW>
            <ENT I="01">AVERAGE HOURS PER RESPONSE</ENT>
            <ENT>0.079686</ENT>
          </ROW>
          <ROW>
            <ENT I="01">NEW TOTAL REPORTING AND RECORDKEEPING BURDEN HOURS FOR PART 245 WITH INTERIM RULE</ENT>
            <ENT>960,366.98</ENT>
          </ROW>
          <ROW>
            <ENT I="01">PROPOSED OMB INVENTORY FOR PART 245</ENT>
            <ENT>1,073,432.000</ENT>
          </ROW>
          <ROW>
            <ENT I="01">DIFFERENCE (NEW BURDEN REDUCTION REQUESTED WITH INTERIM RULE)</ENT>
            <ENT>(113,065.10)</ENT>
          </ROW>
        </GPOTABLE>
        <PRTPAGE P="22797"/>
        <HD SOURCE="HD3">E-Government Act Compliance</HD>
        <P>FNS is committed to compliance with the 2002 E-Government Act to promote the use of the Internet and other information technologies to provide increased opportunities for citizen access to Government information and services, and for other purposes.</P>
        <HD SOURCE="HD3">Public Participation</HD>
        <P>This action is being issued without prior notice or public comment under authority of 5 U.S.C. 553(b)(3)(A) and (B). In recognition of the need to implement the provisions on direct certification and expanded categorical eligibility in order to facilitate participation of needy students and to reduce the burden on local educational agencies, section 501(b) of the Reauthorization Act allows the Department to issue interim rules on these and other provisions in that law. Thus, the Department has determined in accordance with 5 U.S.C. 553(b) that Notice of Proposed Rulemaking and an opportunity for prior public comment is unnecessary and contrary to the public interest and, in accordance with 5 U.S.C. 553(d), finds that good cause exists for making this action effective without prior public comment. However, as noted earlier in this preamble, the Department recognizes that there are some discretionary areas inherent in these provisions and has concluded that it is important to provide an opportunity for public comment to facilitate policy development through the rulemaking process. In addition, several of the discretionary provisions have long implementation timeframes.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects</HD>
          <CFR>7 CFR Part 210</CFR>
          <P>Children, Commodity School Program, Food assistance programs, Grants programs—social programs, National School Lunch Program, Nutrition, Reporting and recordkeeping requirements, Surplus agricultural commodities.</P>
          <CFR>7 CFR Part 215</CFR>
          <P>Food assistance programs, Grant programs—education, Grant programs-health, Infants and children, Milk, Reporting and recordkeeping requirements.</P>
          <CFR>7 CFR Part 220</CFR>
          <P>Grant programs—education, Grant programs—health, Infants and children, Nutrition, Reporting and recordkeeping requirements, School breakfast and lunch programs.</P>
          <CFR>7 CFR Part 225</CFR>
          <P>Food assistance programs, Grant programs—health, Infants and children, Labeling, Reporting and recordkeeping requirements.</P>
          <CFR>7 CFR Part 226</CFR>
          <P>Accounting, Aged, Day care, Food assistance programs, Grant programs, Grant programs—health, American Indians, Individuals with disabilities, Infants and children, Intergovernmental relations, Loan programs, Reporting and recordkeeping requirements, Surplus agricultural commodities.</P>
          <CFR>7 CFR Part 245</CFR>
          <P>Civil rights, Food assistance programs, Grant programs—education, Grant programs—health, Infants and children, Milk, Reporting and recordkeeping requirements, School breakfast and lunch programs.</P>
          <P>Accordingly, 7 CFR parts 210, 215, 220, 225, 226 and 245 are amended as follows:</P>
        </LSTSUB>
        
        <REGTEXT PART="210" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 210—NATIONAL SCHOOL LUNCH PROGRAM</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 210 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 1751-1760, 1779.</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="210" TITLE="7">
          <AMDPAR>2. In § 210.9:</AMDPAR>
          <AMDPAR>a. Revise paragraph (b)(18);</AMDPAR>
          <AMDPAR>b. Redesignate paragraphs (b)(19) and (b)(20) as paragraphs (b)(20) and (b)(21), respectively; and</AMDPAR>
          <AMDPAR>c. Add a new paragraph (b)(19).</AMDPAR>
          <P>The revision and addition read as follows:</P>
          <SECTION>
            <SECTNO>§ 210.9</SECTNO>
            <SUBJECT>Agreement with State agency.</SUBJECT>
            <STARS/>
            <P>(b)  * * *</P>
            <P>(18) Maintain files of currently approved and denied free and reduced price applications which must be readily retrievable by school.</P>
            <P>(19) Maintain files of the names of children currently approved for free meals through direct certification with the supporting documentation, as specified in § 245.6(b)(5) of this chapter, which must be readily retrievable by school. Documentation for direct certification must include information obtained directly from the appropriate State or local agency, or other appropriate individual, as specified by FNS, that:</P>
            <P>(i) A child in the<E T="03">Family,</E>as defined in § 245.2 of this chapter, is receiving benefits from<E T="03">SNAP, FDPIR</E>or<E T="03">TANF,</E>as defined in § 245.2 of this chapter; if one child is receiving such benefits, all children in that family are considered to be directly certified;</P>
            <P>(ii) The child is a homeless child as defined in § 245.2 of this chapter;</P>
            <P>(iii) The child is a runaway child as defined in § 245.2 of this chapter;</P>
            <P>(iv) The child is a migrant child as defined in § 245.2 of this chapter; or</P>
            <P>(v) The child is a Head Start child as defined in § 245.2 of this chapter.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="210" TITLE="7">

          <AMDPAR>3. Section 210.18 is amended by revising paragraph (g)(1)(i)(A)<E T="03">(3</E>); paragraph (g)(1)(i)(A)(<E T="03">4</E>); and the second sentence of paragraph (g)(1)(i)(B) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 210.18</SECTNO>
            <SUBJECT>Administrative reviews.</SUBJECT>
            <STARS/>
            <P>(g) * * *</P>
            <P>(1) * * *</P>
            <P>(i) * * *</P>
            <P>(A) * * *</P>
            <P>
              <E T="03">(3)</E>Evaluate if the previous year's eligibility determinations were used as required in § 245.6(c)(2) of this chapter.</P>
            <P>
              <E T="03">(4)</E>In the case where children are determined eligible for free lunches through direct certification, as specified in § 245.6 of this chapter, establish that the documentation for direct certification of children is official and from the appropriate State or local agency or another appropriate individual, as approved by FNS; establish that all information required under § 245.6 of this chapter is complete and the children were enrolled in the school under review during the review period.</P>
            <P>(B) * * *  The State agency shall determine whether the system for issuing benefits and updating children's eligibility status is adequate and, within the timeframes established in § 210.7(c)(1)(ii)(B), reflects changes due to verification findings, transfers, or a household's decision to decline benefits.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="210" TITLE="7">
          <SECTION>
            <SECTNO>§ 210.19</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>4. Section 210.19 is amended in paragraph (c)(6) introductory text by removing the phrase “paragraphs (c)(6)(i) and (ii)” and adding in its place “paragraphs (c)(6)(i) through (c)(6)(iii)”; and paragraph (c)(6)(ii) by removing the term “food stamp” and adding in its place “SNAP”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="210" TITLE="7">
          <SECTION>
            <SECTNO>§ 210.23</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>5. Section 210.23 is amended in paragraph (b), last sentence, by removing the words “FNS Instruction 113-6” and adding in their place the words “FNS Instruction 113-1”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="215" TITLE="7">
          <PART>
            <PRTPAGE P="22798"/>
            <HD SOURCE="HED">PART 215—SPECIAL MILK PROGRAM FOR CHILDREN</HD>
          </PART>
          <AMDPAR>6. The authority citation for part 215 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 1772 and 1779.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="215" TITLE="7">
          <SECTION>
            <SECTNO>§ 215.13a</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>7. Section 215.13a is amended in paragraph (f) by removing the term “Food Stamp” and adding in its place “SNAP”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="220" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 220—SCHOOL BREAKFAST PROGRAM</HD>
          </PART>
          <AMDPAR>8. The authority citation for part 220 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 1773, 1779, unless otherwise noted.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="220" TITLE="7">
          <SECTION>
            <SECTNO>§ 220.2</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>9. Section 220.2, the definition of “School in severe need” is amended by removing “§ 220.9(e)” and adding in its place “§ 220.9(d)”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="220" TITLE="7">
          <AMDPAR>10. Section 220.7 is amended by revising paragraph (e)(14) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 220.7</SECTNO>
            <SUBJECT>Requirements for participation.</SUBJECT>
            <STARS/>
            <P>(e) * * *</P>
            <P>(14) Retain documentation of free or reduced price eligibility as follows:</P>
            <P>(i) Maintain files of currently approved and denied free and reduced price applications which must be readily retrievable by school for a period of three years after the end of the fiscal year to which they pertain; or</P>
            <P>(ii) Maintain files with the names of children currently approved for free meals through direct certification with the supporting documentation, as specified in § 245.6(b)(4) of this chapter, which must be readily retrievable by school. Documentation for direct certification must include information obtained directly from the appropriate State or local agency, or other appropriate individual, as specified by FNS, that:</P>
            <P>(A) A child in the<E T="03">Family,</E>as defined in § 245.2 of this chapter, is receiving benefits from<E T="03">SNAP, FDPIR</E>or<E T="03">TANF,</E>as defined in § 245.2 of this chapter; if one child is receiving such benefits, all children in that family are considered to be directly certified;</P>
            <P>(B) The child is a homeless child as defined in § 245.2 of this chapter;</P>
            <P>(C) The child is a runaway child as defined in § 245.2 of this chapter;</P>
            <P>(D) The child is a migrant child as defined in § 245.2 of this chapter; or</P>
            <P>(E) The child is a Head Start child, as defined in § 245.2 of this chapter.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="225" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 225—SUMMER FOOD SERVICE PROGRAM</HD>
          </PART>
          <AMDPAR>11. The authority citation for part 225 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Secs. 9, 13 and 14, Richard B. Russell National School Lunch Act, as amended (42 U.S.C. 1758, 1761 and 1762a)</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="225" TITLE="7">
          <AMDPAR>12. In § 225.2:</AMDPAR>
          <AMDPAR>a. The introductory text of paragraph (b) and paragraph (b)(1) of the definition of “Documentation” are amended by removing the term “food stamp,” and adding in its place “SNAP,”;</AMDPAR>
          <AMDPAR>b. Remove the definition of “Food stamp household”; and</AMDPAR>
          <AMDPAR>c. Add a definition of “SNAP household” in alphabetical order to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 225.2</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <STARS/>
            <P>
              <E T="03">SNAP household</E>means any individual or group of individuals which is currently certified to receive assistance as a household from SNAP, the Supplemental Nutrition Assistance Program, as defined in § 245.2 of this chapter.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="225" TITLE="7">
          <SECTION>
            <SECTNO>§ 225.6</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>13. In § 225.6:</AMDPAR>
          <AMDPAR>a. In paragraph (c)(2)(i)(L), the second sentence is amended by removing the term “food stamps,” and adding in its place “SNAP benefits,” ;</AMDPAR>
          <AMDPAR>b. The last sentence of paragraph (c)(4)(ii)(B) is amended by removing the term “food stamp,” and adding in its place “SNAP,” and</AMDPAR>
          <AMDPAR>c. Paragraph (h)(2)(vii) is amended by removing the words “General Accounting Office” and adding in their place the words “Government Accountability Office”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="225" TITLE="7">
          <SECTION>
            <SECTNO>§ 225.7</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>14. Section 225.7 is amended in paragraph (g)(1) by removing the word “handicap” and adding in its place the word “disability”;</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="225" TITLE="7">
          <AMDPAR>15. Section 225.15 is amended by:</AMDPAR>
          <AMDPAR>a. Removing the term “food stamp” and adding in its place “SNAP” wherever it appears in the following paragraphs:</AMDPAR>
          <AMDPAR>i. The third sentence of paragraph (e);</AMDPAR>
          <AMDPAR>ii. The heading of the introductory text of paragraph (f)(3);</AMDPAR>
          <AMDPAR>iii. Paragraph (f)(3)(i);</AMDPAR>
          <AMDPAR>iv. Paragraph (f)(4)(ii);</AMDPAR>
          <AMDPAR>v. Paragraph (f)(4)(iv);</AMDPAR>
          <AMDPAR>vi. Paragraph (f)(4)(viii);</AMDPAR>
          <AMDPAR>vii. Paragraph (f)(5)(i); and</AMDPAR>
          <AMDPAR>viii. Paragraph (f)(5)(vi).</AMDPAR>
          <AMDPAR>b. In paragraph (e) by removing the word “labelled” and adding in its place the word “labeled” and by removing the word “handicap” and adding in its place the word “disability”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="226" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 226—CHILD AND ADULT CARE FOOD PROGRAM</HD>
          </PART>
          <AMDPAR>16. The authority citation for part 226 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Secs. 9, 11, 14, 16, and 17, Richard B. Russell National School Lunch Act, as amended (42 U.S.C. 1758, 1759a, 1762a, 1765 and 1766).</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="226" TITLE="7">
          <AMDPAR>17. In § 226.2:</AMDPAR>
          <AMDPAR>a. Amend the definition<E T="03">Documentation</E>by removing the term “food stamp” and adding in its place “SNAP” in paragraph (b) introductory text, paragraph (b)(1), paragraph (d) introductory text, and paragraph (d)(1);</AMDPAR>
          <AMDPAR>b. Amend the definition<E T="03">Free meal</E>by removing the term “food stamp” and adding in its place “SNAP,” each time it appears;</AMDPAR>
          <AMDPAR>c. Amend the definition<E T="03">Verification</E>by removing the term “food stamp” and adding in its place “SNAP,” each time it appears;</AMDPAR>

          <AMDPAR>d. Remove the definition of “Food Stamp household”, and add a definition of<E T="03">SNAP household</E>in alphabetical order to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 226.2</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <STARS/>
            <P>
              <E T="03">SNAP household</E>means any individual or group of individuals which is currently certified to receive assistances as a household from<E T="03">SNAP,</E>the Supplemental Nutrition Assistance Program, as defined in § 245.2 of this chapter.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="226" TITLE="7">
          <SECTION>
            <SECTNO>§ 226.6</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>18. In § 226.6, paragraph (f)(1)(viii)(E) is amended by removing the term “Food Stamp Program” and adding in its place “SNAP” each time it appears.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="226" TITLE="7">
          <SECTION>
            <SECTNO>§ 226.10</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>19. Section 226.10 is amended in paragraph (d) by removing the words “General Accounting Office” and adding in their place the words “Government Accountability Office”;</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="226" TITLE="7">
          <SECTION>
            <SECTNO>§ 226.23</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>20. Section 226.23 is amended by:</AMDPAR>
          <AMDPAR>a. Removing the term “food stamp” and adding in its place “SNAP” each time it appears in the following paragraphs:</AMDPAR>
          <AMDPAR>i. Paragraph (c)(2);</AMDPAR>
          <AMDPAR>ii. Paragraph (d);</AMDPAR>
          <AMDPAR>iii. Paragraph (e)(1)(i);</AMDPAR>
          <AMDPAR>iv. Paragraph (e)(1)(iii)(E), first and seventh sentence;</AMDPAR>
          <AMDPAR>v. Paragraph (e)(1)(iv) introductory text;<PRTPAGE P="22799"/>
          </AMDPAR>
          <AMDPAR>vi. Paragraph (e)(1)(iv)(B);</AMDPAR>
          <AMDPAR>vii. Paragraph (e)(1)(v) introductory text;</AMDPAR>
          <AMDPAR>viii. Paragraph (e)(1)(v)(A);</AMDPAR>
          <AMDPAR>ix. Paragraph (e)(1)(v)(B);</AMDPAR>
          <AMDPAR>x. Paragraph (e)(2)(vii)(A);</AMDPAR>
          <AMDPAR>xi. Paragraph (h)(2)(i)(A);</AMDPAR>
          <AMDPAR>xii. Paragraph (h)(2)(i)(B);</AMDPAR>
          <AMDPAR>xiii. Paragraph (h)(2)(iii)(A);</AMDPAR>
          <AMDPAR>xiv. Paragraph (h)(2)(iv) introductory text;</AMDPAR>
          <AMDPAR>xv. Paragraph (h)(2)(iv)(A);</AMDPAR>
          <AMDPAR>xvi. Paragraph (h)(2)(v)(C), second sentence.</AMDPAR>
          <AMDPAR>b. Removing the term “Food stamp” and adding in its place “SNAP” each time it appears in the following paragraphs:</AMDPAR>
          <AMDPAR>i. Paragraph (e)(1)(ii)(F);</AMDPAR>
          <AMDPAR>ii. Paragraph (e)(1)(iv)(A);</AMDPAR>
          <AMDPAR>iii. Paragraph (h)(2)(v)(A).</AMDPAR>
          <AMDPAR>c. In paragraph (e)(1)(iii)(E), and in paragraph (h)(2)(vi), by removing the words “food stamps” and adding in their place the word “SNAP”.</AMDPAR>
          <AMDPAR>d. In paragraphs (d), (e)(2)(iv) and (h) by removing the word “handicap” and adding in its place the word “disability”;</AMDPAR>
          <AMDPAR>e. In paragraph (e)(1)(iii)(E) by removing the term “CCFP” and adding in its place the term “CACFP”;</AMDPAR>
          <AMDPAR>f. In paragraph (h)(2)(iv) introductory text, first sentence by removing the words “the Food Stamp, FDPIR or TANF program” and adding in their place the words “SNAP, FDPIR or TANF”;</AMDPAR>
          <AMDPAR>g. In paragraph (h)(2)(iv) introductory text, second sentence by removing the words ” Food Stamp, FDPIR or TANF program” and adding in their place the words “SNAP, FDPIR or TANF” and by removing the words at the end of the sentence “in the Food Stamp, FDPIR or TANF Programs” and adding in their place the words” in SNAP, FDPIR or TANF” ;</AMDPAR>
          <AMDPAR>h. In paragraph (h)(2)(iv) introductory text, fourth sentence by removing the words “in the Food Stamp Program” and adding in their place the word “SNAP”;</AMDPAR>
          <AMDPAR>i. In paragraph (h)(2)(iv)(A), first sentence by removing the words “Food Stamp” and adding in their place the word “SNAP”.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <PART>
            <HD SOURCE="HED">PART 245—DETERMINING ELIGIBILITY FOR FREE AND REDUCED PRICE MEALS AND FREE MILK IN SCHOOLS</HD>
          </PART>
          <AMDPAR>21. The authority citation for part 245 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 1752, 1758, 1759a, 1772, 1773, and 1779.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>22. In § 245.2:</AMDPAR>
          <AMDPAR>a. Remove the definitions of “Food Stamp Program”, and “Food Stamp Household”;</AMDPAR>
          <AMDPAR>b. In the definition<E T="03">Documentation</E>, paragraphs (1)(ii) and (2) are revised;</AMDPAR>
          <AMDPAR>c. In the definition<E T="03">Verification</E>, the fourth sentence is amended by removing the term “Food Stamp Program” and adding in its place “SNAP”; and removing the term “food stamps” and adding in its place “SNAP”;</AMDPAR>
          <AMDPAR>d. Add definitions of “Categorically eligible”, “Direct certification”, “Head Start child”, “Homeless child”, “Migrant child”, “Runaway child”, “SNAP”, and “SNAP household” in alphabetical order.</AMDPAR>
          <P>The additions and revision read as follows:</P>
          <SECTION>
            <SECTNO>§ 245.2</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <STARS/>
            <P>
              <E T="03">Categorically eligible</E>means considered income eligible for free meals or free milk, as applicable, based on documentation that a child is a member of a<E T="03">Family</E>, as defined in this section, and one or more children in that family are receiving assistance under<E T="03">SNAP, FDPIR</E>or the<E T="03">TANF</E>program, as defined in this section. A<E T="03">Homeless child</E>, a<E T="03">Migrant child</E>, a<E T="03">Head Start child</E>and a<E T="03">Runaway child</E>, as defined in this section, are also categorically eligible. Categorical eligibility and automatic eligibility may be used synonymously.</P>
            <STARS/>
            <P>
              <E T="03">Direct certification</E>means determining a child is eligible for free meals or free milk, as applicable, based on documentation obtained directly from the appropriate State or local agency or individuals authorized to certify that the child is a member of a household receiving assistance under<E T="03">SNAP</E>, as defined in this section; is a member of a household receiving assistance under<E T="03">FDPIR</E>or under the<E T="03">TANF</E>program, as defined in this section; a<E T="03">Homeless child</E>, a<E T="03">Migrant child,</E>a<E T="03">Head Start child</E>and a<E T="03">Runaway child</E>, as defined in this section.</P>
            <STARS/>
            <P>
              <E T="03">Documentation</E>means:</P>
            <P>(1) * * *</P>
            <P>(ii) For a child who is receiving assistance under<E T="03">SNAP, FDPIR</E>or<E T="03">TANF</E>, as defined in this section, the child's name and appropriate SNAP or TANF case number or FDPIR case number or other FDPIR identifier and signature of an adult household member.</P>
            <P>(2) In lieu of completion of the free and reduced price meal application:</P>

            <P>(i) Information obtained from the State or local agency responsible for administering<E T="03">SNAP, FDPIR</E>or<E T="03">TANF</E>, as defined in this section. Documentation for these programs includes the name of the child; a statement certifying that the child is a member of a household receiving assistance under<E T="03">SNAP, FDPIR</E>or<E T="03">TANF</E>, as defined in this section; information in sufficient detail to match the child attending school in the local educational agency with the name of a child who is a member of one of the applicable programs as defined in this section; the signature of the official from the applicable program who is authorized to provide such documentation on behalf of that program and the date that the official signed the certification statement;</P>

            <P>(ii) (A) A letter or other document provided to the household by the agency administering<E T="03">FDPIR</E>or the<E T="03">TANF</E>program, as defined in this section or by the entity or official authorized to administer an eligible program for a<E T="03">Migrant child, Homeless child,</E>
              <E T="03">Runaway child,</E>or<E T="03">Head Start child,</E>as defined in this section; or</P>

            <P>(B) A letter or document from the agency administering the<E T="03">SNAP</E>program that was voluntarily submitted by the household to the local educational agency;</P>

            <P>(iii) Information from the local educational agency, such as enrollment information or information from applications submitted for free or reduced price meals, or from SNAP, FDPIR or TANF program officials that indicate there are children in a<E T="03">Family,</E>as defined in this section, who were not documented as receiving assistance under SNAP, FDPIR or TANF, in order to extend categorical eligibility to such children as found in § 245.6(b)(7). Documentation for these purposes is the information discussed in paragraph (2)(i) of this definition<E T="03">,</E>plus a written statement by a local educational agency official briefly explaining how the presence of additional children in the family was determined.</P>

            <P>(iv) Information obtained from an official responsible for determining if a child is a<E T="03">Homeless child,</E>a<E T="03">Migrant child,</E>a<E T="03">Head Start child</E>and a<E T="03">Runaway child,</E>as defined in this section. Documentation for these children includes the name of the child; a statement certifying that the child has been determined eligible for that program or is enrolled in the Head Start Program; information in sufficient detail to match the child attending school in the local educational agency with the name of a child who has been determined eligible for that program or is enrolled in an eligible Head Start Program; the signature of the official from the program who is authorized to provide such documentation on behalf of that program and the date that the official signed the certification statement. Documentation may also be a<PRTPAGE P="22800"/>list of children or a computer match that includes this information.</P>
            <P>(v) When a signature is impracticable to obtain, such as in a computer match, the local educational agency shall have a method to ensure that a responsible official can attest to the accuracy of the information provided.</P>
            <STARS/>
            <P>
              <E T="03">Head Start child</E>means a child enrolled as a participant in a Head Start program authorized under the Head Start Act (42 U.S.C. 9831<E T="03">et seq.</E>)</P>
            <P>
              <E T="03">Homeless child</E>means a child identified as lacking a fixed, regular and adequate nighttime residence, as specified under section 725(a) of the McKinney-Vento Homeless Assistance Act (42 U.S.C. 11434a(2)) by the local educational agency liaison, director of a homeless shelter or other individual identified by FNS.</P>
            <STARS/>
            <P>
              <E T="03">Migrant child</E>means a child identified as meeting the definition of migrant in section 1309 of the Elementary and Secondary Education Act of 1965 (20 U.S.C. 6399) by the State or local Migrant Education Program coordinator or the local educational liaison, or other individual identified by FNS.</P>
            <STARS/>
            <P>
              <E T="03">Runaway child</E>means a child identified as a runaway receiving assistance under a program under the Runaway and Homeless Youth Act (42 U.S.C. 5701<E T="03">et seq.</E>) by the local educational liaison, or other individual in accordance with guidance issued by FNS.</P>
            <STARS/>
            <P>
              <E T="03">SNAP</E>means the Supplemental Nutrition Assistance Program established under the Food and Nutrition Act of 2008 (7 U.S.C. 2011<E T="03">et. seq.</E>) and operated under parts 271 and 283 of this chapter.</P>
            <P>
              <E T="03">SNAP household</E>means any individual or group of individuals currently certified to receive assistance as a household from<E T="03">SNAP.</E>
            </P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>23. Section 245.3(b) is revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 245.3</SECTNO>
            <SUBJECT>Eligibility standards and criteria.</SUBJECT>
            <STARS/>
            <P>(b) Each participating local educational agency and all participating schools under its jurisdiction must adhere to the eligibility criteria specified in this part. Local educational agencies must include these eligibility criteria in their policy statement as required under § 245.10 and it must be publicly announced in accordance with the provisions of § 245.5. Additionally, each State agency, or FNSRO where applicable, must require that local educational agencies accept as income eligible for free meals and free milk, children who are categorically eligible for those benefits based on documentation of eligibility, as specified in § 245.6 (b).</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>24. Section 245.5 is amended as follows:</AMDPAR>
          <AMDPAR>a. In paragraph (a)(1)(iv) remove the term “food stamp” and add in its place “SNAP”;</AMDPAR>
          <AMDPAR>b. Redesignate paragraphs (a)(1)(x) and (a)(1)(xi) as paragraphs (a)(1)(xi) and (a)(1)(xii), respectively, and add a new paragraph (a)(1)(x) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 245.5</SECTNO>
            <SUBJECT>Public announcement of the eligibility criteria.</SUBJECT>
            <P>(a) * * *</P>
            <P>(1) * * *</P>
            <P>(x) An explanation that Head Start enrollees and certain migrant, homeless, and runaway children are categorically eligible for free meals and free milk and their families should contact the school for more information.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>25. Section 245.6 is amended as follows:</AMDPAR>
          <AMDPAR>a. Paragraph (a)(6) is amended by removing the term “Food Stamp Program” and adding in its place “SNAP” and by removing the term “food stamp” and adding in its place “SNAP”;</AMDPAR>
          <AMDPAR>b. Paragraph (a)(8)(i) is amended by removing the term “Food Stamp” and adding in its place “Supplemental Nutrition Assistance Program (SNAP)”;</AMDPAR>
          <AMDPAR>c. Amend paragraph (a)(8)(ii) by adding two new sentences at the end;</AMDPAR>
          <AMDPAR>d. Revise paragraph (b);</AMDPAR>
          <AMDPAR>e. Amend paragraph (c)(2) by adding two sentences at the end;</AMDPAR>
          <AMDPAR>f. Revise paragraph (c)(5);</AMDPAR>
          <AMDPAR>g. In paragraph (c)(6)(ii), the first sentence is amended by removing “Food Stamp Program, FDPIR or TANF Program” and adding in its place “SNAP, FDPIR or TANF”; and</AMDPAR>
          <AMDPAR>h. In paragraph (c)(6)(ii), the last sentence is amended by removing the term “food stamp” and adding in its place “SNAP”;</AMDPAR>
          <AMDPAR>i. Amend paragraph (c)(6)(ii) by adding a new sentence at the end.</AMDPAR>
          <P>The addition and revisions read as follows:</P>
          <SECTION>
            <SECTNO>§ 245.6</SECTNO>
            <SUBJECT>Application, eligibility and certification of children for free and reduced price meals and free milk.</SUBJECT>
            <P>(a) * * *</P>
            <P>(8) * * *</P>
            <P>(ii) * * * Also, certain migrant, homeless, and runaway children and children enrolled in a Head Start program are categorically eligible for free meals and free milk. If you are completing an application for these children, contact the school for more information.</P>
            <STARS/>
            <P>(b)<E T="03">Direct certification.</E>In lieu of requiring a household to complete the free and reduced price meal or free milk application, as specified in paragraph (a) of this section, the local educational agency must certify children as eligible for free meals or free milk in accordance with paragraph (b)(1)(i) of this section or may certify children as eligible for free meals or free milk in accordance with paragraph (b)(2) of this section. If a household also submits an application for directly certified children, the direct certification eligibility determination will take precedence.</P>
            <P>(1)<E T="03">Mandatory direct certification of children in SNAP households.</E>(i) All local educational agencies conducting eligibility determinations must directly certify children who are members of a household receiving assistance under<E T="03">SNAP,</E>as defined in § 245.2, in School Year 2008-2009, which begins on July 1, 2008, and each subsequent school year.</P>

            <P>(ii) Schools participating only in the Special Milk Program authorized under part 215 of this chapter may directly certify children for that program but are not required to conduct direct certification with SNAP. In addition, residential child care institutions, as defined in paragraph (c) of the definition of<E T="03">School</E>in § 210.2 of this chapter, that do not have non-residential children are also not required to conduct direct certification with SNAP.</P>
            <P>(iii) Beginning in School Year 2012-2013, direct certification shall be conducted using a data matching technique only and letters to household for direct certification may be used only as an additional means to notify households of children's eligibility based on receipt of SNAP benefits. The last period that letters to households may be used as the primary method for direct certification is School Year 2011-12.</P>

            <P>(iv) Each State agency must enter into an agreement with the State agency conducting eligibility determinations for<E T="03">SNAP.</E>The agreement must specify the procedures that will be used to facilitate the direct certification of children who are members of a household receiving assistance under<E T="03">SNAP,</E>as defined in § 245.2. The agreement must address procedures to comply with the requirements of paragraphs (b)(3) through (b)(9) of this section. Direct<PRTPAGE P="22801"/>certification must allow for notifying parents that their children have been determined eligible for free meals or free milk, as applicable, and that no further application is required. Such agreements must address how phase-out of non-electronic matches as the primary method for conducting direct certification for SNAP will be completed by School Year 2012-2013. The agreement shall be maintained by the State agency.</P>
            <P>(v) Schools applying to use Provision 2 or Provision 3, as permitted under § 245.9, are required to conduct direct certification only in base years. However, schools may elect to conduct direct certification at other times, such as streamlined base years, when eligibility determinations are made.</P>
            <P>(2)<E T="03">Children who may be directly certified.</E>The local educational agency may directly certify children for free meals or free milk based on documentation received from the appropriate State or local agency that administers<E T="03">FDPIR</E>or<E T="03">TANF,</E>as defined in § 245.2, when that agency indicates that the children are members of a household receiving assistance under one of these programs. In addition, the local educational agency may directly certify children for free meals or free milk based on documentation from the appropriate State or local agency or other appropriate individual, as specified by FNS, that the child is a<E T="03">Migrant child,</E>a<E T="03">Homeless child,</E>a<E T="03">Runaway child,</E>or a<E T="03">Head Start child,</E>as defined in § 245.2.</P>
            <P>(3)<E T="03">Frequency of direct certification contacts with SNAP.</E>(i) Until School Year 2011-2012, local educational agencies must conduct direct certification activities with<E T="03">SNAP</E>at least at the beginning of the school year.</P>
            <P>(ii) (A) Beginning in School Year 2011-2012, at a minimum, all local educational agencies must conduct direct certification as follows:</P>
            <P>(<E T="03">1</E>) At or around the beginning of the school year;</P>
            <P>(<E T="03">2</E>) Three months after the initial effort; and</P>
            <P>(<E T="03">3</E>) Six months after the initial effort.</P>
            <P>(B) The information used shall be the most recent available.</P>
            <P>(iii) The names of all newly enrolled children and all children not certified for free meals shall be submitted for the direct certification required in paragraph (b)(3)(ii)(B) and paragraph (b)(3)(ii)(C) of this section. Newly enrolled children must be provided with application materials in order to alleviate a delay in receipt of free meals or free milk if direct certification for these children cannot be completed promptly upon enrollment.</P>
            <P>(iv) State agencies are encouraged to conduct direct certification more frequently to obtain information about newly enrolled children or children who may be newly certified for that program's benefits.</P>
            <P>(4)<E T="03">Frequency of direct certification with other programs.</E>Local educational agencies opting to conduct direct certification activities with FDPIR or TANF should conduct such activities at or around the beginning of the school year. Obtaining information about homeless, migrant, runaway children or Head Start enrollees should be done, at a minimum, at or around the beginning of the school year and when newly enrolled children or children newly eligible for those programs are being certified.</P>
            <P>(5)<E T="03">Direct certification documentation.</E>(i) The required documentation for direct certification is provided in paragraph (2) of the definition of<E T="03">Documentation</E>in § 245.2.</P>

            <P>(ii) (A) Beginning in School Year 2012-2013, direct certification with<E T="03">SNAP</E>shall be conducted using a data matching technique only. Letters to households for direct certification may be used only as an additional means to notify households of children's eligibility based on receipt of SNAP benefits. The last period that letters to households may be used as the primary method for direct certification is School Year 2011-2012. While such notices cannot be the primary method used by a state to document receipt of<E T="03">SNAP,</E>the local educational agency shall accept such a letter if presented by a household.</P>

            <P>(B) Letters or other documents may be used as the primary method for direct certification to document receipt of<E T="03">FDPIR</E>or<E T="03">TANF</E>benefits.</P>

            <P>(iii) Individual notices from officials of eligible programs for a<E T="03">Migrant child, Homeless child</E>or<E T="03">Runaway child,</E>as defined in § 245.2, or for a<E T="03">Head Start child,</E>as defined in § 245.2 may continue to be used. These notices are provided to school officials who must certify these children as eligible for free meals or free milk, as applicable, without further application, upon receipt of such notice.</P>
            <P>(6)<E T="03">Officials who can provide documentation for direct certification.</E>(i) The local educational agency must accept documentation from officials of the State or local agency that administers SNAP, certifying that a child is a member of a household receiving assistance under<E T="03">SNAP</E>as defined in § 245.2, or officials of the State or local agency that administers<E T="03">FDPIR</E>or<E T="03">TANF,</E>as defined in § 245.2, certifying that a child is a member of a household receiving assistance under one of those programs.</P>
            <P>(ii) In the case of a child who is a<E T="03">Homeless child,</E>as defined in § 245.2, the director of a homeless shelter or the local educational liaison for homeless children and youth may provide the appropriate documentation. The Migrant Education Program coordinator or the local educational liaison, as applicable, may provide the supporting documentation for a<E T="03">Migrant child,</E>as defined in § 245.2. For a<E T="03">Head Start child,</E>as defined in § 245.2, an official from that program may supply the documentation indicating enrollment in the Head Start program. Once the appropriate official has provided the direct certification documentation to the local educational agency, the child must have free benefits made available as soon as possible but no later than three operating days after the date the local educational agency receives the direct certification documentation.</P>
            <P>(7)<E T="03">Extension of eligibility to all children in a family.</E>If any child is identified as a member of a household receiving assistance under SNAP, FDPIR, or TANF, all children in the<E T="03">Family,</E>as defined in § 245.2, shall be categorically eligible for free meals or free milk. This applies to children identified through direct certification or through a free and reduced price application.</P>
            <P>(8)<E T="03">Migrant, Runaway, Homeless or Head Start Children.</E>To be categorically eligible as a Migrant child, Runaway child, Homeless child or a Head Start child, the child's individual eligibility or participation for these programs shall be established. Categorical eligibility based on these programs shall not be extended to other children in the household.</P>
            <P>(9)<E T="03">Confidential nature of direct certification information.</E>Information about children or their households obtained through the direct certification process must be kept confidential and is subject to the limitations on disclosure of information in section 9 of the Richard B. Russell National School Lunch Act, 42 U.S.C. 1758. Therefore, information that a household is receiving benefits from SNAP, FDPIR or TANF or that a child is participating in another program which makes children categorically eligible for free school meals or free milk must be used solely for the purposes of direct certification for determining children's eligibility for free school meals or free milk and as otherwise permitted under § 245.6(f).</P>
            <P>(10)<E T="03">Notification to families.</E>For children who are directly certified, local educational agencies are not required to provide application materials and notice<PRTPAGE P="22802"/>to parents informing them of the availability of free and reduced price meal benefits, as specified in § 245.5(a), when that information is distributed by mail, individualized student packets, or other method which prevents overt identification of children eligible for direct certification.</P>
            <P>(c) * * *</P>
            <P>(2) * * * Schools conducting an initial base year for Provision 2 that are approved to delay implementation as permitted under § 245.9(b)(6)(ii) are not required to carryover children's prior year eligibility status as outlined in this paragraph (c). Carryover cannot be used when returning to standard meal counting and claiming under § 245.9(c)(2)(i), when establishing a new base year under § 245.9(c)(2)(ii) or establishing a streamlined base year under § 245.9(c)(2)(iii).</P>
            <STARS/>
            <P>(5)<E T="03">Categorical eligibility.</E>(i)<E T="03">SNAP, FDPIR, TANF</E>When a household submits an application containing the required SNAP, FDPIR or TANF documentation, as defined under<E T="03">Documentation</E>in § 245.2, all children in that household shall be categorically eligible for free meals or free milk. Additionally, when the local educational agency obtains confirmation of eligibility for these programs through direct certification, all children who are identified as members of a<E T="03">Family,</E>as defined in § 245.2, shall be categorically eligible for free meals or milk.</P>
            <P>(ii)<E T="03">Homeless, migrant, runaway children and Head Start enrollees.</E>Upon receipt of<E T="03">Documentation,</E>as defined in paragraph (2)(ii) and (2)(iv) of the definition in § 245.2, the local educational agency must approve such children for free benefits without further application.</P>
            <P>(6) * * *</P>

            <P>(ii) * * * The local educational agency must notify, in writing, households with children who are approved on the basis of documentation that they are<E T="03">Categorically eligible,</E>as defined in § 245.2, that their children are eligible for free meals or free milk, and that no application is required.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>26. Section 245.6a(a)(1)(i) is revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 245.6a</SECTNO>
            <SUBJECT>Verification requirements.</SUBJECT>
            <P>(a) * * *</P>
            <P>(1) * * *</P>
            <P>(i)<E T="03">SNAP,</E>as defined in 245.2;</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <SECTION>
            <SECTNO>§ 245.9</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>27. Section 245.9 is amended by removing the term “Food Stamp Program” and adding in its place “SNAP” paragraphs (c)(1)(i) and (e)(1)(i).</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>28. Section 245.10 is amended by revising the last two sentences of paragraph (a)(3) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 245.10</SECTNO>
            <SUBJECT>Action by local educational agencies.</SUBJECT>
            <P>(a) * * *</P>
            <P>(3) * * * Additionally, the local educational agency must include the specific procedures it will use for obtaining documentation for determining children's eligibility through direct certification, in lieu of an application. Local educational agencies shall also provide households that are directly certified with a notice of eligibility, as specified in § 245.6(c)(2) and shall include in their policy statement a copy of such notice.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="245" TITLE="7">
          <AMDPAR>29. Section 245.11 is amended by removing the term “Food Stamp” and adding in its place “SNAP” in paragraph (h)(4)(iv).</AMDPAR>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 13, 2011.</DATED>
          <NAME>Kevin W. Concannon,</NAME>
          <TITLE>Under Secretary, Food, Nutrition, and Consumer Services.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9457 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-30-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">NUCLEAR REGULATORY COMMISSION</AGENCY>
        <CFR>10 CFR Part 26</CFR>
        <DEPDOC>[NRC-2011-0084]</DEPDOC>
        <RIN>RIN 3150-AI94</RIN>
        <SUBJECT>Interim Enforcement Policy for Minimum Days Off Requirements</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Nuclear Regulatory Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Policy statement; revision.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The U.S. Nuclear Regulatory Commission (NRC or the Commission) is revising its Enforcement Policy to include a provision allowing licensees enforcement discretion if they implement an alternative approach to meet the NRC's requirements for managing worker fatigue at operating nuclear power plants. This interim policy affects licensees subject to the minimum days off (MDO) requirements of the NRC's fitness for duty regulations and will remain in place until the NRC publishes a revised rule associated with the MDO requirements for managing fatigue.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This revision is effective April 25, 2011. The NRC is not requesting comments on this revision to its Enforcement Policy at this time.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You can access publicly available documents related to this document using the following methods:</P>
          <P>•<E T="03">NRC's Public Document Room (PDR):</E>The public may examine and have copied, for a fee, publicly available documents at the NRC's PDR, O1-F21, One White Flint North, 11555 Rockville Pike, Rockville, Maryland 20852.</P>
          <P>•<E T="03">NRC's Agencywide Documents Access and Management System (ADAMS):</E>Publicly available documents created or received at the NRC are available electronically at the NRC's Electronic Reading Room at<E T="03">http://www.nrc.gov/reading-rm/adams.html.</E>From this page, the public can gain entry into ADAMS, which provides text and image files of NRC's public documents. The Enforcement Policy is also accessible via ADAMS accession number ML093480037. If you do not have access to ADAMS or if there are problems in accessing the documents located in ADAMS, contact the NRC's PDR reference staff at 1-800-397-4209, 301-415-4737, or by e-mail to<E T="03">pdr.resource@nrc.gov.</E>
          </P>
          <P>•<E T="03">Federal Rulemaking Web site:</E>This revision to the NRC's Enforcement Policy can be found at<E T="03">http://www.regulations.gov</E>by searching on Docket ID NRC-2011-0084. Address questions about NRC dockets to Carol Gallagher, telephone: 301-492-3668, e-mail:<E T="03">Carol.Gallagher@nrc.gov.</E>
          </P>

          <P>The NRC also maintains the Enforcement Policy on its Web site at<E T="03">http://www.nrc.gov;</E>select Public Meetings and Involvement, then Enforcement, and then Enforcement Policy.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Gerry Gulla, Office of Enforcement, U.S. Nuclear Regulatory Commission, Washington, DC 20555-0001; telephone: 301-415-2872; e-mail:<E T="03">Gerald.Gulla@nrc.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>

        <P>On March 31, 2008 (73 FR 17176), the NRC published a final rule in the<E T="04">Federal Register</E>amending Title 10 of the Code of Federal Regulations, Part 26, “Fitness for Duty Programs.” The Commission updated the requirements in 10 CFR part 26 by reorganizing the rule and adding Subpart I, “Managing Fatigue.” Subpart I establishes requirements for managing worker fatigue at operating nuclear power plants, which was in response to a need for clear and enforceable requirements for the management of worker fatigue. Although the rule was effective on April 30, 2008, the NRC permitted an<PRTPAGE P="22803"/>18-month implementation period for Subpart I.</P>
        <P>On September 3, 2010, the Nuclear Energy Institute (NEI) submitted a petition for rulemaking (PRM-26-5) (ML102590440). The NEI stated that “the new rule has resulted in consequences not originally envisioned when the rule was developed and that these consequences have diminished the safety benefits of the rule.” The NEI has stated that the unintended consequences stem from the minimum days off requirements, specifically § 26.205(d)(3) through § 26.205(d)(6), which create an undue level of complexity and inflexibility in managing worker fatigue. The NEI requested, among other changes, that 10 CFR part 26, Subpart I, be amended to replace the MDO requirements in § 26.205(d) with a performance-based objective, consisting of an average of 54 hours worked per week, averaged over a calendar quarter rather than over each shift cycle. The NEI also proposed changing the annual assessment in § 26.205(e)(1) to a quarterly assessment to provide a more frequent review of hours worked. The NEI proposed to eliminate the MDO requirements addressed at § 26.205(d)(3) through § 26.205(d)(6), while the work hour limits and break requirements (§ 26.205(d)(1)(i), § 26.205(d)(1)(ii), § 26.205(d)(1)(iii), § 26.205(d)(2)(i), and § 26.205(d)(2)(ii)), would remain unchanged and apply during on-line and outage periods.</P>
        <P>Separate from PRM-26-5, on September 23, 2010, the NEI submitted a request for enforcement discretion regarding the MDO provisions of 10 CFR part 26 (ML102710208). The request reiterates the NEI's opinion that the regulations that govern fatigue management impede “many safety-beneficial practices at plant sites, adversely [impact] the quality of life of covered workers, and [result] in conflicts between rule requirements and represented bargaining unit agreements.” The letter requests that the NRC “exercise enforcement discretion from the [MDO] provisions of the rule” until the final disposition of PRM-26-5.</P>
        <P>The NRC held three public meetings (November 18, 2010, January 6, 2011, and January 25, 2011), during which the staff and stakeholders discussed alternatives to the MDO requirements. Although some of the stakeholders were comfortable with the MDO requirements, most focused their discussion on the unintended consequences, which they claim have diminished the safety benefits of the rule, along with the need for an alternative that is simpler and would provide greater scheduling flexibility. The staff's goal was to develop an alternative approach that was responsive to the needs of stakeholders, would maintain clear and enforceable requirements, and would ensure that the effects of cumulative fatigue are appropriately managed by licensees.</P>
        <HD SOURCE="HD1">Discussion</HD>
        <P>Cumulative fatigue is caused by consecutive days of restricted or poor quality sleep caused by such things as shift-work, extended work days, and extended work weeks. Currently, Subpart I requires licensees to manage cumulative fatigue primarily by providing workers with a minimum number of days off over the course of a period not to exceed 6 weeks. The distribution of the days off during the 6-week period act to either prevent or mitigate fatigue. An alternative method for managing cumulative fatigue is to establish a requirement to limit actual hours worked. A limit on actual hours worked, when applied to schedules that require regular shift coverage, limits the number of work hours that can contribute to cumulative fatigue and provides indirect assurance of periodic days off for recovery rest. A schedule resulting in a weekly average of 54 hours worked, calculated using a rolling window of up to 6 weeks, is such a schedule. In general, most individuals that work their normal shift duration and receive only the minimum number of days off required under the current MDO requirements could average up to 54 hours per week. However, the NEI has indicated that implementation of the MDO requirements has reduced licensee scheduling flexibility and imposed a substantial administrative burden. By comparison, limiting work hours to an average of not more than 54 hours per week by using a rolling window of up to 6 weeks limits the number of consecutive weeks of extended work hours that an individual can work by using a comparable but simpler and more flexible requirement. In addition, this alternative eliminates the burden of tracking the number of days off that an individual receives in each shift cycle.</P>
        <P>In summary, the maximum hours that can be worked under the alternative approach is comparable to the maximum hours worked under the current 10 CFR part 26 MDO requirements, except that the alternative approach provides for greater simplicity and flexibility. This alternative is only applicable to § 26.205(d)(3) and covered workers described in § 26.4(a). Neither the NEI's PRM-26-5 nor its enforcement discretion request offered any comparably effective alternatives for § 26.205(d)(4), § 26.205(d)(5), and § 26.205(d)(6), nor were any identified during the public meetings; therefore, the staff is taking no action in regard to those regulations.</P>
        <P>The staff determined that replacing the current MDO requirements and requiring all licensees to adopt this interim alternative approach has the potential for introducing adverse consequences if those licensees satisfied with MDO requirements were forced to change. As a result, the interim enforcement policy would allow licensees to choose whether or not to implement this alternative approach. Licensees who properly implement this alternative approach will receive enforcement discretion for failing to meet the requirements of 10 CFR 26.205(d)(3).</P>
        <P>Although the rolling schedule required under the alternative approach limits the number of consecutive extended work weeks and thereby limits the potential for cumulative fatigue, there are unusual potential circumstances where the average can be met and the schedule may be fatiguing; however, the industry has stated that these unusual schedules are improbable. Such schedules include having only one in every nine days off or consistently working the maximum allowable hours, which would likely result in cumulative fatigue. Nevertheless, the staff believes that this alternative approach, together with other aspects of the rule that will remain unchanged, will provide reasonable assurance that licensees manage cumulative fatigue consistent with the protection of public health, safety, and security. The staff will engage licensees during regularly scheduled public meetings in the coming months to identify problems and lessons learned from implementation of the alternative approach.</P>
        <P>Licensees must inform the NRC of their intent to adopt the alternative approach, and must comply with all requirements of Subpart I, as applicable. The interim policy will remain in place until the NRC publishes a new final rule associated with the MDO requirements in 10 CFR part 26, subpart I.</P>

        <P>The NRC is not requesting public comment on this alternative approach at this time; instead, the NRC will seek public comment on the effectiveness of this approach during the comment period for a proposed rule associated with the MDO requirements in 10 CFR part 26, subpart I.<PRTPAGE P="22804"/>
        </P>
        <HD SOURCE="HD1">Paperwork Reduction Act</HD>

        <P>This policy statement does not contain new or amended information collection requirements subject to the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>). Existing requirements were approved by the Office of Management and Budget (OMB), Approval Number 3150-0136.</P>
        <HD SOURCE="HD1">Public Protection Notification</HD>
        <P>The NRC may not conduct or sponsor, and a person is not required to respond to, a request for information or an information collection requirement unless the requesting document displays a currently valid OMB control number.</P>
        <HD SOURCE="HD1">Congressional Review Act</HD>
        <P>In accordance with the Congressional Review Act of 1996, the NRC has determined that this action is not a major rule and has verified this determination with the Office of Information and Regulatory Affairs, Office of Management and Budget.</P>
        <P>Accordingly, the NRC Enforcement Policy is revised to read as follows:</P>
        <HD SOURCE="HD1">NRC Enforcement Policy</HD>
        <STARS/>
        <HD SOURCE="HD2">9.2Enforcement Discretion for the Minimum Days Off Requirements of § 26.205(d)(3)</HD>
        <P>This section sets forth the interim policy that the NRC will follow to exercise enforcement discretion for licensees who pursue the alternative approach to the minimum days off (MDO) requirements of § 26.205(d)(3). This alternative approach is consistent with the bases and objectives of 10 CFR part 26, specifically managing cumulative fatigue, and provides licensees improved simplicity and flexibility for work scheduling.</P>
        <P>This interim policy is only applicable to licensees who inform the NRC of their intent to adopt the alternative approach. Licensees shall comply with all requirements of Subpart I, as applicable, unless explicitly replaced or amended in this interim policy. The alternative approach to the MDO requirements applies to the work hours of covered individuals<SU>1</SU>
          <FTREF/>during normal (<E T="03">e.g.,</E>non-outage/emergency) plant operations. This interim policy will remain in place until the implementation date of a revised final rule associated with the MDO requirements in 10 CFR part 26, subpart I.</P>
        <FTNT>
          <P>
            <SU>1</SU>The term “covered workers” refers to those individuals indentified in § 26.4(a) who are subject to the requirements in § 26.205.</P>
        </FTNT>
        <P>A licensee who informs the NRC of its intent to transition to the alternative approach will receive enforcement discretion, and no enforcement action will be taken for the violation of § 26.205(d)(3). If at any time while the licensee is implementing this alternate approach it does not meet the requirements, as stated in this interim policy, the licensee may be in violation of § 26.205(d)(3) and subject to enforcement action. Once a licensee has transitioned to the alternate approach, it has the option to revert back to the requirement of § 26.205(d)(3); however, the licensee is only allowed one opportunity to do so.</P>
        <HD SOURCE="HD3">A. Actions and Requirements for Transition</HD>
        <P>A licensee must inform the NRC of its intent to transition to the alternative approach. Notification shall be made via a letter to the respective Regional Administrator and shall identify the implementation date which will be set by the licensee. The hours worked prior to the implementation date, must meet the requirement of § 26.205(d)(3), or enforcement action may be taken. Once the NRC has been notified of the implementation date, the licensee can commence its transition to the alternate approach.</P>
        <P>In order to receive continuous enforcement discretion once the alternate approach is implemented, each covered worker is limited to a weekly average of 54 hours worked, calculated using a rolling window of up to 6 weeks. This alternative is not applicable to unit outages or security system outages. Any instance of an individual's average weekly work hours exceeding the requirements for enforcement discretion may result in a violation of the MDO requirements. Typically, an instance of an isolated occurrence or occurrences with limited duration would generally be considered either a minor violation or a non-cited violation.</P>
        <HD SOURCE="HD3">B. Required Actions for Transition Back to the MDO Requirement</HD>
        <P>At any time prior to the implementation date of a revised final rule associated with the MDO requirements in 10 CFR part 26, subpart I, “Managing Fatigue,” the licensee has the option to transition back to the MDO requirements. However, the licensee has this option only once. The licensee must submit a written notification to the respective Regional Administrator stating that it is reverting back to compliance with the MDO requirements as specified under § 26.205(d)(3), and shall give the NRC advance notice of its transition date. There will be no enforcement action taken on any MDO violations that occurred while the licensee was implementing the alternate approach, unless the licensee failed to meet the requirements as stated in Section 9.2.A of this policy.</P>
        <SIG>
          <DATED>Dated at Rockville, Maryland, this 19th day of April 2011.</DATED>
          
          <P>For the Nuclear Regulatory Commission.</P>
          <NAME>Annette L. Vietti-Cook,</NAME>
          <TITLE>Secretary of the Commission.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9916 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 7590-01-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>U.S. Customs and Border Protection</SUBAGY>
        <CFR>19 CFR part 101</CFR>
        <DEPDOC>[CBP Dec. 11-08]</DEPDOC>
        <SUBJECT>Technical Amendment to List of CBP Preclearance Offices in Foreign Countries: Addition of Dublin, Ireland</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>U.S. Customs and Border Protection, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; technical amendment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This document amends U.S. Customs and Border Protection (CBP) regulations to reflect that U.S. Customs and Border Protection (CBP) has added a preclearance station in Dublin, Ireland. CBP officers at preclearance stations conduct inspections and examinations to ensure compliance with U.S. customs, immigration, and agriculture laws, as well as other laws enforced by CBP at the U.S. border. Such inspections and examinations prior to arrival in the United States generally enable travelers to exit the domestic terminal or connect directly to a U.S. domestic flight without undergoing further CBP processing.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>April 25, 2011.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Kathleen Conway, Office of Field Operations, Preclearance Operations, (202) 344-1759.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>

        <P>CBP preclearance operations have been in existence since 1952. Preclearance facilities are established through the cooperative efforts of CBP, foreign government representatives, and the local facility authorities and are evidenced with signed preclearance agreements. Each facility is staffed with CBP officers responsible for conducting<PRTPAGE P="22805"/>inspections and examinations in connection with preclearing passengers, crew, and their goods bound for the United States. Generally, travelers who are inspected at a preclearance facility are permitted to arrive at a U.S. domestic facility and exit the U.S. domestic terminal upon arrival or connect directly to a U.S. domestic flight without further CBP processing. Preclearance facilities primarily serve to facilitate low risk travelers, relieve passenger congestion at federal inspection facilities in the United States, and enhance security in the air environment through the screening and inspection of travelers prior to their arrival in the United States. In Fiscal Year 2010, over 14 million aircraft travelers were processed at preclearance locations. This figure represents more than 16 percent of all commercial aircraft travelers cleared by CBP in FY 2010.</P>
        <P>The Agreement Between the Government of the United States of America and the Government of Ireland on Air Transport Preclearance was signed on November 17, 2008. Preclearance operations began in Dublin, Ireland on January 19, 2011. The Dublin preclearance station is open for use by commercial flights.</P>
        <P>Section 101.5 of the CBP regulations (19 CFR 101.5) sets forth a list of CBP preclearance offices in foreign countries. This document amends this section to add Dublin, Ireland to the list of preclearance offices.</P>
        <HD SOURCE="HD1">Inapplicability of Public Notice and Delayed Effective Date Requirements</HD>
        <P>This amendment reflects the addition of a new CBP preclearance office that was established through a signed agreement between the United States and the Government of Ireland. Accordingly, pursuant to 5 U.S.C. 553(b)(B), notice and public procedure are unnecessary. For the same reason, pursuant to 5 U.S.C. 553(d)(3), a delayed effective date is not required.</P>
        <HD SOURCE="HD1">The Regulatory Flexibility Act and Executive Order 12866</HD>
        <P>Because no notice of proposed rulemaking is required, the provisions of the Regulatory Flexibility Act (5 U.S.C. 601 et seq.) do not apply. This amendment does not meet the criteria for a “significant regulatory action” as specified in Executive Order 12866.</P>
        <HD SOURCE="HD1">Signing Authority</HD>
        <P>This document is being issued in accordance with 19 CFR 0.2(a).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 19 CFR Part 101</HD>
          <P>Customs duties and inspection, Customs ports of entry, Foreign trade statistics, Imports, Organization and functions (Government agencies), Shipments, Vessels.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Amendments to Regulations</HD>
        <P>For the reasons set forth above, Part 101 of the Code of Federal Regulations (19 CFR part 101), is amended as set forth below.</P>
        <REGTEXT PART="101" TITLE="19">
          <PART>
            <HD SOURCE="HED">PART 101—GENERAL PROVISIONS</HD>
          </PART>
          <AMDPAR>1. The general authority citation for part 101 and the specific authority citation for section 101.5 continue to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>5 U.S.C. 301; 19 U.S.C. 2, 66, 1202 (General Note 3(i), Harmonized Tariff Schedule of the United States), 1623, 1624, 1646a.</P>
          </AUTH>
          <STARS/>
          <EXTRACT>
            <P>Section 101.5 also issued under 19 U.S.C. 1629.</P>
          </EXTRACT>
          <STARS/>
        </REGTEXT>
        <REGTEXT PART="101" TITLE="19">
          <AMDPAR>2. Revise § 101.5 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 101.5</SECTNO>
            <SUBJECT>CBP preclearance offices in foreign countries.</SUBJECT>
            <P>Listed below are the preclearance offices in foreign countries where CBP officers are located. A Director, Preclearance, located in the Office of Field Operations at CBP Headquarters, is the responsible CBP officer exercising supervisory control over all preclearance offices.</P>
            <GPOTABLE CDEF="s45,xs108" COLS="2" OPTS="L2,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Country</CHED>
                <CHED H="1">CBP office</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Aruba</ENT>
                <ENT>Orangestad.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">The Bahamas</ENT>
                <ENT>Freeport.<LI>Nassau.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Bermuda</ENT>
                <ENT>Kindley Field.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Canada</ENT>
                <ENT>Calgary, Alberta.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Edmonton, Alberta.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Halifax, Nova Scotia.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Montreal, Quebec.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Ottawa, Ontario.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Toronto, Ontario.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Vancouver, British Columbia.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Winnipeg, Manitoba.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Ireland</ENT>
                <ENT>Dublin.<LI>Shannon.</LI>
                </ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: February 11, 2011.</DATED>
          <NAME>Alan D. Bersin,</NAME>
          <TITLE>Commissioner, U.S. Customs and Border Protection.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9883 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9111-14-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <CFR>21 CFR Part 878</CFR>
        <DEPDOC>[Docket No. FDA-2006-N-0045] (Formerly Docket No. 2006N-0109)</DEPDOC>
        <SUBJECT>Medical Devices; Reclassification of the Topical Oxygen Chamber for Extremities</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Food and Drug Administration (FDA) is reclassifying the topical oxygen chamber for extremities (TOCE) from class III to class II. This device is intended to surround a patient's limb and apply humidified oxygen topically at a pressure slightly greater than atmospheric pressure to aid healing of chronic skin ulcers, such as bedsores. This reclassification is on the Secretary of Health and Human Services's own initiative based on new information. This action is being taken under the Federal Food, Drug, and Cosmetic Act (the FD&amp;C Act) as amended by the Medical Device Amendments of 1976 (the 1976 Amendments), the Safe Medical Devices Act of 1990 (the SMDA), and the Food and Drug Administration Modernization Act of 1997 (FDAMA). Elsewhere in this issue of the<E T="04">Federal Register</E>, FDA is announcing the availability of the guidance document entitled “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities,” which will serve as the special control for this device.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective May 25, 2011.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Charles N. Durfor, Center for Devices and Radiological Health (HFZ-410), Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850, 240-276-3555.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Background</HD>
        <P>The FD&amp;C Act (21 U.S.C. 301<E T="03">et seq.</E>), as amended by the 1976 Amendments (Pub. L. 94-295), the SMDA (Pub. L. 101-629), and the FDAMA (Pub. L. 105-115), established a comprehensive system for the regulation of medical devices intended for human use. Section 513 of the FD&amp;C Act (21 U.S.C. 360c) established three categories (classes) of devices, depending on the regulatory controls needed to provide reasonable assurance of their safety and<PRTPAGE P="22806"/>effectiveness. The three categories of devices are class I (general controls), class II (special controls), and class III (premarket approval).</P>
        <P>Under section 513 of the FD&amp;C Act, devices that were in commercial distribution before May 28, 1976 (the date of enactment of the 1976 Amendments), generally referred to as preamendments devices, are classified after FDA has: (1) Received a recommendation from a device classification panel (an FDA advisory committee); (2) published the panel's recommendation for comment, along with a proposed regulation classifying the device; and (3) published a final regulation classifying the device. FDA has classified most preamendments devices under these procedures.</P>
        <P>Devices that were not in commercial distribution prior to May 28, 1976, generally referred to as postamendments devices, are classified automatically by statute (section 513(f) of the FD&amp;C Act (21 U.S.C. 360c(f)) into class III without any FDA rulemaking process. Postamendment devices remain in class III and require premarket approval, unless the device is reclassified into class I or II, or FDA issues an order finding the device to be substantially equivalent, in accordance with section 513(i) of the FD&amp;C Act (21 U.S.C. 360c(i)), to a predicate device that does not require premarket approval. The agency determines whether new devices are substantially equivalent to predicate devices by means of premarket notification procedures in section 510(k) of the FD&amp;C Act (21 U.S.C. 360(k)) and part 807 of the regulations (21 CFR part 807).</P>
        <P>A preamendments device that has been classified into class III may be marketed, by means of premarket notification procedures, without submission of a premarket approval application (PMA) until FDA issues a final regulation under section 515(b) of the FD&amp;C Act (21 U.S.C. 360e(b)) requiring premarket approval.</P>

        <P>Section 513(e) of the FD&amp;C Act (21 U.S.C. 360c(e)) governs reclassification of classified preamendments devices. This section provides that FDA may, by rulemaking, reclassify a device based upon “new information.” FDA can initiate a reclassification under section 513(e) of the FD&amp;C Act or an interested person may petition FDA to reclassify a preamendments device. The term “new information,” as used in section 513(e) of the FD&amp;C Act, includes information developed as a result of a reevaluation of the data before the agency when the device was originally classified, as well as information not presented, not available, or not developed at that time. (<E T="03">See, e.g., Holland Rantos</E>v.<E T="03">United States Department of Health, Education, and Welfare,</E>587 F.2d 1173, 1174 n.1 (DC Cir. 1978);<E T="03">Upjohn</E>v.<E T="03">Finch,</E>422 F.2d 944 (6th Cir. 1970);<E T="03">Bell</E>v.<E T="03">Goddard,</E>366 F.2d 177 (7th Cir. 1966)).</P>

        <P>Reevaluation of the data previously before the agency is an appropriate basis for subsequent regulatory action where the reevaluation is made in light of newly available regulatory authority (see<E T="03">Bell</E>v.<E T="03">Goddard,</E>supra, 366 F.2d at 181;<E T="03">Ethicon, Inc.</E>v<E T="03">. FDA,</E>762 F. Supp. 382, 389-91 (D.D.C. 1991)), or in light of changes in “medical science.” (See<E T="03">Upjohn</E>v.<E T="03">Finch,</E>supra, 422 F.2d at 951). Regardless of whether data before the agency are past or new data, the “new information” to support reclassification under section 513(e)(1) of the FD&amp;C Act must be “valid scientific evidence,” as defined in section 513(a)(3) of the FD&amp;C Act (21 U.S.C. 360c(a)(3)) and 21 CFR 860.7(c)(2). (<E T="03">See, e.g.,</E>
          <E T="03">General Medical Co.</E>v<E T="03">. FDA,</E>770 F.2d 214 (DC Cir. 1985);<E T="03">Contact Lens Assoc.</E>v.<E T="03">FDA,</E>766 F.2d 592 (DC Cir.), cert. denied, 474 U.S. 1062 (1985)). FDA relies upon “valid scientific evidence” in the classification process to determine the level of regulation for devices. For the purpose of reclassification, the valid scientific evidence upon which the agency relies must be publicly available. Publicly available information excludes trade secret and/or confidential commercial information,<E T="03">e.g.,</E>the contents of a pending PMA. (See section 520(c) of the FD&amp;C Act (21 U.S.C. 360j(c)).</P>
        <P>In accordance with section 513(e) of the FD&amp;C Act and 21 CFR 860.130(b)(1), based on new information with respect to the device, FDA, on its own initiative, is reclassifying this device from class III to class II.</P>
        <HD SOURCE="HD1">II. Regulatory History of the Device</HD>
        <P>As discussed in the proposed rule, the agency issued a final rule classifying this device into class III (53 FR 23856, June 24, 1988). In August 1997, in response to FDA's order for the submission of information on the TOCE, two manufacturers submitted 515(i) summaries of safety and effectiveness information to the agency for the TOCE. FDA referred the 515(i) submissions to the General and Plastic Surgery Devices Panel (GPS Panel) for their recommendation on the requested reclassification. At a public meeting on November 17, 1998, the GPS Panel recommended that the device be retained in class III.</P>
        <P>Since the 1998 GPS Panel meeting, three studies (two prospective and one retrospective) reported safe use and adequate healing of wounds using the TOCE. In addition, FDA has evaluated more than 20 years of clinical experience with the device and the agency's Medical Device Reports, and has found sufficient information to determine the risks to health associated with the use of this device and develop appropriate special controls.</P>
        <P>As a result, in the<E T="04">Federal Register</E>of April 6, 2006 (71 FR 17390), FDA proposed to reclassify the TOCE device from class III to class II. The device is intended to surround a patient's limb and apply humidified oxygen topically at a pressure slightly greater than atmospheric pressure to aid healing of chronic skin ulcers such as bedsores. Elsewhere in the<E T="04">Federal Register</E>of April 6, 2006 (71 FR 17476), FDA announced the availability of the draft guidance document entitled “Class II Special Controls Draft Guidance Document: Topical Oxygen Chamber for Extremities,” which FDA intended to serve as the special control for this device type following the effective date of the final reclassification rule.</P>
        <P>Interested persons were invited to comment until July 5, 2006, on the proposed regulation and special controls draft guidance document.</P>
        <HD SOURCE="HD1">III. Analysis of Comments and FDA's Response</HD>
        <P>FDA received 11 comments on the proposed rule. The comments received discussed academic literature, clinical experiences, and patient outcomes that support the proposed reclassification's determinations of the safety and effectiveness of the TOCE device. The comments did not recommend any changes to the proposed regulation.</P>
        <HD SOURCE="HD1">IV. Summary of Final Rule</HD>

        <P>Based on the information discussed in the preamble to the proposed rule, the comments on the proposed rule, a review of the Manufacturer and User Facility Device Experience (MAUDE) database, and a review of current scientific literature, FDA concludes that special controls, in conjunction with general controls, will provide reasonable assurance of the safety and effectiveness of TOCE. The agency is, therefore, reclassifying TOCE from class III (premarket approval) into class II (special controls) and issuing a final rule that revises 21 CFR 878.5650. Elsewhere in this issue of the<E T="04">Federal Register</E>, FDA is announcing the availability of the guidance document entitled “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities,” which will serve as the special control for this device. Following the effective date of this final classification rule, any firm<PRTPAGE P="22807"/>submitting a 510(k) premarket notification for a TOCE will need to address the issues covered in the special controls guidance. However, the firm need only show that its device meets the recommendations of the guidance or in some other way provides equivalent assurances of safety and effectiveness.</P>
        <P>Section 510(m) of the FD&amp;C Act (21 U.S.C. 360(m)) provides that FDA may exempt a class II device from the premarket notification requirements under section 510(k) of the FD&amp;C Act if FDA determines that premarket notification is not necessary to provide reasonable assurance of the safety and effectiveness of the device. FDA has determined that premarket notification is necessary to provide reasonable assurance of the safety and effectiveness of the TOCE and, therefore, this device type is not exempt from premarket notification requirements.</P>
        <HD SOURCE="HD1">V. Environmental Impact</HD>
        <P>The agency has determined under 21 CFR 25.34(b) that this reclassification action is of a type that does not individually or cumulatively have a significant effect on the human environment. Therefore, neither an environmental assessment nor an environmental impact statement is required.</P>
        <HD SOURCE="HD1">VI. Analysis of Impacts</HD>
        <P>FDA has examined the impacts of the final rule under Executive Order 12866 and the Regulatory Flexibility Act (5 U.S.C. 601-612), and the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4). Executive Order 12866 directs agencies to assess all costs and benefits of available regulatory alternatives and, when regulation is necessary, to select regulatory approaches that maximize net benefits (including potential economic, environmental, public health and safety, and other advantages; distributive impacts; and equity). The agency believes that this final rule is not a significant regulatory action under the Executive order.</P>
        <P>The Regulatory Flexibility Act requires agencies to analyze regulatory options that would minimize any significant impact of a rule on small entities. Because the final rule reclassifying this device from class III to class II will relieve all manufacturers of the device of the cost of complying with the premarket approval requirements of section 515 of the FD&amp;C Act, it will impose no significant economic impact on any small entities, and it may permit small potential competitors to enter the marketplace by lowering their costs, and the agency certifies that the final rule will not have a significant economic impact on a substantial number of small entities.</P>
        <P>Section 202(a) of the Unfunded Mandates Reform Act of 1995 requires that agencies prepare a written statement, which includes an assessment of anticipated costs and benefits, before proposing “any rule that includes any Federal mandate that may result in the expenditure by State, local, and tribal governments, in the aggregate, or by the private sector, of $100,000,000 or more (adjusted annually for inflation) in any one year.” The current threshold after adjustment for inflation is $135 million, using the most current (2009) Implicit Price Deflator for the Gross Domestic Product. FDA does not expect this final rule to result in any 1-year expenditure that would meet or exceed this amount.</P>
        <HD SOURCE="HD1">VII. Federalism</HD>

        <P>FDA has analyzed this final rule in accordance with the principles set forth in Executive Order 13132. Section 4(a) of the Executive order requires agencies to “construe * * * a Federal statute to preempt State law only where the statute contains an express preemption provision or there is some other clear evidence that the Congress intended preemption of State law, or where the exercise of State law conflicts with the exercise of Federal authority under the Federal statute.” Federal law includes an express preemption provision that preempts certain State requirements “different from or in addition to” certain Federal requirements applicable to devices. (See section 521 of the FD&amp;C Act (21 U.S.C. 360k);<E T="03">Medtronic Inc.,</E>v.<E T="03">Lohr,</E>518 U.S. 470 (1996);<E T="03">Riegel</E>v.<E T="03">Medtronic Inc.,</E>128 S. Ct. 999 (2008)). The special controls established by this final rule create “requirements” for specific medical devices under 21 U.S.C. 360k, even though product sponsors have some flexibility in how they meet those requirements. See<E T="03">Papike</E>v.<E T="03">Tambrands, Inc.,</E>107 F.3d 737, 740-742 (9th Cir. 1997).</P>
        <HD SOURCE="HD1">VIII. Paperwork Reduction Act of 1995</HD>
        <P>This final rule contains no collections of information. Therefore, clearance by the Office of Management and Budget (OMB) under the Paperwork Reduction Act of 1995 (PRA) (44 U.S.C. 3501-3520) is not required. FDA concludes that the special controls guidance document identified by this rule contains information collection provisions that are subject to review and clearance by OMB under the PRA.</P>
        <P>Elsewhere in this issue of the<E T="04">Federal Register</E>, FDA is publishing a notice announcing the availability of the guidance document entitled, “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities.” The notice contains an analysis of the paperwork burden for the guidance.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 21 CFR Part 878</HD>
          <P>Medical devices.</P>
        </LSTSUB>
        
        <P>Therefore, under the Federal Food, Drug, and Cosmetic Act and under authority delegated to the Commissioner of Food and Drugs, 21 CFR part 878 is amended as follows:</P>
        <REGTEXT PART="878" TITLE="21">
          <PART>
            <HD SOURCE="HED">PART 878—GENERAL AND PLASTIC SURGERY DEVICES</HD>
          </PART>
          <AMDPAR>1. The authority citation for 21 CFR part 878 continues to read as follows:</AMDPAR>
          <P/>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>21 U.S.C. 351, 360, 360c, 360e, 360j, 360l, 371.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="878" TITLE="21">
          <AMDPAR>2. Section 878.5650 is revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 878.5650</SECTNO>
            <SUBJECT>Topical oxygen chamber for extremities.</SUBJECT>
            <P>(a)<E T="03">Identification.</E>A topical oxygen chamber for extremities is a device that is intended to surround a patient's limb and apply humidified oxygen topically at a pressure slightly greater than atmospheric pressure to aid healing of chronic skin ulcers such as bedsores.</P>
            <P>(b)<E T="03">Classification.</E>Class II (special controls). The special control for this device is FDA's “Class II Special Controls Guidance: Topical Oxygen Chamber for Extremities.” See § 878.1(e) for the availability of this guidance document.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>Leslie Kux,</NAME>
          <TITLE>Acting Assistant Commissioner for Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9899 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <DEPDOC>[Docket ID: DoD-2011-OS-0008]</DEPDOC>
        <CFR>32 CFR Part 321</CFR>
        <SUBJECT>Privacy Act of 1974; Implementation</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Defense Security Service, DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule with request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Defense Security Service is deleting an exemption rule for V5-05 entitled “Joint Personnel Adjudication System (JPAS)” in its entirety. The system has been transferred to the Office of the Secretary of Defense.</P>

          <P>This direct final rule makes nonsubstantive changes to the Defense<PRTPAGE P="22808"/>Security Service Privacy Program rules. These changes will allow the Department to transfer this system to another organization within the Department. This will improve the efficiency and effectiveness of DoD's program by preserving the exempt status of the records when the purposes underlying the exemption are valid and necessary to protect the contents of the records.</P>
          <P>This rule is being published as a direct final rule as the Department of Defense does not expect to receive any adverse comments, and so a proposed rule is unnecessary.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The rule will be effective on July 5, 2011 unless comments are received that would result in a contrary determination. Comments will be accepted on or before June 24, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by docket number and title, by any of the following methods:</P>
          <P>•<E T="03">Federal Rulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Mail:</E>Federal Docket Management System Office, Room 3C843, 1160 Defense Pentagon, Washington, DC 20301-1160.</P>
          <P>
            <E T="03">Instructions:</E>All submissions received must include the agency name and docket number for this<E T="04">Federal Register</E>document. The general policy for comments and other submissions from members of the public is to make these submissions available for public viewing on the Internet at<E T="03">http://www.regulations.gov</E>as they are received without change, including any personal identifiers or contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Mr. Leslie Blake at (703) 325-9450.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Direct Final Rule and Significant Adverse Comments</HD>

        <P>DoD has determined this rulemaking meets the criteria for a direct final rule because it involves nonsubstantive changes dealing with DoD's management of its Privacy Progams. DoD expects no opposition to the changes and no significant adverse comments. However, if DoD receives a significant adverse comment, the Department will withdraw this direct final rule by publishing a notice in the<E T="04">Federal Register</E>. A significant adverse comment is one that explains: (1) Why the direct final rule is inappropriate, including challenges to the rule's underlying premise or approach; or (2) why the direct final rule will be ineffective or unacceptable without a change. In determining whether a comment necessitates withdrawal of this direct final rule, DoD will consider whether it warrants a substantive response in a notice and comment process.</P>
        <HD SOURCE="HD1">Executive Order 12866, “Regulatory Planning and Review” and Executive Order 13563, “Improving Regulation and Regulatory Review”</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense are not significant rules. The rules do not (1) Have an annual effect on the economy of $100 million or more or adversely affect in a material way the economy; a sector of the economy; productivity; competition; jobs; the environment; public health or safety; or State, local, or tribal governments or communities; (2) Create a serious inconsistency or otherwise interfere with an action taken or planned by another Agency; (3) Materially alter the budgetary impact of entitlements, grants, user fees, or loan programs, or the rights and obligations of recipients thereof; or (4) Raise novel legal or policy issues arising out of legal mandates, the President's priorities, or the principles set forth in these Executive orders.</P>
        <HD SOURCE="HD1">Public Law 96-354, “Regulatory Flexibility Act” (5 U.S.C. Chapter 6)</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense do not have significant economic impact on a substantial number of small entities because they are concerned only with the administration of Privacy Act systems of records within the Department of Defense.</P>
        <HD SOURCE="HD1">Public Law 96-511, “Paperwork Reduction Act” (44 U.S.C. Chapter 35)</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense impose no additional information collection requirements on the public under the Paperwork Reduction Act of 1995.</P>
        <HD SOURCE="HD1">Section 202, Public Law 104-4, “Unfunded Mandates Reform Act”</HD>
        <P>It has been determined that Privacy Act rulemaking for the Department of Defense does not involve a Federal mandate that may result in the expenditure by State, local and tribal governments, in the aggregate, or by the private sector, of $100 million or more and that such rulemaking will not significantly or uniquely affect small governments.</P>
        <HD SOURCE="HD1">Executive Order 13132, “Federalism”</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense do not have federalism implications. The rules do not have substantial direct effects 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>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 32 CFR Part 321</HD>
          <P>Privacy.</P>
        </LSTSUB>
        
        <P>Accordingly, 32 CFR 321 is amended as follows:</P>
        
        <REGTEXT PART="321" TITLE="32">
          <PART>
            <HD SOURCE="HED">PART 321—DEFENSE SECURITY SERVICE PRIVACY PROGRAM</HD>
          </PART>
          <AMDPAR>1. The authority citation for 32 CFR part 321 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Pub. L. 93-579, 88 Stat. 1896 (5 U.S.C. 552a).</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="321" TITLE="32">
          <AMDPAR>2. In § 321.13, remove and reserve paragraph (h) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 321.13</SECTNO>
            <SUBJECT>Exemptions.</SUBJECT>
            <STARS/>
            <P>(h) [Reserved].</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 8, 2011.</DATED>
          <NAME>Patricia Topping,</NAME>
          <TITLE>OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9747 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <DEPDOC>[Docket ID: DoD-2011-OS-0009]</DEPDOC>
        <CFR>32 CFR Part 323</CFR>
        <SUBJECT>Privacy Act of 1974; Implementation</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Defense Logistics Agency, DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule with request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Department of Defense is updating the Defense Logistics Agency Privacy Act Program Rules, by adding the exemption rules (j)(2), (k)(2), (k)(3), (k)(4), (k)(5), (k)(6), and (k)(7) for S510.30, Freedom of Information Act/Privacy Act Requests and Administrative Appeal Records to accurately describe the basis for exempting the records. The S510.30 system of records notice was printed on January 22, 2009 in the<E T="04">Federal Register</E>.</P>

          <P>This direct final rule makes nonsubstantive changes to the Defense Logistics Agency Privacy Program rules. These changes will allow the Department to exempt records from certain portions of the Privacy Act. This will improve the efficiency and effectiveness of DoD's program by preserving the exempt status of the<PRTPAGE P="22809"/>records when the purposes underlying the exemption are valid and necessary to protect the contents of the records.</P>
          <P>This rule is being published as a direct final rule as the Department of Defense does not expect to receive any adverse comments, and so a proposed rule is unnecessary.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The rule will be effective on July 5, 2011 unless comments are received that would result in a contrary determination. Comments will be accepted on or before June 24, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ms. Jody Sinkler at (703) 767-5045.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Direct Final Rule and Significant Adverse Comments</HD>
        <P>DoD has determined this rulemaking meets the criteria for a direct final rule because it involves nonsubstantive changes dealing with DoD's management of its Privacy Progams. DoD expects no opposition to the changes and no significant adverse comments. However, if DoD receives a significant adverse comment, the Department will withdraw this direct final rule by publishing a notice in the Federal Register. A significant adverse comment is one that explains: (1) Why the direct final rule is inappropriate, including challenges to the rule's underlying premise or approach; or (2) why the direct final rule will be ineffective or unacceptable without a change. In determining whether a comment necessitates withdrawal of this direct final rule, DoD will consider whether it warrants a substantive response in a notice and comment process.</P>
        <HD SOURCE="HD1">Executive Order 12866, “Regulatory Planning and Review” and Executive Order 13563, “Improving Regulation and Regulatory Review”</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense are not significant rules. The rules do not (1) Have an annual effect on the economy of $100 million or more or adversely affect in a material way the economy; a sector of the economy; productivity; competition; jobs; the environment; public health or safety; or State, local, or tribal governments or communities; (2) Create a serious inconsistency or otherwise interfere with an action taken or planned by another Agency; (3) Materially alter the budgetary impact of entitlements, grants, user fees, or loan programs, or the rights and obligations of recipients thereof; or (4) Raise novel legal or policy issues arising out of legal mandates, the President's priorities, or the principles set forth in these Executive orders.</P>
        <HD SOURCE="HD1">Public Law 96-354, “Regulatory Flexibility Act” (5 U.S.C. Chapter 6)</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense do not have significant economic impact on a substantial number of small entities because they are concerned only with the administration of Privacy Act systems of records within the Department of Defense.</P>
        <HD SOURCE="HD1">Public Law 96-511, “Paperwork Reduction Act” (44 U.S.C. Chapter 35)</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense impose no additional information collection requirements on the public under the Paperwork Reduction Act of 1995.</P>
        <HD SOURCE="HD1">Section 202, Public Law 104-4, “Unfunded Mandates Reform Act”</HD>
        <P>It has been determined that Privacy Act rulemaking for the Department of Defense does not involve a Federal mandate that may result in the expenditure by State, local and tribal governments, in the aggregate, or by the private sector, of $100 million or more and that such rulemaking will not significantly or uniquely affect small governments.</P>
        <HD SOURCE="HD1">Executive Order 13132, “Federalism”</HD>
        <P>It has been determined that Privacy Act rules for the Department of Defense do not have federalism implications. The rules do not have substantial direct effects 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>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 32 CFR Part 323</HD>
          <P>Privacy.</P>
        </LSTSUB>
        
        <P>Accordingly, 32 CFR part 323 is amended as follows:</P>
        <REGTEXT PART="323" TITLE="32">
          <PART>
            <HD SOURCE="HED">PART 323—DEFENSE LOGISTICS AGENCY PRIVACY PROGRAM</HD>
          </PART>
          <AMDPAR>1. The authority citation for 32 CFR part 323 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Pub. L. 93-579, 88 Stat. 1896 (5 U.S.C. 552a).</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="323" TITLE="32">
          <AMDPAR>2. In Appendix H to part 323, add paragraph (g) to read as follows:</AMDPAR>
          <APPENDIX>
            <HD SOURCE="HED">Appendix H to Part 323—DLA Exemption Rules</HD>
            <STARS/>
            <P>g. ID: S510.30</P>
            <P>1.<E T="03">System name:</E>Freedom of Information Act/Privacy Act Requests and Administrative Appeal Records.</P>
            <P>2.<E T="03">Exemption:</E>During the processing of a Freedom of Information Act request, exempt materials from other systems of records may in turn become part of the case record in this system. To the extent that copies of exempt records from those “other” systems of records are entered into this system, the Defense Logistics Agency claims the same exemptions for the records from those “other” systems that are entered into this system, as claimed for the original primary system of which they are a part.</P>
            <P>3.<E T="03">Authority:</E>5 U.S.C. 552a(j)(2), (k)(2), (k)(3), (k)(4), (k)(5), (k)(6), and (k)(7).</P>
            <P>4.<E T="03">Reasons:</E>Records are only exempt from pertinent provisions of 5 U.S.C. 552a to the extent such provisions have been identified and an exemption claimed for the original record and the purposes underlying the exemption for the original record still pertain to the record which is now contained in this system of records. In general, the exemptions were claimed in order to protect properly classified information relating to national defense and foreign policy, to avoid interference during the conduct of criminal, civil, or administrative actions or investigations, to ensure protective services provided the President and others are not compromised, to protect the identity of confidential sources incident to Federal employment, military service, contract, and security clearance determinations, to preserve the confidentiality and integrity of Federal testing materials, and to safeguard evaluation materials used for military promotions when furnished by a confidential source. The exemption rule for the original records will identify the specific reasons why the records are exempt from specific provisions of 5 U.S.C. 552a.</P>
          </APPENDIX>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 8, 2011.</DATED>
          <NAME>Patricia L. Toppings,</NAME>
          <TITLE>OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9748 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 165</CFR>
        <DEPDOC>[Docket No. USCG-2011-0196]</DEPDOC>
        <RIN>RIN 1625-AA00</RIN>
        <SUBJECT>Safety Zone; Bay Ferry II Maritime Security Exercise; San Francisco Bay, San Francisco, CA</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Temporary final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Coast Guard is establishing a temporary safety zone on the navigable waters of the San Francisco Bay in support of the Bay Ferry II Maritime Security Exercise, a multi-agency exercise that tests the proficiency of teams called upon in real<PRTPAGE P="22810"/>life emergency situations onboard ferries or other vessels in the San Francisco Bay. The temporary safety zone is necessary to provide for the safety of the public and those participating in the exercise, many of whom will be traveling at high speeds while interfacing with law enforcement responders. Persons and vessels are prohibited from entering into, transiting through, or anchoring within the temporary safety zone unless authorized by the Captain of the Port or the Captain of the Port's designated representative.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective from 5:50 a.m. until 12:10 p.m. on April 28, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Documents indicated in this preamble as being available in the docket are part of docket USCG-2011-0196 and are available online by going to<E T="03">http://www.regulations.gov,</E>selecting the Advanced Docket Search option on the right side of the screen, inserting USCG-2011-0196 in the Docket ID box, pressing Enter, and then clicking on the item in the Docket ID column. They are also available for inspection or copying at two locations: The Docket Management Facility (M-30), U.S. Department of Transportation, 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>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>If you have questions on this temporary rule, call or e-mail Lieutenant Junior Grade Allison A. Natcher, Waterways Management, U.S. Coast Guard Sector San Francisco, Coast Guard; telephone 415-399-7442, e-mail<E T="03">D11-PF-MarineEvents@uscg.mil.</E>If you have questions on viewing the docket, call Renee V. Wright, Program Manager, Docket Operations, telephone 202-366-9826.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Regulatory Information</HD>
        <P>The Coast Guard is issuing this temporary final rule without prior notice and opportunity to comment pursuant to authority under section 4(a) of the Administrative Procedure Act (APA) (5 U.S.C. 553(b)). This provision authorizes an agency to issue a rule without prior notice and opportunity to comment when the agency for good cause finds that those procedures are “impracticable, unnecessary, or contrary to the public interest.” Under 5 U.S.C. 553(b)(B), the Coast Guard finds that good cause exists for not publishing a notice of proposed rulemaking (NPRM) with respect to this rule because it was impracticable since the logistical details of the operations were not presented to the Coast Guard in enough time to draft and publish an NPRM.</P>

        <P>Under 5 U.S.C. 553(d)(3), the Coast Guard finds that good cause exists for making this rule effective less than 30 days after publication in the<E T="04">Federal Register</E>. Any delay in the effective date of this rule would expose the public to the dangers posed when conducting a live practical exercise with a multi-agency underway response by United States Coast Guard, regional law enforcement, including SWAT and special tactics units, and fire department marine units.</P>
        <HD SOURCE="HD1">Background and Purpose</HD>
        <P>The California Maritime Academy has requested that the Coast Guard enforce a temporary safety zone for operations during the Bay Ferry II Maritime Security Exercise from 5:50 a.m. until 12:10 p.m. on April 28, 2011. The Bay Ferry II Maritime Security Exercise is a multi-agency exercise that tests the proficiency of teams called upon in real life emergency situations onboard ferries or other vessels in the San Francisco Bay. The temporary safety zone will encompass General Anchorage 5 between the North and South Shipping Channels to the west and Southampton Shoal Channel to the east in San Francisco Bay. The temporary safety zone is needed to protect exercise participants and provide for the safety of the passenger ferry operators, first responders, their crews, and the public during the full scale security exercise from accidents or other causes of a similar nature.</P>
        <HD SOURCE="HD1">Discussion of Rule</HD>
        <P>The Coast Guard is establishing a temporary safety zone that will be enforced on April 28, 2011 from 5:50 a.m. until 12:10 p.m. The limits of the safety zone include the navigable waters of General Anchorage 5 between the North and South Shipping Channels to the west and Southampton Shoals Channel to the east in San Francisco Bay. The safety zone will be located at approximately 37°54′ N and 122°26′10″ W; 37°54′ N and 122°25′30″ W; 37°56′30″ N and 122°26′30″ W; and 37°56′30″ N and 122°25′50″ W (NAD 83).</P>
        <P>The temporary safety zone is necessary to protect the public from exercise participants and provide for the safety of the United States Coast Guard, passenger ferry operators, first responders, and their crews during the full scale security exercise from accidents or other causes of a similar nature. Persons and vessels will be prohibited from entering into, transiting through, or anchoring within the temporary safety zone unless authorized by the Captain of the Port, or the Captain of the Port's designated representative.</P>
        <P>The temporary safety zone will be enforced by Coast Guard patrol craft and San Francisco Harbor Police as authorized by the Captain of the Port. See 33 CFR 6.04-11, Assistance of Other Agencies.</P>
        <HD SOURCE="HD1">Regulatory Analyses</HD>
        <P>We developed this rule after considering numerous statutes and executive orders related to rulemaking. Below we summarize our analyses based on 13 of these statutes or executive orders.</P>
        <HD SOURCE="HD1">Regulatory Planning and Review</HD>
        <P>This rule is not a significant regulatory action under section 3(f) of Executive Order 12866, Regulatory Planning and Review, and does not require an assessment of potential costs and benefits under section 6(a)(3) of that Order. The Office of Management and Budget has not reviewed it under that Order.</P>
        <P>Although this regulation will restrict access to the area, the effect of this rule will not be significant because: (1) The safety zone will be in effect for a limited period of time; (2) the Coast Guard will give advance notification via maritime advisories so mariners can adjust their plans accordingly, and (3) the size of the zone is at the minimum necessary to provide adequate protection for the United States Coast Guard, passenger ferry operators, first responders, their crews, and the public.</P>
        <HD SOURCE="HD1">Small Entities</HD>
        <P>Under the Regulatory Flexibility Act (5 U.S.C. 601-612), we have considered whether this rule would have a significant economic impact on a substantial number of small entities. The term “small entities” comprises small businesses, not-for-profit organizations that are independently owned and operated and are not dominant in their fields, and governmental jurisdictions with populations of less than 50,000.</P>
        <P>The Coast Guard certifies under 5 U.S.C. 605(b) that this rule will not have a significant economic impact on a substantial number of small entities.</P>
        <P>This rule will affect the following entities, some of which may be small entities: The owners or operators of vessels intending to transit or anchor in General Anchorage 5 in the San Francisco Bay between 5:50 a.m. and 12:10 p.m. on April 28, 2011.</P>

        <P>The temporary safety zone will not have a significant economic impact on<PRTPAGE P="22811"/>a substantial number of small entities for the following reasons. Vessel traffic can pass safely around the zone. Before the effective period, the Coast Guard will issue local notice to mariners (LNM) and broadcast notice to mariners (BNM) alerts via VHF-FM marine channel 16 before the safety zone is enforced.</P>
        <HD SOURCE="HD1">Assistance for Small Entities</HD>
        <P>Under section 213(a) of the Small Business Regulatory Enforcement Fairness Act of 1996 (Pub. L. 104-121), we offer to assist small entities in understanding the rule so that they can better evaluate its effects on them and participate in the rulemaking process.</P>
        <P>Small businesses may send comments on the actions of Federal employees who enforce, or otherwise determine compliance with, Federal regulations to the Small Business and Agriculture Regulatory Enforcement Ombudsman and the Regional Small Business Regulatory Fairness Boards. The Ombudsman evaluates these actions annually and rates each agency's responsiveness to small business. If you wish to comment on actions by employees of the Coast Guard, call 1-888-REG-FAIR (1-888-734-3247). The Coast Guard will not retaliate against small entities that question or complain about this rule or any policy or action of the Coast Guard.</P>
        <HD SOURCE="HD1">Collection of Information</HD>
        <P>This rule calls for no new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD1">Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has a substantial direct effect on State or local governments and would either preempt State law or impose a substantial direct cost of compliance on them. We have analyzed this rule under that Order and have determined that it does not have implications for federalism.</P>
        <HD SOURCE="HD1">Unfunded Mandates Reform Act</HD>
        <P>The Unfunded Mandates Reform Act of 1995 (2 U.S.C. 1531-1538) requires Federal agencies to assess the effects of their discretionary regulatory actions. In particular, the Act addresses actions that may result in the expenditure by a State, local, or tribal government, in the aggregate, or by the private sector of $100,000,000 or more in any one year. Though this rule will not result in such an expenditure, we do discuss the effects of this rule elsewhere in this preamble.</P>
        <HD SOURCE="HD1">Taking of Private Property</HD>
        <P>This rule will not effect a taking of private property or otherwise have taking implications under Executive Order 12630, Governmental Actions and Interference with Constitutionally Protected Property Rights.</P>
        <HD SOURCE="HD1">Civil Justice Reform</HD>
        <P>This rule meets applicable standards in sections 3(a) and 3(b)(2) of Executive Order 12988, Civil Justice Reform, to minimize litigation, eliminate ambiguity, and reduce burden.</P>
        <HD SOURCE="HD1">Protection of Children</HD>
        <P>We have analyzed this rule under Executive Order 13045, Protection of Children From Environmental Health Risks and Safety Risks. This rule is not an economically significant rule and does not create an environmental risk to health or risk to safety that may disproportionately affect children.</P>
        <HD SOURCE="HD1">Indian Tribal Governments</HD>
        <P>This rule does not have tribal implications under Executive Order 13175, Consultation and Coordination With Indian Tribal Governments, because it does not have a substantial direct effect on one or more Indian tribes, on the relationship between the Federal Government and Indian tribes, or on the distribution of power and responsibilities between the Federal Government and Indian tribes.</P>
        <HD SOURCE="HD1">Energy Effects</HD>
        <P>We have analyzed this rule under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use. We have determined that it is not a “significant energy action” under that order because it is not a “significant regulatory action” under Executive Order 12866 and is not likely to have a significant adverse effect on the supply, distribution, or use of energy. The Administrator of the Office of Information and Regulatory Affairs has not designated it as a significant energy action. Therefore, it does not require a Statement of Energy Effects under Executive Order 13211.</P>
        <HD SOURCE="HD1">Technical Standards</HD>

        <P>The National Technology Transfer and Advancement Act (NTTAA) (15 U.S.C. 272 note) directs agencies to use voluntary consensus standards in their regulatory activities unless the agency provides Congress, through the Office of Management and Budget, with an explanation of why using these standards would be inconsistent with applicable law or otherwise impractical. Voluntary consensus standards are technical standards (<E T="03">e.g.,</E>specifications of materials, performance, design, or operation; test methods; sampling procedures; and related management systems practices) that are developed or adopted by voluntary consensus standards bodies.</P>
        <P>This rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD1">Environment</HD>
        <P>We have analyzed this rule under Department of Homeland Security Management Directive 023-01 and Commandant Instruction M16475.lD, which guide the Coast Guard in complying with the National Environmental Policy Act of 1969 (NEPA) (42 U.S.C. 4321-4370f), and have concluded this action is one of a category of actions which do not individually or cumulatively have a significant effect on the human environment. This rule is categorically excluded, under figure 2-1, paragraph (34)(g), of the Instruction. This rule involves the establishment of a temporary safety zone.</P>

        <P>An environmental analysis checklist and a categorical exclusion determination are available in the docket where indicated under<E T="02">ADDRESSES</E>.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 33 CFR Part 165</HD>
          <P>Harbors, Marine safety, Navigation (water), Reporting and recordkeeping requirements, Security measures, Waterways.</P>
        </LSTSUB>
        
        <P>For the reasons discussed in the preamble, the Coast Guard amends 33 CFR part 165 as follows:</P>
        <REGTEXT PART="165" TITLE="33">
          <PART>
            <HD SOURCE="HED">PART 165—REGULATED NAVIGATION AREAS AND LIMITED ACCESS AREAS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 165 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>33 U.S.C. 1226, 1231; 46 U.S.C. Chapter 701, 3306, 3703; 50 U.S.C. 191, 195; 33 CFR 1.05-1, 6.04-1, 6.04-6, and 160.5; Pub. L. 107-295, 116 Stat. 2064; Department of Homeland Security Delegation No. 0170.1.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="165" TITLE="33">
          <AMDPAR>2. Add § 165.T11-407 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 165.T11-407</SECTNO>
            <SUBJECT>Safety Zone; Bay Ferry II Maritime Security Exercise; San Francisco Bay, San Francisco, CA.</SUBJECT>
            <P>(a)<E T="03">Location.</E>The limits of this safety zone include the navigable waters within General Anchorage 5 at positions: 37°54′ N and 122°26′10″ W; 37°54′ N and 122°25′30″ W; 37°56′30″ N and 122°26′30″ W; and 37°56′30″ N and 122°25′50″ W (NAD 83).<PRTPAGE P="22812"/>
            </P>
            <P>(b)<E T="03">Enforcement Period.</E>This section will be enforced from 5:50 a.m. through 12:10 p.m. on April 28, 2011. If the operation concludes prior to the scheduled termination time, the Captain of the Port will cease enforcement of the safety zones and will announce that fact via Broadcast Notice to Mariners.</P>
            <P>(c)<E T="03">Definitions.</E>The following definition applies to these sections:<E T="03">designated representative</E>means any commissioned, warrant, and petty officers of the Coast Guardon board Coast Guard, Coast Guard Auxiliary, and local, state, and Federal law enforcement vessels who have been authorized to act on the behalf of the Captain of the Port.</P>
            <P>(d)<E T="03">Regulations.</E>(1) In accordance with 33 CFR Part 165 Subpart C, entry into, transit through or anchoring within this safety zone is prohibited unless authorized by the Captain of the Port of San Francisco or the Captain of the Port's designated on-scene representative.</P>
            <P>(2) Mariners requesting permission to transit through the safety zone may request authorization to do so from the Patrol Commander (PATCOM). The PATCOM may be contacted on VHF-FM Channel 16.</P>
            <P>(3) All persons and vessels shall comply with the instructions of the Coast Guard Captain of the Port or the designated representative.</P>
            <P>(4) Upon being hailed by U.S. Coast Guard patrol personnel by siren, radio, flashing light, or other means,the operator of a vessel shall proceed as directed.</P>
            <P>(5) The Coast Guard may be assisted by other federal, state, or local agencies.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Cynthia L. Stowe,</NAME>
          <TITLE>Captain, U.S. Coast Guard,Captain of the Port, San Francisco.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9891 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-15-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 165</CFR>
        <DEPDOC>[Docket No. USCG-2011-0201]</DEPDOC>
        <RIN>RIN 1625-AA00</RIN>
        <SUBJECT>Safety Zone; Sea World Fireworks; Mission Bay, San Diego, CA</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Temporary final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Coast Guard is establishing a temporary safety zone on the specified navigable waters of Mission Bay in support of the Sea World Fireworks. This safety zone is necessary to provide for the safety of the participants, crew, spectators, participating vessels, and other vessels and users of the waterway. Persons and vessels are prohibited from entering into, transiting through, or anchoring within this safety zone unless authorized by the Captain of the Port, or his designated representative.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective in the CFR from April 25, 2011 through 10:15 p.m. on December 31, 2011. This rule is effective with actual notice for the purposes of enforcement from 8:45 p.m. on April 2, 2011 through 10:15 p.m. on December 31, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Documents indicated in this preamble as being available in the docket are part of docket USCG-2011-0201 and are available online by going to<E T="03">http://www.regulations.gov,</E>inserting USCG-2011-0201 in the “Keyword” box, and then clicking “Search.” They are also available for inspection or copying at the Docket Management Facility (M-30), U.S. Department of Transportation, 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>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>If you have questions on this temporary rule, call or e-mail Petty Officer Cody McLaughlin, Waterways Management, U.S. Coast Guard Sector San Diego, CA; telephone (619) 278-7233, e-mail<E T="03">Cody.C.McLaughlin@uscg.mil.</E>If you have questions on viewing the docket, call Renee V. Wright, Program Manager, Docket Operations, telephone 202-366-9826.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Regulatory Information</HD>
        <P>The Coast Guard is issuing this temporary final rule without prior notice and opportunity to comment pursuant to authority under section 4(a) of the Administrative Procedure Act (APA) (5 U.S.C. 553(b)). This provision authorizes an agency to issue a rule without prior notice and opportunity to comment when the agency for good cause finds that those procedures are “impracticable, unnecessary, or contrary to the public interest.” Under 5 U.S.C. 553(b)(B), the Coast Guard finds that good cause exists for not publishing a notice of proposed rulemaking (NPRM) with respect to this rule because standard notice procedures are impracticable. Immediate action is necessary to ensure the safety of vessels, spectators, participants, and others in the vicinity of the marine event on the dates and times this rule will be in effect.</P>

        <P>Under 5 U.S.C. 553(d)(3), the Coast Guard finds that good cause exists for making this rule effective less than 30 days after publication in the<E T="04">Federal Register.</E>Delaying the effective date would be impracticable, because immediate action is needed to ensure the public's safety.</P>
        <HD SOURCE="HD1">Basis and Purpose</HD>
        <P>Sea World is sponsoring the Sea World Fireworks, which will include a fireworks presentation from a barge in Mission Bay. Fireworks displays are scheduled to occur on various dates between April 2 and December 31, 2011. This temporary safety zone is necessary to provide for the safety of the crew, spectators, participants, and other vessels and users of the waterway.</P>
        <HD SOURCE="HD1">Discussion of Rule</HD>
        <P>The Coast Guard is establishing a temporary safety zone in support of Sea World Fireworks. It will be enforced from 8:45 p.m. to 10:15 p.m. on evenings with a fireworks show. Fireworks shows are currently scheduled for the following dates in 2011: April 2, 9, 16 and 23; May 28, 29 and 30; June 4 and 5, 11 and 12; June 16 through August 21; August 26, 27, and 28; September 3, 4, and 5; November 18; and December 9 and 31. If this schedule changes the Coast Guard will announce the changes via Broadcast Notice to Mariners no less than 24 hours before the event. The safety zone will cover a 600 foot radius surrounding the fireworks barge in approximate position 32°46′03″ N, 117°13′11″ W. The safety zone is necessary to provide for the safety of the crew, spectators, participants, and other vessels and users of the waterway. When this temporary safety zone is being enforced, persons and vessels are prohibited from entering into, transiting through, or anchoring within this safety zone unless authorized by the Captain of the Port, or his designated representative.</P>
        <HD SOURCE="HD1">Regulatory Analyses</HD>
        <P>We developed this rule after considering numerous statutes and executive orders related to rulemaking. Below we summarize our analyses based on 13 of these statutes or executive orders.</P>
        <HD SOURCE="HD1">Regulatory Planning and Review</HD>

        <P>This rule is not a significant regulatory action under section 3(f) of Executive Order 12866, Regulatory Planning and Review, and does not<PRTPAGE P="22813"/>require an assessment of potential costs and benefits under section 6(a)(3) of that Order. The Office of Management and Budget has not reviewed it under that Order.</P>
        <P>We expect the economic impact of this proposed rule to be so minimal that a full Regulatory Evaluation is unnecessary. This determination is based on the size and location of the temporary safety zone. Because of the location, commercial vessels will not be hindered by the safety zone. Recreational vessels will not be allowed to transit through the designated safety zone during the specified times, but the zone will only be enforced for approximately ninety minutes a night.</P>
        <HD SOURCE="HD1">Small Entities</HD>
        <P>Under the Regulatory Flexibility Act (5 U.S.C. 601-612), we have considered whether this rule would have a significant economic impact on a substantial number of small entities. The term “small entities” comprises small businesses, not-for-profit organizations that are independently owned and operated and are not dominant in their fields, and governmental jurisdictions with populations of less than 50,000.</P>
        <P>The Coast Guard certifies under 5 U.S.C. 605(b) that this rule will not have a significant economic impact on a substantial number of small entities. This rule will affect the following entities, some of which may be small entities: the owners and operators of vessels wishing to transit through or anchor in the impacted portion of Mission Bay on the nights with Sea World fireworks shows.</P>
        <P>This rule will not have a significant economic impact on a substantial number of small entities for the following reasons. Vessel traffic can pass safely around the safety zone. Before the effective period, the Coast Guard will publish a local notice to mariners (LNM) and will issue broadcast notice to mariners (BNM) alerts via marine channel 16 VHF before the safety zone is enforced.</P>
        <HD SOURCE="HD1">Assistance for Small Entities</HD>
        <P>Under section 213(a) of the Small Business Regulatory Enforcement Fairness Act of 1996 (Public Law 104-121), we offer to assist small entities in understanding the rule so that they can better evaluate its effects on them and participate in the rulemaking process.</P>
        <P>Small businesses may send comments on the actions of Federal employees who enforce, or otherwise determine compliance with, Federal regulations to the Small Business and Agriculture Regulatory Enforcement Ombudsman and the Regional Small Business Regulatory Fairness Boards. The Ombudsman evaluates these actions annually and rates each agency's responsiveness to small business. If you wish to comment on actions by employees of the Coast Guard, call 1-888-REG-FAIR (1-888-734-3247). The Coast Guard will not retaliate against small entities that question or complain about this rule or any policy or action of the Coast Guard.</P>
        <HD SOURCE="HD1">Collection of Information</HD>
        <P>This rule calls for no new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD1">Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has a substantial direct effect on State or local governments and would either preempt State law or impose a substantial direct cost of compliance on them. We have analyzed this rule under that Order and have determined that it does not have implications for federalism.</P>
        <HD SOURCE="HD1">Unfunded Mandates Reform Act</HD>
        <P>The Unfunded Mandates Reform Act of 1995 (2 U.S.C. 1531-1538) requires Federal agencies to assess the effects of their discretionary regulatory actions. In particular, the Act addresses actions that may result in the expenditure by a State, local, or tribal government, in the aggregate, or by the private sector of $100,000,000 or more in any one year. Though this rule will not result in such an expenditure, we do discuss the effects of this rule elsewhere in this preamble.</P>
        <HD SOURCE="HD1">Taking of Private Property</HD>
        <P>This rule will not cause a taking of private property or otherwise have taking implications under Executive Order 12630, Governmental Actions and Interference with Constitutionally Protected Property Rights.</P>
        <HD SOURCE="HD1">Civil Justice Reform</HD>
        <P>This rule meets applicable standards in sections 3(a) and 3(b)(2) of Executive Order 12988, Civil Justice Reform, to minimize litigation, eliminate ambiguity, and reduce burden.</P>
        <HD SOURCE="HD1">Protection of Children</HD>
        <P>We have analyzed this rule under Executive Order 13045, Protection of Children from Environmental Health Risks and Safety Risks. This rule is not an economically significant rule and does not create an environmental risk to health or risk to safety that may disproportionately affect children.</P>
        <HD SOURCE="HD1">Indian Tribal Governments</HD>
        <P>This rule does not have tribal implications under Executive Order 13175, Consultation and Coordination with Indian Tribal Governments, because it does not have a substantial direct effect on one or more Indian tribes, on the relationship between the Federal Government and Indian tribes, or on the distribution of power and responsibilities between the Federal Government and Indian tribes.</P>
        <HD SOURCE="HD1">Energy Effects</HD>
        <P>We have analyzed this rule under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use. We have determined that it is not a “significant energy action” under that order because it is not a “significant regulatory action” under Executive Order 12866 and is not likely to have a significant adverse effect on the supply, distribution, or use of energy. The Administrator of the Office of Information and Regulatory Affairs has not designated it as a significant energy action. Therefore, it does not require a Statement of Energy Effects under Executive Order 13211.</P>
        <HD SOURCE="HD1">Technical Standards</HD>

        <P>The National Technology Transfer and Advancement Act (NTTAA) (15 U.S.C. 272 note) directs agencies to use voluntary consensus standards in their regulatory activities unless the agency provides Congress, through the Office of Management and Budget, with an explanation of why using these standards would be inconsistent with applicable law or otherwise impractical. Voluntary consensus standards are technical standards (<E T="03">e.g.,</E>specifications of materials, performance, design, or operation; test methods; sampling procedures; and related management systems practices) that are developed or adopted by voluntary consensus standards bodies.</P>
        <P>This rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD1">Environment</HD>

        <P>We have analyzed this rule under Department of Homeland Security Management Directive 023-01 and Commandant Instruction M16475.lD, which guide the Coast Guard in complying with the National Environmental Policy Act of 1969 (NEPA) (42 U.S.C. 4321-4370f), and have concluded this action is one of a<PRTPAGE P="22814"/>category of actions that do not individually or cumulatively have a significant effect on the human environment. This rule is categorically excluded, under figure 2-1, paragraph (34)(g), of the Instruction. This rule involves establishment of a temporary safety zone. An environmental analysis checklist and a categorical exclusion determination are available in the docket where indicated under<E T="02">ADDRESSES</E>.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 33 CFR Part 165</HD>
          <P>Harbors, Marine safety, Navigation (water), Reporting and recordkeeping requirements, Security measures, Waterways.</P>
        </LSTSUB>
        
        <P>For the reasons discussed in the preamble, the Coast Guard amends 33 CFR part 165 as follows:</P>
        <REGTEXT PART="165" TITLE="33">
          <PART>
            <HD SOURCE="HED">PART 165—REGULATED NAVIGATION AREAS AND LIMITED ACCESS AREAS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 165 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>33 U.S.C. 1226, 1231; 46 U.S.C. Chapter 701, 3306, 3703; 50 U.S.C. 191, 195; 33 CFR 1.05-1, 6.04-1, 6.04-6, and 160.5; Pub. L. 107-295, 116 Stat. 2064; Department of Homeland Security Delegation No. 0170.1.</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="165" TITLE="33">
          <AMDPAR>2. Add § 165.T11-405 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 165.T11-405</SECTNO>
            <SUBJECT>Safety zone; Sea World Fireworks; Mission Bay, San Diego, CA.</SUBJECT>
            <P>(a)<E T="03">Location.</E>The safety zone will include the area within 600 feet of the fireworks barge in approximate position 32°46′03″ N, 117°13′11″ W.</P>
            <P>(b)<E T="03">Enforcement Period.</E>This section will only be enforced from 8:45 p.m. to 10:15 p.m. on evenings with a fireworks show. Fireworks shows are currently scheduled for the following dates in 2011: April 2, 9, 16 and 23, May 28, 29 and 30, June 4 and 5, 11 and 12, nightly from June 16 through August 21, August 26, 27, and 28, September 3, 4, and 5, November 18, December 9 and 31. If this schedule changes the Coast Guard will announce that fact via Broadcast Notice to Mariners no less than 24 hours before the event. If the event concludes prior to the scheduled termination time, the Captain of the Port will cease enforcement of this safety zone and will announce that fact via Broadcast Notice to Mariners.</P>
            <P>(c)<E T="03">Definitions.</E>The following definition applies to this section:<E T="03">designated representative</E>means any commissioned, warrant, or petty officer of the Coast Guard on board Coast Guard, Coast Guard Auxiliary, local, state, or federal law enforcement vessels who have been authorized to act on the behalf of the Captain of the Port.</P>
            <P>(d)<E T="03">Regulations.</E>(1) In accordance with general regulations in 33 CFR Part 165, Subpart C, entry into, transit through or anchoring within this safety zone is prohibited unless authorized by the Captain of the Port of San Diego or his designated representative.</P>
            <P>(2) Mariners requesting permission to transit through the safety zone may request authorization to do so from the Sector San Diego Command Center. The Command Center may be contacted on VHF-FM Channel 16.</P>
            <P>(3) All persons and vessels shall comply with the instructions of the Coast Guard Captain of the Port or his designated representative.</P>
            <P>(4) Upon being hailed by U.S. Coast Guard patrol personnel by siren, radio, flashing light, or other means, the operator of a vessel shall proceed as directed.</P>
            <P>(5) The Coast Guard may be assisted by other federal, state, or local agencies.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: April 1, 2011.</DATED>
          <NAME>T.H. Farris,</NAME>
          <TITLE>Captain, U.S. Coast Guard, Captain of the Port San Diego.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9893 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R03-OAR-2010-0882; FRL-9298-1]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality Implementation Plans; Virginia; Adoption of the Revised Lead Standards and Related Reference Conditions and Update of Appendices</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is approving a State Implementation Plan (SIP) revision submitted by the Commonwealth of Virginia. The revisions add the primary and secondary lead standards of 0.15 micrograms per cubic meter (μg/m<SU>3</SU>), related reference conditions, and update the list of appendices under “Documents Incorporated by Reference.” Virginia's SIP revisions for the National Ambient Air Quality Standards (NAAQS) for lead are consistent with the Federal lead standards. This action is being taken under the Clean Air Act (CAA).</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>This final rule is effective on May 25, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>EPA has established a docket for this action under Docket ID Number EPA-R03-OAR-2010-0882. All documents in the docket are listed in the<E T="03">http://www.regulations.gov</E>Web site. Although listed in the electronic docket, some information is not publicly available,<E T="03">i.e.,</E>confidential business information (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 through<E T="03">http://www.regulations.gov</E>or in hard copy for public inspection 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>Irene Shandruk, (215) 814-2166, or by e-mail at<E T="03">shandruk.irene@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Background</HD>
        <P>On January 26, 2011 (76 FR 4579), EPA published a notice of proposed rulemaking (NPR) for the Commonwealth of Virginia. The NPR proposed approval of Virginia's SIP revision pertaining to the NAAQS for lead and related reference conditions. The CAA specifies that EPA must re-evaluate the appropriateness of the NAAQS every five years. As part of the process, EPA reviewed the latest research and determined that revised standards for lead were necessary to protect public health and welfare. EPA revised the level of the primary lead standard to a level of 0.15 μg/m<SU>3</SU>to provide increased protection for children and other “at risk” populations. The secondary standard was also revised to a level of 0.15 μg/m<SU>3</SU>to afford increased protection for the environment. EPA promulgated the more stringent primary and secondary NAAQS for lead on November 12, 2008 (73 FR 66964). One adverse comment was submitted on EPA's January 26, 2011 NPR (76 FR 4579). A summary of the comment and EPA's response is provided in section IV of this document.</P>
        <HD SOURCE="HD1">II. Summary of SIP Revision</HD>

        <P>On September 27, 2010, the Commonwealth of Virginia submitted a formal revision to its SIP. The SIP revision consists of an amendment which includes the revised primary and secondary NAAQS for lead and related reference conditions. Virginia's revision incorporates the Federal lead standards<PRTPAGE P="22815"/>into the Code of Virginia (9VAC5 Chapter 30). In addition, the list of appendices to 40 CFR Part 51 was updated under “Documents Incorporated by Reference” (9VAC5-20-21).</P>
        <P>The following are the specific sections that are being modified or amended:</P>
        <P>• 9VAC5-20-21: Documents Incorporated by Reference (modified)</P>
        <P>• 9VAC5-30-15: Reference Conditions (modified)</P>
        <P>• 9VAC5-30-80: Lead (amended)</P>
        <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.”</P>
        <P>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.” Therefore, EPA has determined that Virginia's Privilege and Immunity statutes will not preclude the Commonwealth from enforcing its 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. Other specific requirements and the rationale for EPA's proposed action are explained in the NPR and will not be restated here. As noted below, EPA received one comment on the NPR and it was not germane.</P>
        <HD SOURCE="HD1">IV. Summary of Public Comments and EPA Responses</HD>
        <P>
          <E T="03">Comment:</E>A small business owner expressed concern about having additional costs imposed upon individuals who work on lead paint-containing homes built before 1978. The commenter stated that the business climate cannot support another regulation and expressed concern about being able to remain in business with the adoption of this rule.</P>
        <P>
          <E T="03">Response:</E>This comment is not relevant to this rulemaking action. The commenter discusses lead as it relates to lead-containing paints and the requirement for its removal in homes built prior to 1978. This action imposes no requirements with respect to the removal of lead-containing paint from homes built prior to 1978. This action is concerned with the adoption of the 2008 lead NAAQS by the Commonwealth of Virginia into the Commonwealth's SIP.</P>
        <HD SOURCE="HD1">V. Final Action</HD>
        <P>EPA is approving Virginia's SIP revision for the lead NAAQS and related reference conditions, as well as the updated list of appendices to 40 CFR part 51 under documents incorporated by reference.</P>
        <HD SOURCE="HD1">VI. Statutory and Executive Order Reviews</HD>
        <HD SOURCE="HD2">A. General Requirements</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);<PRTPAGE P="22816"/>
        </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 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>
        <HD SOURCE="HD2">B. Submission to Congress and the Comptroller General</HD>
        <P>The Congressional Review Act, 5 U.S.C. 801<E T="03">et seq.,</E>as added by the Small Business Regulatory Enforcement Fairness Act of 1996, generally provides that before a rule may take effect, the agency promulgating the rule must submit a rule report, which includes a copy of the rule, to each House of the Congress and to the Comptroller General of the United States. EPA will submit a report containing this action and other required information to the U.S. Senate, the U.S. House of Representatives, and the Comptroller General of the United States prior to publication of the rule in the<E T="04">Federal Register</E>. A major rule cannot take effect until 60 days after it is published in the<E T="04">Federal Register</E>. This action is not a “major rule” as defined by 5 U.S.C. 804(2).</P>
        <HD SOURCE="HD2">C. Petitions for Judicial Review</HD>
        <P>Under section 307(b)(1) of the CAA, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by June 24, 2011. Filing a petition for reconsideration by the Administrator of this final rule does not affect the finality of this action for the purposes of judicial review nor does it extend the time within which a petition for judicial review may be filed, and shall not postpone the effectiveness of such rule or action. This action pertaining to Virginia's adoption of the revised lead standards of 0.15 μg/m<SU>3</SU>and related reference conditions may not be challenged later in proceedings to enforce its requirements. (See section 307(b)(2).)</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 52</HD>
          <P>Environmental protection, Air pollution control, Incorporation by reference, Lead, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: April 6, 2011.</DATED>
          <NAME>W.C. Early,</NAME>
          <TITLE>Acting Regional Administrator, Region III.</TITLE>
        </SIG>
        
        <P>40 CFR Part 52 is amended as follows:</P>
        <REGTEXT PART="52" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 52—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority citation for 40 CFR part 52 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401<E T="03">et seq.</E>
            </P>
          </AUTH>
          <SUBPART>
            <HD SOURCE="HED">Subpart VV—Virginia</HD>
          </SUBPART>
        </REGTEXT>
        <REGTEXT PART="52" TITLE="40">
          <AMDPAR>2. In § 52.2420, the table in paragraph (c) is amended by revising the entries for Sections 5-30-15 and 5-30-80. The table in paragraph (e) is amended by adding an entry for “Documents Incorporated by Reference” after the ninth existing entry for “Documents Incorporated by Reference.” The amendments read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.2420</SECTNO>
            <SUBJECT>Identification of plan.</SUBJECT>
            <STARS/>
            <P>(c) * * *</P>
            <GPOTABLE CDEF="s75,r100,r50,r50,xs80" COLS="5" OPTS="L1,i1">
              <TTITLE>EPA-Approved Virginia Regulations and Statutes</TTITLE>
              <BOXHD>
                <CHED H="1">State citation</CHED>
                <CHED H="1">Title/subject</CHED>
                <CHED H="1">State<LI>effective</LI>
                  <LI>date</LI>
                </CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">Explanation [former SIP citation]</CHED>
              </BOXHD>
              <ROW RUL="s">
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW EXPSTB="04" RUL="s">
                <ENT I="21">
                  <E T="02">9 VAC 5, Chapter 30 Ambient Air Quality Standards [Part III]</E>
                </ENT>
              </ROW>
              <ROW EXPSTB="00">
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">5-30-15</ENT>
                <ENT>Reference conditions</ENT>
                <ENT>6/24/09</ENT>
                <ENT>4/25/11 [Insert page number where the document begins]</ENT>
                <ENT>Revised section.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">5-30-80</ENT>
                <ENT>Lead</ENT>
                <ENT>6/24/09</ENT>
                <ENT>4/25/11 [Insert page number where the document begins]</ENT>
                <ENT>Amended paragraphs A. and B.; added paragraph C.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <STARS/>
            <P>(e) * * *</P>
            <GPOTABLE CDEF="s150,r50,10,r50,xs68" COLS="5" OPTS="L1,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Name of non-regulatory SIP revision</CHED>
                <CHED H="1">Applicable<LI>geographic area</LI>
                </CHED>
                <CHED H="1">State<LI>submittal date</LI>
                </CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">Additional<LI>explanation</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Documents Incorporated by Reference (9 VAC 5-20-21, Sections E.1.a.(1)(q) and E.1.a.(1)(r))</ENT>
                <ENT>Statewide</ENT>
                <ENT>9/27/10</ENT>
                <ENT>4/25/11 [Insert page number where the document begins]</ENT>
                <ENT>Revised sections.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <PRTPAGE P="22817"/>
            <STARS/>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9697 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[SC-200906; FRL-9286-2]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality Implementation Plans; South Carolina; Update to Materials Incorporated by Reference</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; notice of administrative change.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is publishing this action to provide the public with notice of the update to the South Carolina State Implementation Plan (SIP) compilation. In particular, materials submitted by South Carolina that are incorporated by reference (IBR) into the South Carolina SIP are being updated to reflect EPA-approved revisions to South Carolina's SIP that have occurred since the last update. In this action, EPA is also notifying the public of the correction of certain typographical errors.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This action is effective April 25, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>SIP materials which are incorporated by reference into 40 Code of Federal Regulations (CFR) part 52 are available for inspection at the following locations: Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, GA 30303; the Air and Radiation Docket and Information Center, EPA Headquarters Library, Infoterra Room (Room Number 3334), EPA West Building, 1301 Constitution Ave., NW., Washington, DC 20460, and the National Archives and Records Administration. If you wish to obtain materials from a docket in the EPA Headquarters Library, please call the Office of Air and Radiation (OAR) Docket/Telephone number: (202) 566-1742. 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/cfr/ibr-locations.html</E>.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Nacosta C. Ward at the above Region 4 address or at (404) 562-9140. Ms. Ward may also be contacted via electronic mail at:<E T="03">ward.nacosta@epa.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Each state has a SIP containing the control measures and strategies used to attain and maintain the national ambient air quality standards (NAAQS). The SIP is extensive, containing such elements as air pollution control regulations, emission inventories, monitoring networks, attainment demonstrations, and enforcement mechanisms.</P>
        <P>Each state must formally adopt the control measures and strategies in the SIP after the public has had an opportunity to comment on them and then submit the SIP to EPA. Once these control measures and strategies are approved by EPA, after notice and comment, they are incorporated into the federally approved SIP and are identified in part 52 “Approval and Promulgation of Implementation Plans,” Title 40 of the CFR (40 CFR part 52). The full text of the state regulation approved by EPA is not reproduced in its entirety in 40 CFR part 52, but is “incorporated by reference.” This means that EPA has approved a given state regulation with a specific effective date. The public is referred to the location of the full text version should they want to know which measures are contained in a given SIP. The information provided allows EPA and the public to monitor the extent to which a state implements a SIP to attain and maintain the NAAQS and to take enforcement action if necessary.</P>

        <P>The SIP is a living document which the state can revise as necessary to address the unique air pollution problems in the state. Therefore, EPA from time to time must take action on SIP revisions containing new and/or revised regulations as being part of the SIP. On May 22, 1997 (62 FR 27968), EPA revised the procedures for incorporating by reference, into the CFR, materials submitted by states in their EPA-approved SIP revisions. These changes revised the format for the identification of the SIP in 40 CFR part 52, streamlined the mechanisms for announcing EPA approval of revisions to a SIP, and streamlined the mechanisms for EPA's updating of the IBR information contained for each SIP in 40 CFR part 52. The revised procedures also called for EPA to maintain “SIP Compilations” that contain the federally approved regulations and source specific permits submitted by each state agency. These SIP Compilations are contained in 3-ring binders and are updated primarily on an annual basis. Under the revised procedures, EPA is to periodically publish an informational document in the rules section of the<E T="04">Federal Register</E>when updates are made to a SIP Compilation for a particular state. EPA's 1997 revised procedures were formally applied to South Carolina on July 1, 1997 (62 FR 35441).</P>
        <P>This action represents EPA's publication of the South Carolina SIP Compilation update, appearing in 40 CFR part 52. In addition, notice is provided for the following typographical corrections to Tables (c), (d), and (e) of paragraph 52.2120, as described below:</P>
        
        <EXTRACT>

          <P>1. Correcting typographical errors listed in paragraphs 52.2120(c), (d), and (e) removing all periods after the<E T="04">Federal Register</E>notice citation.</P>
          <P>2. Revising the date format listed in paragraphs 52.2120(c), (d), and (e). Revise the date format in the “state effective date,” and “EPA approval date,” columns for consistency. Dates are numerical month/day/year without additional zeros.</P>
          <P>3. Restoring all missing entries in table (e).</P>
          <P>4. In paragraph (c), the following revisions:</P>
          <P>a. Capitalizing the word “subject” in the column header “Title/Subject;”</P>
          <P>b. Underlining the words “<E T="03">Federal</E>” and “<E T="03">Register</E>” and capitalizing the letter “r” in the word “register” in the column entitled “<E T="04">Federal Register</E>notice” for consistency within the paragraph and the<E T="04">Federal Register</E>rulemakings.</P>
          <P>c. Revising the format of paragraph (c) by removing the second entry of “Regulation No. 62.1 Definitions and General Requirements” and creating rows for all Parts contained in Regulation 62.5, Standard No. 5, Volatile Organic Compounds, “Section I—General Provisions” and “Section II—Provisions for Specific Sources.”</P>

          <P>d. Inserting the “State effective date,” “EPA approval date,” and “<E T="04">Federal Register</E>notice” citation to read in the correct columns for Regulation No. 62.2 “Prohibition of Open Burning.”</P>
          <P>e. Correcting the “Title/Subject” under Regulation 62.5 for:</P>
          <P>i. Standard No. 1, “Section II—Particulate Matter Emissions;”</P>
          <P>ii. Standard No. 5, “Section II—Provisions for Specific Sources”</P>
          <P>1. Part C—Surface Coating of Paper, Vinyl, and Fabric</P>
          <P>2. Part D—Surface Coating of Metal Furniture, and Large Appliances</P>
          <P>3. Part F—Surface Coating of Miscellaneous Metal Parts and Products;”</P>
          <P>f. correcting the “State effective date” for:</P>
          <P>i. Regulation 62.3 “Section II—Emission Reduction Requirements;”</P>
          <P>ii. Regulation 62.5, Standard No. 1—Emissions from Fuel Burning Operations</P>
          <P>1. “Section II—Particulate Matter Emissions”</P>
          <P>2. “Section IV—Opacity Monitoring Requirements”</P>
          <P>3. “Section V—Exemptions;”</P>
          <P>iii. Regulation 62.5, Standard No. 4—Emissions from Process Industries</P>
          <P>1. “Section I—General”</P>
          <P>2. “Section II—Sulfuric Acid Manufacturing”</P>
          <P>3. “Section III—Kraft Pulp and Paper Manufacturing Plants''</P>
          <P>4. “Section IV—Portland Cement Manufacturing”</P>
          <P>5. “Section VI—Hot Mix Asphalt Manufacturing”</P>
          <P>6. “Section VII—Metal Refining;”<PRTPAGE P="22818"/>
          </P>
          <P>iv. Regulation No. 62.6, “Control of Fugitive Particulate Matter;”</P>
          <P>g. Correcting the EPA approval date for Regulation 62.1, “Section V—Credible Evidence.”</P>
          <P>h. correcting the<E T="04">Federal Register</E>notice citation for:</P>
          <P>i. Regulation 62.1 “Section II—Permit Requirements;”</P>
          <P>ii. Regulation 62.3 “Section I—Episode Criteria;”</P>
          <P>iii. Regulation 62.3 “Section II—Emission Reduction Requirements;”</P>
          <P>iv. Regulation 62.5, Standard No. 1—Emissions from Fuel Burning Operations</P>
          <P>1. “Section I—Visible Emissions”</P>
          <P>2. “Section II—Particulate Matter Emissions;”</P>
          <P>v. Regulation 62.5, Standard No. 4—Emissions from Process Industries</P>
          <P>1. “Section III—Kraft Pulp and Paper Manufacturing Plants”</P>
          <P>2. “Section VI—Hot Mix Asphalt Manufacturing;”</P>
          <P>vi. Regulation 62.5, Standard No. 2—Ambient Air Quality Standards;</P>
          <P>vii. Regulation 62.5, Standard No. 4—Emissions From Process Industries</P>
          <P>1. “Section V—Cotton Gins”</P>
          <P>2. “Section VIII—Other Manufacturing”</P>
          <P>3. “Section XI—Total Reduced Sulfur Emissions of Kraft Pulp Mills;”</P>
          <P>viii. Regulation 62.5, Standard No. 5—Volatile Organic Compounds</P>
          <P>1. “Section I—General Provisions”</P>
          <P>2. “Section II—Part A—Surface Coating of Cans”</P>
          <P>3. “Section II—Part E—Surface Coating of Magnet Wire”</P>
          <P>4. “Section II—Part F—Surface Coating of Miscellaneous Metal Parts and Products”</P>
          <P>5. “Section II—Part N—Solvent Metal Cleaning;”</P>
          <P>ix. Regulation 62.5, Standard No. 6—Alternative Emission Limitation Options (“Bubble”) “Section II—Conditions for Approval;”</P>
          <P>x. Regulation No. 62.6, “Control of Fugitive Particulate Matter;”</P>
          <P>xi. Regulation 62.99, “Nitrogen Oxides (NO<E T="52">X</E>) Budget Program Requirements for Stationary Sources Not in the Trading Program;”</P>

          <P>i. Moving “Standard No. 5.2—Control of Oxides of Nitrogen (NO<E T="52">X</E>)” after “Standard No. 5—Volatile Organic Compounds” to restore correct numerical order.</P>
          <P>j. Removing duplicate entries of Regulation 62.5, Standard No. 4 “Section V—Cotton Gins” and “Section VIII—Other Manufacturing.”</P>
        </EXTRACT>
        

        <P>EPA has determined that today's action falls under the “good cause” exemption in the section 553(b)(3)(B) of the Administrative Procedure Act (APA) which, upon finding “good cause,” authorizes agencies to dispense with public participation and section 553(d)(3) which allows an agency to make an action effective immediately (thereby avoiding the 30-day delayed effective date otherwise provided for in the APA). Today's administrative action simply codifies provisions which are already in effect as a matter of law in Federal and approved state programs and corrects typographical errors appearing the<E T="04">Federal Register</E>. Under section 553 of the APA, an agency may find good cause where procedures are “impractical, unnecessary, or contrary to the public interest.” Public comment for this administrative action is “unnecessary” and “contrary to the public interest” since the codification (and typographical corrections) only reflect existing law. Immediate notice of this action in the<E T="04">Federal Register</E>benefits the public by providing the public notice of the updated South Carolina SIP Compilation and notice of typographical corrections to the South Carolina “Identification of Plan” portion of the<E T="04">Federal Register</E>.</P>
        <HD SOURCE="HD1">Statutory and Executive Order Reviews</HD>
        <HD SOURCE="HD2">A. General Requirements</HD>

        <P>Under Executive Order 12866 (58 FR 51735, October 4, 1993), this administrative action is not a “significant regulatory action” and is therefore not subject to review by the Office of Management and Budget. This action is not subject to Executive Order 13211, “Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use” (66 FR 28355, May 22, 2001) because it is not a significant regulatory action under Executive Order 12866. Because the Agency has made a “good cause” finding that this action is not subject to notice-and-comment requirements under the APA or any other statute as indicated in the<E T="02">SUPPLEMENTARY INFORMATION</E>section above, it is not subject to the regulatory flexibility provisions of the Regulatory Flexibility Act (5 U.S.C 601<E T="03">et seq.</E>), or to sections 202 and 205 of the Unfunded Mandates Reform Act (UMRA) of 1995 (Pub. L. 104-4). In addition, this action does not significantly or uniquely affect small governments or impose a significant intergovernmental mandate, as described in sections 203 and 204 of UMRA.</P>
        <P>This administrative action also does not have a substantial direct effect on one or more Indian tribes, on the relationship between the Federal government and Indian tribes, or on the distribution of power and responsibilities between the Federal government and Indian tribes, as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), nor will it have substantial direct effects 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, as specified in Executive Order 13132 (64 FR 43255, August 10, 1999).</P>

        <P>This administrative action also is not subject to Executive Order 13045 (62 FR 19885, April 23, 1997), because it is not economically significant. This administrative action does not involve technical standards; thus the requirements of section 12(d) of the National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272 note) do not apply. The administrative action also does not involve special consideration of environmental justice related issues as required by Executive Order 12898 (59 FR 7629, February 16, 1994). This administrative action does not impose an information collection burden under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>). EPA's compliance with these Statutes and Executive Orders for the underlying rules are discussed in previous actions taken on the State's rules.</P>
        <HD SOURCE="HD2">B. Submission to Congress and the Comptroller General</HD>
        <P>The Congressional Review Act (CRA) (5 U.S.C. 801<E T="03">et seq.</E>), as added by the Small Business Regulatory Enforcement Fairness Act of 1996, generally provides that before a rule may take effect, the agency promulgating the rule must submit a rule report, which includes a copy of the rule, to each House of the Congress and to the Comptroller General of the United States. Section 808 allows the issuing agency to make a rule effective sooner than otherwise provided by the CRA if the agency makes a good cause finding that notice and public procedure is impracticable, unnecessary or contrary to the public interest. Today's administrative action simply codifies (and corrects) provisions which are already in effect as a matter of law in Federal and approved state programs. 5 U.S.C. 808(2). These announced actions were effective when EPA approved them through previous rulemaking actions. EPA will submit a report containing this action and other required information to the U.S. Senate, the U.S. House of Representatives, and the Comptroller General of the United States prior to publication of this action in the<E T="04">Federal Register</E>. This update to South Carolina's SIP Compilation and correction of typographical errors is not a “major rule” as defined by 5 U.S.C. 804(2).</P>
        <HD SOURCE="HD2">C. Petitions for Judicial Review</HD>

        <P>EPA has also determined that the provisions of section 307(b)(1) of the Clean Air Act pertaining to petitions for judicial review are not applicable to this action. This action is simply an<PRTPAGE P="22819"/>announcement of prior rulemakings that have previously undergone notice and comment rulemaking. Prior EPA rulemaking actions for each individual component of the South Carolina SIP compilation previously afforded interested parties the opportunity to file a petition for judicial review in the United States Court of Appeals for the appropriate circuit within 60 days of such rulemaking action.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 52</HD>
          <P>Environmental protection, Air pollution control, Carbon monoxide, Incorporation by reference, Intergovernmental relations, Lead, Nitrogen dioxide, Ozone, Particulate matter, Reporting and recordkeeping requirements, Sulfur oxides, Volatile organic compounds.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: March 7, 2011.</DATED>
          <NAME>A. Stanley Meiburg,</NAME>
          <TITLE>Regional Administrator, Region 4.</TITLE>
        </SIG>
        
        <P>40 CFR part 52, is amended as follows:</P>
        <REGTEXT PART="52" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 52—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority for citation for part 52 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="52" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart PP—South Carolina</HD>
          </SUBPART>
          <AMDPAR>2. Section 52.2120 paragraphs (b), (c), (d), and (e) are revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.2120</SECTNO>
            <SUBJECT>Identification of plan.</SUBJECT>
            <STARS/>
            <P>(b)<E T="03">Incorporation by reference.</E>
            </P>

            <P>(1) Material listed in paragraphs (c) and (d) of this section with an EPA approval date prior to July 31, 2009, for South Carolina was approved for incorporation by reference by the Director of the<E T="01">Federal Register</E>in accordance with 5 U.S.C. 552(a) and 1 CFR part 51. Material is incorporated as it exists on the date of the approval, and notice of any change in the material will be published in the<E T="04">Federal Register</E>. Entries in paragraphs (c) and (d) of this section with EPA approval dates after July 31, 2009, for South Carolina will be incorporated by reference in the next update to the SIP compilation.</P>
            <P>(2) EPA Region 4 certifies that the rules/regulations provided by EPA in the SIP compilation at the addresses in paragraph (b)(3) of this section are an exact duplicate of the officially promulgated State rules/regulations which have been approved as part of the State Implementation Plan as of the dates referenced in paragraph (b)(1).</P>

            <P>(3) Copies of the materials incorporated by reference may be inspected at the Region 4 EPA Office at 61 Forsyth Street, SW., Atlanta, GA 30303 the Air and Radiation Docket and Information Center, EPA Headquarters Library, Infoterra Room (Room Number 3334), EPA West Building, 1301 Constitution Ave., NW., Washington, DC 20460, and the National Archives and Records Administration. If you wish to obtain materials from a docket in the EPA Headquarters Library, please call the Office of Air and Radiation (OAR) Docket/Telephone number: (202) 566-1742. 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/cfr/ibr-locations.html</E>.</P>
            <P>(c)<E T="03">EPA approved regulations.</E>
            </P>
            <GPOTABLE CDEF="s100,r100,16,16,16" COLS="5" OPTS="L2,i1">
              <TTITLE>Air Pollution Control Regulations for South Carolina</TTITLE>
              <BOXHD>
                <CHED H="1">State citation</CHED>
                <CHED H="1">Title/subject</CHED>
                <CHED H="1">State effective date</CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">
                  <E T="02">Federal Register</E>notice</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Regulation No. 62.1</ENT>
                <ENT>Definitions and General Requirements</ENT>
                <ENT>6/26/1998</ENT>
                <ENT>8/10/2004</ENT>
                <ENT>69 FR 48395</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>Definitions</ENT>
                <ENT>8/26/2005</ENT>
                <ENT>12/7/2006</ENT>
                <ENT>71 FR 70880</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Permit Requirements</ENT>
                <ENT>6/24/2005</ENT>
                <ENT>6/2/2008</ENT>
                <ENT>73 FR 31368</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Emissions Inventory</ENT>
                <ENT>2/25/2005</ENT>
                <ENT>12/7/2006</ENT>
                <ENT>71 FR 70880</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Source Tests</ENT>
                <ENT>6/27/2003</ENT>
                <ENT>8/10/2004</ENT>
                <ENT>69 FR 48395</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section V</ENT>
                <ENT>Credible Evidence</ENT>
                <ENT>7/27/2001</ENT>
                <ENT>11/13/2003</ENT>
                <ENT>67 FR 68767</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.2</ENT>
                <ENT>Prohibition of Open Burning</ENT>
                <ENT>6/25/2004</ENT>
                <ENT>8/26/2005</ENT>
                <ENT>70 FR 50195</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.3</ENT>
                <ENT>Air Pollution Episodes</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>Episode Criteria</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Emission Reduction Requirements</ENT>
                <ENT>4/22/1988</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.4</ENT>
                <ENT>Hazardous Air Pollution Conditions</ENT>
                <ENT>12/20/1978</ENT>
                <ENT>1/29/1980</ENT>
                <ENT>45 FR 6572</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.5</ENT>
                <ENT>Air Pollution Control Standards</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 1</E>
                </ENT>
                <ENT>Emissions from Fuel Burning Operations</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>Visible Emissions</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Particulate Matter Emissions</ENT>
                <ENT>4/22/1988</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Sulfur Dioxide Emissions</ENT>
                <ENT>3/3/1983</ENT>
                <ENT>10/29/1984</ENT>
                <ENT>49 FR 43469</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Opacity Monitoring Requirements</ENT>
                <ENT>4/22/1988</ENT>
                <ENT>7/2/1990</ENT>
                <ENT>55 FR 27226</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section V</ENT>
                <ENT>Exemptions</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section VI</ENT>
                <ENT>Periodic Testing</ENT>
                <ENT>6/26/1998</ENT>
                <ENT>8/10/2004</ENT>
                <ENT>69 FR 48395</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section VII</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 2</E>
                </ENT>
                <ENT>Ambient Air Quality Standards</ENT>
                <ENT>9/24/2004</ENT>
                <ENT>8/22/2007</ENT>
                <ENT>72 FR 46903</ENT>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 4</E>
                </ENT>
                <ENT>Emissions From Process Industries</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>General</ENT>
                <ENT>2/28/1986</ENT>
                <ENT>2/17/1987</ENT>
                <ENT>52 FR 4772</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Sulfuric Acid Manufacturing</ENT>
                <ENT>2/28/1986</ENT>
                <ENT>2/17/1987</ENT>
                <ENT>52 FR 4772</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Kraft Pulp and Paper Manufacturing Plants</ENT>
                <ENT>4/22/1988</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Portland Cement Manufacturing</ENT>
                <ENT>2/28/1986</ENT>
                <ENT>2/17/1987</ENT>
                <ENT>52 FR 4772</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section V</ENT>
                <ENT>Cotton Gins</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section VI</ENT>
                <ENT>Hot Mix Asphalt Manufacturing</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section VII</ENT>
                <ENT>Metal Refining</ENT>
                <ENT>2/28/1986</ENT>
                <ENT>2/17/1987</ENT>
                <ENT>52 FR 4772</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section VIII</ENT>
                <ENT>Other Manufacturing</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IX</ENT>
                <ENT>Visible Emissions</ENT>
                <ENT>3/16/1989</ENT>
                <ENT>7/2/1990</ENT>
                <ENT>55 FR 27226</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section X</ENT>
                <ENT>Non-Enclosed Operations</ENT>
                <ENT>3/16/1989</ENT>
                <ENT>7/2/1990</ENT>
                <ENT>55 FR 27226</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section XI</ENT>
                <ENT>Total Reduced Sulfur Emissions of Kraft Pulp Mills</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="22820"/>
                <ENT I="01">Section XII</ENT>
                <ENT>Periodic Testing</ENT>
                <ENT>6/26/1998</ENT>
                <ENT>8/10/2004</ENT>
                <ENT>69 FR 48395</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section XIII</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 5</E>
                </ENT>
                <ENT>Volatile Organic Compounds</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>General Provisions</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part A</ENT>
                <ENT>Definitions</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part B</ENT>
                <ENT>General Applicability</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part C</ENT>
                <ENT>Alternatives and Exceptions to Control Requirements</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part D</ENT>
                <ENT>Compliance Schedules</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part E</ENT>
                <ENT>Volatile Organic Compound Compliance Testing</ENT>
                <ENT>6/26/1998</ENT>
                <ENT>8/10/2004</ENT>
                <ENT>69 FR 48395</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part F</ENT>
                <ENT>Recordkeeping, Reporting, Monitoring</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part G</ENT>
                <ENT>Equivalency Calculations</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Provisions for Specific Sources</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part A</ENT>
                <ENT>Surface Coating of Cans</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part B</ENT>
                <ENT>Surface Coating of Coils</ENT>
                <ENT>9/18/1990</ENT>
                <ENT>2/4/1992</ENT>
                <ENT>57 FR 4158</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part C</ENT>
                <ENT>Surface Coating of Paper, Vinyl, and Fabric</ENT>
                <ENT>9/18/1990</ENT>
                <ENT>2/4/1992</ENT>
                <ENT>57 FR 4158</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part D</ENT>
                <ENT>Surface Coating of Metal Furniture and Large Appliances</ENT>
                <ENT>9/18/1990</ENT>
                <ENT>2/4/1992</ENT>
                <ENT>57 FR 4158</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part E</ENT>
                <ENT>Surface Coating of Magnet Wire</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part F</ENT>
                <ENT>Surface Coating of Miscellaneous Metal Parts and Products</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part G</ENT>
                <ENT>Surface Coating of Flat Wood Paneling</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part H</ENT>
                <ENT>Graphic Arts—Rotogravure Flexography</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part I</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part J</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part K</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part L</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part M</ENT>
                <ENT>[Reserved]</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part N</ENT>
                <ENT>Solvent Metal Cleaning</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part O</ENT>
                <ENT>Petroleum Liquid Storage in Fixed Roof Tanks</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part P</ENT>
                <ENT>Petroleum Liquid Storage in External Floating Roof Tanks</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part Q</ENT>
                <ENT>Manufacture of Synthesized Pharmaceutical Products</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part R</ENT>
                <ENT>Manufacture of Pneumatic Rubber Tires</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part S</ENT>
                <ENT>Cutback Asphalt</ENT>
                <ENT>6/13/1979</ENT>
                <ENT>12/16/1981</ENT>
                <ENT>46 FR 61268</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part T</ENT>
                <ENT>Bulk Gasoline Terminals and Vapor Collection Systems</ENT>
                <ENT>5/5/1983</ENT>
                <ENT>10/31/1983</ENT>
                <ENT>48 FR 50078</ENT>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 5.2</E>
                </ENT>
                <ENT>Control of Oxides of Nitrogen (NO<E T="52">X</E>)</ENT>
                <ENT>6/25/2004</ENT>
                <ENT>8/26/2005</ENT>
                <ENT>70 FR 50195</ENT>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 6</E>
                </ENT>
                <ENT>Alternative Emission Limitation Options (“Bubble”)</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>General</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Conditions for Approval</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">Part A</ENT>
                <ENT>Emissions of Total Suspended Particulate or Sulfur Dioxide</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part B</ENT>
                <ENT>Emissions of Volatile Organic Compounds</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part C</ENT>
                <ENT>Emissions of Nitrogen Dioxide, Carbon Monoxide, or Lead</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part D</ENT>
                <ENT>Designated Pollutants</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Part E</ENT>
                <ENT>De Minimis Cases</ENT>
                <ENT>10/26/2001</ENT>
                <ENT>5/7/2002</ENT>
                <ENT>67 FR 30594</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Enforceability</ENT>
                <ENT/>
                <ENT/>
                <ENT/>
              </ROW>
              <ROW>
                <ENT I="01">
                  <E T="03">Standard No. 7</E>
                </ENT>
                <ENT>Prevention of Significant Deterioration<SU>1</SU>
                </ENT>
                <ENT>6/24/2005</ENT>
                <ENT>6/2/2008</ENT>
                <ENT>73 FR 31371</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>Definitions</ENT>
                <ENT>6/24/2005</ENT>
                <ENT>6/2/2008</ENT>
                <ENT>73 FR 31368</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Ambient Air Limits</ENT>
                <ENT>6/24/2005</ENT>
                <ENT>6/2/2008</ENT>
                <ENT>73 FR 31368</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Review of Major Plants and Major Modifications—Applicability and Exemptions</ENT>
                <ENT>6/24/2005</ENT>
                <ENT>6/2/2008</ENT>
                <ENT>73 FR 31368</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Review Requirements—Supplement C</ENT>
                <ENT>4/26/1996</ENT>
                <ENT>8/20/1997</ENT>
                <ENT>62 FR 44218</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.6</ENT>
                <ENT>Control of Fugitive Particulate Matter</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>Control of Fugitive Particulate Matter in Non-Attainment Areas</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="22821"/>
                <ENT I="01">Section II</ENT>
                <ENT>Control of Fugitive Particulate Matter in Problem Areas</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Control of Fugitive Particulate Matter Statewide</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Effective Date</ENT>
                <ENT>5/24/1985</ENT>
                <ENT>10/3/1989</ENT>
                <ENT>54 FR 40659</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.7</ENT>
                <ENT>Good Engineering Practice Stack Height</ENT>
                <ENT>6/11/1986</ENT>
                <ENT>5/28/1987</ENT>
                <ENT>52 FR 19858</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section I</ENT>
                <ENT>General</ENT>
                <ENT>6/11/1986</ENT>
                <ENT>5/28/1987</ENT>
                <ENT>52 FR 19858</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section II</ENT>
                <ENT>Applicability</ENT>
                <ENT>6/11/1986</ENT>
                <ENT>5/28/1987</ENT>
                <ENT>52 FR 19858</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section III</ENT>
                <ENT>Definitions and Conditions</ENT>
                <ENT>6/11/1986</ENT>
                <ENT>5/28/1987</ENT>
                <ENT>52 FR 19858</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Section IV</ENT>
                <ENT>Public Participation</ENT>
                <ENT>6/11/1986</ENT>
                <ENT>5/28/1987</ENT>
                <ENT>52 FR 19858</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.96</ENT>
                <ENT>Nitrogen Oxides (NO<E T="52">X</E>) and Sulfur Dioxide (SO<E T="52">2</E>) Budget Trading Program General Provisions</ENT>
                <ENT>10/24/2009</ENT>
                <ENT>10/16/2009</ENT>
                <ENT>74 FR 53167</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Regulation No. 62.99</ENT>
                <ENT>Nitrogen Oxides (NO<E T="52">X</E>) Budget Program Requirements for Stationary Sources Not in the Trading Program</ENT>
                <ENT>5/24/2002</ENT>
                <ENT>6/28/2002</ENT>
                <ENT>67 FR 43546</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>This regulation (submitted on July 1, 2005) includes two portions of EPA's 2002 NSR Reform Rules that were vacated by the DC Circuit Court—Pollution Control Projects (PCPs) and clean units. As a result, EPA is disapproving all rules and/or rule sections in the South Carolina PSD rules referencing clean units or PCPs. Specifically, the following South Carolina rules are being disapproved: (a)(2)(iv)(e); (a)(2)(iv)(f) (second sentence only); (a)(2)(vi); (b)(12); (b)(30)(iii)(h); (b)(34)(iii)(b); (b)(34)(vi)(d); (b)(35); (r)(6) (only the reference to the term “clean unit” is being disapproved. The remainder of this regulatory provision is being approved); (r)(7) (only the reference to the term “clean unit” is being disapproved. The remainder of this regulatory provision is being approved); (x); (y) and (z).</TNOTE>
            </GPOTABLE>
            <P>(d)<E T="03">EPA-approved State Source specific requirements.</E>
            </P>
            <GPOTABLE CDEF="s100,r60,16,16,r70" COLS="05" OPTS="L2,i1">
              <TTITLE>EPA-Approved South Carolina Source-Specific Requirements</TTITLE>
              <BOXHD>
                <CHED H="1">Name of source</CHED>
                <CHED H="1">Permit No.</CHED>
                <CHED H="1">State effective date</CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">Comments</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Transcontinental Gas Pipeline Corporation Station 140</ENT>
                <ENT>2060-0179-CD</ENT>
                <ENT>4/27/2004</ENT>
                <ENT>4/23/2009,<LI>74 FR 18471</LI>
                </ENT>

                <ENT>This permit is incorporated in fulfillment of the NO<E T="52">X</E>SIP Call Phase II requirements for South Carolina.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(e)<E T="03">EPA-approved South Carolina non-regulatory provisions.</E>
            </P>
            <GPOTABLE CDEF="s100,16,24,16" COLS="04" OPTS="L2,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Provision</CHED>
                <CHED H="1">State effective date</CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">Explanation</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Cherokee County Ozone Attainment Demonstration and Ten-year Maintenance Plan</ENT>
                <ENT>6/26/1998</ENT>
                <ENT>12/18/1998, 63 FR 70022</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Cherokee County Ozone Ten Year Maintenance Plan</ENT>
                <ENT>1/31/2002</ENT>
                <ENT>4/26/2002, 67 FR 20647</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Transportation Conformity</ENT>
                <ENT>10/24/2003</ENT>
                <ENT>1/29/2004, 69 FR 4245</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Attainment Demonstration for the Appalachian, Catawba, Pee Dee, Waccamaw, Santee Lynches, Berkeley-Charleston-Dorchester, Low Country, Lower Savannah, Central Midlands, and Upper Savannah Early Action Compact Areas</ENT>
                <ENT>12/29/2004</ENT>
                <ENT>8/26/2005, 70 FR 50195</ENT>
              </ROW>
              <ROW>
                <ENT I="01">South Carolina Transportation Conformity Air Quality Implementation Plan</ENT>
                <ENT>11/28/2008</ENT>
                <ENT>7/28/2009, 74 FR 37168</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Cherokee County 110(a)(1) Maintenance Plan for the 1997 8-Hour Ozone Standard</ENT>
                <ENT>12/13/2007</ENT>
                <ENT>7/31/2009, 74 FR 26099</ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9689 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <PRTPAGE P="22822"/>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 62</CFR>
        <DEPDOC>[EPA-R04-OAR-2010-0840(a); FRL-9298-9]</DEPDOC>
        <SUBJECT>Approval and Promulgation of State Plans for Designated Facilities and Pollutants: Florida; Jefferson County, KY; Forsyth, Mecklenburg, and Buncombe Counties, NC; and SC</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is notifying the public that it has received negative declarations for Other Solid Waste Incinerator (OSWI) units from the State of Florida; Large Municipal Waste Combustor (LMWC), Small Municipal Waste Combustor (SMWC), and OSWI units from Jefferson County, Kentucky; LMWC, SMWC, and OSWI units from Forsyth County, North Carolina; LMWC, SMWC, and OSWI units from Mecklenburg County, North Carolina; LMWC, SMWC, Hospital/Medical/Infectious Waste Incinerator (HMIWI), and OSWI units from Buncombe County, North Carolina; and LMWC and HMIWI units from the State of South Carolina. These negative declarations certify that LMWC, SMWC, HMIWI, and OSWI units, as indicated above, subject to the requirements of Sections 111(d) and 129 of the Clean Air Act (CAA), do not exist in areas covered by the following air pollution control programs: Florida Department of Environmental Protection; Louisville, Kentucky, Air Pollution Control District; Forsyth County Environmental Affairs Department; Mecklenburg County Land Use and Environmental Services Agency; Western North Carolina Regional Air Quality Agency; and South Carolina Department of Health and Environmental Control.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>This direct final rule is effective June 24, 2011 without further notice, unless EPA receives adverse comment by<E T="03">May 25, 2011.</E>If EPA receives such comments, it will publish a timely withdrawal of the direct final rule in the<E T="04">Federal Register</E>and inform the public that the rule will not take effect.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID Number EPA-R04-OAR-2010-0840 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.<E T="03">E-mail: garver.daniel@epa.gov.</E>
          </P>
          <P>3.<E T="03">Fax:</E>(404) 562-9095.</P>
          <P>4.<E T="03">Mail:</E>EPA-R04 OAR-2010-0840, Daniel Garver, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303.</P>
          <P>5.<E T="03">Hand Delivery or Courier:</E>Mr. Daniel Garver, Air Toxics Assessment and Implementation Section, Air Toxics and Monitoring Branch, Air, Pesticides and Toxics Management Division, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303-8960. Such deliveries are only accepted during the Regional Office's normal hours of operation. The Regional Office's 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 Number EPA-R04-OAR-2010-0840. 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>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">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 information about EPA's public docket visit the EPA Docket Center homepage at<E T="03">http://www.epa.gov/epahome/dockets.htm.</E>
          </P>
          <P>
            <E T="03">Docket:</E>All documents in the electronic 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">i.e.,</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 at the Air Toxics Assessment and Implementation Section, Air Toxics and Monitoring Branch, Air, Pesticides and Toxics Management Division, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303-8960. EPA requests that if at all possible, you contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section to schedule your inspection. The Regional Office's official hours of business are Monday through Friday, 8:30 a.m. to 4:30 p.m., excluding Federal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Daniel Garver, Air Toxics Assessment and Implementation Section, Air Toxics and Monitoring Branch, Air, Pesticides and Toxics Management Division, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303-8960. The telephone number is (404) 562-9839. Mr. Garver can also be reached via electronic mail at<E T="03">garver.daniel@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. Background</FP>
          <FP SOURCE="FP-2">II. Final Action</FP>
          <FP SOURCE="FP-2">III. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. Background</HD>
        <P>Sections 111(d) and 129 of the CAA require submittal of plans to control certain pollutants (designated pollutants) at existing solid waste combustion facilities (designated facilities) whenever standards of performance have been established under section 111(d) for new sources of the same type, and EPA has established emission guidelines for such existing sources. A designated pollutant is any pollutant for which no air quality criteria have been issued, and which is not included on a list published under section 108(a) or section 112(b)(1)(A) of the CAA, but emissions of which are subject to a standard of performance for new stationary sources.</P>

        <P>Standards of performance for new LMWC units and emission guidelines for all existing LMWC units (designated facilities) constructed on or before September 20, 1994, have been established by EPA. The emission<PRTPAGE P="22823"/>guidelines were promulgated on December 19, 1995 (60 FR 65415), and amended most recently on May 10, 2006 (71 FR 27324). The emission guidelines are codified at 40 CFR part 60, subpart Cb.</P>
        <P>Standards of performance for new SMWC units and emission guidelines for all existing SMWC units (designated facilities) constructed on or before August 30, 1999, have been established by EPA. The emission guidelines were promulgated on December 6, 2000 (65 FR 76384). The emission guidelines are codified at 40 CFR part 60, subpart BBBB.</P>
        <P>Standards of performance for new HMIWI units and emission guidelines for all existing HMIWI units (designated facilities) constructed on or before June 20, 1996, have been established by EPA. The emission guidelines were promulgated on September 15, 1997 (62 FR 48348), and amended most recently on October 6, 2009 (74 FR 51366). The emission guidelines are codified at 40 CFR part 60, subpart Ce.</P>
        <P>Standards of performance for new OSWI units and emission guidelines for all existing OSWI units (designated facilities) constructed on or before December 9, 2004, have been established by EPA. The emission guidelines were promulgated on December 16, 2005 (70 FR 74870), and amended most recently on January 22, 2007 (72 FR 2620). The emission guidelines are codified at 40 CFR part 60, subpart FFFF.</P>
        <P>Federal regulations found in subpart B of 40 CFR part 60 establish procedures to be followed and requirements to be met in the development and submission of state plans for controlling designated pollutants at designated facilities. Federal regulations found in subpart A of 40 CFR part 62 provide the procedural framework for the submission of these plans. When designated facilities are located under the jurisdiction of a state, or local agency, the state or local agency must then develop and submit a plan for their respective jurisdiction for the control of the designated pollutants. However, the federal regulations found at 40 CFR 62.06 provide that if there are no existing sources of the designated pollutants within the state or local agency jurisdiction, the state or local agency may submit a letter of certification to that effect, or negative declaration, in lieu of a plan. The negative declaration exempts the state or local agency from the requirements to submit a plan for that designated pollutant.</P>
        <HD SOURCE="HD1">II. Final Action</HD>
        <P>EPA has received several negative declaration letters for Sections 111(d) and 129 source categories from state and local air pollution agencies. The Florida Department of Environmental Protection has determined that there are no existing OSWI units in its jurisdiction. The Louisville, Kentucky, Air Pollution Control District has determined that there are no existing LMWC, SMWC or OSWI units within its jurisdiction, Jefferson County, Kentucky. The South Carolina Department of Health and Environmental Control has determined that there are no existing LMWC or HMIWI units within its jurisdiction. The Forsyth County Environmental Affairs Department has determined that there are no existing LMWC, SMWC or OSWI units within its jurisdiction, Forsyth County, North Carolina. The Mecklenburg County Land Use and Environmental Services Agency has determined that there are no existing LMWC, SMWC or OSWI units within its jurisdiction, Mecklenburg County, North Carolina. The Western North Carolina Regional Air Quality Agency has determined that there are no existing LMWC, SMWC, HMIWI or OSWI units within its jurisdiction, Buncombe County, North Carolina. Pursuant to 40 CFR part 60, EPA is providing the public with notice of these negative declarations. Notice of these negative declarations will appear at 40 CFR part 62.</P>
        <HD SOURCE="HD1">III. Statutory and Executive Order Reviews</HD>
        <P>Under the CAA, the Administrator is required to approve a 111(d)/129 plan 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 111(d)/129 plan 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 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>
        
        <FP>In addition, this rule does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the 111(d)/129 plan 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.</FP>
        <P>The Congressional Review Act, 5 U.S.C. 801<E T="03">et seq.,</E>as added by the Small Business Regulatory Enforcement Fairness Act of 1996, generally provides that before a rule may take effect, the agency promulgating the rule must submit a rule report, which includes a copy of the rule, to each House of the Congress and to the Comptroller General of the United States. EPA will submit a report containing this action and other required information to the U.S. Senate, the U.S. House of Representatives, and the Comptroller General of the United States prior to publication of the rule in the<E T="04">Federal Register</E>. A major rule cannot take effect until 60 days after it is published in the<E T="04">Federal Register</E>. This action is not a “major rule” as defined by 5 U.S.C. 804(2).</P>

        <P>Under section 307(b)(1) of the CAA, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by June 24, 2011. Filing a petition for reconsideration by the Administrator of this final rule does not affect the finality of this action for the<PRTPAGE P="22824"/>purposes of judicial review nor does it extend the time within which a petition for judicial review may be filed, and shall not postpone the effectiveness of such rule or action. Parties with objections to this direct final rule are encouraged to file a comment in response to the parallel notice of proposed rulemaking for this action published in the proposed rules section of today's<E T="04">Federal Register</E>, rather than file an immediate petition for judicial review of this direct final rule, so that EPA can withdraw this direct final rule and address the comment in the proposed rulemaking. This action may not be challenged later in proceedings to enforce its requirements. (See section 307(b)(2)).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 62</HD>
          <P>Environmental protection, Administrative practice and procedure, Air pollution control, Intergovernmental relations, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: January 13, 2011.</DATED>
          <NAME>A. Stanley Meiburg,</NAME>
          <TITLE>Acting Regional Administrator, Region 4.</TITLE>
        </SIG>
        <P>40 CFR part 62 is amended as follows:</P>
        <REGTEXT PART="62" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 62—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 62 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart K—Florida</HD>
          </SUBPART>
          <AMDPAR>2. Add a new undesignated center heading to subpart K and a new § 62.2400 to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Other Solid Waste Incinerators (OSWI)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.2400</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letter from Florida Department of Environmental Protection submitted on January 18, 2007, certifying that there are no Other Solid Waste Incinerator units subject to 40 CFR part 60, subpart FFFF in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart S—Kentucky</HD>
          </SUBPART>
          <AMDPAR>3. Section 62.4370 is amended by designating the existing text as paragraph (a) and adding by paragraph (b) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 62.4370</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <STARS/>
            <P>(b) Letter from Louisville, Kentucky, Air Pollution Control District submitted on February 11, 2010, certifying that there are no Large Municipal Waste Combustor units subject to 40 CFR part 60, subpart Cb in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <AMDPAR>4. Section 62.4371 is amended by designating the existing text as paragraph (a) and by adding paragraph (b) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 62.4371</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <STARS/>
            <P>(b) Letter from Louisville, Kentucky, Air Pollution Control District submitted on February 11, 2010, certifying that there are no Small Municipal Waste Combustion units subject to 40 CFR part 60, subpart BBBB in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <AMDPAR>5. Add a new undesignated center heading to subpart S and a new § 62.4375 to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Other Solid Waste Incinerators (OSWI)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.4375</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letter from Louisville, Kentucky, Air Pollution Control District submitted on February 11, 2010, certifying that there are no Other Solid Waste Incinerator units subject to 40 CFR part 60, subpart FFFF in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart II—North Carolina</HD>
          </SUBPART>
          <AMDPAR>6. Section 62.8356 is amended by designating the existing text as paragraph (a) and by adding paragraph (b) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 62.8356</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <STARS/>
            <P>(b) Letter from Western North Carolina Regional Air Quality Agency submitted on October 5, 2007, certifying that there are no Hospital/Medical/Infectious Waste Incinerator units subject to 40 CFR part 60, subpart Ce in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <AMDPAR>7. Add a new undesignated center heading to subpart II and a new § 62.8357 to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Large Municipal Waste Combustors (LMWC)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.8357</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letters from Forsyth County Environmental Affairs Department, Mecklenburg County Land Use and Environmental Services Agency, and Western North Carolina Regional Air Quality Agency submitted on February 17, 2010, August 19, 2009, and October 5, 2007, respectively, certifying that there are no Large Municipal Waste Combustor units subject to 40 CFR part 60, subpart Cb in their respective jurisdictions.</P>
          </SECTION>
        </REGTEXT>
        
        <REGTEXT PART="62" TITLE="40">
          <AMDPAR>8. Add a new undesignated center heading to subpart II and a new § 62.8359 to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Small Municipal Waste Combustors (SMWC)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.8359</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letters from Forsyth County Environmental Affairs Department, Mecklenburg County Land Use and Environmental Services Agency, and Western North Carolina Regional Air Quality Agency submitted on February 17, 2010, January 22, 2003, and October 5, 2007, respectively, certifying that there are no Small Municipal Waste Combustor units subject to 40 CFR part 60, subpart BBBB in their respective jurisdictions.</P>
          </SECTION>
        </REGTEXT>
        
        <REGTEXT PART="62" TITLE="40">
          <AMDPAR>9. Add a new undesignated center heading to subpart II and a new § 62.8361 to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Other Solid Waste Incinerators (OSWI)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.8361</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letters from Forsyth County Environmental Affairs Department, Mecklenburg County Land Use and Environmental Services Agency, and Western North Carolina Regional Air Quality Agency submitted on February 17, 2010, August 19, 2009, and October 5, 2007, respectively, certifying that there are no Other Solid Waste Incinerator units subject to 40 CFR part 60, subpart FFFF in their respective jurisdictions.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="62" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart PP—South Carolina</HD>
          </SUBPART>
          <AMDPAR>10. Revise § 62.10150 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 62.10150</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letter from South Carolina Department of Health and Environmental Control submitted on July 8, 2010, certifying that there are no Large Municipal Waste Combustor units subject to 40 CFR part 60, subpart Cb in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        
        <REGTEXT PART="62" TITLE="40">

          <AMDPAR>11. Add a new undesignated center heading to subpart PP and a new § 62.10200 to read as follows:<PRTPAGE P="22825"/>
          </AMDPAR>
          <HD SOURCE="HD1">Air Emissions From Existing Hospital/Medical/Infectious Waste Incinerators (HMIWI)—Section 111(d)/129 Plan</HD>
          <SECTION>
            <SECTNO>§ 62.10200</SECTNO>
            <SUBJECT>Identification of plan—negative declaration.</SUBJECT>
            <P>Letter from South Carolina Department of Health and Environmental Control submitted on December 14, 2009, certifying that there are no Hospital/Medical/Infectious Waste Incinerator units subject to 40 CFR part 60, subpart Ce in its jurisdiction.</P>
          </SECTION>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9844 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Parts 98</CFR>
        <DEPDOC>[EPA-HQ-OAR-2009-0923; FRL-9299-1]</DEPDOC>
        <SUBJECT>Mandatory Reporting of Greenhouse Gases: Petroleum and Natural Gas Systems</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; Grant of reconsideration.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>On November 30, 2010 EPA promulgated Subpart W: Petroleum and Natural Gas Systems of the Greenhouse Gas Reporting Rule. As part of the provisions outlined in this rule, the EPA stated that the Agency would allow certain owners or operators to use best available monitoring methods (BAMM) in lieu of specified parameters outlined for calculating greenhouse gas emissions for the petroleum and natural gas systems source category of the greenhouse gas reporting rule. EPA is giving notice that the Agency has initiated the reconsideration process in response to requests for reconsideration of certain provisions in the regulations. First, EPA has been asked to reconsider the requirement to submit requests to use best available monitoring methods during the 2011 calendar year by April 30, 2011 and pursuant to its authority under CAA section 307(d)(7)(B) consequently is extending the deadline contained in those provisions until July 31, 2011. Second, EPA has also been asked to reconsider the time period during which owners and operators of certain specific sources could automatically use BAMM without having to request approval by the Administrator. As a result of this second request, pursuant to its authority under CAA section 307(d)(7)(B) EPA is also extending the date by which owners and operators of certain specific sources would not be required to request approval by the Administrator for the use of BAMM from June 30, 2011 until September 30, 2011.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective on April 30, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Carole Cook, Climate Change Division, Office of Atmospheric Programs (MC-6207J), Environmental Protection Agency, 1200 Pennsylvania Avenue, NW, Washington, DC 20460; telephone number (202) 343-9236; fax (202) 343-2342; e-mail address:<E T="03">GHGReportingRule@epa.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Background Information</HD>
        <P>The EPA published Subpart W: Petroleum and Natural Gas Systems of the Greenhouse Gas Reporting Rule on November 30, 2011, 40 CFR Part 98, Subpart W (75 FR 74458)(Subpart W). Included in the final rule were new provisions allowing owners or operators the option of using best available monitoring methods for specified parameters in 40 CFR 98.233. Subpart W provides that owners or operators wishing to use BAMM during 2011 for emissions sources listed in 40 CFR 98.234(f)(4)or 98.234(f)(5)(iv) must submit BAMM applications by April 30, 2011. In addition, subpart W provides that owners or operators with emissions sources listed in 40 CFR 98.234(f)(2) or 40 CFR 98.234(f)(3) have the option of using BAMM from January 1, 2011 to June 30, 2011 without submitting a request to the Administrator for approval to use BAMM; however to extend use of BAMM beyond June 30, 2011, those owners or operators must submit a request to the Administrator by April 30, 2011.</P>
        <P>Following the publication of Subpart W in the<E T="04">Federal Register</E>, several industry groups sought reconsideration of several provisions in the final rule, including the provisions requiring submittal of BAMM requests for use or extension of BAMM in calendar year 2011 by April 30, 2011, and the time period for which owners or operators of sources in 40 CFR 98.234(f)(2) or 40 CFR 98.234(f)(3) would not be required to submit a BAMM request to the Administrator for approval, i.e., January 1 through June 30, 2011.</P>
        <P>By letter dated January 31, 2011, the American Petroleum Institute (API) stated that “[a]ggressive deadlines for BAMM are problematic for reporters who are attempting to monitor GHG emissions for the first time. In particular, the April 30, 2011 deadline for BAMM requests does not provide reporters sufficient time to identify the sources for which BAMM should be requested and gather the data that EPA requires be submitted with a BAMM request.” API, along with the Gas Processors Association (GPA), Interstate Natural Gas Association of America (INGAA), Chesapeake Energy Corporation (CEC)/American Exploration &amp; Production Council (AXPC), stated that they would not be able to complete an initial assessment of their facilities to determine whether they would need BAMM by the deadline of April 30, 2011. Further, a subset of these petitioners further noted that the time period for which owners and operators were granted the optional use of BAMM without being required to submit a request to the Administrator for approval was insufficient for them to make the necessary assessment of their facilities to determine compliance with the rule.</P>
        <P>EPA believes that pursuant to CAA section 307(d)(7)(B) it is appropriate to extend the deadlines in 40 CFR 98.234(f)(5)(iii)(A), 98.234(f)(5)(iv)(A), 98.234(f)(6)(i), and 98.234(f)(7)(i) by three months, to allow owners and operators additional time to assess which of their facilities would need to take advantage of the BAMM provisions of Subpart W for calendar year 2011. EPA also believes that pursuant to CAA section 307(d)(7)(B) it is appropriate to extend the deadlines, by three months, by which owners and operators of emission sources listed in 40 CFR 98.234(f)(2) or 40 CFR 98.234(f)(3), would have the option to use BAMM without submitting a request for approval from the Administrator to allow additional time to asses applicability of the rule provisions to their facilities. EPA is taking no action at this time on other issues raised by petitioners in their respective Petitions for Reconsideration and reserves the right to further consider those issues at a later time.</P>

        <P>Pursuant to Clean Air Act (CAA) section 307(d)(7)(B), EPA is extending the deadlines in 40 CFR 98.234(f)(5)(iii)(A), 98.234(f)(5)(iv)(A), 98.234(f)(6)(i), and 98.234(f)(7)(i) for three months,<E T="03">i.e.,</E>until July 31, 2011.</P>
        <P>Further, pursuant to CAA section 307(d)(7)(B) EPA is also extending the deadlines contained in 40 CFR 98.234(f)(2), 40 CFR 98.234(f)(3), 40 CFR 98.234(f)(5)(i), 40 CFR 98.234(f)(5)(ii), 40 CFR 98.234(f)(6), 40 CFR 98.234(f)(6)(ii)(D), 40 CFR 98.234(f)(6)(iii), 40 CFR 98.234(f)(7), and 40 CFR 98.234(f)(7)(iii) for three months, i.e., until September 30, 2011.</P>

        <P>Section 553 of the Administrative Procedure Act, 5 U.S.C. 553(b)(B), provides that, when an agency for good<PRTPAGE P="22826"/>cause finds that notice and public procedure are impracticable, unnecessary or contrary to the public interest, the agency may issue a rule without providing notice and an opportunity for public comment. EPA has determined that there is good cause for making today's rule final without prior proposal and opportunity for comment. We are acting pursuant to CAA section 307(d)(7)(B) to extend these deadlines in part because both the affected universe of facilities subject to the rule and the substantive requirements associated with the BAMM provisions in the rule could change as a result of this reconsideration process. In addition, we are extending these provisions to allow owners and operators of affected facilities additional time to appropriately assess their facilities to determine if it will be necessary for them to apply for BAMM during calendar year 2011. Because we cannot predict the resulting outcome of the reconsideration process with respect to BAMM, we think a limited extension during the duration of the administrative reconsideration process is appropriate so that owners and operators of affected facilities would not incur additional costs associated with applying for BAMM in advance of our final decision on this issue. It would be impracticable to go through notice and comment rulemaking to extend an imminent deadline and it is also unnecessary because section 307(d)(7)(B) does not require notice and comment for a three-month extension pending reconsideration. Thus, notice and public procedure are impracticable and unnecessary. EPA finds that this constitutes good cause under 5 U.S.C. 553(b)(B).</P>
        <HD SOURCE="HD1">II. Statutory and Executive Order Reviews</HD>
        <HD SOURCE="HD2">A. General Requirements</HD>

        <P>This action is not a ”significant regulatory action,” under the terms of Executive Order 12866 (58 FR 51735, October 4, 1993) and, therefore, not subject to review under Executive Orders 12866 and 13563 (76 FR 3821, January 21, 2011). For this reason, this action is also not subject to Executive Order 13211, “Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use” (66 FR 28355, May 22, 2001). In addition, because the agency has made a “good cause” finding that this action is not subject to notice-and-comment requirements under the Administrative Procedure Act or any other statute (See Section I.<E T="03">Background Information</E>of this preamble) it is not subject to sections 202 and 205 of the Unfunded Mandates Reform Act of 1995 (UMRA) (Public Law 104-4). In addition, this action does not impose any enforceable duty or contain any unfunded mandates as described in the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4), or require prior consultation with State officials, as specified by Executive Order 12875 (58 FR 58093, October 28, 1993), or involve special consideration of environmental justice related issues, as required by Executive Order 12898 (59 FR 7629, February 16, 1994). Further, because the agency has made a “good cause” (See Section I.<E T="03">Background Information</E>of this preamble) finding that this action is not subject to notice-and-comment requirements under the Administrative Procedure Act or any other statute, it is not subject to the regulatory flexibility provisions of the Regulatory Flexibility Act (5 U.S.C. 601,<E T="03">et seq.</E>). This action also does not have Tribal implications because it will not have a substantial direct effect on one or more Indian Tribes, on the relationship between the Federal government and Indian Tribes, or on the distribution of power and responsibilities between the Federal government and Indian Tribes, as specified by Executive Order 13175 (65 FR 67249, November 9, 2000). This action also does not have Federalism implications because it does not have substantial direct effects 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, as specified in Executive Order 13132 (64 FR 43255, August 10, 1999). This action also is not subject to Executive Order 13045, “Protection of Children from Environmental Health Risks and Safety Risks” (62 FR 19885, April 23, 1997). The requirements of section 12(d) of the National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272 note) do not apply. This action does not impose an information collection burden under the provisions of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501,<E T="03">et seq.</E>). EPA's compliance with these statutes and Executive Orders for the underlying rule is discussed in the November 30, 2010<E T="04">Federal Register</E>document.</P>
        <HD SOURCE="HD2">B. Submission to Congress and the Comptroller General</HD>
        <P>The Congressional Review Act, 5 U.S.C. 801<E T="03">et seq.,</E>as added by the Small Business Regulatory Enforcement Fairness Act of 1996, generally provides that before a rule may take effect, the agency promulgating the rule must submit a rule report, which includes a copy of the rule, to each House of the Congress and to the Comptroller General of the United States. Section 808 allows the issuing agency to make a rule effective sooner than otherwise provided by the CRA if the agency makes a good cause finding that notice and public procedure is impracticable, unnecessary or contrary to the public interest. This determination must be supported by a brief statement. 5 U.S.C. 808(2). As stated previously, EPA has made such a good cause finding, including the reasons therefore, and established an effective date of April 30, 2011. EPA will submit a report containing this rule and other required information to the U.S. Senate, the U.S. House of Representatives, and the Comptroller General of the United States prior to publication of the rule in the Federal Register. This action is not a “major rule” as defined by 5 U.S.C. 804(2).</P>
        <HD SOURCE="HD1">III. How Can I Get Copies of This Document and Other Related Information?</HD>
        <P>This<E T="04">Federal Register</E>notice is available in the docket for the final rule titled “Mandatory Reporting of Greenhouse Gases: Petroleum and Natural Gas Systems,” published on November 30, 2010 at 98 FR 74458, under Docket ID No. EPA-HQ-OAR-2009-0923.</P>
        <P>All documents in the docket are listed on the<E T="03">http://www.regulations.gov</E>Web site. Although listed in the index, some information may not be publicly available, i.e., Confidential Business Information 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 through<E T="03">http://www.regulations.gov</E>or in hard copy at the EPA's Docket Center, Docket ID No. EPA-HQ-OAR-2009-0923, Public Reading Room, EPA West Building, Room 3334, 1301 Constitution Avenue, Northwest, Washington, DC 20004. This Docket Facility is open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number for the Public Reading Room is (202) 566-1744, and the telephone number for the Air Docket Center is (202) 566-1741.</P>

        <P>In addition to being available in the docket, an electronic copy of this<E T="04">Federal Register</E>notice is also available on the World Wide Web at<E T="03">http://www.epa.gov/climatechange/emissions/ghgrulemaking.html</E>.</P>
        <LSTSUB>
          <PRTPAGE P="22827"/>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 98</HD>
          <P>Environmental Protection, Administrative practice and procedures, Air pollution control, Monitoring, Reporting and recordkeeping.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>Lisa P. Jackson,</NAME>
          <TITLE>Administrator.</TITLE>
        </SIG>
        
        <P>For the reasons discussed in the preamble, the EPA amends 40 CFR parts 98 as follows:</P>
        <REGTEXT PART="98" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 98—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 98 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="98" TITLE="40">
          <AMDPAR>2. Section 98.234 is amended as follows:</AMDPAR>
          <AMDPAR>a. By revising paragraph (f)(2) introductory text.</AMDPAR>
          <AMDPAR>b. By revising paragraph (f)(3) introductory text.</AMDPAR>
          <AMDPAR>c. By revising paragraphs (f)(5)(i), (f)(5)(ii), (f)(5)(iii)(A), (f)(5)(iv)(A).</AMDPAR>
          <AMDPAR>d. By revising paragraphs (f)(6) introductory text, (f)(6)(i), (f)(6)(ii)(D), (f)(6)(iii).</AMDPAR>
          <AMDPAR>e. By revising paragraphs (f)(7) introductory text, (f)(7)(i), and (f)(7)(iii)</AMDPAR>
          <P>The revisions read as follows:</P>
          <SECTION>
            <SECTNO>§ 98.234</SECTNO>
            <SUBJECT>Monitoring and QA/QC Requirements.</SUBJECT>
            <STARS/>
            <P>(f) * * *</P>
            <P>(2)<E T="03">Best available monitoring methods for well-related emissions.</E>During January 1, 2011 through September 30, 2011, owners and operators may use best available monitoring methods for any well-related data that cannot reasonably be measured according to the monitoring and QA/QC requirements of this subpart, and only where required measurements cannot be duplicated due to technical limitations after September 30, 2011. These well-related sources are:</P>
            <STARS/>
            <P>(3)<E T="03">Best available monitoring methods for specified activity data.</E>During January 1, 2011 through September 30, 2011, owners or operators may use best available monitoring methods for activity data as listed below that cannot reasonably be obtained according to the monitoring and QA/QC requirements of this subpart, specifically for events that generate data that can be collected only between January 1, 2011 and September 30, 2011 and cannot be duplicated after September 30, 2011. These sources are:</P>
            <STARS/>
            <P>(5) * * *</P>
            <P>(i) No request or approval by the Administrator is necessary to use best available monitoring methods between January 1, 2011 and September 30, 2011 for the sources specified in paragraph (f)(2) of this section.</P>
            <P>(ii) No request or approval by the Administrator is necessary to use best available monitoring methods between January 1, 2011 and September 30, 2011 for sources specified in paragraph (f)(3) of this section.</P>
            <P>(iii) * * *</P>
            <P>(A)<E T="03">Timing of Request.</E>The request to use best available monitoring methods for paragraph (f)(4) of this section must be submitted to EPA no later than July 31, 2011.</P>
            <STARS/>
            <P>(iv) * * *</P>
            <P>(A)<E T="03">Timing of Request.</E>The request to use best available monitoring methods for sources not listed in paragraph (f)(2), (f)(3), and (f)(4) of this section must be submitted to EPA no later than July 31, 2011.</P>
            <STARS/>
            <P>(6)<E T="03">Requests for extension of the use of best available monitoring methods through December 31, 2011 for sources in paragraph (f)(2) of this section.</E>The owner or operator may submit a request to the Administrator to use one or more best available monitoring methods described in paragraph (f)(2) of this section beyond September 30, 2011.</P>
            <P>(i)<E T="03">Timing of Request.</E>The extension request must be submitted to EPA no later than July 31, 2011.</P>
            <STARS/>
            <P>(ii) * * *</P>
            <P>(D) If the reason for the extension is that the owner or operator cannot collect data from a service provider or relevant organization in order for the owner or operator to meet requirements of this subpart for the 2011 calendar year, the owner or operator must demonstrate a good faith effort that it is not possible to obtain the necessary information, service or hardware which may include providing correspondence from specific service providers or other relevant entities to the owner or operator, whereby the service provider states that it is unable to provide the necessary data or services requested by the owner or operator that would enable the owner or operator to comply with subpart W reporting requirements by September 30, 2011.</P>
            <STARS/>
            <P>(iii)<E T="03">Approval criteria.</E>To obtain approval, the owner or operator must demonstrate to the Administrator's satisfaction that it is not reasonably feasible to obtain the data necessary to meet the requirements of this subpart for the sources specified in paragraph (f)(2) of this section by September 30, 2011.</P>
            <P>(7)<E T="03">Requests for extension of the use of best available monitoring methods through December 31, 2011 for sources in paragraph (f)(3) of this section.</E>The owner or operator may submit a request to the Administrator to use one or more best available monitoring methods described in paragraph (f)(3) of this section beyond September 30, 2011.</P>
            <P>(i)<E T="03">Timing of request.</E>The extension request must be submitted to EPA no later than July 31, 2011.</P>
            <STARS/>
            <P>(iii)<E T="03">Approval criteria.</E>To obtain approval, the owner or operator must demonstrate to the Administrator's satisfaction that is not reasonably feasible to implement the data collection for the sources described in paragraph (f)(3) of this section for the methods required in this subpart by September 30, 2011.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-10026 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
  </RULES>
  <VOL>76</VOL>
  <NO>79</NO>
  <DATE>Monday, April 25, 2011</DATE>
  <UNITNAME>Proposed Rules</UNITNAME>
  <PRORULES>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="22828"/>
        <AGENCY TYPE="F">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2011-0384; Directorate Identifier 2010-NM-058-AD]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; The Boeing Company Model 737-700 Series Airplanes</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>We propose to adopt a new airworthiness directive (AD) for certain Model 737-700 series airplanes. This proposed AD would require, for certain airplanes, replacing the seat track pivot link assemblies, seat track sections, and floor panels. For certain airplanes, this proposed AD would also require moving certain rows of passenger seats. For certain other airplanes, this proposed AD would require inspecting certain areas of the seat tracks for damage and corrective actions if necessary, and moving certain rows of passenger seats. This proposed AD results from reports that the aft seat leg fittings span the station (STA) 521.45 stay-out zone. We are proposing this AD to prevent failure of the seat attachment structure and possible injury to passengers during an emergency landing.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>We must receive comments on this proposed AD by June 9, 2011.</P>
        </DATES>
        <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 proposed AD, contact Boeing Commercial Airplanes,<E T="03">Attention:</E>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>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 proposed AD, 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>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Patrick Gillespie, Aerospace Engineer, Cabin Safety and Environmental Systems Branch, ANM-150S, FAA, Seattle Aircraft Certification Office, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone 425-917-6429; fax 425-917-6590.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Comments Invited</HD>

        <P>We invite you to send any written relevant data, views, or arguments about this proposed AD. Send your comments to an address listed under the<E T="02">ADDRESSES</E>section. Include “Docket No. FAA-2011-0384; Directorate Identifier 2010-NM-058-AD” at the beginning of your comments. We specifically invite comments on the overall regulatory, economic, environmental, and energy aspects of this proposed AD. We will consider all comments received by the closing date and may amend this proposed 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 proposed AD.</P>
        <HD SOURCE="HD1">Discussion</HD>
        <P>We have received a report that the aft seat leg fittings span the station (STA) 521.45 stay-out zone. The STA 521.45 stay-out zone defines the flex area of the airplane while in flight and defines fatigue loading of the airplane structure. On some airplanes, the passenger seat leg shear plunger is installed across the seat track pivot joint at approximately STA 521. The existing passenger seat track and pivot link design was not intended to carry seat leg plunger point loads at this location. This condition, if not corrected, could result in failure of the seat attachment structure and possible injury to passengers during an emergency landing.</P>
        <HD SOURCE="HD1">Relevant Service Information</HD>
        <P>We have reviewed Boeing Special Attention Service Bulletins 737-25-1598, dated December 8, 2009; and 737-25-1599, dated January 20, 2010. Those special attention service bulletins describe procedures for doing a general visual inspection of the seat tracks in the area of STA 521.45 for damage, and corrective actions if necessary, and moving certain rows of seats. The corrective actions include modifying the seat tracks.</P>
        <P>We have also reviewed Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009, which describes procedures for:</P>
        <P>• Replacing floor panels with new floor panels between STA 500C and STA 540;</P>
        <P>• Replacing seat track pivot link assemblies with new assemblies; and</P>
        <P>• Replacing seat track sections between STA 500C + 9.25 and STA 520 with new seat track sections.</P>

        <P>We have reviewed Boeing Special Attention Service Bulletin 737-25-1596, dated November 20, 2008, which describes procedures for, among other things, moving certain airplane seats to the correct location on the seat tracks.<PRTPAGE P="22829"/>
        </P>
        <HD SOURCE="HD1">FAA's Determination and Requirements of This Proposed AD</HD>
        <P>We are proposing this AD because we evaluated all relevant information and determined the unsafe condition described previously is likely to exist or develop in other products of the same type design. This proposed AD would require accomplishing the actions specified in the service information described previously, except as discussed under “Difference Between the Proposed AD and a Service Bulletin.”</P>
        <HD SOURCE="HD1">Difference Between the Proposed AD and a Service Bulletin</HD>
        <P>Where Boeing Special Attention Service Bulletin 737-25-1596, dated November 20, 2008, specifies the accomplishment of Recaro Service Bulletin 4400-25DC052, this proposed AD would not require that action.</P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this proposed AD would affect 50 airplanes of U.S. registry. The following table provides the estimated costs for U.S. operators to comply with this proposed AD.</P>
        <GPOTABLE CDEF="s50,12,12,xs60,xs60,12,xs60" COLS="7" OPTS="L2,i1">
          <TTITLE>Table—Estimated Costs</TTITLE>
          <BOXHD>
            <CHED H="1">Boeing Service Bulletin</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.-registered airplanes</CHED>
            <CHED H="1">Fleet cost</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">737-53-1286</ENT>
            <ENT>96</ENT>
            <ENT>$85</ENT>
            <ENT>Up to $28,258</ENT>
            <ENT>Up to $36,418</ENT>
            <ENT>50</ENT>
            <ENT>Up to $1,820,900.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">737-25-1596</ENT>
            <ENT>4</ENT>
            <ENT>85</ENT>
            <ENT>None</ENT>
            <ENT>340</ENT>
            <ENT>12</ENT>
            <ENT>4,080.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">737-25-1598</ENT>
            <ENT>3</ENT>
            <ENT>85</ENT>
            <ENT>None</ENT>
            <ENT>255</ENT>
            <ENT>1</ENT>
            <ENT>255.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">737-25-1599</ENT>
            <ENT>3</ENT>
            <ENT>85</ENT>
            <ENT>None</ENT>
            <ENT>255</ENT>
            <ENT>14</ENT>
            <ENT>3,570.</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>We determined that this proposed AD would not have federalism implications under Executive Order 13132. This proposed AD 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.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify this proposed regulation:</E>
        </P>
        <P>1. Is not a “significant regulatory action” under Executive Order 12866,</P>
        <P>2. Is not a “significant rule” under the 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>You can find our regulatory evaluation and the estimated costs of compliance in the AD Docket.</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">The Proposed Amendment</HD>
        <P>Accordingly, under the authority delegated to me by the Administrator, the FAA proposes to amend 14 CFR part 39 as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          <P>1. The authority citation for part 39 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
            <P>2. The FAA amends § 39.13 by adding the following new AD:</P>
            
            <EXTRACT>
              <FP SOURCE="FP-2">
                <E T="04">The Boeing Company:</E>Docket No. FAA-2011-0384; Directorate Identifier 2010-NM-058-AD.</FP>
              <HD SOURCE="HD1">Comments Due Date</HD>
              <P>(a) We must receive comments by June 9, 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 737-700 series airplanes, certificated in any category; as identified in the service bulletins specified in paragraphs (c)(1), (c)(2), and (c)(3) of this AD.</P>
              <P>(1) Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009.</P>
              <P>(2) Boeing Special Attention Service Bulletin 737-25-1598, dated December 8, 2009.</P>
              <P>(3) Boeing Special Attention Service Bulletin 737-25-1599, dated January 20, 2010.</P>
              <HD SOURCE="HD1">Subject</HD>
              <P>(d) Air Transport Association (ATA) of America Code 25: Equipment/Furnishings.</P>
              <HD SOURCE="HD1">Unsafe Condition</HD>
              <P>(e) This AD results from reports that the aft seat leg fittings span the station (STA) 521.45 stay-out zone. The Federal Aviation Administration is issuing this AD to prevent failure of the seat attachment structure and possible injury to passengers during an emergency landing.</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">Modifying Seat Track Structure</HD>
              <P>(g) For airplanes identified in Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009: Within 72 months after the effective date of this AD, replace, with new components, certain floor panels, seat track pivot link assemblies, and seat track sections with new components, and modify certain seat tracks, in accordance with the Accomplishment Instructions of Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009.</P>
              <HD SOURCE="HD1">Moving Seat Rows After Modifying Seat Track Structure</HD>

              <P>(h) For airplanes identified in Boeing Special Attention Service Bulletin 737-25-1596, dated November 20, 2008: Move certain seat rows in accordance with the Accomplishment Instructions of Boeing Special Attention Service Bulletin 737-25-1596, dated November 20, 2008, at the applicable time required in paragraph (h)(1) or (h)(2) of this AD.<PRTPAGE P="22830"/>
              </P>
              <P>(1) For airplanes identified in Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009: After accomplishing the requirements of paragraph (g) of this AD but within 72 months after the effective date of this AD.</P>
              <P>(2) For airplanes not identified in Boeing Special Attention Service Bulletin 737-53-1286, Revision 1, dated December 14, 2009: Within 72 months after the effective date of this AD.</P>
              <HD SOURCE="HD1">Moving Seat Rows and General Visual Inspection of Seat Tracks</HD>
              <P>(i) For airplanes identified in Boeing Special Attention Service Bulletin 737-25-1598, dated December 8, 2009: Within 72 months after the effective date of this AD, do a general visual inspection of certain areas of the seat tracks for damage, all applicable corrective actions, and move certain seat rows, in accordance with the Accomplishment Instructions of Boeing Special Attention Service Bulletin 737-25-1598, dated December 8, 2009. Do all applicable corrective actions before further flight.</P>
              <P>(j) For airplanes identified in Boeing Special Attention Service Bulletin 737-25-1599, dated January 20, 2010: Within 72 months after the effective date of this AD, do a general visual inspection of certain areas of the seat tracks for damage, do all applicable corrective actions, and move certain seat rows, in accordance with the Accomplishment Instructions of Boeing Special Attention Service Bulletin 737-25-1599, dated January 20, 2010. Do all applicable corrective actions before further flight.</P>
              <HD SOURCE="HD1">Alternative Methods of Compliance (AMOCs)</HD>

              <P>(k)(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. 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. Information may be e-mailed to:<E T="03">9-ANM-Seattle-ACO-AMOC-Requests@faa.gov.</E>
              </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>(l) For more information about this AD, contact Patrick Gillespie, Aerospace Engineer, Cabin Safety and Environmental Systems Branch, ANM-150S, FAA, Seattle Aircraft Certification Office, 1601 Lind Avenue, SW., Renton, Washington 98057-3356; telephone 425-917-6429; fax 425-917-6590; e-mail<E T="03">patrick.gillespie@faa.gov.</E>
              </P>

              <P>(m) For service information identified in this AD, contact Boeing Commercial Airplanes,<E T="03">Attention:</E>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>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>
            </EXTRACT>
          </SECTION>
          <SIG>
            <DATED>Issued in Renton, Washington, on April 15, 2011.</DATED>
            <NAME>Ali Bahrami,</NAME>
            <TITLE>Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9894 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2010-0040; Directorate Identifier 2008-NM-203-AD]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; Sicma Aero Seat 88xx, 89xx, 90xx, 91xx, 92xx, 93xx, 95xx, and 96xx Series Passenger Seat Assemblies, Installed on Various Transport Category Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Supplemental notice of proposed rulemaking (NPRM); reopening of comment period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are revising an earlier NPRM for the products listed above. This action revises the earlier NPRM by expanding the scope. This proposed AD results from mandatory continuing airworthiness information (MCAI) originated 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>Cracks have been found on seats [with] backrest links P/N (part number) 90-000200-104-1 and 90-000200-104-2. These cracks can significantly affect the structural integrity of seat backrests.</P>
          </EXTRACT>
          
        </SUM>
        <FP>Failure of the backrest links could result in injury to an occupant during emergency landing conditions. The proposed AD would require actions that are intended to address the unsafe condition described in the MCAI.</FP>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>We must receive comments on this proposed AD by June 9, 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 W12-40, 1200 New Jersey Avenue, SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>

          <P>For service information identified in this proposed AD, contact Sicma Aero Seat, 7, Rue Lucien Coupet, 36100 ISSOUDUN, France; telephone 33 (0) 2 54 03 39 39; fax 33 (0) 2 54 03 39 00; e-mail:<E T="03">customerservices@sicma.zodiac.com;</E>Internet<E T="03">http://www.sicma.zodiac.com/en/</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 Operations office between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this proposed AD, the regulatory evaluation, any comments received, and other information. The street address for the Docket Operations 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>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Jeffrey Lee, Aerospace Engineer, Boston Aircraft Certification Office, FAA, Engine &amp; Propeller Directorate, 12 New England Executive Park, Burlington, Massachusetts 01803; telephone (781) 238-7161; fax (781) 238-7170.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Comments Invited</HD>

        <P>We invite you to send any written relevant data, views, or arguments about this proposed AD. Send your comments to an address listed under the<E T="02">ADDRESSES</E>section. Include “Docket No. FAA-2010-0040; Directorate Identifier 2008-NM-203-AD” at the beginning of your comments. We specifically invite comments on the overall regulatory, economic, environmental, and energy aspects of this proposed AD. We will consider all comments received by the closing date and may amend this proposed AD based on those comments.</P>
        <P>We will post all comments we receive, without change, to<E T="03">http://<PRTPAGE P="22831"/>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 proposed AD.</P>
        <HD SOURCE="HD1">Discussion</HD>

        <P>We proposed to amend 14 CFR part 39 with an earlier NPRM for the specified products, which was published in the<E T="04">Federal Register</E>on January 19, 2010 (75 FR 2826). That earlier NPRM proposed to require actions intended to address the unsafe condition for the products specified above.</P>
        <P>Since that NPRM was issued, we have determined that the series 91C3 seat was not included in that NPRM because it was originally included in the wrong service bulletin. Sicma Aero Seat issued revised service information that includes that seat model with the other seat models affected by that NPRM, as discussed in the comment responses that follow. You may obtain further information by examining the MCAI in the AD docket.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We have considered the following comments received on the earlier NPRM.</P>
        <HD SOURCE="HD1">Request To Revise Service Bulletin Reference</HD>
        <P>Boeing requested that we update all references to Sicma Aero Seat Service Bulletin 90-25-013, Issue 3, dated December 19, 2001, to Issue 4, dated March 19, 2004, including Annex 1, Issue 2, dated March 19, 2004. The commenter justified the request by stating that seat model 91C3 (installed on Boeing Model 737 airplanes) was inadvertently excluded in Issue 3 of that service bulletin, and that Issue 4 of that service bulletin corrects the applicability to those seats installed that are affected. The commenter also requested that we revise the “Relevant Service Information” section of the NPRM to refer to Issue 4 of that service bulletin.</P>
        <P>We agree to update the service information in the supplemental NPRM for the reason given. We have revised paragraphs (c), (f)(1) through (f)(3), (f)(5), and (h) of this supplemental NPRM to refer to Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004, including Annex 1, Issue 2, dated March 19, 2004. We also have added new paragraph (f)(6) to this supplemental NPRM to give credit for actions done according to Issue 3 of that service bulletin. We also have removed the specific reference to series 91C3 seats, in paragraph (c) of this supplemental NPRM, from the list of those series to which this supplemental NPRM does not apply, because this AD, as now proposed, does apply to series 91C3 seats. We have not changed the “Relevant Service Information” section of the NPRM because that section does not appear in this supplemental NPRM.</P>
        <HD SOURCE="HD1">Request To Remove Boeing Model 777 Airplanes From Applicability Table 1</HD>
        <P>Boeing requested that we revise table 1 of the NPRM to remove Model 777 airplanes, because those airplanes, due to their certification, do not have the affected seat series installed.</P>
        <P>We agree to revise table 1 of the supplemental NPRM, for the reason given.</P>
        <HD SOURCE="HD1">Request To Identify Affected Seats by Main Component Number</HD>
        <P>Vallejo Investments, Inc. requested that we specify the affected seats by their main component part number rather than the part number of the subassembly. The commenter stated that it could better participate in the rule-making process with this information.</P>
        <P>We do not agree to provide the main component part numbers for the affected seats, because the seat assembly part numbers as listed are consistent with the Technical Standard Order (TSO) part number labels attached to each seat. We have not changed the supplemental NPRM in this regard.</P>
        <HD SOURCE="HD1">Explanation of Changes Made to This Proposed AD</HD>
        <P>We have revised this supplemental NPRM 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">FAA's Determination and Requirements of This Proposed AD</HD>
        <P>This product has been approved by the aviation authority of another country, and is approved for operation in the United States. Pursuant to our bilateral agreement with the State of Design Authority, we have been notified of the unsafe condition described in the MCAI and service information referenced above. We are proposing this AD because we evaluated all pertinent information and determined an unsafe condition exists and is likely to exist or develop on other products of the same type design.</P>
        <P>Certain changes described above expand the scope of the earlier NPRM. As a result, we have determined that it is necessary to reopen the comment period to provide additional opportunity for the public to comment on this proposed 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 proposed different actions in this AD from those in the MCAI in order to follow FAA policies. Any such differences are highlighted in a NOTE within the proposed AD.</P>
        <HD SOURCE="HD1">Explanation of Change 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>Based on the service information, we estimate that this proposed AD would affect about 611 seats on 4 products of U.S. registry. We also estimate that it would take about 1 work-hour per product to comply with the basic requirements of this proposed AD. The average labor rate is $85 per work-hour. Required parts would cost about $0 per product. Where the service information lists required parts costs that are covered under warranty, we have assumed that there will be no charge for these costs. As we do not control warranty coverage for affected parties, some parties may incur costs higher than estimated here. Based on these figures, we estimate the cost of the proposed AD on U.S. operators to be $51,935, or $85 per seat.</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<PRTPAGE P="22832"/>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 proposed AD would not have federalism implications under Executive Order 13132. This proposed AD 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.</P>
        <P>For the reasons discussed above, I certify this proposed regulation:</P>
        <P>1. Is not a “significant regulatory action” under Executive Order 12866;</P>
        <P>2. Is not a “significant rule” under the 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 proposed AD and placed it in the AD docket.</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">The Proposed Amendment</HD>
        <P>Accordingly, under the authority delegated to me by the Administrator, the FAA proposes to amend 14 CFR part 39 as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          <P>1. The authority citation for part 39 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
            <P>2. The FAA amends § 39.13 by adding the following new AD:</P>
            
            <EXTRACT>
              <FP SOURCE="FP-2">
                <E T="04">SICMA Aero Seat:</E>Docket No. FAA-2010-0040; Directorate Identifier 2008-NM-203-AD.</FP>
              <HD SOURCE="HD1">Comments Due Date</HD>
              <P>(a) We must receive comments by June 9, 2011.</P>
              <HD SOURCE="HD1">Affected ADs</HD>
              <P>(b) None.</P>
              <HD SOURCE="HD1">Applicability</HD>
              <P>(c) This AD applies to Sicma Aero Seat 88xx, 89xx, 90xx, 91xx, 92xx, 93xx, 95xx, and 96xx series passenger seat assemblies identified in Annex 1, Issue 2, dated March 19, 2004, of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004, that have backrest links having part numbers (P/Ns) 90-000200-104-1 and 90-000200-104-2; and that are installed on, but not limited to, the airplanes identified in table 1 of this AD, certificated in any category. This AD does not apply to Sicma Aero Seat series 9140, 9166, 9173, 9174, 9184, 9188, 9196, 91B7, 91B8, 91C0, 91C2, 91C4, 91C5, 9301, and 9501 passenger seat assemblies.</P>
              <GPOTABLE CDEF="s75,r150" COLS="2" OPTS="L2,i1">
                <TTITLE>Table 1-Certain Affected Airplane Models</TTITLE>
                <BOXHD>
                  <CHED H="1">Manufacturer</CHED>
                  <CHED H="1">Model</CHED>
                </BOXHD>
                <ROW>
                  <ENT I="01">Airbus</ENT>
                  <ENT>A300 Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Airbus</ENT>
                  <ENT>A310, A318, A319, A320, A321, A330-200 and A330-300 Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">ATR-GIE Avions de Transport Régional</ENT>
                  <ENT>ATR42-200, -300, -320, and -500 Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">ATR-GIE Avions de Transport Régional</ENT>
                  <ENT>ATR72-101, -201, -102, -202, -211, -212, and -212A Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>727, 727C, 727-100, 727-100C, 727-200, and 727-200F Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>737-100, -200, -200C, -300, -400, -500, -600, -700, -700C, -800, -900, and -900ER Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>747-100, 747-100B, 747-100B SUD, 747-200B, 747-200C, 747-200F, 747-300, 747-400, 747-400D, 747-400F, 747SR, and 747SP Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>757-200, -200PF, -200CB, and -300 Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>767-200, -300, -300F, and -400ER Series Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>CL-600-1A11 (CL-600), CL-600-2A12 (CL-601), and CL-600-2B16 (CL-601-3A, CL-601-3R, and CL-604) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>CL-600-2B19 (Regional Jet Series 100 and 440) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>CL-600-2C10 (Regional Jet Series 700, 701, and 702) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>CL-600-2D15 (Regional Jet Series 705) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>CL-600-2D24 (Regional Jet Series 900) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Bombardier, Inc</ENT>
                  <ENT>DHC-8-100, DHC-8-200, DHC-8-300, and DHC-8-400 Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Fokker Services B.V</ENT>
                  <ENT>F.27 Mark 050, 100, 200, 300, 400, 500, 600, and 700 Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Fokker Services B.V</ENT>
                  <ENT>F.28 Mark 0070, 0100, 1000, 2000, 3000, and 4000 Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>DC-8-11, DC-8-12, DC-8-21, DC-8-31, DC-8-32, DC-8-33, DC-8-41, DC-8-42, DC-8-43, DC-8-51, DC-8-52, DC-8-53, DC-8-55, DC-8F-54, DC-8F-55, DC-8-61, DC-8-62, DC-8-63, DC-8-61F, DC-8-62F, DC-8-63F, DC-8-71, DC-8-72, DC-8-73, DC-8-71F, DC-8-72F, and DC-8-73F Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>DC-9-11, DC-9-12, DC-9-13, DC-9-14, DC-9-15, DC-9-15F, DC-9-21, DC-9-31, DC-9-32, DC-9-32 (VC-9C), DC-9-32F, DC-9-33F, DC-9-34, DC-9-34F, DC-9-32F (C-9A, C-9B), DC-9-41, DC-9-51, DC-9-81 (MD-81), DC-9-82 (MD-82), DC-9-83 (MD-83), and DC-9-87 (MD-87) Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>DC-10-10, DC-10-10F, DC-10-15, DC-10-30, DC-10-30F (KC-10A and KDC-10), DC-10-40, and DC-10-40F Airplanes.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The Boeing Company</ENT>
                  <ENT>MD-11 and MD-11F Airplanes.</ENT>
                </ROW>
              </GPOTABLE>
              <NOTE>
                <HD SOURCE="HED">Note 1:</HD>
                <P>This AD applies to Sicma Aero Seat passenger seat assemblies as installed on any airplane, regardless of whether the airplane has been otherwise modified, altered, or repaired in the area subject to the requirements of this AD. For airplanes that have been modified, altered, or repaired so that the performance of the requirements of this AD is affected, the owner/operator must request approval for an alternative method of compliance according to paragraph (g)(1) of this AD. The request should include an assessment of the effect of the modification, alteration, or repair on the unsafe condition addressed by this AD; and, if the unsafe condition has not been eliminated, the request should include specific proposed actions to address it.</P>
              </NOTE>
              <PRTPAGE P="22833"/>
              <HD SOURCE="HD1">Subject</HD>
              <P>(d) Air Transport Association (ATA) of America Code 25: Equipment/Furnishings.</P>
              <HD SOURCE="HD1">Reason</HD>
              <P>(e) The mandatory continuing airworthiness information (MCAI) states:</P>
              
              <P>Cracks have been found on seats [with] backrest links P/N (part number) 90-000200-104-1 and 90-000200-104-2. These cracks can significantly affect the structural integrity of seat backrests.</P>
              
              <FP>Failure of the backrest links could result in injury to an occupant during emergency landing conditions. The required actions include a general visual inspection for cracking of the backrest links; replacement with new, improved links if cracking is found; and eventual replacement of all links with new, improved links.</FP>
              <HD SOURCE="HD1">Actions and Compliance</HD>
              <P>(f) Unless already done, do the following actions.</P>
              <P>(1) At the later of the compliance times specified in paragraphs (f)(1)(i) and (f)(1)(ii) of this AD, do a general visual inspection of the backrest links having P/Ns 90-000200-104-1 and 90-000200-104-2, in accordance with Part One of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004:</P>
              <P>(i) Before 6,000 flight hours on the backrest link since new.</P>
              <P>(ii) Within 900 flight hours or 5 months after the effective date of this AD, whichever occurs later.</P>
              <P>(2) If, during the inspection required by paragraph (f)(1) of this AD, cracking is found between the side of the backrest link and the lock-out pin hole but the cracking does not pass this lock-out pin hole (refer to Figure 2 of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004): Within 600 flight hours or 3 months after doing the inspection, whichever occurs first, replace both backrest links of the affected seat with new, improved backrest links having P/Ns 90-100200-104-1 and 90-100200-104-2, in accordance with Part Two of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004.</P>
              <P>(3) If, during the inspection required by paragraph (f)(1) of this AD, cracking is found that passes beyond the lock-out pin hole (refer to Figure 2 of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004): Before further flight, replace both backrest links of the affected seat with new, improved backrest links having P/Ns 90-100200-104-1 and 90-100200-104-2, in accordance with Part Two of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004.</P>
              <P>(4) If no cracking is found during the inspection required by paragraph (f)(1) of this AD: Do the replacement required by paragraph (f)(5) of this AD at the compliance time specified in paragraph (f)(5) of this AD.</P>
              <P>(5) At the later of the compliance times specified in paragraphs (f)(5)(i) and (f)(5)(ii) of this AD, replace the links, P/Ns 90-000200-104-1 and 90-000200-104-2, with new improved links, P/Ns 90-100200-104-1 and 90-100200-104-2, in accordance with Part Two of Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004. Doing this replacement for an affected passenger seat assembly terminates the inspection requirements of paragraph (f)(1) of this AD for that passenger seat assembly.</P>
              <P>(i) Before 12,000 flight hours on the backrest links, P/Ns 90-000200-104-1 and 90-000200-104-2, since new.</P>
              <P>(ii) Within 900 flight hours or 5 months after the effective date of this AD, whichever occurs later.</P>
              <HD SOURCE="HD1">Credit for Actions Done in Accordance With Previous Service Information</HD>
              <P>(6) Actions done before the effective date of this AD in accordance with Sicma Aero Seat Service Bulletin 90-25-013, Issue 3, dated December 19, 2001, including Annex 1, Issue 2, dated March 19, 2004, are acceptable for compliance with the corresponding actions of this AD.</P>
              <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: The MCAI specifies doing repetitive inspections for cracking of links having over 12,000 flight hours since new until the replacement of the link is done. This AD does not include those repetitive inspections because we have reduced the compliance time for replacing those links. This AD requires replacing the link before 12,000 flight hours since new or within 900 flight hours or 5 months of the effective date of this AD, whichever occurs later.</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, Boston Aircraft Certification Office, 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 ACO, send it to ATTN: Jeffrey Lee, Aerospace Engineer, Boston Aircraft Certification Office, FAA, Engine &amp; Propeller Directorate, 12 New England Executive Park, Burlington, Massachusetts 01803; telephone (781) 238-7161; fax (781) 238-7170. 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. 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>
              <HD SOURCE="HD1">Related Information</HD>
              <P>(h) Refer to MCAI French Airworthiness Directive 2001-613(AB), dated December 12, 2001; and Sicma Aero Seat Service Bulletin 90-25-013, Issue 4, dated March 19, 2004, including Annex 1, Issue 2, dated March 19, 2004; for related information.</P>
            </EXTRACT>
          </SECTION>
          <SIG>
            <DATED>Issued in Renton, Washington, on April 18, 2011.</DATED>
            <NAME>Kalene C. Yanamura,</NAME>
            <TITLE>Acting Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9942 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">COMMODITY FUTURES TRADING COMMISSION</AGENCY>
        <CFR>17 CFR Part 46</CFR>
        <DEPDOC>[3038-AD48]</DEPDOC>
        <SUBJECT>Swap Data Recordkeeping and Reporting Requirements: Pre-Enactment and Transition Swaps</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Commodity Futures Trading Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rulemaking.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Commodity Futures Trading Commission (“Commission” or “CFTC”) is proposing rules to implement new statutory provisions introduced by Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act (“Dodd-Frank Act”). The Dodd-Frank Act amends the Commodity Exchange Act (“CEA” or “Act”) directing that rules adopted by the Commission shall provide for the reporting of data relating to swaps entered into before the date of enactment of the Dodd-Frank Act, the terms of which have not expired as of the date of enactment of that Act (“pre-enactment swaps”) and data relating to swaps entered into on or after the date of enactment of the Dodd-Frank Act and prior to the compliance date specified in the Commission's final swap data reporting rules (“transition swaps”). This proposal would establish recordkeeping and reporting requirements for pre-enactment swaps and transition swaps.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received by June 9, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by RIN number 3038-AD48, by any of the following methods:</P>
          <P>•<E T="03">Agency Web site, via its Comments Online process: http://comments.cftc.gov.</E>Follow the instructions for submitting comments through the Web site.</P>
          <P>•<E T="03">Mail:</E>David A. Stawick, Secretary of the Commission, Commodity Futures Trading Commission, Three Lafayette Centre, 1155 21st Street NW., Washington, DC 20581.</P>
          <P>•<E T="03">Hand Delivery/Courier:</E>Same as mail above.<PRTPAGE P="22834"/>
          </P>
          <P>•<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>

          <P>All comments must be submitted in English, or must be accompanied by an English translation. Comments will be posted as received to<E T="03">http://www.cftc.gov.</E>You should submit only information that you wish to make available publicly. If you wish the Commission to consider information that may be exempt from disclosure under the Freedom of Information Act, you may submit a petition for confidential treatment according to the procedures established in CFTC Regulation 145.9.<SU>1</SU>

            <FTREF/>The Commission reserves the right, but shall have no obligation, to review, pre-screen, filter, redact, refuse or remove any or all of your submission from<E T="03">http://www.cftc.gov</E>that it may deem to be inappropriate for publication, such as obscene language. All submissions that have been redacted or removed that contain comments on the merits of the rulemaking will be retained in the public comment file and will be considered as required under the Administrative Procedure Act and other applicable laws, and may be accessible under the Freedom of Information Act.</P>
          <FTNT>
            <P>
              <SU>1</SU>Commission regulations referred to herein are found at 17 CFR Ch. 1.</P>
          </FTNT>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>David Taylor, Branch Chief, Market Continuity, Division of Market Oversight, 202-418-5488,<E T="03">dtaylor@cftc.gov;</E>or Irina Leonova, Financial Economist, Division of Market Oversight, 202-418-5646,<E T="03">ileonova@cftc.gov;</E>Commodity Futures Trading Commission, Three Lafayette Centre, 1155 21st Street, NW., Washington, DC 20581.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Commission is proposing rules under its part 46 regulations relating to recordkeeping and reporting requirements applicable to both pre-enactment and transition swaps, and is soliciting comment on all aspects of the proposed rules. These rules, when adopted, will supersede interim final rules previously adopted by the Commission in part 44 of its regulations.</P>
        <HD SOURCE="HD1">Table of Contents</HD>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. Background</FP>
          <FP SOURCE="FP1-2">A. Swap Data Provisions of the Dodd-Frank Act</FP>
          <FP SOURCE="FP1-2">B. The Commission's Proposed Rule on Swap Data Recordkeeping and Reporting Requirements</FP>
          <FP SOURCE="FP1-2">C. The Interim Final Rules for Pre-Enactment and Transition Swaps</FP>
          <FP SOURCE="FP-2">II. Proposed New Regulations, Part 46</FP>
          <FP SOURCE="FP-2">III. Related Matters</FP>
          <FP SOURCE="FP1-2">A. Regulatory Flexibility Act</FP>
          <FP SOURCE="FP1-2">B. Paperwork Reduction Act</FP>
          <FP SOURCE="FP1-2">C. Cost-Benefit Analysis</FP>
          <FP SOURCE="FP-2">IV. Proposed Compliance Date</FP>
          <FP SOURCE="FP-2">V. General Solicitation of Comments</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. Background</HD>
        <HD SOURCE="HD2">A. Swap Data Provisions of the Dodd-Frank Act</HD>
        <P>On July 21, 2010, President Obama signed into law the Dodd-Frank Act.<SU>2</SU>
          <FTREF/>Title VII of the Dodd-Frank Act<SU>3</SU>
          <FTREF/>amended the CEA<SU>4</SU>
          <FTREF/>to establish a comprehensive new regulatory framework for swaps and security-based swaps. The legislation was enacted to reduce risk, increase transparency, and promote market integrity within the financial system by, among other things: (1) Providing for the registration and comprehensive regulation of swap dealers and major swap participants; (2) imposing clearing and trade execution requirements on standardized derivatives products; (3) creating robust recordkeeping and real-time reporting regimes; and (4) enhancing the Commission's rulemaking and enforcement authorities with respect to, among others, all registered entities and intermediaries subject to the Commission's oversight.</P>
        <FTNT>
          <P>

            <SU>2</SU>Dodd-Frank Wall Street Reform and Consumer Protection Act, Public Law 111-203, 124 Stat. 1376 (2010). The text of the Dodd-Frank Act may be accessed at<E T="03">http://www.cftc.gov/LawRegulation/OTCDERIVATIVES/index.htm.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>Pursuant to Section 701 of the Dodd-Frank Act, Title VII may be cited as the “Wall Street Transparency and Accountability Act of 2010.”</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>7 U.S.C. 1<E T="03">et seq.</E>
          </P>
        </FTNT>
        <P>To enhance transparency, promote standardization, and reduce systemic risk, Section 728 of the Dodd-Frank Act establishes a newly-created registered entity—the swap data repository (“SDR”)<SU>5</SU>
          <FTREF/>—to collect and maintain data related to swap transactions as prescribed by the Commission, and to make such data electronically available to regulators.<SU>6</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>5</SU>
            <E T="03">See also</E>CEA § 1a(40)(E).</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>6</SU>Regulations governing core principles and registration requirements for, and the duties of, SDRs are the subject of a separate notice of proposed rulemaking under part 49 of the Commission's regulations.<E T="03">See</E>CFTC Swap Data Repositories: Proposed Rule, 75 FR 80898 (Dec. 23, 2010).</P>
        </FTNT>
        <P>Section 728 directs the Commission to prescribe standards for swap data recordkeeping and reporting. Specifically, Section 728 provides that:</P>
        
        <EXTRACT>
          <P>The Commission shall prescribe standards that specify the data elements for each swap that shall be collected and maintained by each registered swap data repository.<SU>7</SU>
            <FTREF/>
          </P>
        </EXTRACT>
        <FTNT>
          <P>
            <SU>7</SU>CEA § 21(b)(1)(A).</P>
        </FTNT>
        
        <FP>These standards are to apply to both registered entities and counterparties involved with swaps:</FP>
        
        <EXTRACT>
          <P>In carrying out [the duty to prescribe data element standards], the Commission shall prescribe consistent data element standards applicable to registered entities and reporting counterparties.<SU>8</SU>
            <FTREF/>
          </P>
        </EXTRACT>
        
        <FTNT>
          <P>
            <SU>8</SU>CEA § 21(b)(1)(B).</P>
        </FTNT>
        
        <P>Section 727 of the Dodd-Frank Act requires that each swap, either cleared or uncleared, shall be reported to a registered SDR. That Section also amends Section 1(a) of the CEA to add the definition of swap data repository:</P>
        
        <EXTRACT>
          <P>The term `swap data repository' means any person that collects and maintains information or records with respect to transactions or positions in, or the terms and conditions of, swaps entered into by third parties for the purpose of providing a centralized recordkeeping facility for swaps.<SU>9</SU>
            <FTREF/>
          </P>
        </EXTRACT>
        <FTNT>
          <P>
            <SU>9</SU>CEA § 1a(48).</P>
        </FTNT>
        
        <P>Section 728 also directs the Commission to regulate data collection and maintenance by SDRs.</P>
        
        <EXTRACT>
          <P>The Commission shall prescribe data collection and data maintenance standards for swap data repositories.<SU>10</SU>
            <FTREF/>
          </P>
        </EXTRACT>
        <FTNT>
          <P>
            <SU>10</SU>CEA § 21(b)(2).</P>
        </FTNT>
        
        <P>Section 729 of the Dodd-Frank Act added to the CEA new Section 4r, which addresses reporting and recordkeeping requirements for uncleared swaps. Pursuant to this section, each swap not accepted for clearing by any derivatives clearing organization (“DCO”) must be reported to an SDR (or to the Commission if no SDR will accept the swap).</P>
        <P>Section 729 ensures that at least one counterparty to a swap has an obligation to report data concerning that swap. The determination of this reporting counterparty depends on the status of the counterparties involved. If only one counterparty is a swap dealer (“SD”), the SD is required to report the swap. If one counterparty is a major swap participant (“MSP”), and the other counterparty is neither an SD nor an MSP (“non-SD/MSP counterparty”), the MSP must report. Where the counterparties have the same status—two SDs, two MSPs, or two non-SD/MSP counterparties—the counterparties must select a counterparty to report the swap.<SU>11</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>11</SU>
            <E T="03">See</E>CEA § 4r(a)(3).</P>
        </FTNT>

        <P>Section 729 also provides for reporting to the Commission of uncleared swaps that are not accepted by any SDR. Under this provision, counterparties to such swaps must maintain books and records pertaining to their swaps in the manner and for the time required by the Commission, and must make these books and records available for inspection by the Commission or other specified<PRTPAGE P="22835"/>regulators if requested to do so.<SU>12</SU>
          <FTREF/>It also requires counterparties to such swaps to provide reports concerning such swaps to the Commission upon its request, in the form and manner specified by the Commission.<SU>13</SU>
          <FTREF/>Such reports must be as comprehensive as the data required to be collected by SDRs.<SU>14</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>12</SU>CEA § 4r(c)(2) requires individuals or entities that enter into an uncleared swap transaction that is not accepted by an SDR to make required books and records open to inspection by any representative of the Commission; an appropriate prudential regulator; the Securities and Exchange Commission; the Financial Stability Oversight Council; and the Department of Justice.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>13</SU>CEA § 4r(c).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>14</SU>CEA § 4r(d).</P>
        </FTNT>
        <P>Section 729 establishes in new CEA Section 4r(a)(2)(A) a transitional rule applicable to pre-enactment swaps. Section 4r(a)(2)(A) provides for the reporting of pre-enactment swaps the terms of which have not expired as of the enactment of the Dodd-Frank Act to an SDR or the Commission, by a date that the Commission determines to be appropriate.<SU>15</SU>
          <FTREF/>Section 4r(a)(2)(B) directed the Commission to promulgate an interim final rule within 90 days of the date of enactment of the Dodd-Frank Act providing for the reporting of such pre-enactment swaps.<SU>16</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>15</SU>Subsection (A) of CEA Section 4r(a)(2) provides that “Each swap entered into before the date of enactment of the Wall Street Transparency and Accountability Act of 2010, the terms of which have not expired as of the date of enactment of that Act, shall be reported to a registered swap data repository or the Commission by a date that is not later than—(i) 30 days after issuance of the interim final rule; or (ii) such other period as the Commission determines to be appropriate.”</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>16</SU>Pursuant to Section 4r(a)(2)(B), the Commission on October 14, 2010 published in part 44 of its regulations an interim final rule instructing specified counterparties to pre-enactment swaps to report data to a registered SDR or to the Commission by a compliance date to be established in reporting rules to be promulgated under Section 2(h)(5)(A) of the CEA and advising counterparties of the necessity, inherent in the reporting requirement, to retain information pertaining to the terms of such swaps until reporting can be effectuated under permanent rules.<E T="03">See</E>Pre-Enactment Swaps IFR,<E T="03">supra,</E>note 17.</P>
        </FTNT>
        <P>Section 723 of the Dodd-Frank Act, which adds to the CEA new Section 2(h)(5), addresses the reporting of swap data for both swaps executed before the enactment of the Dodd-Frank Act<SU>17</SU>
          <FTREF/>and swaps executed on or after the date of that enactment but before the compliance date specified in the Commission's final swap data recordkeeping and reporting rules.<SU>18</SU>
          <FTREF/>In a July 15, 2010 floor statement concerning swap data reporting as well as other aspects of the Dodd-Frank Act, Senator Blanche Lincoln emphasized that the provisions of new CEA Section 4r (added by Section 729 of the Dodd-Frank Act) and new CEA Section 2(h)(5) (added by Section 723 of the Dodd-Frank Act) “should be interpreted as complementary to one another to assure consistency between them. This is particularly true with respect to issues such as the effective dates of these reporting requirements  * * *”<SU>19</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>17</SU>
            <E T="03">See</E>CFTC Interim Final Rule for Reporting Pre-Enactment Swap Transactions (“Pre-Enactment Swaps IFR”), 75 FR 63080 (Oct. 14, 2010).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>18</SU>
            <E T="03">See</E>CFTC Interim Final Rule for Reporting Post-Enactment Swap Transactions (“Post-Enactment Swaps IFR” or “Transition Swaps IFR”), 75 FR 78892 (Dec. 17, 2010).</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>19</SU>Senator Blanche Lincoln, “Wall Street Transparency and Accountability Act,” Co<E T="03">ngressional Record,</E>July 15, 2010, at S5923.</P>
        </FTNT>
        <P>This proposed rule refers to the two types of swaps addressed in CEA Section 2(h)(5) as follows. “Pre-enactment swap” means a swap executed before date of enactment of the Dodd-Frank Act (i.e., before July 21, 2010) the terms of which have not expired as of the date of enactment of that Act.<SU>20</SU>
          <FTREF/>“Transition swap” means a swap executed on or after the date of enactment of the Dodd-Frank Act (i.e., July 21, 2010) and before the compliance date specified in the final swap data reporting and recordkeeping requirements regulations in part 45 of this chapter.<SU>21</SU>
          <FTREF/>Collectively, the proposed rule refers to pre-enactment swaps and transition swaps as “historical swaps.”</P>
        <FTNT>
          <P>
            <SU>20</SU>Subsection (A) of CEA Section 2(h)(5)<E T="03">Reporting Transition Rules</E>provides that “Swaps entered into before the date of the enactment of this subsection shall be reported to a registered swap data repository or the Commission no later than 180 days after the effective date of this subsection.”</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>21</SU>Subsection (B) of CEA Section 2(h)(5)<E T="03">Reporting Transition Rules</E>provides that “Swaps entered into on or after [the] date of enactment [of the Dodd-Frank Act] shall be reported to a registered swap data repository or the Commission no later than the later of (i) 90 days after [the] effective date [of Section 2(h)(5)] or (ii) such other time after entering into the swap as the Commission may prescribe by rule or regulation.”</P>
        </FTNT>
        <HD SOURCE="HD2">B. The Commission's Proposed Rule on Swap Data Recordkeeping and Reporting Requirements</HD>
        <P>On December 8, 2010, the Commission published for comment a notice of proposed rulemaking concerning swap data (the “Swap Data NPRM”) that would establish swap data recordkeeping and reporting requirements applicable to registered SDRs, derivatives clearing organizations (“DCOs”), designated contract markets (“DCMs”), swap execution facilities (“SEFs”), SDs, major swap participants MSPs, and non-SD/MSP counterparties.<SU>22</SU>
          <FTREF/>The latter category of swap counterparties would include but not be limited to counterparties who qualify for the statutory end user exception with respect to particular swaps.<SU>23</SU>
          <FTREF/>Consistent with the purposes of the Dodd-Frank Act, the Swap Data NPRM would require generally that all DCOs, DCMs, SEFs, and swap counterparties keep full, complete and systematic records, together with all pertinent data and memoranda, of all activities relating to the business of such entities or persons with respect to swaps. The proposed rules contemplate that swap data reporting should include data from each of two important stages in the existence of a swap: the creation of the swap, and the continuation of the swap over its existence until its final termination or expiration. The proposed rules call for reporting of two sets of data generated in connection with the creation of the swap: primary economic terms data and confirmation data.<SU>24</SU>
          <FTREF/>Reporting of swap continuation data can follow either of two conceptual approaches described in the Swap Data NPRM: The life cycle or event flow approach, or the state or snapshot approach.<SU>25</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>22</SU>75 FR 76574 (Dec. 8, 2010) (“Swap Data NPRM”).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>23</SU>CEA Section 2(h)(7).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>24</SU>
            <E T="03">See</E>Swap Data NPRM,<E T="03">supra,</E>note 22 at 76580-76582.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>25</SU>
            <E T="03">Id.</E>at 76583-76584.</P>
        </FTNT>
        <P>The Swap Data NPRM did not address CEA Section 2(h)(5)'s mandate that the Commission adopt recordkeeping and reporting rules applicable to pre-enactment swaps or transition swaps, but instead noted that a separate rulemaking to establish requirements for these historical swaps would address the records, information and data required to be maintained and the timeframe for reporting such information to a registered SDR or to the Commission.<SU>26</SU>
          <FTREF/>This proposal would establish recordkeeping and reporting standards applicable to pre-enactment and transition swaps.</P>
        <FTNT>
          <P>
            <SU>26</SU>
            <E T="03">Id.</E>at 76580 note 37.</P>
        </FTNT>
        <HD SOURCE="HD2">C. The Interim Final Rules for Pre-Enactment and Transition Swaps</HD>
        <P>
          <E T="03">Interim Final Rule for Pre-Enactment Swaps.</E>As described above, Title VII of the Dodd-Frank Act added new Section 4r(a)(2) to the CEA, which provided for the reporting of pre-enactment swaps and directed that the Commission promulgate, within 90 days of enactment of the Dodd-Frank Act, an interim final rule (“IFR”) providing for the reporting of such swaps. On October 14, 2010, pursuant to the mandate of CEA Section 4r(a)(2)(B), the Commission published in new part 44 of its regulations an IFR instructing specified counterparties to pre-enactment swaps to report data to a registered SDR or to the Commission by<PRTPAGE P="22836"/>a compliance date to be established in reporting rules to be promulgated under CEA Section 2(h)(5), and advising such counterparties of the necessity, inherent in the reporting requirement, to preserve information pertaining to the terms of such swaps until reporting was effectuated under permanent rules.<SU>27</SU>
          <FTREF/>This Pre-Enactment Swaps IFR stated that the reporting and recordkeeping provisions established by Section 4r and §§ 44.00-44.02 of the Commission's regulations would remain in effect until the effective date of the permanent reporting rules to be adopted by the Commission pursuant to Section 2(h)(5) of the CEA.<SU>28</SU>
          <FTREF/>A principal purpose of this IFR was to advise counterparties of the need to retain data related to swap transactions so that reporting could be effectuated under permanent rules subsequently to be adopted.</P>
        <FTNT>
          <P>
            <SU>27</SU>
            <E T="03">See</E>Pre-Enactment Swaps IFR,<E T="03">supra</E>note 17, at 63083.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>28</SU>
            <E T="03">See</E>Pre-Enactment Swaps IFR,<E T="03">supra</E>note 17.</P>
        </FTNT>
        <P>With respect to the scope and coverage of the Pre-Enactment Swaps IFR, the Commission acknowledged inconsistencies between the two Dodd-Frank provisions governing the Commission's rulemaking. Specifically, new CEA Section 4r(a)(2) limits reportable pre-enactment swaps to those whose terms have not expired on the date of enactment of the Dodd-Frank Act; Section 2(h)(5) does not contain the same qualifying language. As discussed in the Pre-Enactment Swaps IFR, the Commission believes that failure to limit the term “pre-enactment swap” to unexpired swaps would require reporting of every swap that has ever been entered into; accordingly, the Commission concluded that reportable pre-enactment swaps should be limited to those whose terms had not expired at the time of enactment.<SU>29</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>29</SU>
            <E T="03">Id.</E>at 63082.</P>
        </FTNT>
        <P>
          <E T="03">Interim Final Rule for Transition Swaps.</E>Section 4r of the CEA did not mandate an IFR establishing reporting provisions for transition swaps. The Commission nonetheless believed that such a rule would provide clarity and guidance with respect to such swaps, by establishing that transition swaps will be subject to Section 2(h)(5)(B)'s reporting requirements and to Commission regulations to be promulgated thereunder. The Commission also believed it was prudent to advise potential counterparties to such swaps that implicit in this prospective reporting requirement is the need to retain relevant data until such time as reporting can be effected. Accordingly, on December 17, 2010 the Commission published under Part 44 of its regulations interim final rules establishing that counterparties to transition swaps will be subject to permanent recordkeeping and reporting requirements to be adopted by the Commission pursuant to Section 2(h)(5)(B) of the CEA.<SU>30</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>30</SU>
            <E T="03">See</E>Transition Swaps IFR,<E T="03">supra</E>note 18.</P>
        </FTNT>
        <P>The Commission intended both the Pre-Enactment Swaps IFR and the Transition Swaps IFR to put counterparties on notice that swap data should be retained pending the adoption of permanent rules for pre-enactment and transition swaps under proposed part 46 of this chapter. With respect to both pre-enactment and transition swaps, the Commission stated that counterparties to these transactions should retain material information about such transactions. The Commission emphasized, however, that in the context of the interim rules, no counterparty was being required to create new records with respect to transactions that occurred in the past; instead, records relating to the terms of such transactions could be retained in their existing format to the extent and in such form as they presently exist.<SU>31</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>31</SU>
            <E T="03">See</E>Pre-Enactment Swaps IFR,<E T="03">supra</E>note 17, at 63086, and Transition Swaps IFR,<E T="03">supra</E>note 18, at 78894.</P>
        </FTNT>
        <P>
          <E T="03">Comments Received.</E>The Commission received a number of comments in response to each of the IFRs. Comments generally fell into one or more of several broad categories and in a number of instances were common to both IFRs. Some commenters observed that issuance of IFRs in advance of regulations further defining the term “swap” (or defining other key terms in the Dodd-Frank Act) creates legal and regulatory uncertainty and increases compliance risk; most of these commenters urged the Commission to further detail the record retention aspects of the interim final rules.<SU>32</SU>
          <FTREF/>In this connection, commenters requested that the Commission issue guidance clarifying and limiting the information that must be retained,<SU>33</SU>
          <FTREF/>or create a safe harbor for good faith compliance efforts.<SU>34</SU>
          <FTREF/>Energy interests suggested that the Commission should ensure that end users need only report basic data in a simplified reporting scheme, or should outline categories of information that need not be retained by persons who anticipate becoming eligible for the end user exemption under the Dodd-Frank Act.<SU>35</SU>
          <FTREF/>One commenter urged greater specificity with respect to the Pre-Enactment IFR's requirements, as well as consistency with the standards adopted by the Securities and Exchange Commission (“SEC”) and international regulators, and proposed alternatives to the requirements adopted in the IFR for pre-enactment swaps, particularly with respect to reporting protocols, record retention, and confidentiality issues (notably, those confidentiality issues arising in the context of cross-border transactions).<SU>36</SU>
          <FTREF/>Another commenter urged that U.S. swap data reporting requirements should not apply with respect to foreign swaps transactions, where counterparties are non-U.S. entities.<SU>37</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>32</SU>
            <E T="03">See,</E>e.g., letters dated November 15, 2010 and January 18, 2011 from the Working Group of Commercial Energy Firms (“Working Group letters”); letter dated November 15, 2010 from Hess Corporation (“Hess Corporation letter”); letter dated November 15, 2010 from the Edison Electric Institute (“EEI letter”); letters dated November 15, 2010 and January 18, 2011 from the Not-for-Profit Electric End User Coalition (“Coalition letters”); letter dated January 18, 2011 from the American Gas Association (“AGA letter”).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>33</SU>EEI letter.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>34</SU>Working Group letters; EEI letter; Hess Corporation letter.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>35</SU>AGA letter; Coalition letters.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>36</SU>Letter dated November 12, 2010, from the International Swaps and Derivatives Association, Inc. and the Futures Industry Association.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>37</SU>Letter dated January 11, 2011, from Barclays Bank PLC, BNP Paribas S.A., Deutsche Bank AG, Royal Bank of Canada, The Royal Bank of Scotland Group PLC, Société Générale and UBS AG.</P>
        </FTNT>
        <P>The Commission is mindful of these concerns and expects to consider and address them, as well as all comments received in response to this proposed rule, in formulating permanent rules applicable to pre-enactment and transition swaps.</P>
        <HD SOURCE="HD1">II. Proposed New Regulations, Part 46</HD>
        <P>As provided in the Commission's Swap Data NPRM,<SU>38</SU>
          <FTREF/>Pre-Enactment Swaps IFR,<SU>39</SU>
          <FTREF/>and Transition Swaps IFR,<SU>40</SU>
          <FTREF/>this proposed rule addresses the records, information, and data that must be retained for historical swaps, the timeframe for reporting data to an SDR or the Commission concerning such swaps, and the specific data to be reported.</P>
        <FTNT>
          <P>
            <SU>38</SU>
            <E T="03">See</E>Swap Data NPRM,<E T="03">supra</E>note 20, at fn. 37.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>39</SU>
            <E T="03">See</E>Pre-Enactment Swaps IFR,<E T="03">supra</E>note 17.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>40</SU>
            <E T="03">See</E>Transition Swaps IFR,<E T="03">supra</E>note 18.</P>
        </FTNT>
        <P>
          <E T="03">Recordkeeping.</E>For historical swaps in existence on or after the date of publication of the proposed rule, the rule would impose limited, specific recordkeeping obligations. Counterparties to such swaps would be required to keep records of an asset class-specific set of specified, minimum primary economic terms. The Commission believes that counterparties to historical swaps will possess this limited set of asset class-specific information as part of their normal<PRTPAGE P="22837"/>business practices.<SU>41</SU>
          <FTREF/>Commission staff have consulted with industry representatives, including buy-side counterparties, concerning information routinely kept in this connection for swaps in different asset classes. Counterparties to historical swaps in existence on or after the date of publication of this proposed rule would also be required to keep records of a confirmation of their swaps if they have that information in their possession on or after the publication date (the date from which public notice of this specific proposed recordkeeping requirement is available). The Commission requests comment concerning the appropriateness of these limited recordkeeping requirements, and specifically requests comment concerning whether all counterparties to historical swaps will possess the limited set of asset class-specific information called for by the proposed rule as part of their normal business practices. If there are any counterparties to historical swaps who do not possess the limited set of asset class-specific information called for by the proposed rule, the Commission requests comment from such counterparties concerning what information concerning historical swaps such counterparties do possess, and concerning what information such counterparties retain concerning their swaps in order to meet the requirements of other applicable law, such as hedge accounting requirements or the requirements of applicable state law.</P>
        <FTNT>
          <P>
            <SU>41</SU>The Commission understands that the terminology used to describe the specific terms and conditions of a swap can vary among market participants, and that agreed definitions for certain terms could increase consistency among participants in how historical swaps are described. The Commission therefore requests comment on whether the proposed minimum primary economic terms for each asset class are sufficiently clear in terms of what economic data is expected to be reported, or whether further clarification is needed in this respect.</P>
        </FTNT>
        <P>For historical swaps that were in existence as of the date of enactment of the Dodd-Frank Act but have expired or been terminated prior to the publication date of this proposed rule, a counterparty would only be required to keep records as provided in the Commission's IFRs concerning pre-enactment and transition swaps: namely, the information and documents relating to the terms of the swap that the counterparty possessed when the applicable IFR was published, in whatever format that information is kept by the counterparty.<SU>42</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>42</SU>As used in the IFRs, “format” refers to the method by which the information is organized and stored. It does not refer to a recording format (i.e., a format for electronic encoding of data).</P>
        </FTNT>
        <P>The Commission understands that the minimum primary economic terms for a swap can vary widely depending on the asset class of the underlying products or on the nature of a particular product within an asset class. Consequently, the Commission encourages the industry to reach an internal consensus about the appropriate, asset class-specific, minimum primary economic terms to be reported for pre-enactment and transition swaps. The Commission welcomes comments from industry and market participants in this regard, and will consider them in determining the minimum primary economic terms to be specified in the final swap data recordkeeping and reporting rules.</P>
        <P>
          <E T="03">Reporting timeframe.</E>The proposed rule provides that swap data reporting for historical swaps would commence on the compliance date specified in the Commission's final swap data recordkeeping and reporting regulations in part 45 of this chapter.<SU>43</SU>
          <FTREF/>The Commission believes that the purposes of the Dodd-Frank Act can be best served by establishing a single date for the commencement of all swap data reporting pursuant to that Act. It also believes that the compliance date for the final swap data reporting regulations in part 45—the date on which reporting must commence—is the most practicable and appropriate date for this purpose. The effective date will be set by the Commission in its final swap data reporting regulations.<SU>44</SU>
          <FTREF/>In the Swap Data NPRM, the Commission requested comments concerning the time needed to prepare automated systems for swap data recordkeeping and reporting prior to implementation of the regulations, and it will carefully consider the comments received in response to that request. The Commission similarly requests comment concerning the proposal to specify the same compliance date as the date for initial data reporting concerning pre-enactment and transition swaps, and the time needed in this connection for preparation of necessary automated systems prior to the specified compliance date.</P>
        <FTNT>
          <P>
            <SU>43</SU>17 CFR part 45.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>44</SU>As provided in CEA Section 2(h)(5)(B), the effective date must be no sooner than 90 days after the effective date of CEA Section 2(h)(5), but may be a later date set by the Commission.</P>
        </FTNT>
        <P>
          <E T="03">Data to be reported.</E>The proposed rule specifies data to be reported for historical swaps. For pre-enactment and transition swaps in existence on or after the date of publication of this proposed rule, the rule specifies the data elements to be reported. For historical swaps in existence as of enactment of the Dodd-Frank Act which expired or were terminated prior to publication of this proposed rule, the rule provides for reporting of the information relating to the terms of the transaction that was in the possession of a reporting counterparty as of publication of the applicable Commission IFR regarding pre-enactment or transition swaps, in such format as it is kept by the reporting counterparty.</P>
        <P>As noted above, the Dodd-Frank Act requires reporting of data concerning all swaps in existence as of the legislation's enactment.<SU>45</SU>
          <FTREF/>Data concerning pre-enactment swaps and transition swaps will assist achievement of the systemic risk mitigation, market transparency, and market supervision purposes for which the Dodd-Frank Act was enacted. Such data will be needed to give regulators the complete picture of the swap market which the comprehensive regulatory framework and reporting requirements of the statute are designed to provide. Data concerning historical swaps also is necessary for the Commission to prepare the semi-annual reports it is required to provide to Congress regarding the swap market.</P>
        <FTNT>
          <P>
            <SU>45</SU>CEA Section 4r(a)(2)(A).</P>
        </FTNT>
        <P>The Commission is aware that internal swap data retention policies are not uniform among swap counterparties, and that the current automated systems of market participants vary with respect to their suitability for swap data reporting. The Commission believes it is appropriate to limit the burden placed on swap counterparties in connection with data reporting for historical swaps, to the extent that this can be done in a manner consistent with the requirements of the Dodd-Frank Act and the Commission's need for such data. The Commission has also considered comments received concerning the Pre-Enactment Swaps IFR and Transition Swaps IFR which requested that the Commission specify clearly what data would be required to be reported concerning historical swaps.</P>
        <P>
          <E T="03">Data reporting for historical swaps in existence as of or after publication of this proposed rule.</E>For each pre-enactment or transition swap in existence as of or after publication of this proposed rule, the rule calls (a) for an initial data report on the compliance date for data reporting, and (b), if such a historical swap has not expired or been terminated as of the compliance date specified in the final part 45 swap data reporting regulations, for ongoing reporting of required swap continuation data (as defined in the Commission's final part 45 swap data reporting<PRTPAGE P="22838"/>regulations) during the remaining existence of the swap.</P>
        <P>The proposed rule calls for the initial data report for historical swaps in existence as of or after publication of this proposed rule to include the transaction terms included in the swap confirmation if the confirmation was in the reporting counterparty's possession on or after the publication date of this proposed rule,<SU>46</SU>
          <FTREF/>and in any event to include all of the minimum primary economic terms for a pre-enactment or transition swap specified in the appropriate table in the Appendix to the proposed rule.</P>
        <FTNT>
          <P>
            <SU>46</SU>The Commission understands that counterparties may use either a short-form or a long-form confirmation. Either form can be used to satisfy this requirement.</P>
        </FTNT>

        <P>The Commission understands that industry definitions used in documenting some swap transactions, for instance in some master agreements or confirmations, may not match exactly the asset class definitions included in this proposed rule, which are the same as the asset class definitions in the Commission's part 45 proposed rules regarding swap data recordkeeping and reporting requirements. The Commission requests comment on how the proposed asset class definitions in this proposed rule and the overall swap classification scheme embodied in them might most appropriately be aligned with current swap instrument classifications used by the industry, and with definitions employed by,<E T="03">e.g.,</E>the International Swaps and Derivatives Association (“ISDA”), the Edison Electric Institute, the North American Energy Standards Board, and others.</P>
        <P>In addition, the Commission anticipates that some swaps subject to its jurisdiction may belong to two other swap categories: mixed swaps, and multi-asset swaps. Generally, a mixed swap is in part a security-based swap subject to the jurisdiction of the SEC and in part a swap belonging to one of the swap asset classes subject to the jurisdiction of the Commission.<SU>47</SU>
          <FTREF/>Multi-asset swaps are those that do not have one easily identifiable primary underlying notional item within the Commission's jurisdiction. The Dodd-Frank Act defines “mixed swap” as follows: “The term `security-based swap' includes any agreement, contract, or transaction that is as described in section 3(a)(68)(A) of the Securities Exchange Act of 1934 (15 U.S.C. 78c(a)(68)(A)) and is also based on the value of 1 [sic] or more interest or other rates, currencies, commodities, instruments of indebtedness, indices, quantitative measures, other financial or economic interest or property of any kind (other than a single security or a narrow-based security index), or the occurrence, non-occurrence, or the extent of the occurrence of an event or contingency associated with a potential financial, economic, or commercial consequence (other than an event described in subparagraph (A)(iii).”<SU>48</SU>
          <FTREF/>The Commission requests comment concerning how such swaps should be treated with respect to swap data reporting for historical swaps, and concerning the category or categories under which swap data for such swaps should be reported to SDRs and maintained by SDRs.</P>
        <FTNT>
          <P>
            <SU>47</SU>
            <E T="03">See</E>Swap Data NPRM,<E T="03">supra</E>note 20, at 76586.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>48</SU>Dodd-Frank Act § 721(21), CEA § 1a(47)(D).</P>
        </FTNT>
        <P>The initial data report for historical swaps in existence as of or after publication of this proposed rule would also be required to include the Unique Counterparty Identifier of the reporting counterparty (as defined in part 45),<SU>49</SU>
          <FTREF/>and the reporting counterparty's internal system identifiers for the non-reporting counterparty and the particular swap transaction in question.</P>
        <FTNT>
          <P>
            <SU>49</SU>The Commission intends to take the need for reporting counterparties to obtain Unique Counterparty Identifiers into account in setting the effective date for the data reporting rules in part 45.</P>
        </FTNT>
        <P>The proposed rule would give non-reporting counterparties an additional 180 days after the compliance date specified in the Commission's final part 45 rules for data reporting before they would be required to obtain and use a Unique Counterparty Identifier in connection with pre-enactment and transition swaps. The Commission is proposing this additional time because it understands that the majority of non-reporting counterparties are likely to be non-SD/MSP counterparties. While SDs and MSPs are likely to have infrastructure in place that can incorporate and track Unique Counterparty Identifiers, non-SD-MSP counterparties could need to acquire new automated systems or undertake modifications of existing systems in order to incorporate identifiers. The Commission requests comment concerning the appropriateness of this additional time, concerning the length of the additional time provided, and concerning whether the Commission should differentiate further between SD and MSP counterparties versus non-SD/MSP counterparties with respect to use of Unique Counterparty Identifiers for non-reporting counterparties to pre-enactment and transition swaps.</P>
        <P>The proposed rule also requires the reporting counterparty to report the master agreement identifier (if any) used by the reporting counterparty's automated systems to identify the master agreement governing a pre-enactment or transition swap. This information would allow the Commission and other regulators to aggregate transactional data to calculate net or gross exposure of a particular counterparty. The Commission requests comment concerning whether its final swap data recordkeeping and reporting regulations for pre-enactment and transition swaps should require such reporting of a master agreement identifier.</P>
        <P>The Commission requests comment concerning the appropriateness and adequacy of these initial data report requirements. Additionally, the Commission requests comment on the appropriate method for identifying the association of an individual swap transaction with a particular master agreement or with a swap portfolio, in order to identify individual swaps that may be subject to close-out netting and other provisions typical in portfolio compression.<SU>50</SU>
          <FTREF/>Identifying this association could be a necessary means of enabling regulators to determine a counterparty's net exposure (current or future) on the basis of transactional data reported to SDRs. In particular, the Commission requests comment on whether reporting of a master agreement identifier as provided in this proposed rule is needed in this connection and would provide a workable means of achieving this goal.</P>
        <FTNT>
          <P>

            <SU>50</SU>The Commission's proposed rule regarding confirmation, portfolio reconciliation and portfolio compression requirements for SDs and MSPs, 17 CFR part 23, defines portfolio compression as a mechanism whereby substantially similar transactions among two or more counterparties are terminated and replaced with a smaller number of transactions of decreased notional value, in an effort to reduce the risk, cost, and inefficiency of maintaining unnecessary transactions on the counterparties' books.<E T="03">See</E>CFTC Notice of Proposed Rulemaking: Confirmation, Portfolio Reconciliation and Portfolio Compression Requirements for Swap Dealers and Major Swap Participants, 75 FR 81519 (Dec. 28, 2010).</P>
        </FTNT>

        <P>The Commission has chosen to propose limited requirements for recordkeeping and initial data reports concerning pre-enactment and transition swaps because it understands that the current recordkeeping and reporting systems that some counterparties to such swaps have at present might not be able to fulfill, with respect to historical swaps, recordkeeping and reporting requirements as extensive as those proposed in part 45. In these circumstances, the Commission believes it is appropriate to limit the burden imposed on such counterparties, to the extent that this can be done in a way<PRTPAGE P="22839"/>that is consistent with the requirements of the Dodd-Frank Act and the Commission's need for data concerning historical swaps. The Commission believes, however, that the limited set of minimum primary economic terms data set forth in this proposed rule with respect to historical swaps is the minimum necessary to give regulators a picture of the risk exposures and counterparty participation in such swaps at the minimum level necessary for the Commission and other regulators to fulfill their regulatory responsibilities. The Commission requests comment concerning the appropriateness of this approach to initial data reporting for pre-enactment and transition swaps.</P>
        <P>Regarding ongoing reporting of required swap continuation data during the remaining existence of a pre-enactment or transition swap after the compliance date, the proposed rule follows the life cycle approach for credit swaps and equity swaps, and the state or snapshot approach for interest rate swaps, currency swaps, and other commodity swaps. This same distinction is made in the Commission's Swap Data NPRM, which sets forth the Commission's reasons for making this distinction, reasons which also apply with respect to part 46. The Commission believes that this unified approach to swap data reporting rules for pre-enactment, transition, and post-compliance-date swaps will minimize recordkeeping and swap data reporting burdens for industry and provide a coherent and consistent picture of the overall swap market to regulators. Since the proposed part 45 continuation data reporting requirements are aligned with the approach taken in the SEC's proposed rules for security-based credit and equity swaps, this also serves to avoid differing requirements for security-based swaps and swaps. The Commission requests comment concerning whether required reporting of the same swap continuation data for pre-enactment and transition credit swaps and equity swaps, in line with the requirements of proposed part 45 and of the SEC's proposed rules, is appropriate in this connection.</P>
        <P>For pre-enactment or transition interest rate swaps, currency swaps, and other commodity swaps, this proposed rule also limits continuation data reporting obligations for non-SD/MSP reporting counterparties. Specifically, the proposal requires that SD or MSP reporting counterparties must meet continuation data reporting requirements for pre-enactment and transition swaps in those asset classes that are the same as the continuation data reporting requirements of proposed part 45 for swaps in those asset classes. While non-SD/MSP reporting counterparties for such swaps are required to report the state data<SU>51</SU>
          <FTREF/>necessary to provide a daily snapshot view of the primary economic terms of the swap, the state data that must be reported by non-SD/MSP reporting counterparties for such swaps is limited to the state data available to the non-SD/MSP reporting counterparty on the compliance date. This may consist of only the data elements contained in the table of minimum primary economic terms for various swap asset classes, as set forth in Appendix 1 to part 46, if that is all that was available to the non-SD/MSP reporting counterparty on that date. This approach is designed to avoid placing undue recordkeeping and reporting burdens on non-SD/MSP counterparties, who are the reporting counterparties least likely to have the automated systems needed for more extensive reporting with respect to pre-enactment or transition swaps. The Commission requests comment concerning the appropriateness of this approach to continuation data reporting for pre-enactment and transition swaps.</P>
        <FTNT>
          <P>

            <SU>51</SU>For purposes of this proposed rule, “state data” has the meaning defined in part 45 of this chapter.<E T="03">See</E>Swaps Data NPRM,<E T="03">supra</E>note 20, at 76599.</P>
        </FTNT>
        <P>
          <E T="03">Data reporting for historical swaps in existence as of enactment of the Dodd-Frank Act but expired or terminated prior to publication of this proposed rule.</E>For historical swaps in existence as of enactment of the Dodd-Frank Act which expired or were terminated prior to publication of this proposed rule, only an initial data report would be required.<SU>52</SU>
          <FTREF/>For such swaps, the proposed rule would require that the reporting counterparty report such information relating to the terms of the transaction as was in that counterparty's possession as of issuance of the relevant Commission IFR.<SU>53</SU>
          <FTREF/>This information would be permitted to be reported in the format in which it was kept by the reporting counterparty.<SU>54</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>52</SU>By its nature, continuation data reporting occurs during the continuation of a swap prior to its expiration or termination.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>53</SU>Pre-Enactment Swaps IFR,<E T="03">supra</E>note 15, and Transition Swaps IFR,<E T="03">supra</E>note 18.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>54</SU>This could include submission of a PDF file.</P>
        </FTNT>
        <P>
          <E T="03">Selection of reporting counterparty.</E>This proposed rule provides that determination of which counterparty to a pre-enactment or transition swap is the reporting counterparty for that swap shall be made according to Dodd-Frank Act's hierarchy of counterparty types for reporting obligation purposes, in which SDs outrank MSPs, who outrank non-SD/MSP counterparties. Where both counterparties are at the same hierarchical level, the statute calls for them to select the counterparty obligated to report. The proposed rule establishes a mechanism for counterparties to follow in choosing the counterparty to report in situations where both counterparties have the same hierarchical status. Where both counterparties are SDs, or both are MSPs, or both are non-SD/MSP counterparties, the proposed rule requires the counterparties to agree as on term of their swap transaction which counterparty will fulfill reporting obligations. The proposed rule also provides that, where only one counterparty to a swap is a U.S. person, the U.S. person should be the reporting counterparty. The Commission believes, preliminarily, that this approach may be necessary in order to ensure compliance with reporting requirements in such situations. In these respects, the proposed rule mirrors the provision of the part 45 Swap NPRM regarding selection of the reporting counterparty.</P>
        <P>The proposed rule also provides that determination of the reporting counterparty shall be made with respect to the current counterparties to the swap as of the compliance date (for historical swaps in existence as of that date) or as of the prior expiration or termination of the swap (for historical swaps expired or terminated prior to the compliance date), regardless of who the counterparties to the swap were when it was originally executed.</P>

        <P>As noted above, where both counterparties have the same hierarchical status, the proposed rule calls for the counterparties to agree as one term of their swap transaction which counterparty will fulfill reporting obligations. In the case of a historical swap executed prior to publication of this proposed rule, for which the agreement to enter into the swap has already been made, agreement by the counterparties on selection of the reporting counterparty would require negotiation occurring after the agreement to enter into the swap was made, and could require amendment of the agreement to enter into the swap in this respect. The Commission requests comment concerning how two SD counterparties, two MSP counterparties, or two non-SD/MSP counterparties should select the reporting counterparty for a pre-enactment or transition swap which was executed prior to the publication date of this proposed rule, and thus does not include an agreement term selecting the reporting counterparty. The Commission also requests comment concerning whether its final data recordkeeping and<PRTPAGE P="22840"/>reporting rules for historical swaps should prescribe a method for selecting a reporting counterparty in such circumstances. The Commission may include such a method in the final data recordkeeping and reporting rules for historical swaps.</P>
        <P>The Commission has received comments regarding the part 45 Swap NPRM suggesting that, where only one counterparty to a swap is a U.S. person, the counterparty designated as the reporting counterparty under the hierarchical approach based on the Dodd-Frank Act and discussed above should be applied in the same way as for a swap where both counterparties are U.S. persons. This would mean, for example, that for a swap between a non-U.S. SD and a U.S. non-SD/MSP counterparty, the non-U.S. SD would be the reporting counterparty. The Commission requests comment concerning how the reporting counterparty for a historical swap should be selected when one counterparty is a non-U.S. person.</P>
        <P>
          <E T="03">Non-duplication of previous reporting.</E>The Commission is aware that in some instances, reporting counterparties may have reported data concerning pre-enactment or transition swaps to a presently-existing trade repository prior to the compliance date. If such a repository is registered with the Commission as an SDR as of the compliance date, the Commission would not require reporting counterparties to report duplicate information to the SDR, although it would require reporting on the compliance date of any information required by this proposed rule that had not already been reported to the SDR.</P>
        <HD SOURCE="HD1">III. Related Matters</HD>
        <HD SOURCE="HD2">A. Regulatory Flexibility Act</HD>
        <P>The Regulatory Flexibility Act (“RFA”)<SU>55</SU>
          <FTREF/>requires that agencies consider whether the rules they propose will have a significant economic impact on a substantial number of small entities and, if so, provide a regulatory flexibility analysis respecting the impact.<SU>56</SU>
          <FTREF/>The regulations proposed by the Commission would affect SDs, MSPs, and non-SD/MSP counterparties who are counterparties to one or more pre-enactment or transition swaps. The Commission has previously established certain definitions of “small entities” to be used by the Commission in evaluating the impact of its regulations on small entities in accordance with the RFA.<SU>57</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>55</SU>5 U.S.C. 601<E T="03">et seq.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>56</SU>5 U.S.C. 601<E T="03">et seq.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>57</SU>47 FR 18618 (Apr. 30, 1982).</P>
        </FTNT>
        <P>The Commission hereby determines that SDs and MSPs should not be considered small entities for purposes of the RFA. SDs and MSPs will play a central role in the national regulatory scheme overseeing the trading of swaps. With respect to SDs, the Commission previously has determined that Futures Commission Merchants (“FCMs”) should not be considered to be small entities for purposes of the RFA.<SU>58</SU>
          <FTREF/>Like FCMs, SDs will be subject to minimum capital and margin requirements and are expected to comprise the largest global financial firms.<SU>59</SU>
          <FTREF/>Similarly, with respect to MSPs, the Commission has previously determined that large traders are not “small entities” for RFA purposes.<SU>60</SU>
          <FTREF/>Like large traders, MSPs will maintain substantial positions, creating substantial counterparty exposure that could have serious adverse effects on the financial stability of the U.S. banking system or financial markets.</P>
        <FTNT>
          <P>
            <SU>58</SU>47 FR 18618 (Apr. 30, 1982).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>59</SU>Additionally, the Commission is required to exempt from designation entities that engage in a de minimis level of swaps. Id. at 18619.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>60</SU>47 FR at 18620.</P>
        </FTNT>
        <P>With respect to non-SD/MSP counterparties, the Commission believes that the proposed regulations will not create a significant economic impact on a substantial number of small entities. The proposed rule sets forth recordkeeping and reporting requirements with respect to pre-enactment and transition swaps. The Commission believes that the records the proposed rule would require to be kept are already kept by swap counterparties in their normal course of business. The proposed rule would require limited swap data reporting for pre-enactment or transition swaps, and would require such reporting by non-SD/MSP counterparties only with respect to such swaps in which neither counterparty is an SD or MSP. The considerable majority of swaps involve at least one SD or MSP. In addition, most end users and other non-SD/MSP counterparties who are regulated by the Employee Retirement Income Security Act of 1974 (“ERISA”), such as pension funds, which are among the most active participants in the swap market, are prohibited from transacting directly with other ERISA-regulated participants.<SU>61</SU>
          <FTREF/>For these reasons, the Commission does not believe that the regulations would have a significant economic impact on a substantial number of small entities.</P>
        <FTNT>
          <P>
            <SU>61</SU>29 U.S.C. 1106.</P>
        </FTNT>
        <P>Accordingly, the Chairman, on behalf of the Commission, hereby certifies pursuant to 5 U.S.C. 605(b) that the proposed rule will not have a significant economic impact on a substantial number of small entities. Nonetheless, the Commission specifically requests comment on the impact this proposed rule may have on small entities.</P>
        <HD SOURCE="HD2">B. Paperwork Reduction Act</HD>
        <P>
          <E T="03">Introduction.</E>Provisions of the proposed rule would result in new collection of information requirements within the meaning of the Paperwork Reduction Act (“PRA”).<SU>62</SU>
          <FTREF/>The Commission therefore is submitting this proposal to the Office of Management and Budget (OMB) for review in accordance with 44 U.S.C. 3507(d) and 5 CFR 1320.11. The title for this collection of information is “Regulations 46.2 and 46.3—Swap Data Recordkeeping and Reporting: Pre-Enactment and Transition Swaps,” OMB control number 3038-NEW. If adopted, responses to this new collection of information would be mandatory. The Commission will protect proprietary information according to the Freedom of Information Act and 17 CFR part 145, “Commission Records and Information.” In addition, section 8(a)(1) of the Act strictly prohibits the Commission, unless specifically authorized by the Act, from making public “data and information that would separately disclose the business transactions or market positions of any person and trade secrets or names of customers.” The Commission also is required to protect certain information contained in a government system of records according to the Privacy Act of 1974, 5 U.S.C. 552a.</P>
        <FTNT>
          <P>
            <SU>62</SU>44 U.S.C. 3501<E T="03">et seq.</E>
          </P>
        </FTNT>
        <P>
          <E T="03">Information Provided by Reporting Entities/Persons.</E>The proposed rule sets forth recordkeeping and reporting requirements for SDs, MSPs, and non-SD/MSP counterparties.</P>
        <P>
          <E T="03">Recordkeeping Burdens.</E>Under proposed Regulation 46.2, all counterparties to pre-enactment or transition swaps would be required to keep records relating to such swaps. For swaps that are in existence as of or after the enactment of the Dodd-Frank Act, but are expired as of the publication of the proposed rule, the proposed Regulation 46.2 requires that parties simply maintain the swap records already in their possession, in the form in which they are already maintained. For purposes of the PRA, the Commission will not calculate the burden for this requirement; the Commission has previously calculated the burden for this requirement in the<PRTPAGE P="22841"/>PRA analyses for the interim final rules for pre-enactment and transition swaps.</P>

        <P>For pre-enactment or transition swaps that are in existence as of or after the publication of the proposed rule, the proposed Regulation 46.2 would require counterparties to keep records of a minimum set of primary economic data relating to such swaps. The Commission believes that counterparties already would possess this set of primary economic data as part of their normal business practices. The proposed regulation provides that counterparties must record certain additional information (<E T="03">e.g.,</E>information relating to confirmation) only if the counterparty is in possession of that information on or after the publication date of the proposed rule. After the compliance date specified in the Commission's final swap data rules in Part 45, proposed Regulation 46.2 provides that counterparties must record information required by recordkeeping provisions of those final swap rules only if such information is available to the counterparty on or after the compliance date specified in those rules.</P>
        <P>For historical swaps that are in existence as of or after the publication date of the proposed rule, the rule would require the counterparties to keep the records beginning on the publication date of the proposed rule and through the life of the swap, and for a period of at least five years from the final termination of the swap. In calculating the burden of this recordkeeping requirement for purposes of the PRA, the Commission will not include the burdens occurring after the compliance date specified in the Commission's final swap data rules in Part 45; the burden occurring after the compliance date is and will be subsumed by the recordkeeping burdens calculated for those final rules.<SU>63</SU>
          <FTREF/>Therefore, for this proposed rule, the Commission will only calculate a recordkeeping burden for the time period beginning with the publication date of this proposed rule, and ending on the compliance date. The Commission estimates this period of time to be approximately one year. The Commission estimates that 30,300 SDs, MSPs, and non-SD/MSP counterparties will be affected by these recordkeeping burdens during this time.<SU>64</SU>
          <FTREF/>With respect to SDs and MSPs (an estimated 300 entities or persons), which will have higher levels of swap recording activity than non-SD/MSP counterparties, the Commission estimates that the average one-time burden per entity is 40 hours, excluding customary and usual business practices. With respect to non-SD/MSP reporting counterparties (an estimated 30,000 entities or persons), who will have lower levels of swap recording activity, the Commission estimates that the average one-time burden per entity is 10 hours, excluding customary and usual business practices. Therefore, the total aggregate one-time burden is 312,000 hours. The Commission requests comment on this estimate.</P>
        <FTNT>
          <P>
            <SU>63</SU>The recordkeeping burden for those final rules is calculated based on the number of annual counterparties to swaps and therefore implicitly includes counterparties to pre-enactment and transition swaps that are unexpired after the effective date.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>64</SU>As noted, the applicable recordkeeping burden applies during a period estimated by the Commission to be one year. The Commission has previously estimated that there are annually 30,000 non-SD/MSP entities who are counterparties to a swap (see,<E T="03">e.g.,</E>the Commission's Paperwork Reduction Act statement for the Swap Data Recordkeeping and Reporting Requirements Proposed Rulemaking). The Commission has also previously estimated that there are 250 SDs and 50 MSPs. Therefore, a total of 30,300 entities would be subject to the recordkeeping burdens of the proposed rule.</P>
        </FTNT>
        <P>
          <E T="03">Reporting Burdens.</E>The reporting obligations set forth in proposed Regulation 46.3 involve both an initial data report and ongoing reporting of required swap continuation data relating to pre-enactment and transition swaps. For historical swaps that are in existence as of or after the enactment of the Dodd-Frank Act, but expired prior to publication of the proposed rule, the rule would require only an initial data report.</P>
        <P>The proposed regulation provides that reporting counterparties for pre-enactment or transition swaps must make an initial data report relating to those swaps. The frequency of the report would be once per swap, and the report would occur on the compliance date of the Commission's final swap data recordkeeping and reporting regulations in Part 45. The report would not be required to be made for historical swaps that are expired as of the enactment of the Dodd-Frank Act. The Commission estimates that there are 1,800 affected entities who will be reporting counterparties for pre-enactment and transition swaps.<SU>65</SU>
          <FTREF/>The Commission estimates that the average one-time reporting burden for each affected entity is 24 hours. Therefore, the total aggregate one-time burden is 43,200 hours. The Commission requests comment on this estimate.</P>
        <FTNT>
          <P>

            <SU>65</SU>The Commission has previously estimated that there are annually 1,500 non-SD/MSP counterparties who are a “reporting counterparty” (see,<E T="03">e.g.,</E>the Commission's Paperwork Reduction Act statement for the Swap Data Recordkeeping and Reporting Requirements Proposed Rulemaking). In addition, the Commission has previously estimated that there are 250 SDs and 50 MSPs. The Commission believes that the number of entities who are reporting counterparties to pre-enactment or transition swaps (that are in existence as of or after the enactment of the Dodd-Frank Act) is similar to the number of annual reporting counterparties. The Commission requests comment on this estimate.</P>
        </FTNT>
        <P>The proposed regulation also provides for an ongoing reporting obligation that must be fulfilled by reporting counterparties to pre-enactment and transition swaps that are in existence as of the compliance date specified in the Commission's final swap data reporting rules in part 45. The burden for this ongoing reporting is and will be subsumed by the reporting burden calculated for the Commission's final swap data recordkeeping and reporting regulations in part 45.<SU>66</SU>
          <FTREF/>Therefore, for this proposed rulemaking, the Commission will not calculate a burden estimate for ongoing reporting.</P>
        <FTNT>
          <P>
            <SU>66</SU>The reporting burden for those final rules is calculated based on the number of annual “reporting counterparties” to swaps and therefore implicitly include reporting counterparties to pre-enactment and transition swaps that are unexpired after the effective date.</P>
        </FTNT>
        <P>
          <E T="03">Information Collection Comments.</E>The Commission invites the public and other federal agencies to comment on any aspect of the reporting and recordkeeping burdens discussed above. Pursuant to 44 U.S.C. 3506(c)(2)(B), the Commission solicits comments in order to: (i) evaluate whether the proposed collections of information are necessary for the proper performance of the functions of the Commission, including whether the information will have practical utility; (ii) evaluate the accuracy of the Commission's estimate of the burden of the proposed collections of information; (iii) determine whether there are ways to enhance the quality, utility, and clarity of the information to be collected; and (iv) minimize the burden of the collections of information on those who are to respond, including through the use of automated collection techniques or other forms of information technology.</P>

        <P>Comments may be submitted directly to the Office of Information and Regulatory Affairs, by fax at (202) 395-6566 or by e-mail at<E T="03">OIRAsubmissions@omb.eop.gov.</E>Please provide the Commission with a copy of submitted comments so that all comments can be summarized and addressed in the final rule preamble. Refer to the Addresses section of this notice of proposed rulemaking for comment submission instructions to the Commission. A copy of the supporting statements for the collections of information discussed above may be obtained by visiting RegInfo.gov. OMB is required to make a decision<PRTPAGE P="22842"/>concerning the collection of information between 30 and 60 days after publication of this release. Consequently, a comment to OMB is most assured of being fully effective if received by OMB (and the Commission) within 30 days after publication of this notice of proposed rulemaking.</P>
        <HD SOURCE="HD2">C. Cost-Benefit Analysis</HD>
        <P>
          <E T="03">Introduction.</E>Section 15(a) of the CEA requires the Commission to consider the costs and benefits of its actions before issuing a rulemaking under the Act. By its terms, section 15(a) does not require the Commission to quantify the costs and benefits of the rulemaking or to determine whether the benefits of the rulemaking outweigh its costs; rather, it requires that the Commission “consider” the costs and benefits of its actions. Section 15(a) further specifies that the costs and benefits shall be evaluated in light of five broad areas of market and public concern: (1) Protection of market participants and the public; (2) the efficiency, competitiveness and financial integrity of markets; (3) price discovery; (4) sound risk management practices; and (5) other public interest considerations. The Commission may in its discretion give greater weight to any one of the five enumerated areas and could in its discretion determine that, notwithstanding its costs, a particular rule is necessary or appropriate to protect the public interest or to effectuate any of the provisions of or accomplish any of the purposes of the Act.</P>
        <P>
          <E T="03">Summary of Proposed Requirements.</E>The proposed rule provides that counterparties to pre-enactment or transition swaps must keep records of, and must report, certain information relating to the swaps. The proposed reporting requirements involve both an initial report and ongoing reporting that continues until the final termination of the swap.</P>
        <P>
          <E T="03">Costs.</E>There are recordkeeping and reporting costs associated with the proposed requirements to record and report certain swap information. The Commission has crafted the rule to be efficient in terms of those costs and has also attempted to minimize the burden on non-SD/MSP counterparties. The proposed rule provides that certain records must be kept by a counterparty only if the counterparty is in possession of that information on or after certain dates as provided in the regulations. The proposed rule would require a counterparty to a pre-enactment or transition swap in existence as of or after publication of this proposed rule to keep, at a minimum, records of a specified set of primary economic terms data; however, the Commission believes that counterparties already would possess this information as part of their normal business practices. For non-SD/MSP reporting counterparties for pre-enactment or transition swaps in the interest rate, currency, or other commodity asset classes, the proposed rule limits the scope of required continuation data reporting to the data elements available to the reporting counterparty on the compliance date specified in the Commission's final swap data rules in Part 45.</P>
        <P>
          <E T="03">Benefits.</E>In addition to being mandated by the Dodd-Frank Act, reporting of data concerning pre-enactment and transition swaps is essential to the fundamental systemic risk mitigation, transparency, and market supervision purposes for which the Dodd-Frank Act was enacted. This reporting is necessary to give regulators complete information regarding the entire swap market. It provides the Commission and other financial regulators with necessary insight concerning the number of transactions and the number and type of participants involved in the swap market, as well as its outstanding notional size. Such information provides both a baseline against which to assess the development of the swap market over time and a first step toward a transparent and well-regulated market for swaps. Data concerning pre-enactment and transition swaps also is necessary for the Commission to prepare the semi-annual reports it is required to provide to Congress.</P>
        <P>
          <E T="03">Public Comment.</E>For the reasons set forth above, the Commission believes that the benefits of the proposed regulations outweigh their costs, and has decided to issue them. The Commission invites public comment on its cost-benefit considerations. Commenters are also invited to submit any data or other information that they may have quantifying or qualifying the costs and benefits of the proposal with their comment letters.</P>
        <HD SOURCE="HD1">IV. Proposed Compliance Date</HD>
        <P>The Commission understands that, after the date on which the Commission issues final swap data recordkeeping and reporting regulations, including its final regulations concerning pre-enactment and transition swaps, the industry will need a reasonable period of time to implement the requirements of those regulations. Time may be required for entities to register as SEFs, DCMs, DCOs, or SDRs (or for extant DCMs or DCOs to revise their rules and procedures) pursuant to new Commission regulations concerning such entities. Time may also be needed for registered entities and potential swap counterparties to adapt or create automated systems capable of fulfilling the requirements of Commission regulations concerning swap data recordkeeping and reporting. Accordingly, it may be appropriate for the Commission's final swap data recordkeeping and reporting regulations, including those for pre-enactment and transition swaps, to establish a compliance date that is later than the date the final regulations are issued.</P>
        <P>The Commission requests comment concerning the need for a compliance date for its final swap data recordkeeping and reporting regulations, including those for pre-enactment and transition swaps, that is later than the date of their issuance; concerning the benefits or drawbacks of such an approach; concerning the length of time needed for registered entities and potential swap counterparties to prepare for implementation in the ways discussed above, or otherwise; and concerning the compliance date which the Commission should specify in its final regulations concerning swap data recordkeeping and reporting.</P>
        <HD SOURCE="HD1">V. General Solicitation of Comments</HD>
        <P>The Commission requests comments concerning all aspects of the proposed regulations, including, without limitation, all of the aspects of the proposed regulations on which comments have been requested specifically herein.</P>
        <HD SOURCE="HD1">Proposed Rules</HD>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 17 CFR Part 46</HD>
          <P>Swaps, Data recordkeeping requirements and Data reporting requirements.</P>
        </LSTSUB>
        
        <P>For the reasons set forth in the preamble, and pursuant to the authority in the Commodity Exchange Act, as amended, and in particular Sections 2(h)(5) and 4r(a), the Commission also hereby proposes to amend Chapter 1 of Title 17 of the Code of Federal Regulations by adding Part 46 to read as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 46—SWAP DATA RECORDKEEPING AND REPORTING REQUIREMENTS: PRE-ENACTMENT AND TRANSITION SWAPS</HD>
          <CONTENTS>
            <SECHD>Sec.</SECHD>
            <SECTNO>46.1</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <SECTNO>46.2</SECTNO>
            <SUBJECT>Recordkeeping for pre-enactment swaps and transition swaps.</SUBJECT>
            <SECTNO>46.3</SECTNO>
            <SUBJECT>Swap data reporting for pre-enactment swaps and transition swaps.</SUBJECT>
            <SECTNO>46.4</SECTNO>
            <SUBJECT>Unique identifiers.<PRTPAGE P="22843"/>
            </SUBJECT>
            <SECTNO>46.5</SECTNO>
            <SUBJECT>Determination of which counterparty must report.</SUBJECT>
            <SECTNO>46.6</SECTNO>
            <SUBJECT>Third-party facilitation of data reporting.</SUBJECT>
            <SECTNO>46.7</SECTNO>
            <SUBJECT>Reporting to a single swap data repository.</SUBJECT>
            <SECTNO>46.8</SECTNO>
            <SUBJECT>Data reporting for swaps in a swap asset class not accepted by any swap data repository.</SUBJECT>
            <SECTNO>46.9</SECTNO>
            <SUBJECT>Required data standards.</SUBJECT>
            <SECTNO>46.10</SECTNO>
            <SUBJECT>Reporting of errors and omissions in previously reported data.</SUBJECT>
            <FP SOURCE="FP-2">Appendix to Part 46—Tables of Minimum Primary Economic Terms Data for Pre-Enactment and Transition Swaps.</FP>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Title VII, sections 723 and 729, Pub. L. 111-203, 124 Stat. 1738.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 46.1</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <P>Terms used in this part are defined as follows:</P>
            <P>
              <E T="03">Asset class</E>means the particular broad category of goods, services or commodities underlying a swap. The asset classes include interest rate, currency, credit, equity, other commodity, and such other asset classes as may be determined by the Commission.</P>
            <P>
              <E T="03">Compliance date</E>means the compliance date specified in the final swap data recordkeeping and reporting regulations in part 45 of this chapter as the date on which those regulations will be implemented, i.e., the date on which registered entities and swap counterparties must begin to comply with those regulations.</P>
            <P>
              <E T="03">Confirmation (</E>
              <E T="03">confirming)</E>means the consummation (electronically or otherwise) of legally binding documentation (electronic or otherwise) that memorializes the agreement of the parties to all terms of a swap. A confirmation must be in writing (whether electronic or otherwise) and must legally supersede any previous agreement (electronically or otherwise).</P>
            <P>
              <E T="03">Confirmation data</E>means all of the terms of a swap matched and agreed upon by the counterparties in confirming the swap.</P>
            <P>
              <E T="03">Credit support agreement</E>means an International Swaps and Derivatives Association, Inc. credit support agreement or equivalent agreement.</P>
            <P>
              <E T="03">Credit swap</E>means any swap that is primarily based on instruments of indebtedness, including, without limitation: any swap primarily based on one or more broad-based indices related to instruments of indebtedness; and any swap that is an index credit swap or total return swap on one or more indices of debt instruments.</P>
            <P>
              <E T="03">Currency swap</E>means any swap which is primarily based on rates of exchange between different currencies, changes in such rates, or other aspects of such rates. This category includes foreign exchange swaps as defined in Commodity Exchange Act Section 1a(25).</P>
            <P>
              <E T="03">Electronic reporting</E>or reporting<E T="03">electronically</E>means reporting data in compliance with § 46.9 of this part. The obligation to report electronically is not satisfied by electronic transmission of an image of a document.</P>
            <P>
              <E T="03">Equity swap</E>means any swap that is primarily based on equity securities, including, without limitation: any swap primarily based on one or more broad-based indices of equity securities; and any total return swap on one or more equity indices.</P>
            <P>
              <E T="03">Interest rate swap</E>means any swap which is primarily based on one or more interest rates, such as swaps of payments determined by fixed and floating interest rates.</P>
            <P>
              <E T="03">Major swap participant</E>has the meaning set forth in Commodity Exchange Act, Section 1a(33), and any Commission regulation implementing that Section.</P>
            <P>
              <E T="03">Master agreement</E>means an agreement, signed by the counterparties, providing comprehensive documentation of standard terms and conditions covering one or more swap transactions between such counterparties.</P>
            <P>
              <E T="03">Non-swap dealer/major swap participant counterparty</E>means a swap counterparty that is neither a swap dealer nor a major swap participant.</P>
            <P>
              <E T="03">Other commodity swap</E>means any swap not included in the credit swap, currency swap, equity swap, or interest rate swap categories, including, without limitation, any swap for which the primary underlying item is a physical commodity or the price or any other aspect of a physical commodity.</P>
            <P>
              <E T="03">Pre-enactment swap</E>means any swap entered into prior to enactment of the Dodd-Frank Act of 2010 (July 21, 2010), the terms of which have not expired as of the date of enactment of that Act.</P>
            <P>
              <E T="03">Reporting counterparty</E>means the counterparty required to report swap data pursuant to § 45.5 of this chapter.</P>
            <P>
              <E T="03">Swap data repository</E>has the meaning set forth in Commodity Exchange Act Section 1a(48), and any Commission regulation implementing that Section.</P>
            <P>
              <E T="03">Swap dealer</E>has the meaning set forth in Commodity Exchange Act, Section 1a(49), and any Commission regulation implementing that Section.</P>
            <P>
              <E T="03">Transition swap</E>means any swap entered into on or after the enactment of the Dodd-Frank Act of 2010 (July 21, 2010) and prior to the compliance date specified in the final swap data reporting and recordkeeping requirements regulations in part 45 of this chapter.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.2</SECTNO>
            <SUBJECT>Recordkeeping for pre-enactment swaps and transition swaps.</SUBJECT>
            <P>(a)<E T="03">Recordkeeping for pre-enactment and transition swaps in existence on or after April 25, 2011.</E>Each counterparty to any pre-enactment swap or transition swap that is in existence on or after April 25, 2011 shall keep the following records concerning each such swap:</P>
            <P>(1)<E T="03">Minimum records required.</E>The minimum records required to be kept concerning each pre-enactment swap and transition swap shall be as follows:</P>
            <P>(i) Each counterparty shall keep records of all of the minimum primary economic terms data specified in the appendix to this part.</P>
            <P>(ii) If at any time on or after April 25, 2011 a counterparty is in possession of a confirmation of the swap executed by the counterparties, the counterparty shall keep records of all terms of that confirmation.</P>
            <P>(2)<E T="03">Additional records required to be kept if possessed by a counterparty.</E>In addition to the minimum records required pursuant to paragraph (a)(1) of this part, a counterparty that is in possession at any time on or after April 25, 2011 of any of the following documentation shall keep copies thereof:</P>
            <P>(i) Any master agreement governing the swap, and any modification or amendment thereof.</P>
            <P>(ii) Any credit support agreement or equivalent documentation relating to the swap, and any modification or amendment thereof.</P>
            <P>(3)<E T="03">Records created or available after the compliance date.</E>In addition to the records required to be kept pursuant to paragraphs (a)(1) and (2) of this section, each counterparty to any pre-enactment swap or transition swap that remains in existence on the compliance date shall keep for each such swap, from the compliance date forward, all of the records required to be kept by § 45.2 of this chapter, to the extent that any such records are created by or become available to the counterparty on or after the compliance date.</P>
            <P>(b)<E T="03">Recordkeeping for pre-enactment and transition swaps expired or terminated prior to April 25, 2011.</E>Each counterparty to any pre-enactment swap or transition swap that is expired or terminated prior to April 25, 2011 shall keep the following records concerning each such swap:</P>
            <P>(1)<E T="03">Pre-enactment swaps expired prior to April 25, 2011.</E>Each counterparty to any pre-enactment swap that expired or was terminated prior to April 25, 2011 shall retain the information and documents relating to the terms of the transaction that were possessed by the counterparty on or after October 14,<PRTPAGE P="22844"/>2010 (17 CFR 44.00 through 44.02). Such information may be retained in the format in which it existed on or after October 14, 2010, or in such other format as the counterparty chooses to retain it. This paragraph (b)(1) does not require the counterparty to create or retain records of information not in its possession on or after October 14, 2010, or to alter the format, i.e., the method by which the information is organized and stored.</P>
            <P>(2)<E T="03">Transition swaps expired prior to April 25, 2011.</E>Each counterparty to any transition swap that expired or was terminated prior to April 25, 2011 shall retain the information and documents relating to the terms of the transaction that were possessed by the counterparty on or after December 17, 2010 (17 CFR 44.03). Such information may be retained in the format in which it existed on or after December 17, 2010, or in such other format as the counterparty chooses to retain it. This paragraph (b)(2) does not require the counterparty to create or retain records of information not in its possession on or after December 17, 2010, or to alter the format, i.e., the method by which the information is organized and stored.</P>
            <P>(c)<E T="03">Retention period.</E>All records required to be kept by this § 46.2 shall be kept from the applicable dates specified in paragraph (b) of this section through the life of the swap, and for a period of at least five years from the final termination of the swap, in a form and manner acceptable to the Commission.</P>
            <P>(d)<E T="03">Retrieval.</E>Records required to be kept pursuant to this § 46.2 shall be retrievable as follows:</P>
            <P>(1) Each record required to be kept by a counterparty that is a swap dealer or major swap participant shall be readily accessible via real time electronic access by the counterparty throughout the life of the swap and for two years following the final termination of the swap, and shall be retrievable by the registrant or its affiliates within three business days through the remainder of the period following final termination of the swap during which it is required to be kept.</P>
            <P>(2) Each record required to be kept by a non-swap dealer/major swap participant counterparty shall be retrievable by the counterparty within three business days through the period during which it is required to be kept.</P>
            <P>(e)<E T="03">Inspection.</E>All records required to be kept pursuant to this section shall be open to inspection upon request by any representative of the Commission, the United States Department of Justice, or the Securities and Exchange Commission, or by any representative of a prudential regulator. Copies of all such records shall be provided, at the expense of the entity or person required to keep the record, to any representative of the Commission upon request, either by electronic means, in hard copy, or both, as requested by the Commission.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.3</SECTNO>
            <SUBJECT>Swap data reporting for pre-enactment swaps and transition swaps.</SUBJECT>
            <P>(a)<E T="03">Reporting for pre-enactment and transition swaps in existence on or after April 25, 2011.</E>(1)<E T="03">Initial data report.</E>For each pre-enactment swap or transition swap in existence on or after April 25, 2011, the reporting counterparty shall report electronically to a swap data repository (or to the Commission if no swap data repository for swaps in the asset class in question is available), on the compliance date, the following:</P>
            <P>(i) All of the terms of the confirmation that are recorded in the automated systems of the reporting counterparty, if the terms so reported include all of the minimum primary economic terms data specified in the appendix to this part; or all of the minimum primary economic terms data specified in the appendix to this part;</P>
            <P>(ii) The Unique Counterparty Identifier required pursuant to § 46.4 of this part; and</P>
            <P>(iii) The following additional identifiers:</P>
            <P>(A) The internal counterparty identifier used by the automated systems of the reporting counterparty to identify the non-reporting counterparty;</P>
            <P>(B) The internal transaction identifier used by the automated systems of the reporting counterparty to identify the swap; and</P>
            <P>(C) The internal master agreement identifier (if any) used by the automated systems of the reporting counterparty to identify the master agreement governing the swap.</P>
            <P>(2)<E T="03">Non-duplication of previous reporting.</E>If the reporting counterparty for a pre-enactment or transition swap has reported any of the information required as part of the initial data report by paragraph (a) of this section to a trade repository prior to the compliance date, and if as of the compliance date that repository has registered with the Commission as a swap data repository, then:</P>
            <P>(i) The counterparty shall not be required to report such previously reported information to the swap data repository again;</P>
            <P>(ii) The counterparty shall be required to report to the swap data repository on the compliance date any information required as part of the initial data report by § 46.3(a) of this part that has not been reported prior to the compliance date; and</P>
            <P>(iii) The initial data report required by paragraph (b)(2) of this section and all subsequent data reporting concerning the swap shall be made to the same swap data repository to which data concerning the swap was reported prior to the compliance date (or to its successor in the event that it ceases to operate, as provided in part 49 of this chapter).</P>
            <P>(3)<E T="03">Reporting of required swap continuation data for a credit swap or equity swap.</E>For each pre-enactment or transition swap in either the credit swap or equity swap asset class, that is in existence on or after April 25, 2011, throughout the existence of the swap following the compliance date, the reporting counterparty, as defined in part 45 of this chapter, shall report all required swap continuation data required to be reported for credit swaps or equity swaps under part 45 of this chapter.</P>
            <P>(4)<E T="03">Reporting of required swap continuation data for an interest rate swap, other commodity swap, or currency swap.</E>For each pre-enactment or transition swap in the interest rate, other commodity, or currency asset class, that is in existence on or after April 25, 2011, throughout the existence of the swap following the compliance date, the reporting counterparty as defined in part 45 shall report required swap continuation data as follows:</P>
            <P>(i)<E T="03">Swaps for which the reporting counterparty is a swap dealer or major swap participant.</E>For each pre-enactment swap or transition swap in existence on or after April 25, 2011, for which the reporting counterparty as defined in part 45 is a swap dealer or major swap participant, the reporting counterparty shall report to a swap data repository electronically all required swap continuation data concerning the swap as provided in part 45.</P>
            <P>(ii)<E T="03">Swaps for which the reporting counterparty is a non-swap dealer/major swap participant counterparty.</E>For each pre-enactment swap or transition swap in existence on or after April 25, 2011, for which the reporting counterparty as defined in part 45 is a non-swap dealer/major swap participant counterparty, the reporting counterparty shall report to a swap data repository electronically all required swap continuation data concerning the swap as provided in part 45. However, notwithstanding any other provision of part 45, the state data reported to provide a snapshot view, on a daily basis, of the primary economic terms of the swap shall be the greater of the following which is in the possession of<PRTPAGE P="22845"/>the reporting counterparty on the compliance date:</P>
            <P>(A) The state data, or any part thereof, for the swap as defined in part 45 of this chapter; or</P>
            <P>(B) All of the data elements contained in the table of minimum primary economic terms for pre-enactment or transition swaps in the asset class of the swap in question that is included in the appendix to this part.</P>
            <P>(b)<E T="03">Reporting for pre-enactment and transition swaps expired or terminated prior to April 25, 2011.</E>(1)<E T="03">Pre-enactment swaps expired or terminated prior to April 25, 2011.</E>For each pre-enactment swap which expired or was terminated prior to April 25, 2011, the reporting counterparty shall report to a swap data repository (or to the Commission if no swap data repository for swaps in the asset class in question is available), on the compliance date, such information relating to the terms of the transaction as was in the reporting counterparty's possession on or after October 14, 2010 (17 CFR 44.00 through 44.02). This information can be reported via any method selected by the reporting counterparty.</P>
            <P>(2)<E T="03">Transition swaps expired or terminated prior to April 25, 2011.</E>For each transition swap which expired or was terminated prior to April 25, 2011, the reporting counterparty shall report to a swap data repository (or to the Commission if no swap data repository for swaps in the asset class in question is available), on the compliance date, such information relating to the terms of the transaction as was in the reporting counterparty's possession on or after December 17, 2010 (17 CFR 44.03). This information can be reported via any method selected by the reporting counterparty.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.4</SECTNO>
            <SUBJECT>Unique identifiers.</SUBJECT>
            <P>The unique identifier requirements for swap data reporting with respect to pre-enactment or transition swaps shall be as follows:</P>
            <P>(a) By the compliance date, the reporting counterparty (as defined by part 45 of this chapter) for each pre-enactment or transition swap in existence on or after April 25, 2011, for which an initial data report is required by this part 46, shall obtain a Unique Counterparty Identifier, as provided in part 45, for itself, and shall include its own Unique Counterparty Identifier in the initial data report concerning the swap. With respect to that Unique Counterparty Identifier, the reporting counterparty and the swap data repository to which the swap is reported shall comply thereafter with all unique identifier requirements of part 45 respecting Unique Counterparty Identifiers.</P>
            <P>(b) Within 180 days after the compliance date, the non-reporting counterparty for each pre-enactment or transition swap in existence on or after April 25, 2011 for which an initial data report is required by this part 46, shall obtain a Unique Counterparty Identifier, as provided in part 45, for itself, and shall provide that Unique Counterparty Identifier to the reporting counterparty. Upon receipt of the non-reporting counterparty's Unique Counterparty Identifier, the reporting counterparty shall provide that Unique Counterparty Identifier to the swap data repository to which swap data for the swap was reported. Thereafter, with respect to the Unique Counterparty Identifier of the non-reporting counterparty the counterparties to the swap and the swap data repository to which it is reported shall comply with all requirements of part 45 respecting Unique Counterparty Identifiers.</P>
            <P>(c) The Unique Counterparty Identifier requirements of parts 46 and 45 of this chapter shall not apply to pre-enactment or transition swaps expired or terminated prior to April 25, 2011.</P>
            <P>(d) The Unique Swap Identifier and Unique Product Identifier requirements of part 45 of this chapter shall not apply to pre-enactment or transition swaps.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.5</SECTNO>
            <SUBJECT>Determination of which counterparty must report.</SUBJECT>
            <P>(a) Determination of which counterparty must report swap data concerning each pre-enactment or transition swap shall be made as follows:</P>
            <P>(1) If only one counterparty is an SD, the SD shall fulfill all counterparty reporting obligations.</P>
            <P>(2) If neither party is an SD, and only one counterparty is an MSP, the MSP shall fulfill all counterparty reporting obligations.</P>
            <P>(3) For each pre-enactment swap or transition swap for which both counterparties are SDs, or both counterparties are MSPs, or both counterparties are non-SD/MSP counterparties, the counterparties shall agree as one term of their swap transaction which counterparty shall fulfill reporting obligations with respect to that swap; and the counterparty so selected shall fulfill all counterparty reporting obligations.</P>
            <P>(4) Notwithstanding the provisions of paragraphs (a)(1) through (3) of this section, if only one counterparty to a pre-enactment swap or transition swap is a U.S. person, that counterparty shall be the reporting counterparty and shall fulfill all counterparty reporting obligations.</P>
            <P>(5) If a reporting counterparty selected pursuant to paragraphs (a)(1) through (4) of this section ceases to be a counterparty to a swap due to an assignment or novation, and the new counterparty is a U.S. person, the new counterparty shall be the reporting counterparty and fulfill all reporting counterparty obligations following such assignment or novation. If a new counterparty to a swap due to an assignment or novation is not a U.S. person, the counterparty that is a U.S. person shall be the reporting counterparty and fulfill all reporting counterparty obligations following such assignment or novation.</P>
            <P>(b) For pre-enactment and transition swaps in existence as of the compliance date, determination of the reporting counterparty shall be made by applying the provisions of paragraph (a) of this section with respect to the current counterparties to the swap as of the compliance date, regardless of whether either or both were original counterparties to the swap when it was first executed.</P>
            <P>(c) For pre-enactment and transition swaps for which reporting is required, but which have expired or been terminated prior to the compliance date, determination of the reporting counterparty shall be made by applying the provisions of paragraph (a) of this section to the counterparties to the swap as of the date of its expiration or termination, regardless of whether either or both were original counterparties to the swap when it was first executed.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.6</SECTNO>
            <SUBJECT>Third-party facilitation of data reporting.</SUBJECT>
            <P>Counterparties required by this part 46 to report swap data for any pre-enactment or transition swap, while remaining fully responsible for reporting as required by this part 46, may contract with third-party service providers to facilitate reporting.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.7</SECTNO>
            <SUBJECT>Reporting to a single swap data repository.</SUBJECT>
            <P>All data reported for each pre-enactment or transition swap pursuant to this part 46, and all corrections of errors and omissions in previously reported data for the swap, by any registered entity or counterparty, shall be reported to the same swap data repository to which the initial data report concerning the swap is made (or to its successor in the event that it ceases to operate, as provided in part 49 of this chapter).</P>
          </SECTION>
          <SECTION>
            <PRTPAGE P="22846"/>
            <SECTNO>§ 46.8</SECTNO>
            <SUBJECT>Data reporting for swaps in a swap asset class not accepted by any swap data repository.</SUBJECT>
            <P>Should there be a swap asset class for which no swap data repository currently accepts swap data, each counterparty required by this part 46 to report swap data with respect to a pre-enactment or transition swap in that asset class must report that same data at a time and in a form and manner determined by the Commission.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.9</SECTNO>
            <SUBJECT>Required data standards.</SUBJECT>
            <P>In reporting swap data to a swap data repository as required by this part 46, each reporting counterparty shall use the facilities, methods, or data standards provided or required by the swap data repository to which counterparty reports the data.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 46.10</SECTNO>
            <SUBJECT>Reporting of errors and omissions in previously reported data.</SUBJECT>
            <P>(a) Each swap counterparty required by this part 46 to report swap data shall report any errors and omissions in the data so reported. Corrections of errors or omissions shall be reported as soon as technologically practicable after discovery of any such error or omission.</P>
            <P>(b) For pre-enactment or transition interest rate swaps, currency swaps, or other commodity swaps in existence as of the compliance date, reporting counterparties fulfill the requirement to report errors or omissions in state data previously reported as part of required continuation data reporting by making appropriate corrections in their next daily report of state data as required by this part 46 and part 45 of this chapter.</P>
            <P>(c) Each counterparty to a pre-enactment or transition swap that is not the reporting counterparty as determined pursuant to part 45, and that discovers any error or omission with respect to any swap data reported to a swap data repository for that swap, shall promptly notify the reporting counterparty of each such error or omission. Upon receiving such notice, the reporting counterparty shall report a correction of each such error or omission to the swap data repository, as provided in § 45.10(a) and (b) of this chapter.</P>
            <P>(d) Unless otherwise approved by the Commission, or by the Director of Market Oversight pursuant to part 45 of this chapter, each swap counterparty reporting corrections to errors or omissions in data previously reported as required by this part 46 shall report such corrections in the same format as it reported the erroneous or omitted data.</P>
            <APPENDIX>
              <HD SOURCE="HED">Appendix to Part 46—Tables of Minimum Primary Economic Terms Data for Pre-Enactment and Transition Swaps</HD>
              <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,i1">
                <TTITLE>Minimum Primary Economic Terms Data for Pre-Enactment and Transition Credit Swaps and Equity Swaps</TTITLE>
                <BOXHD>
                  <CHED H="1">Sample category</CHED>
                  <CHED H="1">Comment</CHED>
                </BOXHD>
                <ROW>
                  <ENT I="01">An indication of the counterparty purchasing protection and of the counterparty selling protection</ENT>
                  <ENT>E.g., option buyer and option seller; buyer and seller.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Information identifying the reference entity</ENT>
                  <ENT>The entity that is the subject of the protection being purchased and sold in the swap.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">An indication of whether or not both counterparties are swap dealers.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">An indication of whether or not both counterparties are major swap participants.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">An indication of whether or not either counterparty is a swap dealer or major swap participant.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The date and time of trade, expressed using Coordinated Universal Time (“CUT”).</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The venue where the swap was executed.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The effective date for the swap.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The expiration date for the swap.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01">The price</ENT>
                  <ENT>E.g., strike, initial price, spread, etc.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The notional amount, the currency in which the notional amount is expressed, and the equivalent notional amount in U.S. dollars</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The amount and currency or currencies of any up-front payment.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01">A description of the payment streams of each counterparty</ENT>
                  <ENT>E.g., coupon.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">The title of any master agreement incorporated by reference and the date of any such agreement</ENT>
                  <ENT>E.g., annex, credit agreement.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">If the transaction involved an existing swap, an indication that the transaction did not involve an opportunity to negotiate a material term of the contract, other than the counterparty</ENT>
                  <ENT>E.g., assignment.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The data elements necessary for a person to determine the market value of the transaction.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">Whether or not the swap will be cleared by a derivatives clearing organization.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">The name of the derivatives clearing organization that will clear the swap, if any.</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01">If the swap is not cleared, all of the settlement terms, including, without limitation, whether the swap is cash-settled or physically settled, and the method for determining the settlement value</ENT>
                  <ENT/>
                </ROW>
                <ROW>
                  <ENT I="01" O="xl">Any other primary economic term(s) of the swap matched by the counterparties in verifying the swap.</ENT>
                  <ENT/>
                </ROW>
              </GPOTABLE>
              <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,i1">
                <TTITLE>Minimum Primary Economic Terms Data for Pre-Enactment and Transition Currency Swaps</TTITLE>
                <BOXHD>
                  <CHED H="1">Sample data field</CHED>
                  <CHED H="1">Comments</CHED>
                </BOXHD>
                <ROW>
                  <ENT I="01">1Contract type</ENT>
                  <ENT>E.g., swap, swaption, forwards, options, basis swap, index swap, basket swap, other.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">2Swap transaction date</ENT>
                  <ENT>Date when the swap was entered.</ENT>
                </ROW>
                <ROW>
                  <PRTPAGE P="22847"/>
                  <ENT I="01">3Currency 1</ENT>
                  <ENT>International Organization for Standardization Code.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">4Currency 2</ENT>
                  <ENT>International Organization for Standardization Code.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">5Notional amount 1</ENT>
                  <ENT>For currency one.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">6Notional amount 2</ENT>
                  <ENT>For currency two.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">7Settlement agent of the reporting counterparty</ENT>
                  <ENT>ID of the settlement agent.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">8Settlement agent of the non-reporting counterparty</ENT>
                  <ENT>ID of the settlement agent.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">9Settlement currency</ENT>
                  <ENT>If applicable.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">10Exchange rate 1</ENT>
                  <ENT>At the moment of trade/agreement.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">11Exchange rate 2</ENT>
                  <ENT>At the moment of trade/agreement, if applicable.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">12Swap delivery type</ENT>
                  <ENT>Cash or physical.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">13Expiration date</ENT>
                  <ENT>Expiration date of the contract.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Any other primary economic term(s) of the swap matched by the counterparties in verifying the swap</ENT>
                </ROW>
              </GPOTABLE>
              <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,i1">
                <TTITLE>Minimum Primary Economic Terms Data for Pre-Enactment and Transition Interest Rate Swaps</TTITLE>
                <BOXHD>
                  <CHED H="1">Sample data field</CHED>
                  <CHED H="1">Comment</CHED>
                </BOXHD>
                <ROW>
                  <ENT I="01">1Contract type</ENT>
                  <ENT>E.g., swap, swaption, option, basis swap, index swap, etc.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">2Swap transaction date</ENT>
                  <ENT>Date when the swap was entered.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">3Swap effective date</ENT>
                  <ENT>Effective date of the contract.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">4Swap end-date</ENT>
                  <ENT>Expiration date of the contract.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">5Notional amount one</ENT>
                  <ENT>The current active notional in local currency.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">6Notional currency one</ENT>
                  <ENT>International Organization for Standardization code of the notional currency.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">7Notional amount two</ENT>
                  <ENT>The second notional amount (e.g., receiver leg).</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">8Notional currency two</ENT>
                  <ENT>International Organization for Standardization code of the notional currency.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">9Payer (fixed rate)</ENT>
                  <ENT>Is the reporting party a fixed rate payer? Yes/No/Not applicable.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">10Fixed leg payment frequency</ENT>
                  <ENT>How often will the payments on fixed leg be made.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">11Direction</ENT>
                  <ENT>For swaps—if the principal is paying or receiving the fixed rate. For float-to-float and fixed-to-fixed swaps, it is unspecified. For non-swap instruments and swaptions, the instrument that was bought or sold.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">12Option type</ENT>
                  <ENT>E.g., put, call, straddle.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">13Fixed rate</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">14Fixed rate day count fraction</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">15Floating rate payment frequency</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">16Floating rate reset frequency</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">17Floating rate index name/rate period</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">18Leg 1</ENT>
                  <ENT>If two floating legs, report what is paid.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">19Leg 2</ENT>
                  <ENT>If two floating legs, report what is received.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Any other primary economic term(s) of the swap matched by the counterparties in verifying the swap</ENT>
                </ROW>
              </GPOTABLE>
              <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,i1">
                <TTITLE>Minimum Primary Economic Terms Data for Pre-Enactment and Transition Other Commodity Swaps</TTITLE>
                <BOXHD>
                  <CHED H="1">Sample data field</CHED>
                  <CHED H="1">Comment</CHED>
                </BOXHD>
                <ROW>
                  <ENT I="01">1Contract type</ENT>
                  <ENT>E.g., swap, swaption, option, etc.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">2Swap transaction date</ENT>
                  <ENT>Date when the swap was entered.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">3Quantity</ENT>
                  <ENT>The unit of measure applicable for the quantity on the swap.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">4Start date</ENT>
                  <ENT>Predetermined start date from which payments will be exchanged.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">5End-date</ENT>
                  <ENT>Predetermined end date from which payments will be exchanged.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">6Buyer pay index</ENT>
                  <ENT>The published price as paid by the buyer.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">7Seller pay index</ENT>
                  <ENT>The published price as paid by the seller.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">8Buyer</ENT>
                  <ENT>Party purchasing product, e.g. payer of the fixed price (for swaps), or payer of the floating price (for put swaption), or payer of the fixed price (for call swaption).</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">9Seller</ENT>
                  <ENT>Party offering product, e.g. payer of the floating price (for swaps), payer of the fixed price (for put swaption), or payer of the floating price (for call swaption).</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">10Price</ENT>
                  <ENT>E.g., fixed price, the heat rate value, etc.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">11Price unit</ENT>
                  <ENT>The unit of measure applicable for the price on the transaction.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">12Grade</ENT>
                  <ENT>E.g., the grade of oil or refined product being delivered.</ENT>
                </ROW>
                <ROW>
                  <ENT I="01">Any other primary economic term(s) of the swap matched by the counterparties in verifying the swap</ENT>
                </ROW>
              </GPOTABLE>
              <SIG>
                <PRTPAGE P="22848"/>
                <DATED>Issued in Washington, DC, on April 6, 2011, by the Commission.</DATED>
                <NAME>David A. Stawick,</NAME>
                <TITLE>Secretary of the Commission.</TITLE>
              </SIG>
            </APPENDIX>
          </SECTION>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9446 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6351-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <CFR>32 CFR Part 83</CFR>
        <DEPDOC>[Docket ID DOD-2010-OS-0108]</DEPDOC>
        <RIN>RIN 0790-AI63</RIN>
        <SUBJECT>Alternative Dispute Resolution (ADR) and Conflict Management</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Defense Legal Services Agency, DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This part establishes policy and assigns responsibilities. It establishes a framework for encouraging the expanded use of alternative means of dispute resolution and conflict management practices as an integral part of normal business practices within the Department of Defense.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received by June 24, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by docket number and or RIN number and title, by any of the following methods:</P>
          <P>•<E T="03">Federal Rulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Mail:</E>Federal Docket Management System Office, 1160 Defense Pentagon, Room 3C843, Washington, DC 20301-1160.</P>
          <P>
            <E T="03">Instructions:</E>All submissions received must include the agency name and docket number or Regulatory Information Number (RIN) for this<E T="04">Federal Register</E>document. The general policy for comments and other submissions from members of the public is to make these submissions available for public viewing on the Internet at<E T="03">http://www.regulations.gov</E>as they are received without change, including any personal identifiers or contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Christine M. Kopocis, 703-696-1809.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Regulatory Procedures</HD>
        <HD SOURCE="HD2">Executive Order 12866, “Regulatory Planning and Review” and Executive Order 13563, “Improving Regulation and Regulatory Review”</HD>
        <P>It has been certified that 32 CFR part 83 does not:</P>
        <P>(1) Have an annual effect on the economy of $100 million or more or adversely affect in a material way the economy; a section of the economy; productivity; competition; jobs; the environment; public health or safety; or State, local, or tribal governments or communities;</P>
        <P>(2) Create a serious inconsistency or otherwise interfere with an action taken or planned by another Agency;</P>
        <P>(3) Materially alter the budgetary impact of entitlements, grants, user fees, or loan programs, or the rights and obligations of recipients thereof; or</P>
        <P>(4) Raise novel legal or policy issues arising out of legal mandates, the President's priorities, or the principles set forth in these Executive Orders.</P>
        <HD SOURCE="HD2">Sec. 202, Public Law 104-4, “Unfunded Mandates Reform Act”</HD>
        <P>It has been certified that 32 CFR part 83 does not contain a Federal mandate that may result in expenditure by State, local and tribal governments, in aggregate, or by the private sector, of $100 million or more in any one year.</P>
        <HD SOURCE="HD2">Public Law 96-354, “Regulatory Flexibility Act” (5 U.S.C. 601)</HD>
        <P>It has been certified that 32 CFR part 83 is not subject to the Regulatory Flexibility Act (5 U.S.C. 601) because it [would or would not], if promulgated, have a significant economic impact on a substantial number of small entities.</P>
        <HD SOURCE="HD2">Public Law 96-511, “Paperwork Reduction Act” (44 U.S.C. Chapter 35)</HD>
        <P>It has been certified that 32 CFR part 83 does not impose reporting or recordkeeping requirements under the Paperwork Reduction Act of 1995.</P>
        <HD SOURCE="HD2">Executive Order 13132, “Federalism”</HD>
        <P>It has been certified that 32 CFR part 83 does not have federalism implications, as set forth in Executive Order 13132. This rule does not have substantial direct effects on:</P>
        <P>(1) The States;</P>
        <P>(2) The relationship between the National Government and the States; or</P>
        <P>(3) The distribution of power and responsibilities among the various levels of Government.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 32 CFR Part 83</HD>
          <P>Personnel, Dispute resolution.</P>
        </LSTSUB>
        
        <P>Accordingly, 32 CFR Part 83 is proposed to be added to read as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 83—ALTERNATIVE DISPUTE RESOLUTION (ADR) AND CONFLICT MANAGEMENT</HD>
          <CONTENTS>
            <SECHD>Sec.</SECHD>
            <SECTNO>83.1</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <SECTNO>83.2</SECTNO>
            <SUBJECT>Applicability.</SUBJECT>
            <SECTNO>83.3</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <SECTNO>83.4</SECTNO>
            <SUBJECT>Policy.</SUBJECT>
            <SECTNO>83.5</SECTNO>
            <SUBJECT>Responsibilities.</SUBJECT>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>5 U.S.C. 571-584; Executive Order 12988.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 83.1</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <P>This part:</P>
            <P>(a) Establishes policy pursuant to title 5, United States Code (U.S.C.) 571-584 and Executive Order 12988.</P>
            <P>(b) Assigns responsibilities, and</P>
            <P>(c) Establishes a framework for encouraging the expanded use of alternative means of dispute resolution and conflict management practices as an integral part of normal business practices within the Department of Defense.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 83.2</SECTNO>
            <SUBJECT>Applicability.</SUBJECT>
            <P>This part applies to the Office of the Secretary of Defense, the Military Departments, the Office of the Chairman of the Joint Chiefs of Staff and the Joint Staff, the Combatant Commands, the Office of the Inspector General of the Department of Defense, the Defense Agencies, the DoD Field Activities, and all other organizational entities within the Department of Defense (hereafter referred to collectively as the “DoD Components”).</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 83.3</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <P>These terms and their definitions are for the purpose of this part.</P>
            <P>
              <E T="03">Alternative dispute resolution (ADR).</E>Any procedure that is used to resolve issues in controversy, including, but not limited to, conciliation, facilitation, mediation, fact finding, mini-trials, arbitration, and use of ombuds, or any combination thereof.</P>
            <P>
              <E T="03">ADR coordinating committee.</E>The group consisting of the dispute resolution specialists designated under title 5 U.S.C. 571-584 or their representatives from the DoD Components and other officials appointed by the Deputy General Counsel (Legal Counsel) (DGC(LC)). The purpose of the ADR Coordinating Committee is to promote among the DoD Components the exchange of information on ADR and conflict management design and implementation.</P>
            <P>
              <E T="03">Conflict management.</E>A systemic process used to proactively identify and manage, at the earliest stage possible, conflict that can lead to one or more disputes, for the purpose of reducing the<PRTPAGE P="22849"/>incidence of disputes and increasing the likelihood that disputes that do arise may be resolved efficiently, effectively, and expeditiously. Techniques used in the process include, but are not limited to, structured unassisted negotiation (e.g., use of interest-based negotiation techniques), joint or collaborative problem-solving, coaching, and the design of an integrated conflict management system.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 83.4</SECTNO>
            <SUBJECT>Policy.</SUBJECT>
            <P>It is DoD policy that:</P>
            <P>(a) The Department of Defense shall foster and advance collaboration and coordination among the DoD Components on the use of ADR and conflict management practices.</P>
            <P>(b) Each DoD Component shall establish and implement ADR program(s) to resolve disputes at the earliest possible stage of the dispute and at the lowest possible organizational level. Any dispute, regardless of subject matter, is a potential candidate for ADR.</P>
            <P>(c) DoD personnel are encouraged to identify and address underlying conflict in order to prevent and avoid disputes.</P>
            <P>(d) All personally identifiable information (PII) collected during the course of the ADR process shall be maintained and protected in accordance with title 32, Code of Federal Regulations (CFR) part 310.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 83.5</SECTNO>
            <SUBJECT>Responsibilities.</SUBJECT>
            <P>(a) The General Counsel, Department of Defense (GC, DoD) shall develop policy and provide guidance on the administration of ADR.</P>
            <P>(b) The DGC(LC), under the authority, direction, and control of the GC, DoD, shall:</P>
            <P>(1) Monitor the implementation of policies and procedures pertaining to the use of ADR and conflict management practices within the Department of Defense.</P>
            <P>(2) Establish a data collection and reporting system to evaluate the use of ADR and conflict management practices, as determined necessary, within the Department of Defense.</P>
            <P>(3) Provide reports, as determined necessary, to the Secretary of Defense on the use of ADR within the Department of Defense.</P>
            <P>(4) Chair the ADR Coordinating Committee.</P>
            <P>(5) Ensure that the ADR Coordinating Committee:</P>
            <P>(i) Shares information among the DoD Components on ADR and conflict management policies and practices.</P>
            <P>(ii) Collaborates, as needed, in the design and implementation of ADR and conflict management practices.</P>
            <P>(iii) Collaborates with other programs in the Department of Defense (e.g., Equal Employment Opportunity (EEO)) as needed to integrate ADR and conflict management into the normal business practices of the Department of Defense.</P>
            <P>(iv) Establishes DoD-wide working groups and takes other steps to coordinate and facilitate ADR and conflict management practices within the Department of Defense.</P>
            <P>(6) Ensure that the Associate Director, Center for Alternative Dispute Resolution, Defense Office of Hearings and Appeals:</P>
            <P>(i) Provides support to the DGC(LC) in fulfilling the duties under this part.</P>
            <P>(ii) Provides facilitation, administrative, and substantive support for the activities of the ADR Coordinating Committee.</P>
            <P>(iii) Represents the Department of Defense as a member of the Interagency ADR Working Group Steering Committee.</P>
            <P>(iv) Upon request of a DoD Component, provides consulting, education, and referral services for the design, implementation, training, and evaluation of ADR and conflict management practices.</P>
            <P>(v) Upon request of a DoD Component, designates and makes available third-party neutrals qualified to conduct ADR and conflict management processes specified by the DGC(LC).</P>

            <P>(c) The Director, Washington Headquarters Services (WHS), under the authority, direction, and control of the Director of Administration and Management, shall offer ADR services to WHS serviced customers in accordance with Administrative Instruction 106 (<E T="03">see http://www.dtic.mil/whs/directives/corres/pdf/a106p.pdf</E>).</P>
            <P>(d) The Heads of DoD Components shall:</P>
            <P>(1) Appoint a dispute resolution specialist as the term is used in title 5 U.S.C. 571-584 and inform the Associate Director, Center for Alternative Dispute Resolution, of the appointment.</P>
            <P>(2) Establish, implement, and operate programs to expand the use of ADR and conflict management practices that are appropriate to their Component and in accordance with public law and DoD policy.</P>
            <P>(3) Review and revise, where appropriate, existing ADR and conflict management practices to promote increased awareness and use of ADR and conflict management consistent with DoD policy.</P>
            <P>(4) Consistent with accomplishing their assigned missions, actively promote the use of ADR and conflict management practices.</P>
            <P>(5) Identify and eliminate barriers to the use of ADR and conflict management practices.</P>
            <P>(6) Provide copies of Component ADR policies and implementing procedures to the Associate Director, Center for Alternative Dispute Resolution.</P>
            <P>(7) Provide representatives and information to the ADR Coordinating Committee and working groups, as requested.</P>
            <P>(8) Provide training to employees involved in implementing and maintaining the Component's ADR policy and program.</P>
            <P>(9) Collaborate with other DoD Components and other offices (e.g., Equal Employment Office) as appropriate when designing and implementing ADR and conflict management policies and procedures.</P>
            <P>(10) Establish a data collection system to monitor ADR and conflict management practices as determined necessary and in compliance with the information requirement in § 83.6 of this part.</P>

            <P>(11) Link the Component's ADR Web site, if one is established, to the ADR Web sites of other DoD Components as well as to the Interagency ADR Working Group Steering Committee Web site at<E T="03">http://www.adr.gov.</E>
            </P>
            <P>(12) Use existing Government resources, to the extent possible, to avoid unnecessary expenditure of time and money when designing and implementing dispute resolution and conflict management programs.</P>
            <P>(13) Provide sufficient resources, including dedicated personnel resources, as necessary, to fulfill the responsibilities listed in this part.</P>
            <P>(14) Ensure the collection, use, and release of PII complies with title 5 U.S.C. 552a as implemented by title 32 CFR part 310.</P>
          </SECTION>
          <SIG>
            <DATED>Dated: March 2, 2011.</DATED>
            <NAME>Patricia L. Toppings,</NAME>
            <TITLE>OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9750 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <CFR>32 CFR Part 223</CFR>
        <DEPDOC>[Docket ID: DOD-2010-OS-0108]</DEPDOC>
        <RIN>RIN 0790-AI64</RIN>
        <SUBJECT>DoD Unclassified Controlled Nuclear Information (UCNI)</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Defense</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <PRTPAGE P="22850"/>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This rule updates policies and responsibilities for controlling Department of Defense (DoD) Unclassified Controlled Nuclear Information (UCNI) in accordance with the provisions of current U.S. Code. This revision streamlines and reflects current practices within the Department of Defense.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received by June 24, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by docket number and or RIN number and title, by any of the following methods:</P>
          <P>•<E T="03">Federal Rulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Mail:</E>Federal Docket Management System Office, 1160 Defense Pentagon, OSD Mailroom 3C843, Washington, DC 20301-1160.</P>
          <P>
            <E T="03">Instructions:</E>All submissions received must include the agency name and docket number or Regulatory Information Number (RIN) for this<E T="04">Federal Register</E>document. The general policy for comments and other submissions from members of the public is to make these submissions available for public viewing on the Internet at<E T="03">http://www.regulations.gov</E>as they are received without change, including any personal identifiers or contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Linda B. Jones, (757) 229-3866.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Executive Order 12866, “Regulatory Planning and Review” and Executive Order 13563, “Improving Regulation and Regulatory Review”</HD>
        <P>It has been certified that 32 CFR part 223 does not:</P>
        <P>(1) Have an annual effect on the economy of $100 million or more or adversely affect in a material way the economy; a section of the economy; productivity; competition; jobs; the environment; public health or safety; or State, local, or tribunal governments or communities;</P>
        <P>(2) Create a serious inconsistency or otherwise interfere with an action taken or planned by another Agency;</P>
        <P>(3) Materially alter the budgetary impact of entitlements, grants, user fees, or loan programs, or the rights and obligations of recipients thereof; or</P>
        <P>(4) Raise novel legal or policy issues arising out of legal mandates, the President's priorities, or the principles set forth in these Executive Orders.</P>
        <HD SOURCE="HD1">Section 202, Public Law 104-4, “Unfunded Mandates Reform Act”</HD>
        <P>It has been certified that 32 CFR part 223 does not contain a Federal mandate that may result in the expenditure by State, local and tribunal governments, in aggregate, or by the private sector, of $100 million or more in any one year.</P>
        <HD SOURCE="HD1">Public Law 96-354, “Regulatory Flexibility Act” (5 U.S.C. 601)</HD>
        <P>It has been certified that 32 CFR part 223 is not subject to the Regulatory Flexibility Act (5 U.S.C. 601) because it would not, if promulgated, have a significant economic impact on a substantial number of small entities.</P>
        <HD SOURCE="HD1">Public Law 96-511, “Paperwork Reduction Act” (44 U.S.C. Chapter 35)</HD>
        <P>It has been certified that 32 CFR part 223 does not impose reporting or recordkeeping requirements under the Paperwork Reduction Act of 1995.</P>
        <HD SOURCE="HD1">Executive Order 13132, “Federalism”</HD>
        <P>It has been certified that 32 CFR part 223 does not have federalism implications, as set forth in Executive Order 13132. This rule does not have substantial direct effects on:</P>
        <P>(1) The States;</P>
        <P>(2) The relationship between the National Government and the States; or</P>
        <P>(3) The distribution of power and responsibilities among the various levels of Government.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 32 CFR Part 223</HD>
          <P>National defense, Nuclear energy, Reporting and recordkeeping requirements, Security measures.</P>
        </LSTSUB>
        
        <P>Accordingly, 32 CFR part 223 is proposed to be revised as follows.</P>
        <PART>
          <HD SOURCE="HED">PART 223—DOD UNCLASSIFIED CONTROLLED NUCLEAR INFORMATION (UCNI)</HD>
          <CONTENTS>
            <SECHD>Sec.</SECHD>
            <SECTNO>223.1</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <SECTNO>223.2</SECTNO>
            <SUBJECT>Applicability.</SUBJECT>
            <SECTNO>223.3</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <SECTNO>223.4</SECTNO>
            <SUBJECT>Policy.</SUBJECT>
            <SECTNO>223.5</SECTNO>
            <SUBJECT>Responsibilities.</SUBJECT>
            <SECTNO>223.6</SECTNO>
            <SUBJECT>Procedures-identifying and controlling DoD UCNI.</SUBJECT>
            <SECTNO>223.7</SECTNO>
            <SUBJECT>Procedures-determination of DoD UCNI.</SUBJECT>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>10 U.S.C. 128 and 5 U.S.C. 552(b)(3).</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 223.1</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <P>This part:</P>
            <P>(a) Assigns responsibilities and prescribes procedures for the implementation of policy in title 10, United States Code (U.S.C.) 128, which is the statutory basis for controlling unclassified information on the physical protection of DoD special nuclear material (SNM), SNM equipment, and SNM facilities. Such information is referred to as DoD UCNI, to distinguish it from a similar Department of Energy (DOE) program.</P>
            <P>(b) Identifies the authority to be used for denying disclosure of DoD UCNI under title 5 U.S.C. 552.</P>
            <P>(c) Supplements security classification guidance contained in DoD Instruction 5210.67,<SU>1</SU>
              <FTREF/>DOE classification guide CG-SS-4<SU>2</SU>
              <FTREF/>and DoD/DOE joint classification guides by establishing procedures for identifying, controlling, and limiting the dissemination of unclassified information on the physical protection of DoD SNM.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.2</SECTNO>
            <SUBJECT>Applicability.</SUBJECT>
            <FTNT>
              <P>
                <SU>1</SU>Copies available on the Internet at<E T="03">http://www.dtic.mil/whs/directives/corres/pdf/521067p.pdf.</E>
              </P>
            </FTNT>
            <FTNT>
              <P>
                <SU>2</SU>Copies available to authorized recipients from the Director of Classification, Department of Energy.</P>
            </FTNT>
            <P>This part applies to:</P>
            <P>(a) Office of the Seceretary of Defense, the Military Departments, the Office of the Chairman of the Joint Chiefs of Staff and the Joint Staff, the Combatant Commands, the Office of the Inspector General of the Department of Defense, the Defense Agencies, the DoD Field Activities, and all other organizational entities within the Department of Defense (hereafter referred to collectively as the “DoD Components”).</P>
            <P>(b) All SNM, regardless of form, whether in reactor cores or other items (including nuclear weapons) under the direct control of the DoD Components.</P>
            <P>(c) Nuclear weapons containing SNM that are in DoD custody (hereafter referred to as “nuclear weapons in DoD custody”).</P>
            <P>(d) Contractors, consultants, and grantees of the Department of Defense.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.3</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <P>These terms and their definitions are for the purposes of this part:</P>
            <P>
              <E T="03">(a) Atomic Energy Defense Programs.</E>Activities, equipment, and facilities of the Department of Defense that are capable of the following:</P>
            <P>(1) Development, production, testing, sampling, maintenance, repair, modification, assembly, utilization, transportation, or retirement of nuclear weapons or nuclear weapon components.</P>
            <P>(2) Production, utilization, or transportation of DoD SNM for military applications.</P>

            <P>(3) Safeguarding of activities, equipment, or facilities that support the functions in paragraphs (a)(1) and (a)(2) of this section, including the protection<PRTPAGE P="22851"/>of nuclear weapons, nuclear weapon components, or DoD SNM for military applications at a fixed facility or in transit.</P>
            <P>
              <E T="03">(b) Document or material.</E>The physical medium on or in which information is recorded, or a product or substance that contains or reveals information, regardless or its physical form or characteristics.</P>
            <P>
              <E T="03">(c) DoD UCNI.</E>Unclassified information on the physical protection of DoD special nuclear material, equipment, and facilities.</P>
            <P>
              <E T="03">(d) Information.</E>Any fact or concept, regardless of the physical form or characteristics of the medium on or in which it is recorded, contained, or revealed.</P>
            <P>
              <E T="03">(e) Reviewing official.</E>An individual appointed by the Assistant Secretary of Defense for Nuclear, Chemical and Biological Defense Programs who may make a determination that a document or material contains, does not contain, or no longer contains DoD UCNI.</P>
            <P>
              <E T="03">(f) Safeguards.</E>An integrated system of physical protection, material accounting, and material control measures designed to deter, prevent, detect, and respond to unauthorized possession, use, or sabotage of DoD SNM, SNM equipment or SNM facilities.</P>
            <P>
              <E T="03">(g) SNM.</E>Defined in 42 U.S.C. 2014.</P>
            <P>
              <E T="03">(h) SNM equipment.</E>Equipment, systems, or components whose failure or destruction would cause an impact on safeguarding DoD SNM resulting in an unacceptable interruption to a national security program or an unacceptable impact on the health and safety of the public.</P>
            <P>
              <E T="03">(i) SNM facility.</E>A DoD facility that performs a function in support of Atomic Energy Defense Programs whose disruption could reasonably be expected to have a significant adverse effect on safeguarding DoD SNM, the health and safety of the public or the common defense and security.</P>
            <P>
              <E T="03">(j) Unauthorized dissemination.</E>The intentional or negligent transfer, in any manner and by any person, of information contained in a document or material determined by a reviewing official to contain DoD UCNI, and so marked in accordance with the procedures in § 223.6 of this part, to any person or entity other than an individual or entity authorized access to DoD UCNI in accordance with title 10 U.S.C. 128 and this part.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.4</SECTNO>
            <SUBJECT>Policy.</SUBJECT>
            <P>It is DoD policy that:</P>
            <P>(a) Unauthorized dissemination of unclassified information pertaining to security measures, including security plans, procedures, and equipment, for the physical protection of DoD SNM, equipment, or facilities is prohibited.</P>
            <P>(b) Unclassified information shall be protected as DoD UCNI based on a determination that the unauthorized dissemination of such information could reasonably be expected to have a significant adverse effect on the health and safety of the public or the common defense and security by significantly increasing the likelihood of the illegal production of nuclear weapons or the theft, diversion, or sabotage of DoD SNM, SNM equipment, or SNM facilities.</P>
            <P>(c) Information regarding physical protection of DoD SNM shall be made publicly available to the fullest extent possible by applying the minimum restrictions, consistent with the requirements of title 10 U.S.C. 128, necessary to protect the health and safety of the public or the common defense and security.</P>
            <P>(d) This part and part 1017 of title 10 of the Code of Federal Regulations shall be used as guidance for handling DOE UCNI that is under DoD control.</P>
            <P>(e) This part does not prevent a determination that information previously determined to be DoD UCNI is classified information in accordance with DoD 5200.1-R<SU>3</SU>
              <FTREF/>and other applicable standards of classification.</P>
            <FTNT>
              <P>
                <SU>3</SU>Available on the Internet at<E T="03">http://www.dtic.mil/whs/directives/corres/pdf/520001r.pdf.</E>
              </P>
            </FTNT>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.5</SECTNO>
            <SUBJECT>Responsibilities.</SUBJECT>
            <P>(a) The Under Secretary of Defense for Intelligence (USD(I)) shall oversee the DoD program for controlling DoD UCNI and coordinate DoD compliance with the DOE program for controlling DOE UCNI.</P>
            <P>(b) The Assistant Secretary of Defense for Nuclear, Chemical and Biological Defense Programs (ASD(NCB)), under the authority, direction, and control of the Under Secretary of Defense for Acquisition, Technology and Logistics, shall:</P>
            <P>(1) Identify information regarding nuclear weapons security and the protection of SNM at DoD nuclear reactor facilities as DoD UCNI and protect it from unauthorized dissemination, consistent with the requirements of title 10 U.S.C. 128 and this part.</P>
            <P>(2) Advise the USD(I) on implementation of the DoD UCNI program.</P>
            <P>(3) Designate a DoD UCNI reviewing official, who shall be authorized to determine that materials or documents contain, do not contain, or no longer contain DoD UCNI.</P>
            <P>(c) The Director, Administration and Management shall provide guidance, as needed, to the Heads of the DoD Components regarding title 5 U.S.C. 552, as implemented by title 32, Code of Federal Regulations (CFR) 286, as it applies to the DoD UCNI program.</P>
            <P>(d) The Heads of the DoD Components shall identify DoD UCNI within their Component and protect it from unauthorized dissemination, consistent with the requirements of title 10 U.S.C. 128 and this part.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.6</SECTNO>
            <SUBJECT>Procedures—identifying and controlling DoD UCNI.</SUBJECT>
            <P>(a)<E T="03">General.</E>(1) The decision to protect unclassified information as DoD UCNI shall be based on a determination that the unauthorized dissemination of such information could reasonably be expected to have an adverse effect on the health and safety of the public or the common defense and security by increasing significantly the likelihood of the illegal production of nuclear weapons or the theft, diversion, or sabotage of DoD SNM, SNM equipment, SNM facilities or nuclear weapons in DoD custody. This is called the “adverse effects test.”</P>
            <P>(2) DoD UCNI shall be identified, controlled, marked, transmitted, and safeguarded in the DoD Components and the North Atlantic Treaty Organization (NATO), and among DoD contractors, consultants, and grantees. Within NATO, DoD UCNI shall be marked, controlled, and safeguarded as “NATO RESTRICTED” information.</P>
            <P>(3) Contracts requiring access to or the preparation of unclassified information that is or could be DoD UCNI shall require compliance with this part and any applicable DoD Component regulations, and shall specify requirements for identifying, marking, handling and safeguarding DoD UCNI.</P>
            <P>(b)<E T="03">Identifying DoD UCNI.</E>(1) To be designated and protected as DoD UCNI, information must:</P>
            <P>(i) Be unclassified.</P>
            <P>(ii) Pertain to security measures, including plans, procedures, and equipment, for the physical protection of DoD SNM, SNM equipment, SNM facilities, or nuclear weapons in DoD custody.</P>
            <P>(iii) Meet the adverse effects test.</P>
            <P>(2) Information about DoD SNM shall be protected as DoD UCNI if it falls within one or more of the categories listed in § 223.7(c) and meets the criteria in paragraph (b)(1) of this section.</P>

            <P>(3) DoD personnel, in making a determination to protect unclassified information as DoD UCNI, shall consider the probability of illegal production of nuclear weapons or of<PRTPAGE P="22852"/>theft, diversion, or sabotage of DoD SNM, SNM equipment, SNM facilities, or nuclear weapons in DoD custody if the information proposed for protection were made available for public disclosure and dissemination. The cognizant official shall consider how the unauthorized disclosure or dissemination of such information could assist a potential adversary in:</P>

            <P>(i) Selecting a target for an act of theft, diversion, or sabotage of nuclear weapons in DoD custody, DoD SNM, SNM equipment, or SNM facilities (<E T="03">e.g.,</E>relative importance of a facility or the location, form, and quantity of DoD SNM). Information that can be obtained by observation from public areas outside controlled locations should not be considered as DoD UCNI.</P>

            <P>(ii) Planning or committing an act of theft, diversion, or sabotage of nuclear weapons in DoD custody, DoD SNM, SNM equipment, or SNM facilities (<E T="03">e.g.,</E>design of security systems; building plans; methods and procedures for transfer, accountability, and handling of DoD SNM; or security plans, procedures, and capabilities).</P>

            <P>(iii) Measuring the success of an act of theft, diversion, or sabotage of nuclear weapons in DoD custody, DoD SNM, SNM equipment, or SNM facilities (<E T="03">e.g.,</E>actual or hypothetical consequences of the sabotage of specific vital equipment or facilities).</P>
            <P>(iv) Illegally producing a nuclear explosive device (<E T="03">e.g.,</E>unclassified nuclear weapon design information useful in designing a primitive nuclear device; location of unique DoD SNM needed to fabricate such a device; or location of a nuclear weapon).</P>
            <P>(v) Dispersing DoD SNM in the environment (<E T="03">e.g.,</E>location, form, and quantity of DoD SNM).</P>
            <P>(d) Where questions or disagreements arise on designation or continued protection of information as DoD UCNI, the reviewing official appointed by the ASD(NCB) shall make the final determination. If a determination cannot be made because applicable guidance is unclear or does not exist, the document or material in question shall be referred to the reviewing official for a determination.</P>
            <P>(c)<E T="03">Access to DoD UCNI.</E>(1) No explicit designation or security clearance is required for access to DoD UCNI; however, a person granted access to DoD UCNI must have a need to know the specific DoD UCNI to which access is granted in the performance of official duties or of DoD-authorized activities.</P>
            <P>(2) The individual granting access to DoD UCNI shall notify each person granted such access of applicable regulations, including the physical protection and access requirements, concerning the protection of DoD UCNI as well as any special dissemination limitations that apply to the specific DoD UCNI to which access is being granted, prior to dissemination of the DoD UCNI to the person.</P>
            <P>(3) The requirement to notify persons granted access to DoD UCNI of applicable regulations concerning protection and dissemination of DoD UCNI may be met by attachment of an appropriate cover sheet to the front of each document or material containing DoD UCNI prior to its transmittal to the person granted access.</P>
            <P>(d)<E T="03">Marking DoD UCNI.</E>(1) An unclassified document with DoD UCNI shall be marked “DoD UNCLASSIFIED CONTROLLED NUCLEAR INFORMATION” at the bottom on the outside of the front cover, if any; on the outside of the back cover, if any; on the first page; and on each individual page containing DoD UCNI.</P>
            <P>(2) Within an unclassified document, an individual page containing DoD UCNI shall be marked to show which of its portions contain DoD UCNI. In marking sections, parts, paragraphs, or similar portions, the parenthetical term “(DoD UCNI)” shall be used and placed at the beginning of the applicable portions.</P>
            <P>(3) In a classified document, an individual page that has both DoD UCNI and classified information shall be marked at the top and bottom of the page with the highest security classification of information appearing on that page. In marking sections, parts, paragraphs, or similar portions, the parenthetical term “(DoD UCNI)” shall be used and placed at the beginning of those portions containing DoD UCNI. In a classified document, an individual page that has DoD UCNI, but no classified information, shall be marked “UNCLASSIFIED//DoD UNCLASSIFIED CONTROLLED NUCLEAR INFORMATION” at the top and bottom of the page, unless the page is marked with the overall classification of the document. The DoD UCNI marking may be combined with other markings, if all relevant statutory and regulatory citations are included. DoD 5200.1-R provides additional guidance on marking classified documents.</P>
            <P>(4) Other material (<E T="03">e.g.,</E>electronic media, photographs, films, tapes, or slides) containing DoD UCNI shall be conspicuously marked “DOD UNCLASSIFIED CONTROLLED NUCLEAR INFORMATION,” in accordance with paragraphs (d)(1) through (d)(3) of this section, to ensure that a recipient or viewer is aware of the status of the information.</P>
            <P>(e)<E T="03">Dissemination and Transmission.</E>(1) DoD UCNI may be disseminated among the DoD Components, NATO, and DoD contractors, consultants, and grantees on a need-to-know basis for the conduct of official business for the Department of Defense. Dissemination to NATO or other foreign or international entities requires prior review and approval by the appropriate dissemination entity.</P>

            <P>(2) Recipients shall be made aware of the status as DoD UCNI for all such information disseminated to them. Transmission of DoD UCNI shall be by means which preclude unauthorized disclosure or dissemination (<E T="03">e.g.,</E>secure phone, encrypted e-mail).</P>
            <P>(3) Documents containing DoD UCNI shall be marked as prescribed in paragraph (d) of this section. Transmittal documents shall call attention to the presence of DoD UCNI attachments using an appropriate statement in the text or including at the bottom of the transmittal document a statement similar to: “The attached document contains DoD Unclassified Controlled Nuclear Information (DoD UCNI).”</P>
            <P>(4) DoD UCNI transmitted outside the Department of Defense requires application of an expanded marking to explain the significance of the DoD UCNI marking. That may be accomplished by adding the transmittal statement “DEPARTMENT OF DEFENSE/UNCLASSIFIED CONTROLLED NUCLEAR INFORMATION/EXEMPT FROM MANDATORY DISCLOSURE UNDER U.S.C. 552(b)(3), AS AUTHORIZED BY 10 U.S.C. 128” to the document cover before transfer.</P>
            <P>(5) When not commingled with classified information, DoD UCNI may be sent by first-class mail in a single, opaque envelope or wrapping.</P>
            <P>(6) DoD UCNI shall not be discussed or transmitted over an unprotected telephone or telecommunications circuit (to include facsimile transmissions) except in case of an emergency.</P>
            <P>(7) Each part of electronically transmitted messages containing DoD UCNI shall be marked appropriately. Unclassified messages, including e-mail, with DoD UCNI shall have the abbreviation “DoD UCNI” at the top of the message, before the beginning of the text, and the parenthetical marking “(DoD UCNI)” preceding each portion of text containing DoD UCNI information.</P>

            <P>(8) DoD UCNI processed, stored, or produced on stand-alone or networked computer or other information technology systems shall enforce protection from unauthorized disclosure or dissemination, in accordance with<PRTPAGE P="22853"/>the procedures in paragraph (f) of this section.</P>
            <P>(9) A document marked as having DoD UCNI may be reproduced minimally without permission of the originator and consistent with the need to carry out official business.</P>
            <P>(f)<E T="03">Safeguarding DoD UCNI.</E>(1) During normal working hours, documents determined to contain DoD UCNI shall be safeguarded and controlled by measures designed to reduce the risk of access to DoD UCNI by unauthorized individuals. Particular attention should be paid to areas where DoD UCNI is used or stored if unescorted access by unauthorized individuals is possible.</P>
            <P>(2) At the close of business, DoD UCNI material shall be stored so to preclude disclosure. Storage of such material with other unclassified documents in unlocked receptacles (e.g., desks, bookcases) is adequate if Government or Government-contractor internal building security is provided during non-duty hours. When such internal building security is not provided, locked rooms or buildings normally provide adequate after-hours protection. If such protection is not considered adequate, DoD UCNI material shall be stored in locked receptacles (e.g., locked file cabinet, locked desk drawer, safe).</P>
            <P>(3) Non-record copies of DoD UCNI materials shall be destroyed by shredding or burning or, if the sensitivity or volume of the information justifies it, in accordance with the procedures specified by DoD 5200.1-R for classified material. Record copies of DoD UCNI documents shall be disposed of in accordance with the DoD Component's record management regulations. DoD UCNI on magnetic storage media shall be disposed of by overwriting to preclude its reconstruction. DoD UCNI in electronic form shall be deleted and also removed from any desktop trash or recycling files.</P>
            <P>(4) Unauthorized disclosure of DoD UCNI justifies investigative and administrative actions to determine cause, assess impact, and fix responsibility. The DoD Component that originated the DoD UCNI information shall be informed of its unauthorized disclosure and the outcome of the investigative and administrative actions. Unauthorized disclosure of DoD UCNI material does not constitute a compromise of classified information.</P>
            <P>(g)<E T="03">Retirement of Document or Material.</E>(1) Any unclassified document or material that is not marked as containing DoD UCNI but that may contain DoD UCNI shall be marked upon retirement in accordance with the DoD Component's record management regulations.</P>
            <P>(2) A document or material marked as containing DoD UCNI is not required to be reviewed upon or subsequent to retirement. Retired documents or materials shall be reviewed in accordance with paragraph (h) of this section upon a request for their release made pursuant to 5 U.S.C. 552.</P>
            <P>(h)<E T="03">Requests for Public Release of UCNI.</E>(1) Pursuant to 10 U.S.C. 128, information that qualifies as DoD UCNI is exempt from mandatory disclosure pursuant to title 5 U.S.C. 552. Requests for the public release of DoD UCNI shall be denied, in accordance with procedures established in title 32 CFR part 286, pursuant to title 5 U.S.C. 552(b)(3), citing title10 U.S.C. 128 as authority.</P>
            <P>(2) Requests for DOE UCNI shall also be denied pursuant to title 5 U.S.C. 552(b)(3), but title 42 U.S.C. 2168 shall be cited, with the concurrence of the DOE, as the basis for invoking the exemption.</P>
            <P>(3) The reviewing official designated by the ASD(NCB) shall review any retired DoD UCNI document or material upon a request for its release made pursuant to title 5 U.S.C. 552.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 223.7</SECTNO>
            <SUBJECT>Procedures-determination of DoD UCNI.</SUBJECT>
            <P>(a)<E T="03">Use of the Guidelines.</E>(1) The guidelines in this section are the basis for determining what unclassified information regarding the physical protection of DoD SNM, SNM equipment, SNM facilities, or nuclear weapons in DoD custody in a given technical or programmatic subject area are to be designated as DoD UCNI.</P>
            <P>(2) The decision to protect unclassified information as DoD UCNI shall be based on a determination that the unauthorized dissemination of such information could reasonably be expected to have an adverse effect on the health and safety of the public or the common defense and security by significantly increasing the likelihood of the illegal production of nuclear weapons or the theft, diversion, or sabotage of SNM, SNM equipment, SNM facilities, or nuclear weapons in DoD custody.</P>
            <P>(b)<E T="03">General Guidance.</E>(1) Unclassified information relating to the physical protection of DoD SNM, SNM equipment, SNM facilities, or nuclear weapons in DoD custody is to be protected from public disclosure to prevent the adverse effects identified in paragraph (a)(1) of this section. Public availability of information that would not result in such adverse effects is not to be restricted.</P>
            <P>(2) In controlling DoD SNM information, only the minimum restrictions needed to protect the health and safety of the public or the common defense and security shall be applied to prohibit the disclosure and dissemination of DoD UCNI.</P>
            <P>(3) Any material that has been, or is, widely and irretrievably disseminated in the public domain and whose dissemination was not, or is not, under Government control is exempt from control under these guidelines. However, the fact that information is in the public domain is not a sufficient basis for determining that similar or updated Government-owned and -controlled information in another document or other material is not, or is no longer, DoD UCNI; case-by-case determinations are required.</P>
            <P>(c)<E T="03">Topical Guidance.</E>DoD Components shall consider the elements of information discussed in this section during the preparation of unclassified information that addresses the physical protection of DoD SNM or nuclear weapons in DoD custody to determine if it qualifies for control as DoD UCNI.</P>
            <P>(1)<E T="03">Vulnerability Assessments.</E>(i) General vulnerabilities that could be associated with specific DoD SNM, SNM equipment, SNM facility locations, or DoD nuclear weapons storage facilities.</P>
            <P>(ii) The fact that DoD SNM or nuclear weapons facility security-related projects or upgrades are planned or in progress, if not observable from a public area.</P>
            <P>(iii) Identification and description of security system components intended to mitigate the consequences of an accident or act of sabotage at a DoD SNM or nuclear weapons facility.</P>
            <P>(2)<E T="03">Material Control and Accountability.</E>(i) Total quantity or categories of DoD SNM at a facility.</P>
            <P>(ii) Control and accountability plans or procedures.</P>
            <P>(iii) Receipts that, cumulatively, would reveal quantities and categories of DoD SNM of potential interest to an adversary.</P>
            <P>(iv) Measured discards, decay losses, or losses due to fission and transmutation for a reporting period.</P>
            <P>(v) Frequency and schedule of DoD SNM inventories.</P>
            <P>(3)<E T="03">Facility Description.</E>(i) Maps, conceptual design, and construction drawings of a DoD SNM or nuclear weapons facility showing construction characteristics of building(s) and associated electrical systems, barriers, and back-up power systems not observable from a public area.<PRTPAGE P="22854"/>
            </P>
            <P>(ii) Maps, plans, photographs, or drawings of man-made or natural features in a DoD SNM facility or nuclear weapons not observable from a public area; i.e., tunnels, storm or waste sewers, water intake and discharge conduits, or other features having the potential for concealing surreptitious movement.</P>
            <P>(iii) Communications and computer network configurations and capabilities.</P>
            <P>(4)<E T="03">Intrusion Detection and Security Alarm Systems.</E>(i) Information on the layout or design of security and alarm systems at a specific DoD SNM or nuclear weapons facility, if the information is not observable from a public area.</P>
            <P>(ii) The fact that a particular system make or model has been installed at a specific DoD SNM or nuclear weapons facility, if the information is not observable from a public area.</P>
            <P>(iii) Performance characteristics of installed systems.</P>
            <P>(5)<E T="03">Keys, Locks, Combinations, and Tamper-Indicating Devices.</E>(i) Types and models of keys, locks, and combinations of locks used in DoD SNM or nuclear weapons facilities and during shipment.</P>
            <P>(ii) Method of application of tamper-indicating devices.</P>
            <P>(iii) Vulnerability information available from unclassified vendor specifications.</P>
            <P>(6)<E T="03">Threat Response Capability and Procedures.</E>(i) Information about arrangements with local, State, and Federal law enforcement agencies of potential interest to an adversary.</P>

            <P>(ii) Information in “non-hostile” contingency plans of potential value to an adversary to defeat a security measure,<E T="03">e.g.,</E>fire, safety, nuclear accident, radiological release, or other administrative plans.</P>
            <P>(iii) Required response time of security forces.</P>
            <P>(7)<E T="03">Physical Security Evaluations.</E>(i) Method of evaluating physical security measures not observable from public areas.</P>
            <P>(ii) Procedures for inspecting and testing communications and security systems.</P>
            <P>(8)<E T="03">In-Transit Security.</E>(i) Fact that a shipment is going to take place.</P>
            <P>(ii) Specific means of protecting shipments.</P>
            <P>(iii) Number and size of packages.</P>
            <P>(iv) Mobile operating and communications procedures that an adversary could exploit.</P>
            <P>(v) Information on mode, routing, protection, communications, and operations that must be shared with law enforcement or other civil agencies, but not visible to the public.</P>
            <P>(vi) Description and specifications of transport vehicle compartments or security systems not visible to the public.</P>
            <P>(9)<E T="03">Information on Nuclear Weapon Stockpile and Storage Requirements, Nuclear Weapon Destruction and Disablement Systems, and Nuclear Weapon Physical Characteristics.</E>Refer to DOE CG-SS-4 for guidance about the physical protection of information on nuclear weapon stockpile and storage requirements, nuclear weapon destruction and disablement systems, and nuclear weapon physical characteristics that may, under certain circumstances, be unclassified. Such information meeting the adverse effects test shall be protected as DoD UCNI.</P>
          </SECTION>
          <SIG>
            <DATED>Dated: March 25, 2011.</DATED>
            <NAME>Patricia L. Toppings,</NAME>
            <TITLE>OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9751 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Patent and Trademark Office</SUBAGY>
        <CFR>37 CFR Chapter I</CFR>
        <DEPDOC>[Docket No.: PTO-P-2011-0018]</DEPDOC>
        <SUBJECT>Streamlined Patent Reexamination Proceedings; Notice of Public Meeting</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>United States Patent and Trademark Office, Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of public meeting; request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>This document announces a public meeting to solicit public opinions on a number of changes being considered by the United States Patent and Trademark Office (USPTO) to streamline the procedures governing<E T="03">ex parte</E>and<E T="03">inter partes</E>reexamination proceedings. These changes are intended to achieve faster, more efficient resolution of the substantial new question of patentability (SNQ) for which reexamination is ordered. The proposed changes in this document are divided into three categories: changes to both<E T="03">ex parte</E>and<E T="03">inter partes</E>reexaminations, changes specific to<E T="03">ex parte</E>reexamination, and changes specific to<E T="03">inter partes</E>reexamination. After soliciting public opinions regarding this document, the USPTO may seek to adopt one or more of the proposed changes or a modified version thereof, or other changes suggested by the public, through a rule making or through internal operational changes as appropriate.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The public meeting will be held on June 1, 2011, beginning at 1:30 p.m.</P>
          <P>Persons interested in attending the meeting must register by 5 p.m., Eastern Standard Time (EST), on May 25, 2011.</P>
          <P>Written comments must be submitted by June 29, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The public meeting will be held at the USPTO, in the South Auditorium of Madison West, 600 Dulany Street, Alexandria, VA 22314.</P>

          <P>Written comments should be sent by electronic mail message over the Internet addressed to<E T="03">reexamimprovementcomments@uspto.gov.</E>Comments may also be submitted by mail addressed to: Mail Stop Comments-Patents, Commissioner for Patents, P.O. Box 1450, Alexandria, VA 22313-1450, marked to the attention of Kenneth M. Schor. Although comments may be submitted by mail, submission via e-mail to the above address is preferable.</P>

          <P>The written comments will be available for public inspection at the Office of the Commissioner for Patents, located in Madison East, Tenth Floor, 600 Dulany Street, Alexandria, Virginia, and will be available via the USPTO Internet Web site (address:<E T="03">http://www.uspto.gov</E>). Because comments will be made available for public inspection, information that is not desired to be made public, such as an address or phone number, should not be included.</P>
          <P>
            <E T="03">For Registration to Give a Presentation at the Meeting:</E>If you wish to make an oral presentation at the meeting, you must register by sending an e-mail to<E T="03">reexamimprovementcomments@uspto.gov,</E>by 5 p.m. EST, on May 11, 2011. See the registration information provided below.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Kenneth M. Schor, Office of Patent Legal Administration, Office of the Associate Commissioner for Patent Examination Policy, by telephone at 571-272-7710, or by mail addressed to: Mail Stop Comments-Patents, Commissioner for Patents, P.O. Box 1450, Alexandria, VA 22313-1450.</P>

          <P>Inquiries regarding the current reexamination practice may be directed to the Office of Patent Legal Administration, by telephone at (571) 272-7703, or by electronic mail at<E T="03">PatentPractice@uspto.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>This document announces a public meeting to solicit public opinions on a number of changes being considered by the USPTO to streamline the procedures governing<E T="03">ex parte</E>and<E T="03">inter partes</E>reexamination proceedings. These changes are intended to achieve faster, more efficient resolution of the SNQ for which reexamination is ordered.<PRTPAGE P="22855"/>Moreover, the changes proposed in this document are complementary to the post-grant provisions in the pending America Invents Act currently being considered by Congress. In particular, the America Invents Act would not alter<E T="03">ex parte</E>reexamination, and it would provide a transition period of several years during which<E T="03">inter partes</E>reexamination could still be requested. Therefore, it is important for the USPTO to continue its efforts to improve the existing reexamination system.</P>

        <P>On August 5, 2010, the USPTO explained that it is considering a number of short- and long-range initiatives that can be implemented in three phases to reduce pendency and improve efficiency, while maintaining quality, in reexamination proceedings.<E T="03">See Optional Waiver of Patent Owner's Statement in Ex Parte Reexamination Proceedings,</E>75 FR 47269 (Aug. 5, 2010).</P>

        <P>Phase I includes a number of streamlined procedures and optional programs in which the Patent Owner and Third Party Requester may elect to participate in order to gain the benefit of shorter pendency. For example, in the above-mentioned notice dated August 5, 2010, the USPTO implemented an optional procedure allowing the Patent Owner in an<E T="03">ex parte</E>reexamination to waive the Patent Owner's statement under 35 U.S.C. 304, and thereby enable the USPTO to issue a first Office action on the merits (FAOM), together with or soon after mailing the order granting reexamination. Also as part of phase I, the USPTO had previously implemented a streamlined procedure for appeal brief review in both<E T="03">ex parte</E>and<E T="03">inter partes</E>reexamination proceedings.<E T="03">See Streamlined Procedure for Appeal Brief Review in Ex Parte Reexamination Proceedings,</E>75 FR 29321 (May 25, 2010);<E T="03">Streamlined Procedure for Appeal Brief Review in Inter Partes Reexamination Proceedings,</E>75 FR 50750 (Aug. 17, 2010). Moreover, in order to process reexaminationt proceedings more efficiently and expeditiously, the USPTO has increased the number of examiners working exclusively on reexamination proceedings, made changes in the handling and scanning of documents, instituted an improved petitions tracking system, and designed new forms for answering certain types of petitions. In addition, the USPTO's Central Reexamination Unit has identified a number of automation and information technology upgrades that will be instituted as part of the USPTO's end-to-end electronic processing system, which will greatly improve the processing and tracking of all stages of reexamination proceedings.</P>
        <P>However, the USPTO alone cannot reduce reexamination pendency, particularly under its existing procedures. Streamlining these procedures, including those governing the practices of the Patent Owner and Third Party Requester, will be necessary if a more significant reduction in pendency is to be achieved. Therefore, in phases II and III of the USPTO's three-phase initiative, the USPTO will consider the data gathered from phase I and solicit public opinion on additional procedural changes, rule making proposals, and administrative proposals for statutory changes.</P>

        <P>The instant notice seeks public input as the USPTO considers moving into phases II and III. In particular, the instant notice proposes a number of changes intended to reduce pendency while maintaining quality in<E T="03">ex parte</E>and<E T="03">inter partes</E>reexamination proceedings. The proposed changes in this notice are divided into three categories: (A) Changes to both<E T="03">ex parte</E>and<E T="03">inter partes</E>reexaminations, (B) changes specific to<E T="03">ex parte</E>reexamination, and (C) changes specific to<E T="03">inter partes</E>reexamination. After soliciting public opinions regarding this notice, the USPTO may seek to adopt one or more of the proposed changes or a modified version thereof, or other changes as recommended by the public, through rule making or through internal operational changes, as appropriate.</P>
        <HD SOURCE="HD1">A. Proposed Changes to Both<E T="7462">Ex Parte</E>
          <E T="04">and</E>
          <E T="7462">Inter Partes</E>Reexaminations</HD>
        <HD SOURCE="HD2">1. Requester Must Separately Explain How Each SNQ Presented in the Request Is “New” Relative to Other Examinations of the Patent Claims</HD>
        <P>This proposed change is intended to allow the USPTO to more quickly determine whether the request raises an SNQ based on a new, non-cumulative technological teaching. The proposed change also ensures that the Requester adequately explains how each SNQ presented in the request is “new” relative to other examinations of the patent claims (rather than merely stating what the SNQ is believed to be). Current practice does not set forth a consistent format in which the required information should be presented in the request. This lack of consistency results in requests that are denied a filing date and whose noncompliance must be corrected by the Requester, which delays the proceeding.</P>
        <P>As explained in the<E T="03">Manual of Patent Examining Procedure</E>(MPEP) §§ 2216, 2614:</P>
        
        <EXTRACT>
          <P>It is not sufficient that a request for reexamination merely proposes one or more rejections of a patent claim or claims as a basis for reexamination. It must first be demonstrated that a patent or printed publication that is relied upon in a proposed rejection presents a new, non-cumulative technological teaching that was not previously considered and discussed on the record during the prosecution of the application that resulted in the patent for which reexamination is requested, and during the prosecution of any other prior proceeding involving the patent for which reexamination is requested.</P>
        </EXTRACT>
        
        <P>In order to ensure that requests comply with MPEP §§ 2216 and 2614, the USPTO would require, for each SNQ presented in the request, a statement of how the technological teaching in the references that support the SNQ is new and non-cumulative of what had been considered in any previous or pending USPTO examination of the patent claims. For clarity, this statement would be provided in a section of the request dedicated solely to explaining how each SNQ is believed to be new.</P>
        <HD SOURCE="HD2">2. Requester Must Explain How the References Apply to Every Limitation of Every Claim for Which Reexamination Is Requested</HD>
        <P>This proposed change is intended to allow the USPTO to more quickly address the requisite “pertinency and manner of applying cited prior art to every claim for which reexamination is requested” (35 U.S.C. 302, 311) presented in the request. It is also intended to allow examiners to more quickly write a First Action on the Merits (FAOM) based on the references cited in the request. Current request practice does not require the use of a consistent format in which the required information must be presented. This inconsistency results in delay and potential re-work because Requesters do not consistently map the prior art teachings to the limitations of the claims.</P>

        <P>A statement of how the references apply to every limitation of the claims would be required to be provided in a section of the request dedicated solely to explaining how the references apply. Requests filed by a Third Party Requester must clearly set forth a proposed rejection for each claim for which reexamination is requested, with separate rejections based on anticipation, obviousness, and/or double patenting. Requests filed by a Patent Owner must include an anticipation, obviousness, and/or double patenting analysis for each claim for which reexamination is requested. In all cases, a limitation-by-limitation explanation of the manner of applying<PRTPAGE P="22856"/>the references must be presented in the form of a claim chart or narrative explanation, but not both, as providing both tends to lengthen the request and may result in inconsistencies between the two explanations.</P>
        <P>To avoid confusion, the explanation must not combine multiple or alternative proposed rejections or proposed combinations of references. Thus, a proposed rejection of claims 1-5 as being “obvious over references A or B or C, in view of references C or D or E, optionally in view of references F or G,” is improper. Likewise a proposed rejection of claims 1-5 being “either anticipated or obvious over references A or B,” is improper. Each statutory ground of rejection and each combination of references must be expressed and explained separately.</P>
        <HD SOURCE="HD2">3. Requester Must Explain How Multiple SNQs Raised in the Same Request Are Non-Cumulative of Each Other; Cumulative SNQs Will Be Deemed to Constitute a Single SNQ</HD>
        <P>This proposed change is intended to streamline reexamination in cases where a request includes multiple references cited in support of separate SNQs, but which are all directed to the same claims and are all based on the same new technological teaching. The current practice of separately addressing multiple, cumulative SNQs prolongs pendency and is an inefficient means of addressing the question raised by a new technological teaching that is common among multiple, cumulative SNQs.</P>
        <P>The instant notice proposes that cumulative SNQs will be deemed to constitute a single SNQ. For example, if a request cites ten prior art references in support of ten proposed SNQs, and all ten references are cited for the same claim limitation found missing in a prior examination, the USPTO will construe the request as raising a single SNQ based on the single, new technological teaching.</P>

        <P>Where a Requester asserts multiple SNQs against the same claim, it is the Requester who is in the best position to narrow the dispute by explaining how the SNQs present unique issues of patentability. The Requester will be required to explain, in a separate section of the request, how each SNQ is substantially different from all other SNQs that are being asserted against the same claims in the same request.<E T="03">Cf. In re Katz Interactive Call Processing Pat. Litig.,</E>__F.3d__, 2011 WL 607381, at *3-4 (Fed. Cir. Feb. 18, 2011) (holding that it was not an abuse of discretion to require the party that was “in the best position to narrow the dispute” to show how non-selected claims were “substantially different,” in terms of validity and/or infringement, from selected claims).</P>

        <P>SNQs that are not persuasively explained to be substantially different from each other will be deemed to constitute a single SNQ from which the examiner will select the best proposed rejections based on the best cited references, as discussed below in Part A.4. Any order granting reexamination will identify the SNQs for which reexamination is granted, and will further identify any SNQs that are found to be cumulative of other SNQs. The examiner's designation of an SNQ as “cumulative” is not petitionable; however, the examiner's selection of any “representative” rejections (<E T="03">see</E>Part A.4) from among the cumulative SNQs may be challenged by the Third Party Requester in<E T="03">inter partes</E>reexamination in the manner set forth in Part C.1 below.</P>
        <HD SOURCE="HD2">4. The Examiner May Select One or More Representative Rejections From Among a Group of Adopted Rejections.</HD>

        <P>In the FAOM, for each SNQ for which reexamination is granted, the examiner will identify each of the Requester's proposed rejections as either “adopted” or “not adopted.” A proposed rejection is “adopted” if the examiner determines that it establishes a<E T="03">prima facie</E>case of unpatentability. A proposed rejection is “not adopted” if the examiner determines that it fails to establish a<E T="03">prima facie</E>case of unpatentability.</P>

        <P>Where multiple rejections are adopted against a single claim, the examiner may select one or more “representative” rejections from the group of adopted rejections. The examiner's determination that a rejection is “representative” means that the examiner believes that all rejections within the group of adopted rejections will clearly fall if the representative rejection is not sustained. The examiner will clearly identify which rejections, if any, are being treated as a group and which rejection(s) within the group is/are representative of the group. The examiner's reasons in support of each representative rejection will be fully discussed in the Office action. For any rejection within the group which is not designated as a representative rejection, the examiner may simply state, to the extent the examiner agrees with the Requester, that the rejection is adopted for the reasons set forth in the request, and incorporate by reference the Requester's limitation-by-limitation explanation of the manner of applying the references (<E T="03">see</E>Part A.2).</P>
        <P>In deciding which rejections to designate as representative, the examiner will apply the guidance set forth in MPEP § 706.02(I), quoted below:</P>
        
        <EXTRACT>
          <P>Prior art rejections should ordinarily be confined strictly to the best available art. Exceptions may properly be made, for example, where:</P>
          <P>(A) the propriety of a 35 U.S.C. 102 or 103 rejection depends on a particular interpretation of a claim;</P>
          <P>(B) a claim is met only in terms by a reference which does not disclose the inventive concept involved; or</P>
          <P>(C) the most pertinent reference seems likely to be antedated by a 37 CFR 1.131 affidavit or declaration.</P>
          <P>Such rejections should be backed up by the best other art rejections available. Merely cumulative rejections, i.e., those which would clearly fall if the primary rejection were not sustained, should be avoided.</P>
        </EXTRACT>
        
        <P>If the Patent Owner subsequently overcomes the representative rejections of a claim, then the examiner will consider whether any other rejection within the group overcomes the deficiency of the representative rejections, and will do so prior to confirming the patentability of that claim. In this way, no claim will be confirmed as patentable without having received due consideration of all rejections within the group. For this reason, it is advisable for the Patent Owner to explain, in its response to the FAOM, why the Patent Owner's arguments against any representative rejection would likewise overcome all other rejections within the group. The Patent Owner may also present any specific argument or evidence directed to any rejection within the group.</P>
        <P>If the Patent Owner appeals the final rejection of a claim, then the appeal must be taken from all adopted rejections of that claim, not just from the representative rejections. The Board of Patent Appeals and Interferences (Board) may review any rejection within the group of adopted rejections in order to affirm the examiner as to that claim. The affirmance of a rejection of a claim on any of the grounds specified will constitute a general affirmance of the examiner's rejections of that claim, except as to any ground specifically reversed.</P>

        <P>The examiner's designation of a rejection as “representative” is not petitionable; however, this designation may be challenged by the Third Party Requester in<E T="03">inter partes</E>reexamination in the manner set forth in Part C.1 below.</P>
        <HD SOURCE="HD2">5. Requester's Declaration and Other Evidence Will Be Mainly Limited to the Request</HD>

        <P>This proposed change is intended to encourage compact prosecution by requiring the Requester to submit all<PRTPAGE P="22857"/>necessary evidence in the initial request and thereby reduce the need for later submissions. In<E T="03">inter partes</E>reexamination, any further submission of evidence (including declarations, affidavits, and test data) by the Third Party Requester in the proceeding will be limited to rebutting a point made in an examiner's Office action or in a Patent Owner's response. In<E T="03">ex parte</E>reexamination, the further submission of evidence by the Third Party Requester will be limited to rebutting a point made in the Patent Owner's statement under 35 U.S.C. 304, if any such statement is filed. In all cases, when submitting new evidence, the Third Party Requester must identify the specific point to be rebutted and explain how the new evidence rebuts it.</P>
        <HD SOURCE="HD2">6. Patent Owner's Amendments and Evidence Will Be Mainly Limited to the First Action Response</HD>

        <P>This proposed change is intended to encourage compact prosecution by ensuring that the Patent Owner's amendments and evidence (including declarations, affidavits, and test data) are presented early in reexamination. In<E T="03">ex parte</E>reexamination, the Patent Owner's submission of amendments and evidence will be generally limited to the earlier of: (1) The Patent Owner's optional statement under 35 U.S.C. 304, if the Patent Owner does not waive the statement; or (2) if the Patent Owner waives the statement, the Patent Owner's response to an FAOM. In<E T="03">inter partes</E>reexamination, the Patent Owner's amendment and declaration evidence will be generally limited to the Patent Owner's response to the FAOM. Any further submission of amendments or declaration evidence, in either<E T="03">ex parte</E>or<E T="03">inter partes</E>reexamination, will be limited to overcoming a new ground of rejection entered in any non-final Office action.</P>

        <P>Amendments filed after a final Office action will only be admitted to (1) cancel claims, (2) rewrite dependent claims into independent form, (3) comply with requirements or suggestions set forth in a final Office action, or (4) respond to any new ground of rejection designated in an examiner's answer or Board decision. For a discussion of what constitutes a “final Office action” in<E T="03">inter partes</E>reexamination, see Part C.2 below.</P>
        <HD SOURCE="HD2">7. Claim Amendments Will Not Be Entered Unless Accompanied by a Statement Explaining How the Proposed New Claim Language Renders the Claims Patentable in Light of an SNQ</HD>
        <P>Claim amendments that are not germane to any SNQ tend to unnecessarily expand the scope of the proceeding and result in longer reexamination pendency. In such cases, the examiner is often required to conduct an entirely new search of the prior art and to consider issues beyond those raised in the request. All of this detracts from what should otherwise be the central focus of the reexamination—namely, a “resolution of the question” for which reexamination was ordered. 35 U.S.C. 304, 313.</P>

        <P>The change proposed herein is intended to allow the USPTO to determine whether a Patent Owner's amendment should be permitted entry, given that “amendment of claims during reexamination is limited to amendment in light of prior art raising a substantial new question of patentability.”<E T="03">In re Freeman,</E>30 F.3d 1459, 1468 (Fed. Cir. 1994). In<E T="03">Freeman,</E>the Federal Circuit stated:</P>
        
        <EXTRACT>

          <P>[T]he ability of a patentee to amend claims during reexamination must be seen in light of the fundamental purpose of reexamination—the determination of validity in light of a substantial new question of patentability. Thus,<E T="03">amendment of claims during reexamination is limited to amendment in light of prior art raising a substantial new question of patentability.</E>
          </P>
        </EXTRACT>
        
        <P>
          <E T="03">Id.</E>(emphasis added). In<E T="03">Freeman,</E>the Patent Owner amended the patent claims during reexamination, not to distinguish the prior art, but to avoid an unfavorable interpretation that a court had given those claims in an earlier litigation. The Board affirmed the examiner's rejection under 35 U.S.C. 305 because the amendments were found to broaden the scope of the claims as interpreted by the court. In appealing the Board's decision, the Patent Owner argued that the court's claim interpretation did not bind the Patent Owner in the reexamination under the doctrine of issue preclusion because, according to the Patent Owner, the reexamination offered the Patent Owner “the opportunity to amend his claims `in response to a decision adverse to the patentability of a claim of a patent.'”<E T="03">Id.</E>(quoting 35 U.S.C. 305). The Federal Circuit disagreed. It held that the Patent Owner “<E T="03">never had the option</E>of amending his claims during reexamination” in a manner having “nothing to do with a substantial new question of patentability.”<E T="03">Id.</E>(emphasis added). The Federal Circuit therefore concluded that the doctrine of issue preclusion applied against the Patent Owner, and thus affirmed the broadening rejection.</P>

        <P>In view of the foregoing, and in order to ensure that all proposed claim amendments, including new claims, are directed to resolving the SNQ, the USPTO will require the Patent Owner to submit a statement explaining how the proposed new claim language (apart from the original claim language) renders the claims patentable over the references raising an SNQ. The role of this explanatory statement is to allow the USPTO to determine whether a proposed amendment is being properly submitted “in light of prior art raising a substantial new question of patentability,” or whether the amendment should be refused entry because it has “nothing to do with a substantial new question of patentability.”<E T="03">Freeman,</E>30 F.3d at 1468. The amendment will not be entered if the necessary statement is either missing or conclusory (<E T="03">e.g.,</E>the statement merely says “the amended claims distinguish over the prior art”). Nevertheless, so long as the Patent Owner explains how the proposed new claim language distinguishes the invention over the prior art, the amendment will be entered even if, on the merits, the examiner disagrees with the Patent Owner that the amendment overcomes the rejection. Moreover, the amendment will be entered even if the new or amended claim gives rise to a new ground of rejection. Where the requirement is satisfied as to fewer than all of the proposed new or amended claims, the proposed amendment will be entered in part as to the claims for which the requirement is satisfied.</P>

        <P>It is important to note that the submission of an amendment unrelated to any SNQ is not, in itself, a basis for<E T="03">rejecting</E>the amended claim; rather it is a basis for<E T="03">refusing entry</E>of the amendment. In<E T="03">Cordis Corp.</E>v.<E T="03">Medtronic Ave, Inc.,</E>511 F.3d 1157, 1185 (Fed. Cir. 2008), the Federal Circuit stated that the prohibition against enlarging the scope of a claim is the only “substantive limitation” in 35 U.S.C. 305, and is thus the only basis on which to invalidate a claim under section 305 in litigation after the amendment has been entered. In contrast to this “substantive limitation,” the court in<E T="03">Freeman</E>stated that amending claims during reexamination in a manner having “nothing to do with a substantial new question of patentability” is not a “procedural opportunity available in the [US]PTO.”<E T="03">Freeman,</E>30 F.3d at 1468-69 (stating that the Patent Owner “never had the option of amending his claims” in such a manner). It follows that the USPTO should only allow entry of a proposed claim amendment if it is presented to resolve an SNQ; however, once the amendment is entered, a rejection based on broadening is the only substantive<PRTPAGE P="22858"/>ground of rejection available under 35 U.S.C. 305 and 314.</P>

        <P>The refusal to enter a proposed amendment is petitionable and not appealable to the Board.<E T="03">See In re Kline,</E>474 F.2d 1325, 1329 (CCPA 1973).</P>
        <HD SOURCE="HD2">8. Petitions Practice Will Be Clearly Defined</HD>
        <P>To the extent possible, the USPTO seeks to specify when, how, and by whom any petition under 37 CFR 1.181-1.183, and any opposition thereto, may be filed in reexamination proceedings. By providing clear guidance in this area, the USPTO hopes to reduce the number of improper or duplicative petitions that are currently filed, including multiple concurrent petitions for a single item of requested relief, unjustified multiple iterations of petitions for an item of relief, petitions to resolve issues that are appealable rather than petitionable, and papers improperly opposing another party's petition.</P>
        <P>The table below sets forth (1) the various reexamination-related petitions (both proper and improper) that are commonly filed based on the type of relief requested, (2) whether the relief is properly sought by petition (and if so, under what section of 37 CFR), and (3) whether the petition may be opposed by another party.</P>
        <GPOTABLE CDEF="s100,r50,xs50" COLS="3" OPTS="L2,i1">
          <TTITLE>Examples of Petitions Filed in Reexamination Proceedings</TTITLE>
          <BOXHD>
            <CHED H="1">Relief requested</CHED>
            <CHED H="1">Petitionable?</CHED>
            <CHED H="1">Opposable?</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Review of refusal to grant<E T="03">ex parte</E>or<E T="03">inter partes</E>reexam (<E T="03">see</E>MPEP 2248, 2648)</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Vacate as<E T="03">ultra vires</E>an order granting<E T="03">ex parte</E>or<E T="03">inter partes</E>reexam (<E T="03">see</E>MPEP 2246, 2646)</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Review of a finding of an SNQ in an order granting<E T="03">ex parte</E>or<E T="03">inter partes</E>reexam (<E T="03">see</E>75 FR 36357)</ENT>
            <ENT>No (but see 75 FR 36357 in<E T="03">ex parte</E>reexam)</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Vacate filing date of<E T="03">ex parte</E>or<E T="03">inter partes</E>reexam based on failure to comply with 37 CFR 1.510 or 1.915</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Extension of time to respond to an Office action by Patent Owner in<E T="03">ex parte</E>reexam</ENT>
            <ENT>Yes—1.550(c)</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Extension of time to respond to an Office action by Patent Owner in<E T="03">inter partes</E>reexam</ENT>
            <ENT>Yes—1.956</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Extension of time to submit comments by Third Party Requester (<E T="03">see</E>35 USC 314(b)(2))</ENT>
            <ENT>No</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Extension of time to file a notice of appeal or brief on appeal by Patent Owner in<E T="03">ex parte</E>reexam (<E T="03">see</E>37 CFR 41.31, 41.37, 41.43)</ENT>
            <ENT>Yes—1.550(c)</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Extension of time to file a notice of appeal or brief on appeal by any party in<E T="03">inter partes</E>reexam (<E T="03">see</E>37 CFR 41.61, 41.66)</ENT>
            <ENT>Yes—1.183</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Striking another party's improper paper (or portion thereof) from the file</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Protection of proprietary information being submitted under seal</ENT>
            <ENT>Yes—1.59(b)</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Waiver of page or word limit requirement</ENT>
            <ENT>Yes—1.183</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Review of refusal to enter amendment</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Withdrawal of final Office action</ENT>
            <ENT>Yes—1.181</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Revival of terminated proceeding based on Patent Owner's “unavoidable” delay and acceptance of late paper</ENT>
            <ENT>Yes—1.137(a)</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Revival of terminated proceeding based on Patent Owner's “unintentional” delay and acceptance of late paper</ENT>
            <ENT>Yes—1.137(b)</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">For jurisdiction to be transferred to the Office of Patent Legal Administration</ENT>
            <ENT>No</ENT>
            <ENT>No.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Suspend<E T="03">inter partes</E>reexam for “good cause” under 35 USC 314(c)</ENT>
            <ENT>Yes—1.182</ENT>
            <ENT>Yes.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Terminate<E T="03">inter partes</E>reexam based on estoppel under 35 USC 317(b)</ENT>
            <ENT>Yes—1.182</ENT>
            <ENT>Yes.</ENT>
          </ROW>
        </GPOTABLE>
        <P>The table above reflects the USPTO's current practice. The USPTO is interested to hear what changes can and should be made to its current practice in order to eliminate undue delays associated with petitions and oppositions.</P>
        <HD SOURCE="HD1">B. Proposed Changes Specific to<E T="7462">Ex Parte</E>Reexamination</HD>
        <HD SOURCE="HD2">1. Make Permanent the Pilot That Allows the Patent Owner to Optionally Waive the Patent Owner's Statement</HD>

        <P>In light of the fact that only about ten percent of Patent Owners elect to file a statement under 35 U.S.C. 304 following an order for<E T="03">ex parte</E>reexamination, the USPTO launched a pilot to allow Patent Owners to waive this statement altogether.<E T="03">See Optional Waiver of Patent Owner's Statement in Ex Parte Reexamination Proceedings,</E>75 FR 47269 (Aug. 5, 2010). The goal of this pilot is to eliminate the delay associated with the examiner having to wait two months under 35 U.S.C. 304 before beginning work on the FAOM in the majority of cases where the Patent Owner does not file a statement in response to the order granting reexamination. This delay is unique to<E T="03">ex parte</E>reexaminations because<E T="03">inter partes</E>reexaminations do not have a two-month statement period between the grant of the order and the mailing of the FAOM.<E T="03">See</E>35 U.S.C. 313 (providing, in relevant part, that “[t]he order may be accompanied by the initial action of the Patent and Trademark Office on the merits of the<E T="03">inter partes</E>reexamination”). For this reason, the average time between the filing of the request and the mailing of an FAOM in<E T="03">inter partes</E>reexamination has historically been shorter (indeed, nearly half as long) as that in<E T="03">ex parte</E>reexamination.<SU>1</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>
            <E T="03">See</E>USPTO Reexamination Operational Statistics,<E T="03">available at http://www.uspto.gov/patents/stats/Reexamination_Information.jsp</E>(average number of months, per quarter in FY 2010, between the reexam request and the FAOM, for<E T="03">ex parte:</E>7.6, 7.8, 7.4, 7.5; for<E T="03">inter partes:</E>4.4, 4.2, 3.6, 3.3).</P>
        </FTNT>

        <P>Under the pilot, the USPTO contacts the Patent Owner, via telephone, after the reexamination request is given a filing date but before any decision on the request has been made. The telephone communication is limited to an inquiry regarding whether the Patent Owner wishes to waive the right to file a statement under 35 U.S.C. 304 in the event that the reexamination request is granted. Any discussion of the merits of the proceedings (<E T="03">e.g.,</E>the patentability of the claims) is not permitted. The Patent Owner's decision to either waive or not waive the statement is made of<PRTPAGE P="22859"/>record in an interview summary, and a copy of the summary is mailed to both the Patent Owner and any Third Party Requester. If the Patent Owner agrees to waive the statement, then the examiner can mail an order for<E T="03">ex parte</E>reexamination together with or soon after mailing the FAOM. The initial results of the pilot are encouraging. In view of these results, the USPTO proposes to make the pilot permanent through a notice of proposed rule making.</P>
        <HD SOURCE="HD2">2. Where the Patent Owner Does Not Waive the Statement, the Order Granting Reexamination Will Include a Provisional FAOM, Which May Be Made Final in the Next Action</HD>

        <P>This proposed change is intended to streamline reexamination and reflects the fact that the Patent Owner has a right, under 35 U.S.C. 304, to file a statement, together with evidence and amendments, in order to distinguish the claimed invention from the prior art. If the Patent Owner does not waive this statement when contacted by the USPTO pursuant to the<E T="03">Optional Waiver of Patent Owner's Statement in Ex Parte Reexamination Proceedings,</E>75 FR 47269 (Aug. 5, 2010), and if the examiner determines that the reexamination request raises an SNQ, then the examiner will mail an order granting<E T="03">ex parte</E>reexamination together with a provisional FAOM indicating which claims stand provisionally rejected or provisionally confirmed.</P>
        <P>If, in response to a provisional FAOM, the Patent Owner either does not file a statement or files a statement that fails to overcome all provisional rejections, then, to the extent the rejections have not been overcome, the examiner will adopt in the next action the pertinent portions of the provisional FAOM which were not overcome. For purposes of determining whether this next action will be made final, the examiner will treat the provisional FAOM as if it were an actual FAOM at the time it was mailed, and will apply the guidance set forth in MPEP § 706.07(a) (Final Rejection, When Proper on Second Action).</P>
        <HD SOURCE="HD1">C. Proposed Changes Specific to<E T="7462">Inter Partes</E>Reexamination</HD>
        <HD SOURCE="HD2">1. Third Party Requester May Dispute the Examiner's Designation That a Rejection is “Representative” of Other Rejections in the Group</HD>

        <P>If an examiner designates a rejection as “representative” of a group of adopted rejections (<E T="03">see</E>Part A.4 above), then the Third Party Requester will have an opportunity to dispute this designation to both the examiner and the Board. In particular, after the Patent Owner files a response to the FAOM, then the Third Party Requester may file comments in which the Third Party Requester supports the examiner's reasons for adopting a group of rejections but further argues that one or more rejections within the group of adopted rejections would stand even if the representative rejection is overcome. If the examiner agrees with the Third Party Requester that all rejections within the group do not “stand or fall” with the representative rejection, then the examiner will say so in the next action. This next action may be made final under MPEP § 706.07(a) (Final Rejection, When Proper on Second Action).</P>

        <P>Similarly, after the Patent Owner files an appeal of a final rejection, the Third Party Requester may file a respondent's brief in which the Third Party Requester supports the examiner's final rejections but further argues that one or more final rejections in the group would stand even if the representative rejection is reversed. This further argument will ensure that, in the event the representative rejection is reversed, the Board will have the benefit of the Third Party Requester's position as to the other rejections within the group. The Board may review any rejection within the group of adopted rejections in order to affirm the examiner as to that claim. For further discussion of the Third Party Requester's briefing on appeal in<E T="03">inter partes</E>reexamination, see Part C.3 below.</P>
        <HD SOURCE="HD2">2. Final Office Action Closes Prosecution and Triggers Appeal Rights</HD>
        <P>This proposed change is intended to reduce delays in<E T="03">inter partes</E>reexaminations by consolidating the action closing prosecution under 37 CFR 1.949 and the right of appeal notice under 37 CFR 1.953, and replacing them with one final Office action. The final Office action will identify the status of each claim and will explain the reasons for each representative rejection and each decision to confirm a claim. No amendment can be made in response to the final Office action, other than to cancel claims (where cancellation does not change the scope of any pending claim), to rewrite dependent claims into independent form, or to comply with requirements or suggestions set forth in the final Office action. The final Office action will set (1) a time period in which any Patent Owner amendment and appeal must be filed, and/or (2) a time period in which any Third Party Requester appeal must be filed.</P>
        <P>To effect this proposed change, the USPTO would amend 37 CFR 1.949-1.953 to create a single, final Office action that closes prosecution and triggers appeal rights.</P>
        <HD SOURCE="HD2">3. Third Party Requester's Appellant Brief is Limited To Appealing An Examiner's Decision That a Claim is Patentable; Additional Bases To Cancel A Rejected Claim Can Only Be Argued in a Respondent Brief Following Patent Owner's Appellant Brief</HD>

        <P>This proposed change is intended to reduce the number of duplicative issues and briefs submitted on appeal, particularly where all claims stand finally rejected and the Third Party Requester is challenging the examiner's determination not to make additional proposed rejections. The statute authorizes the Third Party Requester to independently appeal “any final decision favorable to the patentability of any original or proposed amended or new claim of the patent.” 35 U.S.C. 315(b)(1). The current rules, however, permit the Third Party Requester to independently appeal “any final decision favorable to the patentability,<E T="03">including any final determination not to make a proposed rejection,</E>of any original, proposed amended, or new claim of the patent.” 37 CFR 41.67(a)(2) (2010) (emphasis added).</P>
        <P>The regulatory language, emphasized above, allows the Third Party Requester to independently appeal an examiner's determination not to adopt a proposed rejection of a claim, even in cases where the same claim stands rejected on other grounds that are being appealed by the Patent Owner. In this scenario, the Third Party Requester's cross-appeal merely raises additional grounds on which to affirm the examiner's final determination that the claim is unpatentable.</P>

        <P>Courts do not permit such cross-appeals. As the Federal Circuit has explained in the context of district court litigation, “A cross-appeal may only be filed `when a party seeks to enlarge its own rights under the judgment or to lessen the rights of its adversary under the judgment.'”<E T="03">Aventis Pharma S.A.</E>v.<E T="03">Hospira, Inc.,</E>__F.3d__, 2011 WL 1046187, at *1 (Fed. Cir. Mar. 24, 2011) (quoting<E T="03">Bailey</E>v.<E T="03">Dart Container Corp.,</E>292 F.3d 1360, 1362 (Fed. Cir. 2002)). By contrast, where “the district court has entered a judgment of invalidity as to all of the asserted claims, there is no basis for a cross-appeal as to either (1)<E T="03">additional claims for invalidity</E>or (2) claims of non-infringement.”<E T="03">TypeRight Keyboard Corp.</E>v.<E T="03">Microsoft Corp.,</E>374 F.3d 1151, 1157 (Fed. Cir. 2004) (emphasis added). An unwarranted<PRTPAGE P="22860"/>cross-appeal “unnecessarily expands the amount of briefing,” and also gives “the appellee an unfair opportunity to file the final brief and have the final oral argument.”<E T="03">Bailey,</E>292 F.3d at 1362.</P>

        <P>Although a cross-appeal is not the appropriate vehicle to present alternative grounds for affirmance, parties are “free to devote as much of their responsive briefing as needed to flesh out additional arguments and alternative grounds for affirming the judgment on appeal.”<E T="03">Aventis,</E>__F.3d at__, 2011 WL 1046187, at *2.<E T="03">See United States</E>v.<E T="03">Am. Ry. Express Co.,</E>265 U.S. 425, 435 (1924) (The “appellee may, without taking a cross-appeal, urge in support of a decree any matter appearing in the record, although his argument may involve an attack upon the reasoning of the lower court or an insistence upon matter overlooked or ignored by it.”).</P>

        <P>Consistent with the courts' practice, the USPTO proposes to revise its rules governing appeals by Third Party Requesters to prohibit the filing of appeals by Third Party Requesters as to any claim that is finally rejected on at least one ground. A final rejection of a claim on at least one ground is a “decision adverse to the patentability” of that claim under 35 U.S.C. 315(a)(1), which not only triggers the Patent Owner's appeal, but also allows the Third Party Requester to “be a party to any appeal taken by the patent owner,”<E T="03">id.</E>§ 315(b)(2). As a party to the Patent Owner's appeal, the Third Party Requester may argue in its responsive briefing that the examiner should have made additional rejections against a claim that stands rejected on other grounds. By contrast, a “final decision favorable to the patentability” of a claim under 35 U.S.C. 315(b)(1) is one in which no rejection has been finally adopted against that claim.</P>
        <P>To effect this proposed change, the USPTO would amend 37 CFR 41.61, 41.67, 41.68, 41.71, and/or 41.77. A Third Party Requester's appellant brief, if any, would be limited to challenging a final determination in which no rejection has been adopted against a particular claim. However, if a claim stands finally rejected and is appealed by the Patent Owner, then the Third Party Requester may file a respondent's brief addressing the Patent Owner's arguments and further challenging the examiner's non-adoption of additional proposed rejections against that claim. The Patent Owner could then address these arguments in a reply brief.</P>
        <P>
          <E T="03">Comments are invited on the above-proposed changes, as well as to the questions below:</E>
        </P>

        <P>1. Should the USPTO proceed with any efforts to streamline the procedures governing<E T="03">ex parte</E>and/or<E T="03">inter partes</E>reexamination proceedings?</P>
        <P>2. Should the USPTO place word limits on requests for<E T="03">ex parte</E>and/or<E T="03">inter partes</E>reexamination?</P>

        <P>3. Should the USPTO revise its existing page or word limits in<E T="03">inter partes</E>reexamination following the request?</P>
        <P>4. Should the USPTO place any limitation or criteria on the addition of new claims by a Patent Owner in reexamination? If so, what kind of limitation or criteria?</P>

        <P>5. Should the USPTO change its interpretation of “a substantial new question of patentability” to require something more than “a substantial likelihood that a reasonable examiner would consider the prior art patent or printed publication important in deciding whether or not the claim is patentable”?<E T="03">See</E>MPEP §§ 2242, 2642. If so, how should it be interpreted?</P>
        <P>6. How much time should Patent Owners and Third Party Requesters ordinarily be given to submit a statement, response, or appeal where the time for filing the statement, response, or appeal is set by the USPTO rather than by statute?</P>
        <P>7. Under what conditions should the USPTO grant a Patent Owner's request for an extension of time under 37 CFR 1.550(c) or 1.956, both of which provide that extensions of time may only be granted for “sufficient cause and for a reasonable time specified”?</P>
        <P>8. Should the USPTO require that any information disclosure statement (IDS) filed by a Patent Owner in a reexamination comply with provisions analogous to 37 CFR 1.97 and 1.98, and further require that any IDS filed after a Notice of Intent to Issue a Reexamination Certificate (NIRC) or notice of appeal be accompanied by: (1) an explanation of why the information submitted could not have been submitted earlier, and (2) an explanation of the relevance of the information with regard to the claimed invention?</P>
        <P>9. Under what conditions should a reexamination proceeding be merged with another reexamination or reissue proceeding?</P>
        <P>10. What relief can and should be given to a Third Party Requester that shows that it did not receive a Patent Owner's statement or response within a certain number of days after the date listed on the Patent Owner's certificate of service? How many days and what kind of showing should be required?</P>

        <P>11. Should the USPTO encourage and/or require that all correspondence in reexamination proceedings be conducted electronically (<E T="03">e.g.,</E>e-filing parties' documents, e-mailing notices of Office actions and certificates)?</P>
        <P>12. Should reexamination proceedings remain with the Board in cases where the Board has entered a new ground of rejection on appeal and the Patent Owner seeks to introduce new evidence and amendments? In particular, is it more efficient for three administrative patent judges or a single examiner to decide issues involving new evidence and amendments?</P>
        <P>13. What other changes can and should the USPTO make in order to streamline reexamination proceedings?</P>
        <P>
          <E T="03">Registration Information:</E>The USPTO plans to make the meeting available via Web cast. Web cast information will be available on the USPTO's Internet Web site before the meeting. The written comments and list of the meeting participants and their associations will be posted on the USPTO's Internet Web site (<E T="03">http://www.uspto.gov</E>).</P>
        <P>When registering, please provide the following information: (1) Your name, title, and if applicable, company or organization, address, phone number, and e-mail address; and (2) if you wish to make a presentation, the specific topic or issue to be addressed and the approximate desired length of your presentation.</P>
        <P>There is no fee to register for the public meeting and registration will be on a first-come, first-serve basis. Early registration is recommended because seating is limited. Registration on the day of the public meeting will be permitted on a space-available basis beginning at 1:30 p.m., Eastern Standard Time, on June 1, 2011.</P>

        <P>The USPTO will attempt to accommodate all persons who wish to make a presentation at the meeting. After reviewing the list of speakers, the USPTO will contact each speaker prior to the meeting with the amount of time available and the approximate time that the speaker's presentation is scheduled to begin. Speakers must then send the final electronic copies of their presentations in Microsoft PowerPoint or Microsoft Word to<E T="03">reexamimprovementcomments@uspto.gov</E>by May 25, 2011, so that the presentation can be displayed in the Auditorium.</P>

        <P>If you need special accommodations due to a disability, please inform the contact person (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>) by May 25, 2011.</P>
        <SIG>
          <PRTPAGE P="22861"/>
          <DATED>Dated: April 18, 2011.</DATED>
          <NAME>David J. Kappos,</NAME>
          <TITLE>Under Secretary of Commerce for Intellectual Property and Director of the United States Patent and Trademark Office.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9805 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-16-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 62</CFR>
        <DEPDOC>[EPA-R04-OAR-2010-0840(b); FRL-9298-8]</DEPDOC>
        <SUBJECT>Approval and Promulgation of State Plans for Designated Facilities and Pollutants: Florida; Jefferson County, KY; Forsyth, Mecklenburg, and Buncombe Counties, NC; and SC</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 notifying the public that it has received negative declarations for Other Solid Waste Incinerator (OSWI) units from the State of Florida; Large Municipal Waste Combustor (LMWC), Small Municipal Waste Combustor (SMWC), and OSWI units from Jefferson County, Kentucky; LMWC, SMWC, and OSWI units from Forsyth County, North Carolina; LMWC, SMWC, and OSWI units from Mecklenburg County, North Carolina; LMWC, SMWC, Hospital/Medical/Infectious Waste Incinerator (HMIWI), and OSWI units from Buncombe County, North Carolina; and LMWC and HMIWI units from the State of South Carolina. These negative declarations certify that LMWC, SMWC, HMIWI, and OSWI units, as indicated above, subject to the requirements of Sections 111(d) and 129 of the Clean Air Act do not exist in areas covered by the following air pollution control programs: Florida Department of Environmental Protection; Louisville, Kentucky, Air Pollution Control District; Forsyth County Environmental Affairs Department; Mecklenburg County Land Use and Environmental Services Agency; Western North Carolina Regional Air Quality Agency; and South Carolina Department of Health and Environmental Control. In the Final Rules section of this Federal Register, EPA is publishing these negative declaration submittals as a direct final rule without prior proposal because the Agency views this as a noncontroversial submittal and anticipates no adverse comments.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received in writing by May 25, 2011.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID Number EPA-R04-OAR-2010-0840 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.<E T="03">E-mail: garver.daniel@epa.gov.</E>
          </P>
          <P>3.<E T="03">Fax:</E>(404) 562-9095.</P>
          <P>4.<E T="03">Mail:</E>EPA-R04-OAR-2010-0840, Daniel Garver, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303.</P>
          <P>5. Hand Delivery or Courier: Mr. Daniel Garver, Air Toxics Assessment and Implementation Section, Air Toxics and Monitoring Branch, Air, Pesticides and Toxics Management Division, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303-8960. Such deliveries are only accepted during the Regional Office's normal hours of operation. The Regional Office's official hours of business are Monday through Friday, 8:30 a.m. to 4:30 p.m., excluding federal holidays.</P>

          <P>Please see the direct final rule which is located in the Rules section of this<E T="04">Federal Register</E>for detailed instructions on how to submit comments.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Daniel Garver, Air Toxics and Monitoring Branch, Air, Pesticides and Toxics Management Division, U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street, SW., Atlanta, Georgia 30303-8960. The telephone number is (404) 562-9839. Mr. Garver can also be reached via electronic mail at<E T="03">garver.daniel@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>For additional information see the direct final rule which is published in the Rules Section of this<E T="04">Federal Register</E>. If no adverse comments are received in response to this rule, no further activity is contemplated. If EPA receives adverse comments, the direct final rule will be withdrawn and all public comments received will be addressed in a subsequent final rule based on this proposed rule. EPA will not institute a second comment period on this document. Any parties interested in commenting on this document should do so at this time.</P>
        <SIG>
          <DATED>Dated: January 13, 2011.</DATED>
          <NAME>A. Stanley Meiburg,</NAME>
          <TITLE>Acting Regional Administrator, Region 4.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9848 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
  </PRORULES>
  <VOL>76</VOL>
  <NO>79</NO>
  <DATE>Monday, April 25, 2011</DATE>
  <UNITNAME>Notices</UNITNAME>
  <NOTICES>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="22862"/>
        <AGENCY TYPE="F">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBJECT>Submission for OMB Review; Comment Request</SUBJECT>
        <DATE>April 19, 2011.</DATE>

        <P>The Department of Agriculture has submitted the following information collection requirement(s) to OMB for review and clearance under the Paperwork Reduction Act of 1995, Public Law 104-13. Comments regarding (a) whether the collection of information is necessary for the proper performance of the functions of the agency, including whether the information will have practical utility; (b) the accuracy of the agency's estimate of burden including the validity of the methodology and assumptions used; (c) ways to enhance the quality, utility and clarity of the information to be collected; (d) 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 and other forms of information technology should be addressed to: Desk Officer for Agriculture, Office of Information and Regulatory Affairs, Office of Management and Budget (OMB),<E T="03">OIRA_Submission@OMB.EOP.GOV</E>or fax (202) 395-5806 and to Departmental Clearance Office, USDA, OCIO, Mail Stop 7602, Washington, DC 20250-7602. Comments regarding these information collections are best assured of having their full effect if received within 30 days of this notification. Copies of the submission(s) may be obtained by calling (202) 720-8681.</P>
        <P>An agency may not conduct or sponsor a collection of information unless the collection of information displays a currently valid OMB control number and the agency informs potential persons who are to respond to the collection of information that such persons are not required to respond to the collection of information unless it displays a currently valid OMB control number.</P>
        <HD SOURCE="HD1">30-Day Federal Register Notice</HD>
        <HD SOURCE="HD2">Forest Service</HD>
        <P>
          <E T="03">Title:</E>Aldo Leopold Wilderness Research Institute Wilderness Visitor Study.</P>
        <P>
          <E T="03">OMB Control Number:</E>0596-NEW.</P>
        <P>
          <E T="03">Summary of Collection:</E>Management of specific parks is directed by laws, policies, and Wilderness Stewardship Plans. The Wilderness Act of 1964 directs the National Wilderness Preservation System be managed to protect natural wilderness conditions and to provide outstanding opportunities for the public to find solitude or primitive and unconfined types of recreational experiences. The Aldo Leopold Wilderness Research Institute will gather, analyze, and report on information from visitors to contribute to wilderness stewardship planning. Visitors will be provided with the option of (1) using postage paid envelope to mail a hard copy of the survey to the Leopold Institute, (2) receive an electronic e-mail form of the survey or (3) access a web-based form of the electronic survey.</P>
        <P>
          <E T="03">Need and Use of the Information:</E>Respondents will only be overnight recreation visitors to the wilderness of Sequoia and Kings Canyon National Parks during the summers of 2011 and 2012. Visitors will be contacted from information they provide in their required overnight wilderness permits. The voluntary survey will ask visitors questions about their recreation visit, personal demographics relevant to education and service provision, and factors that have influenced or are likely to influence their recreational wilderness visits. The National Park Service will use information from this collection to help make the Wilderness Stewardship Plan responsive to legislative and policy guidelines as well as acknowledging a changing client base of American citizens and foreign visitors.</P>
        <P>
          <E T="03">Description of Respondents:</E>Individuals or households.</P>
        <P>
          <E T="03">Number of Respondents:</E>500.</P>
        <P>
          <E T="03">Frequency of Responses:</E>Reporting: Other (one time).</P>
        <P>
          <E T="03">Total Burden Hours:</E>167.</P>
        <SIG>
          <NAME>Charlene Parker,</NAME>
          <TITLE>Departmental Information Collection Clearance Officer.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9886 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-11-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Animal and Plant Health Inspection Service</SUBAGY>
        <DEPDOC>[Docket No. APHIS-2010-0040]</DEPDOC>
        <SUBJECT>Florigene Pty., Ltd.; Availability of Petition and Environmental Assessment for Determination of Nonregulated Status for Altered Color Roses</SUBJECT>
        <HD SOURCE="HD2">Correction</HD>
        <P>In notice document 2011-8775 appearing on pages 20623-20624 in the issue of Wednesday, April 13, 2011 make the following correction:</P>
        <P>On page 20623, in the third column, in the fourth paragraph, in the third line from the bottom “IFD-524-1-4 and IFD-529-1-9” should read “IFD-524Ø1-4 and IFD-529Ø1-9”.</P>
        
      </PREAMB>
      <FRDOC>[FR Doc. C1-2011-8775 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 1505-01-D</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Forest Service</SUBAGY>
        <SUBJECT>Colville Resource Advisory Committee; Meeting</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 Colville Resource Advisory Committee will meet in Colville Washington. The committee is authorized under the Secure Rural Schools and Community Self-Determination Act (Pub. L. 110-343) (the Act) and operates in compliance with the Federal Advisory Committee Act. The purpose of the committee is to improve collaborative relationships and to provide advice and recommendations to the Forest Service concerning projects and funding consistent with the title II of the Act. The meeting is open to the public. The purpose of the meeting is vote on fiscal year 2011 projects.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The meeting will be held May 10, 2011, 9 a.m.</P>
        </DATES>
        <ADD>
          <PRTPAGE P="22863"/>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The meeting will be held at 985 South Elm Street, Colville, Washington, Community Colleges of Spokane: Colville Center, Dominion Room. Written comments may be submitted as described under Supplementary Information.</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 Colville National Forest Headquarters, 765 South Main Street, Colville, Washington 99114, Attn: RAC Coordinator. Please call ahead to 509-684-7000 to facilitate entry into the building to view comments.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Franklin Pemberton, Public Affairs Officer, Colville National Forest Headquarters, 509-684-7000,<E T="03">fpemberton@fs.fed.us</E>.</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 a.m. and 8 p.m., Eastern Standard Time, Monday through Friday. Requests for reasonable accomodation for access to the facility or procedings may be made by contacting the person listed For Further Information.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The following business will be conducted: Discussion, presentation and voting of 2011 Colville Resource Advisory Committee projects. The full agenda may be previewd at:<E T="03">https://fsplaces.fs.fed.us/fsfiles/unit/wo/secure_rural_schools.nsf/RAC/Colville</E>
        </P>

        <P>Anyone who would like to bring related matters to the attention of the committee may file written statements with the committee staff before or after the meeting. The agenda will include time for people to make oral statements of three minutes or less. Individuals wishing to make an oral statement should request in writing by May 09, 2011 to be scheduled on the agenda. Written comments and requests for time for oral comments must be sent to Franklin Pemberton, 765 South Main Street, Colville, Washington 99114, or by e-mail to<E T="03">fpemberton@fs.fed.us,</E>or via facsimile to 509-684-7280.</P>
        <SIG>
          <DATED>Dated: April 18, 2011.</DATED>
          <NAME>Craig Newman,</NAME>
          <TITLE>Acting Forest Supervisor.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9862 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-11-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Forest Service</SUBAGY>
        <SUBJECT>Kern and Tulare Counties 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 meetings.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Kern and Tulare Counties Resource Advisory Committee (RAC) will meet in Porterville and Bakersfield 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 purposes of the meetings are to hear presentations regarding proposed projects and vote on projects to recommend to the Forest Superisor for funding under Title II of the Act.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The meetings will be held May 19, July 21, August 18, and August 25, 2011. All meetings will begin at 5 p.m.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The May 19 and August 18, 2011 meetings will be held at the County of Kern Administrative Office, 1115 Truxtun Avenue, Bakersfield, California, third floor conference room. The July 21 and August 25 meetings will be held in Porterville at Sequoia National Forest Headquarters, 1839 South Newcomb Street, Porterville, California. Written comments should be sent to Kern River Ranger District Office, P.O. Box 9, Kernville, CA 93238. Comments may also be sent via e-mail to<E T="03">pshibley@fs.fed.us,</E>or via facsimile to 760-376-3795.</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 the Kern River Ranger District Office, 105 Whitney Road, Kernville, CA. Visitors are encouraged to call ahead to (760) 376-3781, to facilitate entry into the building.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Penelope Shibley, RAC Coordinator, Kern River Ranger District Office, P.O. Box 9, Kernville, CA 93238; (760) 376-3781; or e-mail:<E T="03">pshibley@fs.fed.us.</E>
          </P>
          <P>Individuals who use telecommunication devices for the deaf (TDD) may call 559-781-6650 between 8 a.m. and 4:30 p.m., Pacific Daylight Time, Monday through Friday.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The meetings are open to the public. The following business will be conducted: (1) Introductions of all committee members and Forest Service personnel; (2) review and approve previous meeting minutes; (3) hear updates on progress of past approved projects; (4) hear presentations on proposed projects (May 19 and July 21), and (5) review, assess and vote on projects to recommend for funding approval (August 18 and 25). Agendas and additional information can be found at the following Web site:<E T="03">http://www.fs.fed.us/r5/sequoia/projects/rural-schools/index.html.</E>
        </P>

        <P>Persons who wish to provide a presentation on projects to be submitted to the RAC at the May 19 meeting are to contact the Designated Federal Official, Priscilla Summers at the Western Divide Ranger District, at least seven days prior to the meeting to be added to the agenda. Contact information: 559-539-2607, 23588 Highway 190, Springville, California 93265,<E T="03">psummers@fs.fed.us.</E>Persons wishing to bring related matters to the attention of the RAC may file written statements with the RAC staff before or after the meeting. Public input sessions will be provided and individuals who made written requests by seven days prior to the meetings will have the opportunity to address the RAC at those sessions.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>Debra L. Whitman,</NAME>
          <TITLE>Acting Forest Supervisor, Sequoia National Forest.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9963 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-11-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Grain Inspection, Packers and Stockyards Administration</SUBAGY>
        <SUBJECT>Designation for the Lewiston, ID Area</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Grain Inspection, Packers and Stockyards Administration, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>GIPSA is announcing the designation of the Washington Department of Agriculture (Washington) to provide official services under the United States Grain Standards Act, as amended (USGSA).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>March 1, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Karen W. Guagliardo, Branch Chief, Review Branch, Compliance Division, GIPSA, USDA, STOP 3604, Room 1647-S, 1400 Independence Avenue, SW., Washington, DC 20250-3604.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Karen W. Guagliardo, 202-720-8262 or<E T="03">Karen.W.Guagliardo@usda.gov.</E>
          </P>
          <P>
            <E T="03">Read Applications:</E>All applications and comments will be available for public inspection at the office above<PRTPAGE P="22864"/>during regular business hours (7 CFR 1.27(c)).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>In the January 4, 2011,<E T="04">Federal Register</E>(76 FR 317), GIPSA requested applications for designation to provide official services in the geographic area previously serviced by Lewiston Grain Inspection Service, Inc. (Lewiston). Applications were due by February 3, 2011.</P>
        <P>Washington was the sole applicant for designation to provide official services in this area. As a result, GIPSA did not ask for additional comments.</P>

        <P>GIPSA evaluated all available information regarding the designation criteria in section 7(f)(l) of the USGSA (7 U.S.C. 79(f)) and determined that Washington is qualified to provide official services in the geographic area specified in the January 4, 2011,<E T="04">Federal Register</E>for which they applied. This designation action to provide official services in the specified area is effective March 1, 2011 and will terminate on December 31, 2011.</P>
        <P>Effective March 1, 2011, Washington's present geographic area is amended to include the following areas in the States of Idaho and Oregon:</P>
        <P>• The northern half of the State of Idaho down to the northern boundaries of Adams, Valley, and Lemhi Counties.</P>
        <P>• The entire State of Oregon, except those export port locations within the State that are serviced by GIPSA.</P>
        <P>Interested persons may obtain official services by contacting this agency at the following telephone number:</P>
        <GPOTABLE CDEF="xs72,r100,11C,11C" COLS="4" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Official agency</CHED>
            <CHED H="1">Headquarters location and telephone</CHED>
            <CHED H="1">Designation start</CHED>
            <CHED H="1">Designation end</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Washington</ENT>
            <ENT>Olympia, WA (360) 753-1484 Additional Locations: Colfax, Othello, Pasco, Quincy, Spokane, and Yakima, WA</ENT>
            <ENT>3/1/2011</ENT>
            <ENT>12/31/2011</ENT>
          </ROW>
        </GPOTABLE>
        <P>Section 7(f)(1) of the USGSA authorizes GIPSA's Administrator to designate a qualified applicant to provide official services in a specified area after determining that the applicant is better able than any other applicant to provide such official services (7 U.S.C. 79 (f)(1)).</P>
        <P>Under section 7(g)(1) of the USGSA, designations of official agencies are effective for no longer than 3 years unless terminated by the Secretary; however, designations may be renewed according to the criteria and procedures prescribed in section 7(f) of the Act.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>7 U.S.C. 71-87k.</P>
        </AUTH>
        <SIG>
          <NAME>J. Dudley Butler,</NAME>
          <TITLE>Administrator, Grain Inspection, Packers and Stockyards Administration.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9940 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-KD-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Census Bureau</SUBAGY>
        <SUBJECT>Proposed Information Collection; Comment Request; Census Employment Inquiry</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>U.S. Census Bureau, Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Department of Commerce, as part of its continuing effort to reduce paperwork and respondent burden, invites the general public and other Federal agencies to take this opportunity to comment on proposed and/or continuing information collections, as required by the Paperwork Reduction Act of 1995, Public Law 104-13 (44 U.S.C. 3506(c)(2)(A)).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>To ensure consideration, written comments must be submitted on or before June 24, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Direct all written comments to Diana Hynek, Departmental Paperwork Clearance Officer, 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>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Requests for additional information or copies of the information collection instrument(s) and instructions should be directed to Viola Lewis-Willis, Bureau of the Census, 4600 Silver Hill Road, Room 5H043, Washington, DC 20233, and (301) 763-3285.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Abstract</HD>
        <P>The BC-170, Census Employment Inquiry, is used to collect information such as personal data and work experience from job applicants. The BC-170 is used throughout the census and intercensal periods for surveys, special censuses, decennial census pretests, and dress rehearsals. Applicants completing the form for a census related position are applying for temporary jobs in office and field positions (clerks, enumerators, crew leaders, supervisors). In addition, as an option to the OF-612, Optional Application for Federal Employment, the BC-170 may be used when applying for temporary/permanent office and field positions (clerks, field representatives, supervisors) on a recurring survey in one of the Census Bureau's 12 Regional Offices (ROs) throughout the United States. This form is completed by job applicants at the time they are tested. Selecting officials review the information shown on the form to evaluate an applicant's eligibility for employment. During the decennial census, the BC-170 is intended to expedite hiring and selection in situations requiring large numbers of temporary employees for assignments of a limited duration.</P>

        <P>The use of this form is limited to only situations that involve special, one-time or recurring survey operations at one of the ROs and/or which require the establishment of a temporary office. The form has been demonstrated to meet our recruitment needs for field workers and requires significantly less burden than the Office of Personnel Management (OPM) Optional Forms that are available for use by the public when applying for Federal positions. Over the next three years, we expect to recruit approximately 61,500 applicants for census jobs (<E T="03">i.e.,</E>one-time censuses, special censuses and decennial pretests and dress rehearsals), which would equate to a significant reduction in the required paperwork and public burden, as compared to other Federal application forms.</P>
        <P>The bulk of the proposed changes to the form are related to standardizing the information collected across the three variations of the forms which we currently utilized and to collect additional applicant data to facilitate the processing of the application.</P>
        <HD SOURCE="HD1">II. Method of Collection</HD>
        <P>We collect this information at the time of testing for temporary and permanent positions. Potential employees being tested complete a four-page paper application at the time of testing.</P>
        <HD SOURCE="HD1">III. Data</HD>
        <P>
          <E T="03">OMB Control Number:</E>0607-0139.</P>
        <P>
          <E T="03">Form Number:</E>BC-170A, BC-170B, BC-170D.</P>
        <P>
          <E T="03">Type of Review:</E>Regular submission.<PRTPAGE P="22865"/>
        </P>
        <P>
          <E T="03">Affected Public:</E>Individuals.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>20,500.</P>
        <P>
          <E T="03">Estimated Time per Response:</E>15 minutes.</P>
        <P>
          <E T="03">Estimated Total Annual Burden Hours:</E>5,125.</P>
        <P>
          <E T="03">Estimated Total Annual Cost:</E>The only cost to the respondent is his/her time for completing the BC-170A (recurring surveys), BC-170B (special censuses), or BC-170D (decennial censuses).</P>
        <P>
          <E T="03">Respondent's Obligation:</E>Required to obtain a benefit.</P>
        <AUTH>
          <HD SOURCE="HED">Legal Authority:</HD>
          <P>Title 13, U.S.C. Section 23.</P>
        </AUTH>
        <HD SOURCE="HD1">IV. Request for Comments</HD>
        <P>Comments are invited on: (a) Whether the proposed collection of information is necessary for the proper performance of the functions of the agency, including whether the information shall have practical utility; (b) the accuracy of the agency's estimate of the burden (including hours and cost) of the proposed collection of information; (c) ways to enhance the quality, utility, and clarity of the information to be collected; and (d) ways to minimize the burden of the collection of information on respondents, including through the use of automated collection techniques or other forms of information technology.</P>
        <P>Comments submitted in response to this notice will be summarized and/or included in the request for OMB approval of this information collection; they also will become a matter of public record.</P>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>Glenna Mickelson,</NAME>
          <TITLE>Management Analyst, Office of the Chief Information Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9908 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-07-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Bureau of Industry and Security</SUBAGY>
        <SUBJECT>Action Affecting Export Privileges; Orion Air, S.L. and Syrian Pearl Airlines</SUBJECT>
        <EXTRACT>
          <P>In the Matter of:</P>
          
          <FP SOURCE="FP-1">Orion Air, S.L., Canada Real de Merinas, 7 Edificio 5, 3'A, Eissenhower business center, 28042 Madrid, Spain; and Ad. de las Cortes  Valencianas no 37, Esc.A Puerta 45 46015 Valencia, Spain; and Syrian Pearl Airlines, Damascus International Airport, Damascus, Syria, Respondents.</FP>
        </EXTRACT>
        
        <HD SOURCE="HD1">Order Renewing Temporary Denial of Export Privileges</HD>
        <P>Pursuant to Section 766.24 of the Export Administration Regulations, 15 CFR parts 730-774 (2011) (“EAR” or the “Regulations”), I hereby grant the request of the Bureau of Industry and Security (“BIS”) to renew for 180 days the Order Temporarily Denying the Export Privileges of Respondents Orion Air, S.L. (“Orion Air”) and Syrian Pearl Airlines (collectively, “Respondents”), as I find that renewal of the temporary denial order (“TDO” or the “Order”) is necessary in the public interest to prevent an imminent violation of the EAR.</P>
        <HD SOURCE="HD1">I. Procedural History</HD>

        <P>On May 7, 2009, then-Acting Assistant Secretary of Commerce for Export Enforcement Kevin Delli-Colli signed an Order Temporarily Denying the Export Privileges of the Respondents for 180 days on the grounds that its issuance was necessary in the public interest to prevent an imminent violation of the Regulations. Pursuant to Section 766.24(a), the TDO was issued<E T="03">ex parte</E>and was effective upon issuance. Copies of the TDO were sent to each Respondent in accordance with Section 766.5 of the Regulations and the Order was published in the<E T="04">Federal Register</E>on May 26, 2009.<SU>1</SU>
          <FTREF/>Thereafter, Acting Assistant Secretary Delli-Colli issued an Order on November 2, 2009, renewing the TDO for an additional 180 days, and I similarly issued a 180-day renewal Order on April 29, 2010.<SU>2</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>74 FR 24,786.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>2</SU>The November 2, 2009 renewal Order was published in the<E T="04">Federal Register</E>on November 9, 2009 (74 FR 57,626). The April 29, 2010 renewal Order was published in the<E T="04">Federal Register</E>on May 7, 2010 (75 FR 25,002).</P>
        </FTNT>

        <P>Most recently, on October 22, 2010, I renewed the TDO against the Respondents for an additional 180 days. This renewal was effective upon issuance and was published in the<E T="04">Federal Register</E>on October 29, 2010.<SU>3</SU>
          <FTREF/>The current Order would expire on April 20, 2011, unless renewed in accordance with Section 766.24 of the Regulations.</P>
        <FTNT>
          <P>
            <SU>3</SU>75 FR 66,728 (October 29, 2010).</P>
        </FTNT>
        <P>On March 28, 2011, BIS, through its Office of Export Enforcement (“OEE”), filed a written request for renewal of the TDO against the Respondents for an additional 180 days. A copy of this request was delivered to the Respondents in accordance with Section 766.5 of the Regulations. No opposition to renewal of the TDO has been received from either Orion Air or Syrian Pearl Airlines.</P>
        <HD SOURCE="HD1">II. Discussion</HD>
        <HD SOURCE="HD2">A. Legal Standard</HD>

        <P>Pursuant to section 766.24(d)(3) of the EAR, the sole issue to be considered in determining whether to continue a TDO is whether the TDO should be renewed to prevent an imminent violation of the EAR, as “imminent” violation is defined in Section 766.24. “A violation may be `imminent' either in time or in degree of likelihood.” 15 CFR 766.24(b)(3). BIS may show “either that a violation is about to occur, or that the general circumstances of the matter under investigation or case under criminal or administrative charges demonstrate a likelihood of future violations.”<E T="03">Id.</E>As to the likelihood of future violations, BIS may show that “the violation under investigation or charges is significant, deliberate, covert and/or likely to occur again, rather than technical and negligent[.]”<E T="03">Id.</E>A “lack of information establishing the precise time a violation may occur does not preclude a finding that a violation is imminent, so long as there is sufficient reason to believe the likelihood of a violation.”<E T="03">Id.</E>
        </P>
        <HD SOURCE="HD2">B. Findings</HD>
        <P>As part of its initial TDO request, BIS presented evidence that on or about May 1, 2009, Orion Air re-exported a BAE 146-300 aircraft (tail number EC-JVO) to Syria, and specifically to Syrian Pearl Airlines, without the U.S. Government authorization required by General Order No. 2 of Supplement 1 to Part 736 of the EAR. The aircraft is subject to the Regulations because it contains greater than a 10-percent de minimis amount of U.S.-origin content. Orion Air engaged in this re-export transaction despite having been directly informed of the export licensing requirements by the U.S. Government. Moreover, Orion Air not only engaged in this conduct after having received actual as well as constructive notice of the applicable license requirements, but then sought to evade the Regulations and U.S. export controls by giving the U.S. Government false assurances that it would put the transaction on hold due to the U.S. Government's concerns.</P>

        <P>BIS also produced evidence that the re-exported aircraft bore the livery, colors and logos of Syrian Pearl Airlines, a national of Syria, a Country Group E:1 destination; was flight capable; and under the terms of the lease agreement was to be based in and operated out of Syria during the lease term. The record also shows that the re-exported aircraft currently remains in Syria under the control of Syrian Pearl Airlines.<PRTPAGE P="22866"/>
        </P>
        <P>In addition to the unauthorized re-export described above, Acting Assistant Secretary Delli-Colli also concluded that additional violations were imminent based on statements by Orion Air to the U.S. Government in May 2009 that Orion Air planned to re-export an additional BAE 146-300 aircraft (tail number EC-JVJ) to Syria, and specifically to Syrian Pearl Airlines. This second aircraft was at the time undergoing maintenance in the United Kingdom, and remains located there. Moreover, the agreement between Orion Air and Syrian Pearl Airlines involved both aircraft being re-exported to Syria for Syrian Pearl Airlines' use and benefit.</P>
        <P>On December 10, 2010, pursuant to Section 764.3(a)(2) of the Regulations, BIS authorized Orion Air and Syrian Pearl Airlines to enter into a three-way release agreement with a third party that would terminate the original lease agreement between Orion Air and Syrian Pearl Airlines and allow the third party to take legal and physical control of both aircraft. Additionally, BIS authorized the performance of maintenance needed to make both aircraft flight-worthy, and authorized the third party to remove aircraft EC-JVO from Syria to any country not listed in Country Group E:1<SU>4</SU>

          <FTREF/>of Supplement 1 to Part 740 of the Regulations. Evidence obtained by BIS indicates that in the more than four months since this authorization was granted, aircraft EC-JVO has not been removed from Syria and remains in Syria under Syrian control. Thus, a significant risk remains that absent renewal of the TDO, this aircraft will be operated or disposed of in violation of the Regulations. Moreover, in spite of the authorization, there has been no change regarding aircraft EC-JVJ, which remains in the same status in the United Kingdom. Absent renewal of the TDO, there remains a substantial continued risk that aircraft EC-JVJ will be re-exported contrary to the Regulations, given that,<E T="03">inter alia,</E>Orion Air acted with actual knowledge and took deceptive and evasive action, as discussed<E T="03">supra.</E>
        </P>
        <FTNT>
          <P>
            <SU>4</SU>Group E:1 destinations are currently Syria, Iran, Cuba, Sudan and North Korea. See Supplement No. 1 to 15 CFR part 740 (2011).</P>
        </FTNT>
        <P>Based on my review of the record, I find that the facts and circumstances here, including those that led to the issuance of the initial TDO and subsequent renewal Orders, continue to show that renewal of the TDO for an additional 180 days is necessary and in the public interest to prevent an imminent violation of the EAR. Furthermore, renewal of the TDO is needed to give notice to persons and companies in the United States and abroad that they should cease dealing with the Respondents in export transactions involving items subject to the EAR.</P>
        <P>
          <E T="03">It is therefore ordered:</E>
        </P>
        <P>
          <E T="03">First,</E>that, Orion Air, S.L., Canada Real de Merinas, 7 Edificio 5, 3'A, Eissenhower business center, 28042 Madrid, Spain, and Ad. de las Cortes Valencianas no 37, Esc.A Puerta 4546015 Valencia, Spain, and when acting for or on its behalf, any of its successors, assigns, agents, or employees; and Syrian Pearl Airlines, Damascus International Airport, Damascus, Syria, and when acting on its behalf, any of its successors, assigns, agents, or employees (each a “Denied Person” and collectively the “Denied Persons”) may not, directly or indirectly, participate in any way in any transaction involving any commodity, software or technology (hereinafter collectively referred to as “item”) exported or to be exported from the United States that is subject to the Export Administration Regulations (“EAR”), or in any other activity subject to the EAR including, but not limited to:</P>
        <P>A. Applying for, obtaining, or using any license, license exception, or export control document;</P>
        <P>B. Carrying on negotiations concerning, or ordering, buying, receiving, using, selling, delivering, storing, disposing of, forwarding, transporting, financing, or otherwise servicing in any way, any transaction involving any item exported or to be exported from the United States that is subject to the EAR, or in any other activity subject to the EAR; or</P>
        <P>C. Benefitting in any way from any transaction involving any item exported or to be exported from the United States that is subject to the EAR, or in any other activity subject to the EAR.</P>
        <P>
          <E T="03">Second,</E>that no person may, directly or indirectly, do any of the following:</P>
        <P>A. Export or re-export to or on behalf of any Denied Person any item subject to the EAR;</P>
        <P>B. Take any action that facilitates the acquisition or attempted acquisition by any Denied Person of the ownership, possession, or control of any item subject to the EAR that has been or will be exported from the United States, including financing or other support activities related to a transaction whereby any Denied Person acquires or attempts to acquire such ownership, possession or control;</P>
        <P>C. Take any action to acquire from or to facilitate the acquisition or attempted acquisition from any Denied Person of any item subject to the EAR that has been exported from the United States;</P>
        <P>D. Obtain from any Denied Person in the United States any item subject to the EAR with knowledge or reason to know that the item will be, or is intended to be, exported from the United States; or</P>
        <P>E. Engage in any transaction to service any item subject to the EAR that has been or will be exported from the United States and which is owned, possessed or controlled by any Denied Person, or service any item, of whatever origin, that is owned, possessed or controlled by any Denied Person if such service involves the use of any item subject to the EAR that has been or will be exported from the United States. For purposes of this paragraph, servicing means installation, maintenance, repair, modification or testing.</P>
        <P>
          <E T="03">Third,</E>that after notice and opportunity for comment as provided in section 766.23 of the EAR, any other person, firm, corporation, or business organization related to any of the Respondents by affiliation, ownership, control, or position of responsibility in the conduct of trade or related services may also be made subject to the provisions of this Order.</P>
        <P>
          <E T="03">Fourth,</E>that this Order does not prohibit any export, re-export, or other transaction subject to the EAR where the only items involved that are subject to the EAR are the foreign-produced direct product of U.S.-origin technology.</P>
        <P>In accordance with the provisions of Section 766.24(e) of the EAR, the Respondents may, at any time, appeal this Order by filing a full written statement in support of the appeal with the Office of the Administrative Law Judge, U.S. Coast Guard ALJ Docketing Center, 40 South Gay Street, Baltimore, Maryland 21202-4022.</P>
        <P>BIS may seek renewal of this Order by filing a written request with the Assistant Secretary of Commerce for Export Enforcement in accordance with the provisions of Section 766.24(d) of the Regulations, which currently provides that such a written renewal request must be submitted not later than 20 days before the expiration date. The Respondents may oppose a request to renew this Order by doing so in accordance with Section 766.24(d), including filing a written submission with the Assistant Secretary for Export Enforcement, supported by appropriate evidence. Any opposition ordinarily must be received not later than seven days before the expiration date of the Order.</P>

        <P>Notice of the issuance of this Order shall be given to Respondents in accordance with Sections 766.5(b). This Order also shall be published in the<PRTPAGE P="22867"/>
          <E T="04">Federal Register</E>. This Order is effective upon issuance and shall remain in effect for 180 days.</P>
        <SIG>
          <DATED>Issued this 18th day of April 2011.</DATED>
          <NAME>David W. Mills,</NAME>
          <TITLE>Assistant Secretary of Commerce for Export Enforcement.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9932 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-DT-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>International Trade Administration</SUBAGY>
        <DEPDOC>[A-520-803]</DEPDOC>
        <SUBJECT>Polyethylene Terephthalate Film, Sheet, and Strip From the United Arab Emirates: Final Results of Antidumping Duty Administrative Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Import Administration, International Trade Administration, Department of Commerce.</P>
        </AGY>
        
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>On December 17, 2010, the Department of Commerce (the Department) published the preliminary results of administrative review of the antidumping duty order on polyethylene terephthalate film (PET Film) from the United Arab Emirates. This review covers two producers/exporters of subject merchandise: JBF RAK LLC (JBF) and FLEX Middle East FZE (FLEX). Based on the results of our analysis of the comments received, we have made changes to the preliminary results, which are discussed below. For the final dumping margins, see the “Final Results of Review” section below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>April 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Andrew Huston or Jun Jack Zhao, AD/CVD Operations, Office 6, Import Administration, International Trade Administration, U.S. Department of Commerce, 14th Street and Constitution Avenue, NW., Washington, DC 20230; telephone: (202) 428-4261 or (202) 482-1396, respectively.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>

        <P>Since the preliminary results, the following events have taken place.<E T="03">See Polyethylene Terephthalate Film, Sheet, and Strip From the United Arab Emirates: Preliminary Results of Antidumping Duty Administrative Review,</E>75 FR 78968 (December 17, 2010) (<E T="03">Preliminary Results</E>). A sales verification of JBF was conducted from December 12, 2010, through December 16, 2010.<E T="03">See</E>Memorandum to the File, “Verification of the Sales Response of JBF RAK LLC in the Antidumping Review of Polyethylene Terephthalate Film Sheet and Strip (PET Film) from the United Arab Emirates” (February 17, 2011).<SU>1</SU>
          <FTREF/>JBF submitted a timely case brief on February 28, 2011. DuPont Teijin Films, Mitsubishi Polyester Film, Inc., SKC, Inc., and Toray Plastics (America), Inc. filed a timely rebuttal brief on March 8, 2011. We did not receive a case brief from FLEX.</P>
        <FTNT>
          <P>
            <SU>1</SU>Public versions of all memoranda referenced in this notice are on file in the Department's Central Records Unit (CRU) in Room 7046 of the main Department of Commerce building.</P>
        </FTNT>
        <HD SOURCE="HD1">Period of Review</HD>
        <P>The period of review is November 6, 2008, through October 31, 2009.</P>
        <HD SOURCE="HD1">Scope of the Order</HD>
        <P>The products covered by the order are all gauges of raw, pre-treated, or primed polyethylene terephthalate film, whether extruded or co-extruded. Excluded are metallized films and other finished films that have had at least one of their surfaces modified by the application of a performance-enhancing resinous or inorganic layer more than 0.00001 inches thick. Also excluded is roller transport cleaning film which has at least one of its surfaces modified by application of 0.5 micrometers of SBR latex. Tracing and drafting film is also excluded. PET Film is classifiable under subheading 3920.62.00.90 of the Harmonized Tariff Schedule of the United States (HTSUS). While HTSUS subheadings are provided for convenience and customs purposes, our written description of the scope of the order is dispositive.</P>
        <HD SOURCE="HD1">Analysis of Comments Received</HD>

        <P>The issues raised in the case and rebuttal briefs by parties in this administrative review are addressed in the memorandum from Christian Marsh, Deputy Assistant Secretary for Antidumping and Countervailing Duty Operations, to Ronald K. Lorentzen, Deputy Assistant Secretary for Import Administration, “Antidumping Duty Administrative Review of Polyethylene Terephthalate Film, Sheet, and Strip from the United Arab Emirates: Issues and Decision Memorandum for the Final Results” (Decision Memorandum), dated concurrently with, and herby adopted by this notice. A list of the issues addressed in the Decision Memorandum is appended to this notice. The Decision Memorandum is on file in the Department's CRU, and can be accessed directly on the Internet at<E T="03">http://ia.ita.doc.gov/frn.</E>The paper copy and electronic version of the Decision Memorandum are identical in content.</P>
        <HD SOURCE="HD1">Changes Since the Preliminary Results</HD>
        <P>Based on our analysis of the comments received, we have made adjustments to our margin calculations for JBF. Specifically, we revised coding in our comparison market SAS program to correct an error that resulted in different variable cost of manufacturing figures being used for identical U.S. and home market products.</P>
        <HD SOURCE="HD1">Final Results of Review</HD>
        <P>As a result of our review, we determine that the following weighted-average margins exist for the period of November 6, 2008, through October 31, 2009:</P>
        <GPOTABLE CDEF="s100,12" COLS="2" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Manufacturer/exporter</CHED>
            <CHED H="1">Weighted-<LI>average</LI>
              <LI>margin</LI>
              <LI>(percent)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">FLEX Middle East FZE</ENT>
            <ENT>3.16</ENT>
          </ROW>
          <ROW>
            <ENT I="01">JBF RAK LLC</ENT>
            <ENT>4.88</ENT>
          </ROW>
        </GPOTABLE>
        <HD SOURCE="HD1">Assessment Rates</HD>

        <P>The Department shall determine, and U.S. Customs and Border Protection (CBP) shall assess, antidumping duties on all appropriate entries. We will instruct CBP to liquidate entries of merchandise produced and/or exported by Flex and JBF. For assessment purposes, where the respondents reported the entered value for their sales, we calculated importer-specific (or customer-specific)<E T="03">ad valorem</E>assessment rates based on the ratio of the total amount of the dumping duties calculated for the examined sales to the total entered value of those same sales.<E T="03">See</E>19 CFR 351.212(b). However, where the respondents did not report the entered value for their sales, we will calculate importer-specific (or customer-specific) per-unit assessment rates. The Department intends to issue appropriate assessment instructions directly to CBP 15 days after the date of publication of these final results of review.</P>

        <P>The Department clarified its “automatic assessment” regulation on May 6, 2003.<E T="03">See Antidumping and Countervailing Duty Proceedings: Assessment of Antidumping Duties,</E>68 FR 23954 (May 6, 2003). This clarification will apply to entries of subject merchandise during the POR produced by Flex or JBF for which the reviewed companies did not know their merchandise was destined for the United States. In such instances, we will instruct CBP to liquidate non-reviewed entries at the all-others rate of 4.80 percent from the investigation if there is no rate for the intermediate company(ies) involved in the transaction.<E T="03">See Polyethylene<PRTPAGE P="22868"/>Terephthalate Film, Sheet, and Strip from the United Arab Emirates: Final Determination of Sales at Less Than Fair Value,</E>73 FR 55036 (September 24, 2008) (<E T="03">Investigation Final Determination</E>).</P>
        <HD SOURCE="HD1">Cash Deposit Requirements</HD>

        <P>The following deposit requirements will be effective upon publication of the final results of this administrative review for all shipments of subject merchandise entered, or withdrawn from warehouse, for consumption on or after the publication date of these final results, as provided by section 751(a)(2)(C) of the Tariff Act of 1930, as amended (the Act): (1) For the companies covered by this review, the cash deposit rate will be the rates listed above in the section “Final Results of Review;” (2) for merchandise exported by producers or exporters not covered in this review but covered in a previous segment of this proceeding, the cash deposit rate will continue to be the company-specific rate published in the most recent final results in which that producer or exporter participated; (3) if the exporter is not a firm covered in this review or in any previous segment of this proceeding, but the producer is, the cash deposit rate will be that established for the producer of the merchandise in these final results of review or in the most recent final results in which that producer participated; and, (4) if neither the exporter nor the producer is a firm covered in this review or in any previous segment of this proceeding, the cash deposit rate will be 4.80 percent, the all-others rate established in the less than fair value investigation.<E T="03">See Investigation Final Determination.</E>These deposit requirements shall remain in effect until further notice.</P>
        <HD SOURCE="HD1">Notification Regarding Administrative Protective Orders</HD>
        <P>This notice is the only reminder to parties subject to the administrative protective order (APO) of their responsibility concerning the return or destruction of proprietary information disclosed under the APO in accordance with 19 CFR 351.305(a)(3). Timely written notification of the return or destruction of APO materials or conversion to judicial protective order is hereby requested. Failure to comply with the regulations and the terms of an APO is a sanctionable violation.</P>
        <HD SOURCE="HD1">Notification to Importers</HD>
        <P>This notice also serves as a final reminder to importers of their responsibility under 19 CFR 351.402(f) to file a certificate regarding the reimbursement of antidumping duties prior to liquidation of the relevant entries during this review period. Failure to comply with this requirement could result in the Secretary's presumption that reimbursement of antidumping duties occurred, and in the subsequent assessment of double antidumping duties.</P>
        <P>We are issuing and publishing these final results and this notice in accordance with sections 751(a)(1) and 777(i)(1) of the Act.</P>
        <SIG>
          <DATED>Dated: April 18, 2011.</DATED>
          <NAME>Ronald K. Lorentzen,</NAME>
          <TITLE>Deputy Assistant Secretary for Import Administration.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Appendix</HD>
        <EXTRACT>
          <HD SOURCE="HD1">Issues in the Decision Memorandum</HD>
          <FP SOURCE="FP-2">Comment 1: Sample Transactions</FP>
          <FP SOURCE="FP-2">Comment 2: Values Reported for Average Cost of Manufacturing</FP>
          <FP SOURCE="FP-2">Comment 3: Transactions Outside the Ordinary Course of Trade</FP>
          <FP SOURCE="FP-2">Comment 4: Matching Criteria</FP>
          <FP SOURCE="FP-2">Comment 5: Zeroing</FP>
        </EXTRACT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9967 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-DS-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>International Trade Administration</SUBAGY>
        <DEPDOC>[C-351-829]</DEPDOC>
        <SUBJECT>Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products From Brazil: Final Results of Countervailing Duty Administrative Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Import Administration, International Trade Administration, Department of Commerce.</P>
        </AGY>
        
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>On October 7, 2010, the Department of Commerce (Department) issued the preliminary results of administrative review of the countervailing duty order on certain hot-rolled flat-rolled carbon-quality steel products (HRS) from Brazil for the period January 1, 2008, through December 31, 2008. Based on the results of our verification and the analysis of the comments received, the Department has made certain revisions to the subsidy rates for the respondent, Usinas Siderurgicas de Minas Gerais (USIMINAS) and its subsidiary, Companhia Siderurgica Paulista (COSIPA). The final subsidy rate for the reviewed company is listed below in the section entitled “Final Results of Review.”</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>April 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Myrna Lobo, Justin Neuman or Milton Koch, AD/CVD Operations, Office 6, Import Administration, International Trade Administration, U.S. Department of Commerce, 14th Street and Constitution Avenue, NW., Washington, DC 20230; telephone: (202) 482-2371, (202) 482-0486 and (202) 482-2584, respectively.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>
        <P>Since the issuance of<E T="03">Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products From Brazil: Preliminary Results of Countervailing Duty Administrative Review,</E>75 FR 64700 (October 20, 2010) (<E T="03">Preliminary Results</E>), the following events have occurred. The Department issued its third supplemental questionnaire to the Government of Brazil (GOB) and to USIMINAS/COSIPA on November 9, 2010. On the same day, the Department informed parties of the postponement of the briefing schedule. The GOB and USIMINAS/COSIPA filed their responses on November 23, 2010, and December 3, 2010, respectively. On December 13, 2010, the United States Steel Corporation (USS or petitioner) submitted factual information in rebuttal to information contained in USIMINAS/COSIPA's December 3, 2010 questionnaire response. On January 6, 2011, the Department issued a fourth supplemental questionnaire to USIMINAS/COSIPA and the company submitted its response on January 19, 2011. On January 20, 2011, the Department placed on the record information from the investigation of cold-rolled steel and the prior administrative review of the instant order on HRS.<E T="03">See</E>Memorandum to The File from Justin M. Neuman, Analyst, Certain Hot-Rolled Carbon Steel Flat Products from Brazil: Additional Programs Memorandum and Calculation Memorandum, Certain Hot-Rolled Carbon Steel Flat Products from Brazil, dated January 20, 2011.</P>

        <P>On December 14, 2010, the Department extended the deadline for the final results from February 17, 2011 to April 18, 2011.<E T="03">See Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products From Brazil: Extension of Time Limit for Final Results of Countervailing Duty Administrative Review,</E>75 FR 77828 (December 14, 2010).</P>

        <P>On January 21, 2011, USS submitted comments in light of the Department's planned verification. In accordance with section 782(i) of the Tariff Act of 1930, as amended (“the Act”) the Department conducted verification in Brazil of the questionnaire responses of USIMINAS/COSIPA from January 24 to January 27, 2011, and of one program of the GOB on January 28, 2011.<E T="03">See</E>Memorandum to<PRTPAGE P="22869"/>The File from Myrna Lobo, International Trade Compliance Analyst, through Dana S. Mermelstein, Program Manager, Countervailing Duty Administrative Review of Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil: Verification of the Questionnaire Responses Submitted by Usinas Siderurgicas de Minas Gerais (USIMINAS) and Companhia Siderurgica Paulista (COSIPA), dated March 7, 2011;<E T="03">see also</E>Memorandum to The File from Myrna Lobo, International Trade Compliance Analyst, through Dana S. Mermelstein, Program Manager, Countervailing Duty Administrative Review of Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil: Verification of the Questionnaire Responses Submitted by the Government of Brazil, dated March 7, 2011.</P>

        <P>On March 3, 2011, the Department issued a post-preliminary analysis memorandum on the countervailability of the FINEM loan program.<E T="03">See</E>Memorandum to Ronald K. Lorentzen, Deputy Assistant Secretary for Import Administration from Christian Marsh, Deputy Assistant Secretary for Antidumping and Countervailing Duty Operations, Countervailing Duty Administrative Review of Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil: Post-Preliminary Analysis Regarding the Provision of FINEM Loans, dated March 3, 2011 (Post-Preliminary Decision). On March 9, 2011, the Department notified parties of the briefing schedule, inviting comments on the<E T="03">Preliminary Results</E>and the Post-Preliminary Decision. The Department received case briefs and rebuttal briefs from USS, Nucor Corporation (Nucor), a domestic interested party, and USIMINAS/COSIPA.<SU>1</SU>
          <FTREF/>Timely requests for a hearing were submitted by USS and Nucor; however, both parties subsequently withdrew their hearing requests.</P>
        <FTNT>
          <P>

            <SU>1</SU>The Department rejected USIMINAS/COSIPA's case brief received on March 16, 2011, because it contained untimely new factual information.<E T="03">See</E>Letter to USIMINAS/COSIPA from the Department, Re: Countervailing Duty Administrative Review: Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil (March 17, 2011). Subsequently, the Department allowed USIMINAS/COSIPA to resubmit its case brief without the untimely factual information, which it received on March 18, 2011.</P>
        </FTNT>
        <HD SOURCE="HD1">Period of Review</HD>
        <P>The period for which we are measuring subsidies,<E T="03">i.e.,</E>the period of review (POR), is January 1, 2008, through December 31, 2008.</P>
        <HD SOURCE="HD1">Scope of the Order</HD>

        <P>For purposes of this review, the products covered are certain hot-rolled flat-rolled carbon-quality steel products of a rectangular shape, of a width of 0.5 inch or greater, neither clad, plated, nor coated with metal and whether or not painted, varnished, or coated with plastics or other non-metallic substances, in coils (whether or not in successively superimposed layers) regardless of thickness, and in straight lengths, of a thickness less than 4.75 mm and of a width measuring at least 10 times the thickness. Universal mill plate (<E T="03">i.e.,</E>flat-rolled products rolled on four faces or in a closed box pass, of a width exceeding 150 mm, but not exceeding 1250 mm and of a thickness of not less than 4 mm, not in coils and without patterns in relief) of a thickness not less than 4.0 mm is not included within the scope of the order.</P>
        <P>Specifically included in the scope are vacuum degassed, fully stabilized (commonly referred to as interstitial-free (“IF”)) steels, high strength low alloy (“HSLA”) steels, and the substrate for motor lamination steels. IF steels are recognized as low carbon steels with micro-alloying levels of elements such as titanium and/or niobium added to stabilize carbon and nitrogen elements. HSLA steels are recognized as steels with micro-alloying levels of elements such as chromium, copper, niobium, titanium, vanadium, and molybdenum. The substrate for motor lamination steels contains micro-alloying levels of elements such as silicon and aluminum.</P>
        <P>Steel products to be included in the scope of the order, regardless of HTSUS definitions, are products in which: (1) Iron predominates, by weight, over each of the other contained elements; (2) the carbon content is 2 percent or less, by weight; and (3) none of the elements listed below exceeds the quantity, by weight, respectively indicated: 1.80 percent of manganese, or 1.50 percent of silicon, or 1.00 percent of copper, or 0.50 percent of aluminum, or 1.25 percent of chromium, or 0.30 percent of cobalt, or 0.40 percent of lead, or 1.25 percent of nickel, or 0.30 percent of tungsten, or 0.012 percent of boron, or 0.10 percent of molybdenum, or 0.10 percent of niobium, or 0.41 percent of titanium, or 0.15 percent of vanadium, or 0.15 percent of zirconium.</P>
        <P>All products that meet the physical and chemical description provided above are within the scope of the order unless otherwise excluded. The following products, by way of example, are outside and/or specifically excluded from the scope of the order:</P>

        <P>• Alloy hot-rolled steel products in which at least one of the chemical elements exceeds those listed above (including<E T="03">e.g.,</E>ASTM specifications A543, A387, A514, A517, and A506).</P>
        <P>• SAE/AISI grades of series 2300 and higher.</P>
        <P>• Ball bearing steels, as defined in the HTSUS.</P>
        <P>• Tool steels, as defined in the HTSUS.</P>
        <P>• Silico-manganese (as defined in the HTSUS) or silicon electrical steel with a silicon level exceeding 1.50 percent.</P>
        <P>• ASTM specifications A710 and A736.</P>
        <P>• USS Abrasion-resistant steels (USS AR 400, USS AR 500).</P>
        <P>• Hot-rolled steel coil which meets the following chemical, physical and mechanical specifications:</P>
        <GPOTABLE CDEF="10C,10C,10C,10C,10C,10C,10C,10C" COLS="8" OPTS="L2,tp0,p7,7/8,i1">
          <TTITLE/>
          <TDESC>[In percent]</TDESC>
          <BOXHD>
            <CHED H="1">C</CHED>
            <CHED H="1">Mn<LI>(max)</LI>
            </CHED>
            <CHED H="1">P<LI>(max)</LI>
            </CHED>
            <CHED H="1">S<LI>(max)</LI>
            </CHED>
            <CHED H="1">Si</CHED>
            <CHED H="1">Cr</CHED>
            <CHED H="1">Cu</CHED>
            <CHED H="1">Ni<LI>(max)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0.10-0.14</ENT>
            <ENT>0.90</ENT>
            <ENT>0.025</ENT>
            <ENT>0.005</ENT>
            <ENT>0.30-0.50</ENT>
            <ENT>0.30-0.50</ENT>
            <ENT>0.20-0.40</ENT>
            <ENT>0.20</ENT>
          </ROW>
          <TNOTE>Width = 44.80 inches maximum; Thickness = 0.063-0.198 inches; Yield Strength = 50,000 ksi minimum; Tensile Strength = 70,000-88,000 psi.</TNOTE>
        </GPOTABLE>

        <P>• Hot-rolled steel coil which meets the following chemical, physical and mechanical specifications:<PRTPAGE P="22870"/>
        </P>
        <GPOTABLE CDEF="10C,10C,10C,10C,10C,10C,10C,10C,10C" COLS="9" OPTS="L2,tp0,p7,7/8,i1">
          <TTITLE/>
          <TDESC>[In percent]</TDESC>
          <BOXHD>
            <CHED H="1">C</CHED>
            <CHED H="1">Mn</CHED>
            <CHED H="1">P<LI>(max)</LI>
            </CHED>
            <CHED H="1">S<LI>(max)</LI>
            </CHED>
            <CHED H="1">Si</CHED>
            <CHED H="1">Cr</CHED>
            <CHED H="1">Cu<LI>(max)</LI>
            </CHED>
            <CHED H="1">Ni<LI>(max)</LI>
            </CHED>
            <CHED H="1">Mo</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0.10-0.16</ENT>
            <ENT>0.70-0.90</ENT>
            <ENT>0.025</ENT>
            <ENT>0.006</ENT>
            <ENT>0.30-0.50</ENT>
            <ENT>0.30-0.50</ENT>
            <ENT>0.25</ENT>
            <ENT>0.20</ENT>
            <ENT>0.21</ENT>
          </ROW>
          <TNOTE>Width = 44.80 inches maximum; Thickness = 0.350 inches maximum; Yield Strength = 80,000 ksi minimum; Tensile Strength = 105,000 psi Aim.</TNOTE>
        </GPOTABLE>
        <P>• Hot-rolled steel coil which meets the following chemical, physical and mechanical specifications:</P>
        <GPOTABLE CDEF="9C,9C,9C,9C,9C,9C,9C,9C,9C,9C" COLS="10" OPTS="L2,tp0,p7,7/8,i1">
          <TTITLE/>
          <TDESC>[In percent]</TDESC>
          <BOXHD>
            <CHED H="1">C</CHED>
            <CHED H="1">Mn</CHED>
            <CHED H="1">P<LI>(max)</LI>
            </CHED>
            <CHED H="1">S<LI>(max)</LI>
            </CHED>
            <CHED H="1">Si</CHED>
            <CHED H="1">Cr</CHED>
            <CHED H="1">Cu</CHED>
            <CHED H="1">Ni<LI>(max)</LI>
            </CHED>
            <CHED H="1">V (wt.)<LI>(max)</LI>
            </CHED>
            <CHED H="1">Cb<LI>(max)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0.10-0.14</ENT>
            <ENT>1.30-1.80</ENT>
            <ENT>0.025</ENT>
            <ENT>0.005</ENT>
            <ENT>0.30-0.50</ENT>
            <ENT>0.50-0.70</ENT>
            <ENT>0.20-0.40</ENT>
            <ENT>0.20</ENT>
            <ENT>0.10</ENT>
            <ENT>0.08</ENT>
          </ROW>
          <TNOTE>Width = 44.80 inches maximum; Thickness = 0.350 inches maximum; Yield Strength = 80,000 ksi minimum; Tensile Strength = 105,000 psi Aim.</TNOTE>
        </GPOTABLE>
        <P>• Hot-rolled steel coil which meets the following chemical, physical and mechanical specifications:</P>
        <GPOTABLE CDEF="8C,8C,8C,8C,8C,8C,8C,8C,8C,8C,8C" COLS="11" OPTS="L2,tp0,p7,7/8,i1">
          <TTITLE/>
          <TDESC>[In percent]</TDESC>
          <BOXHD>
            <CHED H="1">C<LI>(max)</LI>
            </CHED>
            <CHED H="1">Mn<LI>(max)</LI>
            </CHED>
            <CHED H="1">P<LI>(max)</LI>
            </CHED>
            <CHED H="1">S<LI>(max)</LI>
            </CHED>
            <CHED H="1">Si<LI>(max)</LI>
            </CHED>
            <CHED H="1">Cr<LI>(max)</LI>
            </CHED>
            <CHED H="1">Cu<LI>(max)</LI>
            </CHED>
            <CHED H="1">Ni<LI>(max)</LI>
            </CHED>
            <CHED H="1">Nb<LI>(min)</LI>
            </CHED>
            <CHED H="1">Ca</CHED>
            <CHED H="1">Al</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0.15</ENT>
            <ENT>1.40</ENT>
            <ENT>0.025</ENT>
            <ENT>0.010</ENT>
            <ENT>0.50</ENT>
            <ENT>1.00</ENT>
            <ENT>0.50</ENT>
            <ENT>0.20</ENT>
            <ENT>0.005</ENT>
            <ENT>Treated</ENT>
            <ENT>0.01-0.07</ENT>
          </ROW>
          <TNOTE>Width = 39.37 inches; Thickness = 0.181 inches maximum; Yield Strength = 70,000 psiminimum for thicknesses ≤ 0.148 inches and 65,000 psi minimum for thicknesses &gt; 0.148 inches; Tensile Strength = 80,000 psi minimum.</TNOTE>
        </GPOTABLE>
        <P>• Hot-rolled dual phase steel, phase-hardened, primarily with a ferritic-martensitic microstructure, contains 0.9 percent up to and including 1.5 percent silicon by weight, further characterized by either (i) tensile strength between 540 N/mm2 and 640 N/mm2 and an elongation percentage ≥ 26 percent for thicknesses of 2 mm and above, or (ii) a tensile strength between 590 N/mm2 and 690 N/mm2 and an elongation percentage ≥ 25 percent for thicknesses of 2 mm and above.</P>
        <P>• Hot-rolled bearing quality steel, SAE grade 1050, in coils, with an inclusion rating of 1.0 maximum per ASTM E 45, Method A, with excellent surface quality and chemistry restrictions as follows: 0.012 percent maximum phosphorus, 0.015 percent maximum sulfur, and 0.20 percent maximum residuals including 0.15 percent maximum chromium.</P>
        <P>• Grade ASTM A570-50 hot-rolled steel sheet in coils or cut lengths, width of 74 inches (nominal, within ASTM tolerances), thickness of 11 gauge (0.119 inch nominal), mill edge and skin passed, with a minimum copper content of 0.20%.</P>
        <P>The merchandise subject to the order is classified in the Harmonized Tariff Schedule of the United States (HTSUS) at subheadings: 7208.10.15.00, 7208.10.30.00, 7208.10.60.00, 7208.25.30.00, 7208.25.60.00, 7208.26.00.30, 7208.26.00.60, 7208.27.00.30, 7208.27.00.60, 7208.36.00.30, 7208.36.00.60, 7208.37.00.30, 7208.37.00.60, 7208.38.00.15, 7208.38.00.30, 7208.38.00.90, 7208.39.00.15, 7208.39.00.30, 7208.39.00.90, 7208.40.60.30, 7208.40.60.60, 7208.53.00.00, 7208.54.00.00, 7208.90.00.00, 7210.70.30.00, 7210.90.90.00, 7211.14.00.30, 7211.14.00.90, 7211.19.15.00, 7211.19.20.00, 7211.19.30.00, 7211.19.45.00, 7211.19.60.00, 7211.19.75.30, 7211.19.75.60, 7211.19.75.90, 7212.40.10.00, 7212.40.50.00, 7212.50.00.00. Certain hot-rolled flat-rolled carbon-quality steel covered by the order, including: vacuum degassed, fully stabilized; high strength low alloy; and the substrate for motor lamination steel may also enter under the following tariff numbers: 7225.11.00.00, 7225.19.00.00, 7225.30.30.50, 7225.30.70.00, 7225.40.70.00, 7225.99.00.90, 7226.11.10.00, 7226.11.90.30, 7226.11.90.60, 7226.19.10.00, 7226.19.90.00, 7226.91.50.00, 7226.91.70.00, 7226.91.80.00, and 7226.99.00.00. Although the HTSUS subheadings are provided for convenience and customs purposes, the written description of the merchandise covered by the order is dispositive.</P>
        <HD SOURCE="HD1">Analysis of Comments Received</HD>

        <P>All issues raised in the case briefs and rebuttal briefs by parties to this administrative review are addressed in the Issues and Decision Memorandum for the Final Results of the Countervailing Duty Administrative Review of Certain Hot-Rolled Flat-Rolled Carbon-Quality Steel Products from Brazil, from Christian Marsh, Deputy Assistant Secretary for Antidumping and Countervailing Duty Operations, to Ronald K. Lorentzen, Deputy Assistant Secretary for Import Administration, dated concurrently with this notice (Issues and Decision Memorandum), and which is hereby adopted by this notice. The Issues and Decision Memorandum also contains a complete analysis of the programs covered by this review, the methodologies used to calculate the subsidy rates, and discusses any changes since the<E T="03">Preliminary Results</E>and Post-Preliminary Decision to the subsidy rates. A list of the comments raised in the briefs and addressed in the Issues and Decision Memorandum is appended to this notice. The Issues and Decision Memorandum is on file in the Central Records Unit (CRU), Room 7046 of the main Department building, and can be accessed directly on the Web at<E T="03">http://ia.ita.doc.gov/frn.</E>
          <PRTPAGE P="22871"/>
        </P>
        <HD SOURCE="HD1">Changes Since the Preliminary Results</HD>

        <P>Based on the results of verification, our consideration of information submitted by USIMINAS/COSIPA and the GOB in supplemental questionnaire responses received subsequent to the issuance of the<E T="03">Preliminary Results,</E>and our analysis of comments received, we have made changes to the calculations of the<E T="03">Preliminary Results</E>and Post-Preliminary Decision. These changes are discussed in detail in the Issues and Decision Memorandum, and the Memorandum to the File from The Team, Calculations for the Final Results: Usinas Siderurgicas de Minas Gerais S.A. and Companhia Siderugica Paulista (USIMINAS/COSIPA), dated concurrently with this notice, a public version of which is on file in the CRU.</P>
        <HD SOURCE="HD1">Final Results of Review</HD>

        <P>In accordance with section 751(a)(1)(A) of the Act and 19 CFR 351.221(b)(5), we calculated a net subsidy for USIMINAS/COSIPA, the only producer/exporter subject to this review, of 0.46 percent<E T="03">ad valorem.</E>This rate is<E T="03">de minimis.</E>
          <E T="03">See</E>19 CFR 351.106(c)(1).</P>
        <HD SOURCE="HD1">Assessment and Cash Deposit Instructions</HD>
        <P>The Department intends to issue assessment instructions to U.S. Customs and Border Protection (CBP) 15 days after the date of publication of these final results of review. The Department will instruct CBP to liquidate shipments of subject merchandise by USIMINAS/COSIPA entered, or withdrawn from warehouse, for consumption on or after January 1, 2008, through December 31, 2008, without regard to countervailing duties. We will also instruct CBP to collect cash deposits for USIMINAS/COSIPA at the rate of 0.00 percent on all shipments of the subject merchandise entered, or withdrawn from warehouse, for consumption on or after the date of publication of these final results of review. The cash deposit rates for all companies not covered by this review are not changed by the results of this review.</P>
        <HD SOURCE="HD1">Return or Destruction of Proprietary Information</HD>
        <P>This notice serves as a reminder to parties subject to the administrative protective order (APO) of their responsibility concerning the disposition of proprietary information disclosed under the APO in accordance with 19 CFR 351.305(a)(3). Timely written notification of return or destruction of APO materials or conversion to judicial protective order is hereby requested. Failure to comply with the regulations and the terms of an APO is a sanctionable violation.</P>
        <P>We are issuing and publishing these final results in accordance with sections 751(a)(1) and 777(i)(1) of the Act.</P>
        <SIG>
          <DATED>Dated: April 18, 2011.</DATED>
          <NAME>Ronald K. Lorentzen,</NAME>
          <TITLE>Deputy Assistant Secretaryfor Import Administration.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Appendix I</HD>
        <EXTRACT>
          <HD SOURCE="HD1">List of Issues Addressed in the Issues and Decision Memorandum</HD>
          <FP SOURCE="FP-2">Comment 1: Whether it is Appropriate to Apply Adverse Facts Available to Find the FINEM Loans Countervailable</FP>
          <FP SOURCE="FP-2">Comment 2: Selection of an Appropriate Benchmark for BNDES Loans</FP>
          <FP SOURCE="FP-2">Comment 3: Calculation of FOB Sales Value</FP>
        </EXTRACT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9965 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-DS-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>International Trade Administration</SUBAGY>
        <DEPDOC>[A-570-912]</DEPDOC>
        <SUBJECT>Certain New Pneumatic Off-the-Road Tires From the People's Republic of China: Final Results of the 2008-2009 Antidumping Duty Administrative Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Import Administration, International Trade Administration, Department of Commerce.</P>
        </AGY>
        
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>On October 19, 2010, the Department of Commerce (“Department”) published the preliminary results of the 2008-2009 administrative review of the antidumping duty order on certain new pneumatic off-the-road tires (“OTR tires”) from the People's Republic of China (“PRC”).<E T="03">See Certain New Pneumatic Off-the-Road Tires from the People's Republic of China: Preliminary Results of Antidumping Duty Administrative Review,</E>75 FR 64259 (October 19, 2010) (“<E T="03">Preliminary Results”</E>). The period of review (“POR”) is February 20, 2008, through August 31, 2009. This review covers six exporters.</P>
          <P>We invited interested parties to comment on our<E T="03">Preliminary Results.</E>Based on our analysis of the comments received, we made certain changes to our margin calculations for the individually examined respondent, Hebei Starbright Tire Co., Ltd. (“Starbright”). The final dumping margins for this review are listed in the “Final Results Margins” section below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>April 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Raquel Silva or Andrew Medley, AD/CVD Operations, Office 8, Import Administration, International Trade Administration, U.S. Department of Commerce, 14th Street and Constitution Avenue, NW., Washington, DC 20230; telephone: (202) 482-6475 and (202) 482-4987, respectively.</P>
          <HD SOURCE="HD1">Background</HD>
          <P>On October 19, 2010, the Department published its<E T="03">Preliminary Results</E>of the antidumping duty administrative review of OTR tires from the PRC. On November 3, 2010, Starbright submitted its response to the Department's post-preliminary supplemental questionnaire regarding its factors of production database. On November 5, 2010, Starbright submitted its response to the Department's post-preliminary supplemental questionnaire regarding its indirect selling expense categories.</P>
          <P>Titan Tire Corporation (“Titan”), the petitioner, Bridgestone Americas Holding, Inc. and subsidiary Bridgestone Firestone North America Tire, LLC (“Bridgestone”), the domestic interested party, and Starbright each submitted publicly available information regarding surrogate values on November 8, 2010. On November 18, 2010, both Titan and Bridgestone requested hearings. On December 9, 2010, Starbright submitted its response to the Department's fifth supplemental questionnaire. The Department verified certain aspects of Starbright's questionnaire responses at GPX International Tire Corporation (“GPX”), Starbright's U.S. sales affiliate, on December 13, 2010, through December 15, 2010. On January 31, 2011, the Department issued its verification report.</P>

          <P>On February 3, 2011, the Department received Titan's withdrawal of its request for a hearing. On February 7, 2011, the Department received Titan's case brief and published an extension for the issuance of its final results of the review.<E T="03">See Certain New Pneumatic Off-the-Road Tires from the People's Republic of China: Notice of Extension of Time Limit for the Final Results of the 2008-2009 Administrative Review of the Antidumping Duty Order,</E>76 FR 6603 (February 7, 2011). On February 8, 2011, the Department received both Bridgestone's and Starbright's case briefs. Bridgestone's withdrawal of a request for a hearing was submitted on February 9, 2011. On February 14, 2011, all parties submitted their rebuttal case briefs.</P>

          <P>On February 22, 2011, the Department sent Starbright a letter regarding alleged new factual information submitted in its case brief. Starbright submitted its response to the Department's letter on<PRTPAGE P="22872"/>February 24, 2011. On March 18, 2011, the Department published an additional extension for the issuance of the final results of the review.<E T="03">See Certain New Pneumatic Off-the-Road Tires From the People's Republic of China: Notice of Extension of Time Limit for the Final Results of the 2008-2009 Administrative Review of the Antidumping Duty Order,</E>76 FR 14906 (March 18, 2011).</P>
          <HD SOURCE="HD1">Analysis of Comments Received</HD>

          <P>All issues raised in the case and rebuttal briefs filed by parties in this review are addressed in the Memorandum from Christian Marsh, Deputy Assistant Secretary for Antidumping and Countervailing Duty Operations, to Ronald K. Lorentzen, Deputy Assistant Secretary for Import Administration, regarding, “Certain New Pneumatic Off-the-Road Tires from the People's Republic of China: Issues and Decision Memorandum for the Final Results of the 2008-2009 First Administrative Review of the Antidumping Duty Order,” dated concurrently with this notice (“Issues and Decision Memorandum”), which is hereby adopted by this notice. A list of the issues that parties raised and to which we responded in the Issues and Decision Memorandum follows as an appendix to this notice. The Issues and Decision Memorandum is a public document and is on file in the Central Records Unit (“CRU”), Main Commerce Building, Room 7046, and is also accessible on the Web at<E T="03">http://ia.ita.doc.gov/frn.</E>The paper copy and electronic version of the Issues and Decision Memorandum are identical in content.</P>
          <HD SOURCE="HD1">Period of Review</HD>
          <P>The POR is February 20, 2008, through August 31, 2009.</P>
          <HD SOURCE="HD1">Scope of the Order</HD>
          <P>The products covered by the order are new pneumatic tires designed for off-the-road and off-highway use, subject to exceptions identified below. Certain OTR tires are generally designed, manufactured and offered for sale for use on off-road or off-highway surfaces, including but not limited to, agricultural fields, forests, construction sites, factory and warehouse interiors, airport tarmacs, ports and harbors, mines, quarries, gravel yards, and steel mills. The vehicles and equipment for which certain OTR tires are designed for use include, but are not limited to: (1) Agricultural and forestry vehicles and equipment, including agricultural tractors,<SU>1</SU>
            <FTREF/>combine harvesters,<SU>2</SU>
            <FTREF/>agricultural high clearance sprayers,<SU>3</SU>
            <FTREF/>industrial tractors,<SU>4</SU>
            <FTREF/>log-skidders,<SU>5</SU>
            <FTREF/>agricultural implements, highway-towed implements, agricultural logging, and agricultural, industrial, skid-steers/mini-loaders;<SU>6</SU>
            <FTREF/>(2) construction vehicles and equipment, including earthmover articulated dump products, rigid frame haul trucks,<SU>7</SU>
            <FTREF/>front end loaders,<SU>8</SU>
            <FTREF/>dozers,<SU>9</SU>
            <FTREF/>lift trucks, straddle carriers,<SU>10</SU>
            <FTREF/>graders,<SU>11</SU>
            <FTREF/>mobile cranes,<SU>12</SU>

            <FTREF/>compactors; and (3) industrial vehicles and equipment, including smooth floor, industrial, mining, counterbalanced lift trucks, industrial and mining vehicles other than smooth floor, skid-steers/mini-loaders, and smooth floor off-the-road counterbalanced lift trucks. The foregoing list of vehicles and equipment generally have in common that they are used for hauling, towing, lifting, and/or loading a wide variety of equipment and materials in agricultural, construction and industrial settings. Such vehicles and equipment, and the descriptions contained in the footnotes are illustrative of the types of vehicles and equipment that use certain OTR tires, but are not necessarily all-inclusive. While the physical characteristics of certain OTR tires will vary depending on the specific applications and conditions for which the tires are designed (<E T="03">e.g.,</E>tread pattern and depth), all of the tires within the scope have in common that they are designed for off-road and off-highway use. Except as discussed below, OTR tires included in the scope of the order range in size (rim diameter) generally but not exclusively from 8 inches to 54 inches. The tires may be either tube-type<SU>13</SU>
            <FTREF/>or tubeless, radial or non-radial, and intended for sale either to original equipment manufacturers or the replacement market. The subject merchandise is currently classifiable under Harmonized Tariff Schedule of the United States (“HTSUS”) subheadings: 4011.20.10.25, 4011.20.10.35, 4011.20.50.30, 4011.20.50.50, 4011.61.00.00, 4011.62.00.00, 4011.63.00.00, 4011.69.00.00, 4011.92.00.00, 4011.93.40.00, 4011.93.80.00, 4011.94.40.00, and 4011.94.80.00. While HTSUS subheadings are provided for convenience and customs purposes, our written description of the scope is dispositive.</P>
          <FTNT>
            <P>
              <SU>1</SU>Agricultural tractors are dual-axle vehicles that typically are designed to pull farming equipment in the field and that may have front tires of a different size than the rear tires.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>2</SU>Combine harvesters are used to harvest crops such as corn or wheat.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>3</SU>Agricultural sprayers are used to irrigate agricultural fields.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>4</SU>Industrial tractors are dual-axle vehicles that typically are designed to pull industrial equipment and that may have front tires of a different size than the rear tires.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>5</SU>A log-skidder has a grappling lift arm that is used to grasp, lift and move trees that have been cut down to a truck or trailer for transport to a mill or other destination.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>6</SU>Skid-steer loaders are four-wheel drive vehicles with the left-side drive wheels independent of the right-side drive wheels and lift arms that lie alongside the driver with the major pivot points behind the driver's shoulders. Skid-steer loaders are used in agricultural, construction and industrial settings.</P>
          </FTNT>
          <FTNT>
            <P>

              <SU>7</SU>Haul trucks, which may be either rigid frame or articulated (<E T="03">i.e.,</E>able to bend in the middle) are typically used in mines, quarries and construction sites to haul soil, aggregate, mined ore, or debris.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>8</SU>Front loaders have lift arms in front of the vehicle. They can scrape material from one location to another, carry material in their buckets, or load material into a truck or trailer.</P>
          </FTNT>
          <FTNT>
            <P>

              <SU>9</SU>A dozer is a large four-wheeled vehicle with a dozer blade that is used to push large quantities of soil, sand, rubble,<E T="03">etc.,</E>typically around construction sites. They can also be used to perform “rough grading” in road construction.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>10</SU>A straddle carrier is a rigid frame, engine-powered machine that is used to load and offload containers from container vessels and load them onto (or off of) tractor trailers.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>11</SU>A grader is a vehicle with a large blade used to create a flat surface. Graders are typically used to perform “finish grading.” Graders are commonly used in maintenance of unpaved roads and road construction to prepare the base course on to which asphalt or other paving material will be laid.</P>
          </FTNT>
          <FTNT>
            <P>

              <SU>12</SU>A counterbalanced lift truck is a rigid framed, engine-powered machine with lift arms that has additional weight incorporated into the back of the machine to offset or counterbalance the weight of loads that it lifts so as to prevent the vehicle from overturning. An example of a counterbalanced lift truck is a counterbalanced fork lift truck. Counterbalanced lift trucks may be designed for use on smooth floor surfaces, such as a factory or warehouse, or other surfaces, such as construction sites, mines,<E T="03">etc.</E>
            </P>
          </FTNT>
          <FTNT>
            <P>

              <SU>13</SU>While tube-type tires are subject to the scope of this proceeding, tubes and flaps are not subject merchandise and therefore are not covered by the scope of this proceeding, regardless of the manner in which they are sold (<E T="03">e.g.,</E>sold with or separately from subject merchandise).</P>
          </FTNT>
          <P>Specifically excluded from the scope are new pneumatic tires designed, manufactured and offered for sale primarily for on-highway or on-road use, including passenger cars, race cars, station wagons, sport utility vehicles, minivans, mobile homes, motorcycles, bicycles, on-road or on-highway trailers, light trucks, and trucks and buses. Such tires generally have in common that the symbol “DOT” must appear on the sidewall, certifying that the tire conforms to applicable motor vehicle safety standards. Such excluded tires may also have the following designations that are used by the Tire and Rim Association:</P>
          <P>
            <E T="03">Prefix letter designations:</E>
          </P>
          <P>• P—Identifies a tire intended primarily for service on passenger cars;</P>

          <P>• LT—Identifies a tire intended primarily for service on light trucks; and,<PRTPAGE P="22873"/>
          </P>
          <P>• ST—Identifies a special tire for trailers in highway service.</P>
          <P>
            <E T="03">Suffix letter designations:</E>
          </P>
          <P>• TR—Identifies a tire for service on trucks, buses, and other vehicles with rims having specified rim diameter of nominal plus 0.156″ or plus 0.250″;</P>
          <P>• MH—Identifies tires for Mobile Homes;</P>
          <P>• HC—Identifies a heavy duty tire designated for use on “HC” 15″ tapered rims used on trucks, buses, and other vehicles. This suffix is intended to differentiate among tires for light trucks, and other vehicles or other services, which use a similar designation.</P>
          <P>• Example: 8R17.5 LT, 8R17.5 HC;</P>
          <P>• LT—Identifies light truck tires for service on trucks, buses, trailers, and multipurpose passenger vehicles used in nominal highway service; and</P>
          <P>• MC—Identifies tires and rims for motorcycles.</P>
          <P>The following types of tires are also excluded from the scope: pneumatic tires that are not new, including recycled or retreaded tires and used tires; non-pneumatic tires, including solid rubber tires; tires of a kind designed for use on aircraft, all-terrain vehicles, and vehicles for turf, lawn and garden, golf and trailer applications. Also excluded from the scope are radial and bias tires of a kind designed for use in mining and construction vehicles and equipment that have a rim diameter equal to or exceeding 39 inches. Such tires may be distinguished from other tires of similar size by the number of plies that the construction and mining tires contain (minimum of 16) and the weight of such tires (minimum 1500 pounds).</P>
          <HD SOURCE="HD1">Separate Rates</HD>

          <P>In proceedings involving NME countries, the Department begins with a rebuttable presumption that all companies within the country are subject to government control and, thus, should be assigned a single antidumping duty deposit rate. It is the Department's policy to assign all exporters of merchandise subject to an investigation in an NME country this single rate unless an exporter can demonstrate that it is sufficiently independent so as to be entitled to a separate rate.<E T="03">See Final Determination of Sales at Less Than Fair Value: Sparklers from the People's Republic of China,</E>56 FR 20588 (May 6, 1991) (<E T="03">“Sparklers”</E>), as amplified by<E T="03">Notice of Final Determination of Sales at Less Than Fair Value: Silicon Carbide from the People's Republic of China,</E>59 FR 22585 (May 2, 1994) (<E T="03">“Silicon Carbide”</E>), and 19 CFR 351.107(d).</P>
          <P>In the<E T="03">Preliminary Results,</E>we found that Starbright and the separate-rate respondents, Hangzhou Zhongce Rubber Co., Ltd. (“Hangzhou Zhongce”), KS Holding Limited/KS Resources Limited (“KS Ltd.”), Laizhou Xiongying Rubber Industry Co., Ltd. (“Laizhou Xiongying”), Qingdao Taifa Group Co., Ltd. (“Qingdao Taifa”), and Weihai Zhongwei Rubber Co., Ltd. (“Weihai Zhongwei”), demonstrated their eligibility for separate-rate status.<E T="03">See Preliminary Results,</E>75 FR at 64261-62. As stated in the<E T="03">Preliminary Results,</E>Starbright and KS Ltd. reported that they are wholly foreign-owned, and therefore, consistent with the Department's practice, a further separate rate analysis was not necessary to determine whether Starbright's and KS Ltd.'s export activities were independent from government control, and we preliminarily granted a separate rate to Starbright and KS Ltd.<SU>14</SU>

            <FTREF/>For the final results, we continue to find that Starbright and KS Ltd. are eligible for separate rate status. For the final results, we also continue to find that the evidence placed on the record of this review by Hangzhou Zhongce, Laizhou Xiongying, Qingdao Taifa, and Weihai Zhongwei demonstrates both a<E T="03">de jure</E>and<E T="03">de facto</E>absence of government control, with respect to their respective exports of the merchandise under review, and, thus are eligible for separate-rate status.<E T="03">See Preliminary Results,</E>75 FR at 64262.</P>
          <FTNT>
            <P>
              <SU>14</SU>
              <E T="03">See, e.g., Notice of Final Determination of Sales at Less Than Fair Value: Creatine Monohydrate from the People's Republic of China,</E>64 FR 71104, 71104-05 (December 20, 1999) (where the respondent was wholly foreign-owned and, thus, qualified for a separate rate).</P>
          </FTNT>
          <HD SOURCE="HD1">Margin for the Separate Rate Companies</HD>

          <P>As discussed above, the Department continues to find that Hangzhou Zhongce, KS Ltd., Laizhou Xiongying, Qingdao Taifa, and Weihai Zhongwei have demonstrated their eligibility for a separate rate. For the exporters subject to a review that are determined to be eligible for separate rate status, but are not selected as individually examined respondents, the Department generally weight-averages the rates calculated for the individually examined respondents, excluding any rates that are zero,<E T="03">de minimis,</E>or based entirely on facts available.<SU>15</SU>
            <FTREF/>Consistent with the Department's practice, as the separate rate, we have established a margin for Hangzhou Zhongce, KS Ltd., Laizhou Xiongying, Qingdao Taifa, and Weihai Zhongwei based on the rate we calculated for the individually examined respondent, Starbright.</P>
          <FTNT>
            <P>
              <SU>15</SU>
              <E T="03">See, e.g., Wooden Bedroom Furniture From the People's Republic of China: Preliminary Results of Antidumping Duty Administrative Review, Preliminary Results of New Shipper Review and Partial Rescission of Administrative Review,</E>73 FR 8273, 8279 (February 13, 2008) (unchanged in<E T="03">Wooden Bedroom Furniture from the People's Republic of China: Final Results of Antidumping Duty Administrative Review and New Shipper Review,</E>73 FR 49162 (August 20, 2008)).</P>
          </FTNT>
          <HD SOURCE="HD1">Changes Since the Preliminary Results</HD>
          <P>Based on an analysis of the comments received, the Department has made certain changes to the margin calculations. For the final results, the Department has made the following changes to Starbright's Margin Calculation:</P>
          <P>•<E T="03">Invoices:</E>Invoice numbers, customer codes and payment terms have been revised for two invoices in the U.S. sales database.<E T="03">See</E>Memorandum titled “Analysis Memorandum for the Final Results: Hebei Starbright Tire Co., Ltd. (“Final Analysis Memorandum”), dated concurrently with this notice.<E T="03">See also</E>Memorandum titled “First Administrative Review of Certain New Pneumatic Off-the-Road Tires (“OTR Tires”) from the People's Republic of China (“PRC”)—Verification of the Sales Information of Hebei Starbright Tire Co., Ltd. and its U.S. Affiliate GPX International Tire Corp.,” dated January 31, 2011 (“Verification Report”).</P>
          <P>•<E T="03">Set Adjustments:</E>Set adjustments have been applied to multiple sales in the U.S. sales database.<E T="03">See</E>Final Analysis Memorandum.<E T="03">See also</E>Verification Report.</P>
          <P>•<E T="03">U.S. Inland Freight from Warehouse to Customer:</E>For the final results, we have revised the adjustment regarding U.S. inland freight from warehouse to customer.<E T="03">See</E>Final Analysis Memorandum.<E T="03">See also</E>Verification Report.</P>
          <P>•<E T="03">Rebate Adjustments:</E>Regarding rebate adjustments, we have: eliminated the reliance upon facts available with adverse inference under sections 776(a)(1), 776(a)(2)(B), and 776(b) of the Tariff Act of 1930, as amended (the “Act”), used in the<E T="03">Preliminary Results</E>and, in its place, applied a rebate adjustment to the 2009 sales of multiple customers; and modified the rebate adjustment for one customer's 2008 sales.<E T="03">See</E>Comment 4 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum and Verification Report.</P>
          <P>•<E T="03">Credit:</E>Regarding credit adjustments, we have: revised the adjustments to account for revisions to the above-mentioned rebate adjustments; and revised the average interest rate used to calculate credit<PRTPAGE P="22874"/>adjustments. Regarding the sales for which Starbright was not able to report a payment date, we have used partial facts available in accordance with sections 776(a)(1) and 776(a)(2)(B) of the Act.<E T="03">See</E>Comment 4 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum.<E T="03">See also</E>Verification Report.</P>
          <P>•<E T="03">Inventory Carrying Costs:</E>We have modified the average number of days in inventory used to calculate the adjustment for inventory carrying costs.<E T="03">See</E>Comment 4 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum and Verification Report.</P>
          <P>•<E T="03">Indirect Selling Expenses:</E>Regarding indirect selling expenses, we have: included two additional indirect selling accounts; and modified our calculation to more comprehensively capture all of GPX's indirect selling expenses attributable to the sales of subject merchandise.<E T="03">See</E>Comments 2 and 3 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum.</P>
          <P>•<E T="03">Indirect Labor:</E>After the<E T="03">Preliminary Results,</E>Starbright submitted data regarding its use of supervisory and quality control labor. For the final results we have added the new supervisory and quality control indirect labor usage to the original indirect labor usage for a new total indirect labor usage.<E T="03">See</E>Comment 5 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum.</P>
          <P>•<E T="03">Non-production Electricity:</E>For the final results, we are removing electricity consumed by Starbright in its energy department and supporting department from our calculations of energy consumed for production.<E T="03">See</E>Comment 6 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum.</P>
          <P>•<E T="03">Brokerage and Handling:</E>For the final results, we are no longer deflating brokerage and handling costs.<E T="03">See</E>Comment 9 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum and Memorandum titled “Preliminary Results of the Administrative Review of the Antidumping Duty Order on Certain New Pneumatic Off-the-Road Tires from the People's Republic of China: Surrogate Value Memorandum,” dated October 7, 2010 (“Surrogate Value Memorandum”).</P>
          <P>•<E T="03">Adjustments to Surrogate Financial Ratios:</E>For the final results, in Goodyear India Limited's financial statement we have: excluded a portion of “Liabilities/Provision no longer required written back”; reclassified “Retirement Gratuities” as manufacturing overhead; and corrected two clerical errors.<E T="03">See</E>Comments 7 and 11 of the Issues and Decision Memorandum.<E T="03">See also</E>Surrogate Value Memorandum.</P>
          <P>•<E T="03">Rubber Softener (RSOFT):</E>We have applied a daily exchange rate based on the date of sale to the surrogate value for RSOFT.<E T="03">See</E>Comment 10 of the Issues and Decision Memorandum.<E T="03">See also</E>Final Analysis Memorandum.</P>
          <P>•<E T="03">Export Subsidy Adjustment:</E>Section 772(c)(1)(C) of the Act unconditionally states that U.S. price “shall be increased by the amount of any countervailing duty imposed on the subject merchandise * * * to offset an export subsidy”.<SU>16</SU>
            <FTREF/>The Department determined in its final results of the companion countervailing duty administrative review that Starbright's merchandise benefited from export subsidies.<SU>17</SU>
            <FTREF/>Therefore, we have increased Starbright's U.S. price for countervailing duties imposed attributable to export subsidies, where appropriate. See Final Analysis Memorandum.</P>
          <FTNT>
            <P>
              <SU>16</SU>
              <E T="03">See, e.g., Carbazole Violet Pigment 23 from India: Final Results of Antidumping Duty Administrative Review,</E>75 FR 38076, 38077 (July 1, 2010), and accompanying Issues and Decision Memorandum at Comment 1.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>17</SU>
              <E T="03">See New Pneumatic Off-the-Road Tires From the People's Republic of China: Final Results of Countervailing Duty Administrative Review,</E>dated concurrently with this notice.</P>
          </FTNT>
          <HD SOURCE="HD1">Adverse Facts Available</HD>

          <P>Sections 776(a)(1) and (2) of the Act provide that the Department shall apply “facts otherwise available” if,<E T="03">inter alia,</E>necessary information is not on the record or an interested party or any other person: (A) withholds information that has been requested; (B) fails to provide information within the deadlines established, or in the form and manner requested by the Department, subject to subsections (c)(1) and (e) of section 782 of the Act; (C) significantly impedes a proceeding; or (D) provides information that cannot be verified as provided by section 782(i) of the Act.</P>
          <P>Where the Department determines that a response to a request for information does not comply with the request, section 782(d) of the Act provides that the Department will so inform the party submitting the response and will, to the extent practicable, provide that party the opportunity to remedy or explain the deficiency. If the party fails to remedy the deficiency within the applicable time limits and subject to section 782(e) of the Act, the Department may disregard all or part of the original and subsequent responses, as appropriate. Section 782(e) of the Act provides that the Department “shall not decline to consider information that is submitted by an interested party and is necessary to the determination but does not meet all applicable requirements established by the administering authority” if the information is timely, can be verified, is not so incomplete that it cannot be used, and if the interested party acted to the best of its ability in providing the information. Where all of these conditions are met, the statute requires the Department to use the information if it can do so without undue difficulties.</P>
          <P>Section 776(b) of the Act further provides that the Department may use an adverse inference in applying the facts otherwise available when a party has failed to cooperate by not acting to the best of its ability to comply with a request for information. Section 776(b) of the Act also authorizes the Department to use as adverse facts available (“AFA”) information derived from the petition, the final determination, a previous administrative review, or other information placed on the record.</P>
          <P>For the<E T="03">Preliminary Results,</E>the Department applied partial AFA to a number of products with unreported factors of production.<E T="03">See Preliminary Results,</E>75 FR at 64265-66. No parties have commented on this issue since that time, and the record regarding the products in question remains the same. For this reason, we determine that, in accordance with sections 776(a)(1), 776(a)(2)(B), 776(a)(2)(C), and 776(b) of the Act, continued use of partial AFA is appropriate for the final results with respect to Starbright.<E T="03">See</E>Final Analysis Memo.</P>
          <HD SOURCE="HD1">Final Results Margins</HD>
          <P>We determine that the following weighted-average dumping margins exist for the period February 20, 2008, through August 31, 2009:</P>
          <GPOTABLE CDEF="s30,9" COLS="2" OPTS="L2,i1">
            <TTITLE>OTR Tires From the PRC</TTITLE>
            <BOXHD>
              <CHED H="1">Exporter</CHED>
              <CHED H="1">Weighted-average margin<LI>(percent)</LI>
              </CHED>
            </BOXHD>
            <ROW>
              <ENT I="01">Hebei Starbright Tire Co., Ltd</ENT>
              <ENT>28.97</ENT>
            </ROW>
            <ROW>
              <ENT I="01">Hangzhou Zhongce Rubber Co., Ltd</ENT>
              <ENT>28.97</ENT>
            </ROW>
            <ROW>
              <ENT I="01">KS Holding Limited/KS Resources Limited</ENT>
              <ENT>28.97</ENT>
            </ROW>
            <ROW>
              <ENT I="01">Laizhou Xiongying Rubber Industry Co., Ltd</ENT>
              <ENT>28.97</ENT>
            </ROW>
            <ROW>
              <ENT I="01">Qingdao Taifa Group Co., Ltd</ENT>
              <ENT>28.97</ENT>
            </ROW>
            <ROW>
              <ENT I="01">Weihai Zhongwei Rubber Co., Ltd</ENT>
              <ENT>28.97</ENT>
            </ROW>
          </GPOTABLE>
          <PRTPAGE P="22875"/>
          <HD SOURCE="HD1">Assessment Rates</HD>

          <P>Pursuant to section 751(a)(2)(A) of the Act and 19 CFR 351.212(b), the Department will determine, and CBP shall assess, antidumping duties on all appropriate entries of subject merchandise in accordance with the final results of this review. For assessment purposes, we calculated importer (or customer)-specific assessment rates for merchandise subject to this review. Where appropriate, we calculated an<E T="03">ad valorem</E>rate for each importer (or customer) by dividing the total dumping margins for reviewed sales to that party by the total entered values associated with those transactions. For duty-assessment rates calculated on this basis, we will direct CBP to assess the resulting<E T="03">ad valorem</E>rate against the entered customs values for the subject merchandise. Where appropriate, we calculated a per-unit rate for each importer (or customer) by dividing the total dumping margins for reviewed sales to that party by the total sales quantity associated with those transactions. For duty-assessment rates calculated on this basis, we will direct CBP to assess the resulting per-unit rate against the entered quantity of the subject merchandise. Where an importer (or customer)-specific assessment rate is<E T="03">de minimis</E>(<E T="03">i.e.,</E>less than 0.50 percent), the Department will instruct CBP to assess that importer (or customer's) entries of subject merchandise without regard to antidumping duties, in accordance with 19 CFR 351.106(c)(2). We intend to instruct CBP to liquidate entries containing subject merchandise exported by the PRC-wide entity at the PRC-wide rate of 210.48 percent. The Department intends to issue assessment instructions to CBP 15 days after the date of publication of these final results of review.</P>
          <HD SOURCE="HD1">Cash Deposit Requirements</HD>
          <P>The following cash deposit requirements will be effective upon publication of the final results of this administrative review for all shipments of the subject merchandise entered, or withdrawn from warehouse, for consumption on or after the publication date, as provided for by section 751(a)(2)(C) of the Act: (1) For Starbright,<SU>18</SU>
            <FTREF/>Hangzhou Zhongce, KS Ltd., Laizhou Xiongying, Qingdao Taifa, and Weihai Zhongwei, the cash deposit rate will be the margins listed above; (2) for previously investigated or reviewed PRC and non-PRC exporters not listed above that have separate rates, the cash deposit rate will continue to be the exporter-specific rate published for the most recent period; (3) for all PRC exporters of subject merchandise which have not been found to be entitled to a separate rate, the cash deposit rate will be the PRC-wide rate of 210.48 percent determined in the less-than-fair-value investigation; and (4) for all non-PRC exporters of subject merchandise which have not received their own rate, the cash deposit rate will be the rate applicable to the PRC exporter that supplied that non-PRC exporter. These deposit requirements shall remain in effect until further notice.</P>
          <FTNT>
            <P>

              <SU>18</SU>While the instant review covered Starbright as the exporter, the draft cash deposit instructions released with the<E T="03">Preliminary Results</E>inadvertently identified “Hebei Starbright Co., Ltd./GPX International Co., Ltd.” as the exporter. We have corrected the cash deposit instructions to identify only Starbright as the exporter.</P>
          </FTNT>
          <HD SOURCE="HD1">Notification to Importers</HD>
          <P>This notice also serves as a final reminder to importers of their responsibility under 19 CFR 351.402(f)(2) to file a certificate regarding the reimbursement of antidumping duties prior to liquidation of the relevant entries during this review period. Failure to comply with this requirement could result in the Secretary's presumption that reimbursement of the antidumping duties occurred and the subsequent assessment of double antidumping duties.</P>
          <HD SOURCE="HD1">Notification to Interested Parties</HD>
          <P>This notice also serves as a reminder to parties subject to administrative protective order (“APO”) of their responsibility concerning the return or destruction of proprietary information disclosed under the APO in accordance with 19 CFR 351.305(a)(3), which continues to govern business proprietary information in this segment of the proceeding. Timely written notification of the return/destruction of APO materials or conversion to judicial protective order is hereby requested. Failure to comply with the regulations and terms of an APO is a violation which is subject to sanction.</P>
          <HD SOURCE="HD1">Disclosure</HD>
          <P>We will disclose the calculations performed within five days of the date of publication of this notice to parties in this proceeding in accordance with 19 CFR 351.224(b).</P>
          <P>We are issuing and publishing the final results and notice in accordance with sections 751(a)(1) and 777(i)(1) of the Act.</P>
          <SIG>
            <DATED>Dated: April 18, 2011.</DATED>
            <NAME>Ronald K. Lorentzen,</NAME>
            <TITLE>Deputy Assistant Secretary for Import Administration.</TITLE>
          </SIG>
          <HD SOURCE="HD1">Appendix I</HD>
          <EXTRACT>
            <FP SOURCE="FP-1">Comment 1: Whether to Treat Certain Inputs as Manufacturing Overhead or FOPs</FP>
            <FP SOURCE="FP-1">Comment 2: Treatment of Warehousing-Related Expenses</FP>
            <FP SOURCE="FP-1">Comment 3: Calculation of ISE Ratio</FP>
            <FP SOURCE="FP-1">Comment 4: Whether to Make Certain Changes Based on Verification Findings</FP>
            <FP SOURCE="FP-1">Comment 5: Treatment of Supervisory and Quality Control Labor</FP>
            <FP SOURCE="FP-1">Comment 6: Calculation of Starbright's Electricity Consumption</FP>
            <FP SOURCE="FP-1">Comment 7: Correction of Alleged Ministerial Errors</FP>
            <FP SOURCE="FP-1">Comment 8: Valuation of Wage Rate</FP>
            <FP SOURCE="FP-1">Comment 9: Valuation of Brokerage and Handling</FP>
            <FP SOURCE="FP-1">Comment 10: Valuation of RSOFT</FP>
            <FP SOURCE="FP-1">Comment 11: Selection and Calculation of Financial Ratios</FP>
            <FP SOURCE="FP-1">Comment 12: Whether to Grant MOE Treatment</FP>
            <FP SOURCE="FP-1">Comment 13: Double Remedies</FP>
            <FP SOURCE="FP-1">Comment 14: Zeroing</FP>
          </EXTRACT>
          
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9964 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA355</RIN>
        <SUBJECT>Atlantic Coastal Fisheries Cooperative Management Act Provisions; General Provisions for Domestic Fisheries; Application for Exempted Fishing Permits</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; request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Assistant Regional Administrator for Sustainable Fisheries, Northeast Region, NMFS (Assistant Regional Administrator), has made a preliminary determination that an Exempted Fishing Permit (EFP) application contains all of the required information and warrants further consideration. This EFP application would exempt commercial fishing vessels from the following Federal American lobster regulations: Trap escape vent requirements to allow 12 federally permitted commercial fishing vessels to utilize a maximum of 500 ventless traps to collect scientific information on American lobsters, including juveniles, in Lobster Conservation Management Areas (LCMAs) 3, 4, and 5 from June through<PRTPAGE P="22876"/>November 2011. This proposed project would be conducted by the New Jersey Division of Fish and Wildlife (NJ DFW) in conjunction with the already present New Jersey At-Sea Lobster Observer Program and New Jersey commercial fishermen.</P>
          <P>Regulations under the Magnuson-Stevens Fishery Conservation and Management Act require publication of this notification to provide interested parties the opportunity to comment on applications for proposed EFPs.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before May 10, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Comments on this notice may be submitted by e-mail. The mailbox address for providing e-mail comments is<E T="03">NERO.EFP@noaa.gov.</E>Include in the subject line “Comments on NJ DFW Lobster EFP.” Written comments should be sent to Patricia A. Kurkul, Regional Administrator, NMFS, NE Regional Office, 55 Great Republic Drive, Gloucester, MA 01930. Mark the outside of the envelop “Comments on NJ DFW Lobster EFP.”</P>
          <P>•<E T="03">Fax:</E>(978) 281-9135.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Carol Shé, Fishery Policy Analyst, 978-282-8464,<E T="03">Carol.She@noaa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>NJ DFW submitted a complete application for an EFP on March 21, 2011, to conduct commercial fishing activities that the regulations would otherwise restrict. This EFP application would exempt commercial fishing vessels from the following Federal regulations: Lobster trap escape vent requirements specified under 50 CFR 697.21(c)(2) and (c)(4). The EFP would authorize 12 federally permitted vessels to be exempted from parts of the Federal lobster regulations to allow the participating vessels to fish modified lobster traps to attain an accurate characterization of abundance for juvenile and adult lobsters in waters off the coast of New Jersey and to determine several variables in the stock dynamics,<E T="03">e.g.,</E>whether there has been a significant decline in juvenile and adult abundance, and/or whether this decline is occurring throughout the range of the Southern New England (SNE) stock.</P>
        <P>NJ DFW would work in conjunction with the already present New Jersey At-Sea Lobster Observer Program to record: Number of lobsters caught; number of traps hauled; set-over-days; trap and bait type; carapace length (to the nearest millimeter); sex; shell hardness; culls and shell damage; external gross pathology (including shell disease symptoms); mortality; and presence of extruded ova on females through its Ventless Trap Survey. The Ventless Trap Survey project is designed to generate robust estimates of lobster abundance off the coast of New Jersey, from 0-60 nautical miles (0-97 kilometers), offshore, in the northern range of the SNE stock area and would be funded largely by the participating fishers through supply of gear, crew, and vessel time. The scientific personnel would be funded through the New Jersey Atlantic Coastal Cooperative Statistics Program (NJ ACCSP), particularly the NJ ACCSP At-Sea Lobster Observer Program for Fishing Year 2011.</P>
        <P>The resulting data would be utilized by NJ DFW staff, Atlantic States Marine Fisheries Commission Technical Committees, and Stock Assessment Sub-Committees. Also, comparisons would be made of results from data collected in LCMAs 1, 2, and 6 with data collected in LCMAs 3, 4, and 5. Finally, an index of lobster stock biomass in waters off New Jersey, in relation to overall commercial landings of lobster in New Jersey, would be made through the use of catch per unit effort of sublegal and legal size lobsters taken during observer trips in New Jersey.</P>
        <P>Each vessel would fish approximately 20-50 ventless traps within their strings of existing lobster traps. With exception of the waiver of the trap escape vent requirement, trap gear would be compliant with all Federal lobster regulations, including the Large Whale Take Reduction Plan gear configuration requirements.</P>
        <P>This EFP would not authorize the deployment of additional lobster traps in the waters off New Jersey. All traps, including ventless traps, would be included under each vessel's existing maximum LCMA-specific trap allocation as determined by NMFS. Each ventless trap would be placed randomly on already existing strings of vented pots of the same dimensions and be randomly selected throughout the range of the survey area. All scientific ventless sampling gear would be identified with a state issued scientific trap tag provided by NJ DFW, and be affixed with both the proper state scientific tags and Federal trap tags. Records of latitude and longitude of trap/string location would be provided to the NJ DFW Bureau of Law Enforcement upon request. Trap deployment, maintenance, and hauling would be completed by participating commercial lobstermen. The NJ ACCSP staff would record environmental data when present on at-sea observer trips including: Depth; dissolved oxygen; conductivity; salinity; and temperature profile from the surface to bottom.</P>
        <P>Sampling would be conducted over five different depth zones from a minimum of 60 ft (18 ms) to a maximum of 220 ft (67 ms) running the length of the New Jersey Mudhole, Glory Hole, and Chicken Canyon, and other historic lobster fishing areas located within LCMAs 3 and 4 and over various lobster grounds such as the 17 Fathom Bank in LCMA 5.</P>
        <P>This project would not authorize the deployment of any additional trap gear; therefore, minimal environmental impacts would be anticipated by this EFP above those already occurring as part of a commercial lobster trap trawl deployed under usual industry conditions. Impacts to the lobster resource would be negligible. Any sublegal lobsters caught would briefly be retained on-board only for the purposes of recording their size, sex, and presence of shell disease, before being promptly released back into the ocean, as would those lobsters that do not fall within the minimum and maximum legal gauge sizes. There would be minimal to no impacts to bycatch species, as all bycatch species hauled from modified gear would be returned promptly to the ocean. Additionally, minimal to no impacts would occur on benthic habitat over that which occurs under existing lobster trap fishing activities. Finally, the gear would be compliant with the Atlantic Large Whale Take Reduction Plan, and would be deployed under usual industry conditions; therefore, impacts to protected resources would fall within those impacts already analyzed as part of the October 29, 2010, Biological Opinion for the American lobster fishery.</P>
        <P>If approved, the applicant may request minor modifications and extensions to the EFP throughout the year. EFP modifications and extensions may be granted without further notice if they are deemed essential to facilitate completion of the proposed research and have minimal impacts that do not change the scope or impact of the initially approved EFP request. Any fishing activity conducted outside the scope of the exempted fishing activity would be prohibited.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>16 U.S.C. 1801<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>Margo Schulze-Haugen,</NAME>
          <TITLE>Acting Director, Office of Sustainable Fisheries, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9944 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="22877"/>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XA387</RIN>
        <SUBJECT>Endangered Species; File No. 15566</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>Issuance of permit.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>Notice is hereby given that South Carolina Department of Natural Resources, Marine Resources Division, Charleston, SC 29422-2559 has been issued a permit to take loggerhead (<E T="03">Caretta caretta</E>), Kemp's ridley (<E T="03">Lepidochelys kempii</E>), green (<E T="03">Chelonia mydas</E>), leatherback (<E T="03">Dermochelys coriacea</E>), and hawksbill (<E T="03">Eretmochelys imbricata</E>) sea turtles for purposes of scientific research.</P>
        </SUM>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>The permit and related documents are available for review upon written request or by appointment in the following offices:</P>
          
          <FP SOURCE="FP-1">Permits, Conservation and Education Division, Office of Protected Resources, NMFS, 1315 East-West Highway, Room 13705, Silver Spring, MD 20910; phone (301) 713-2289; fax (301) 713-0376; and</FP>
          <FP SOURCE="FP-1">Southeast Region, NMFS, 263 13th Ave., South, St. Petersburg, FL 33701; phone (727) 824-5312; fax (727) 824-5309.</FP>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Kristy Beard or Amy Hapeman, (301) 713-2289.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>On November 3, 2010, notice was published in the<E T="04">Federal Register</E>(75 FR 67682) that a request for a scientific research permit to take sea turtles had been submitted by the applicant. The requested permit has been issued under the authority of the Endangered Species Act of 1973, as amended (ESA; 16 U.S.C. 1531<E T="03">et seq.</E>) and the regulations governing the taking, importing, and exporting of endangered and threatened species (50 CFR parts 222-226).</P>
        <P>The five-year permit authorizes the capture by trawl of up to 345 loggerhead, 29 Kemp's ridley, 9 green, 1 leatherback, and 1 hawksbill sea turtle in order to assess temporal change in catch rates, size distributions, sex and genetic ratios, and health of sea turtles. Captures would occur annually in coastal waters between Winyah Bay, SC and St. Augustine, FL. Turtles would be handled, blood sampled, measured, flipper and passive integrated transponder tagged, photographed, and released. A subsample of animals would be subject to barnacle, keratin, fecal, and tissue sampling, cloacal swabs, and attachment of satellite and/or VHF transmitters. Up to five loggerhead, one Kemp's ridley, one green, one leatherback, and one hawksbill sea turtle could be accidentally killed over the life of the permit.</P>
        <P>Issuance of this permit, as required by the ESA, was based on a finding that such permit (1) was applied for in good faith, (2) will not operate to the disadvantage of such endangered or threatened species, and (3) is consistent with the purposes and policies set forth in section 2 of the ESA.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>P. Michael Payne,</NAME>
          <TITLE>Chief, Permits, Conservation and Education Division, Office of Protected Resources, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9945 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">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 Office of Strategy and Special Initiatives Training and Technical Assistance Cooperative Agreement Application. This application is used by current and prospective grantees to apply for funds to support training and technical assistance to Corporation grantees funded through AmeriCorps, and Senior Corps, and VISTA Sponsors and NCCC Campuses. Completion of the Grant Application is required to be considered for and obtain a Corporation cooperative agreement to provide training and technical assistance services to Corporation grantees and sub-grantees.</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 June 24, 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, Strategy Office; Attention Ralph Morales, Associate Director for Administration and Budget, Room 9703; 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) 606-3477, Attention: Ralph Morales, Associate Director for Budget and Administration.</P>
          <P>(4) Electronically through<E T="03">http://www.regulations.gov</E>or<E T="03">rmorales@cns.gov.</E>Individuals who use a telecommunications device for the deaf (TTY-TDD) may call 1-800-833-3722 between 8 a.m. and 8 p.m. Eastern Time, Monday through Friday.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ralph Morales, (202) 606-6829, or by e-mail at<E T="03">rmorales@cns.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <P>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).<PRTPAGE P="22878"/>
        </P>
        <HD SOURCE="HD1">Background</HD>
        <P>The Office of Strategy and Special Initiatives Training and Technical Assistance Cooperative Agreement Application is completed by organizations interested in applying to provide training and technical assistance services to Corporation grantees and subgrantees in topic areas related to program quality, compliance, and performance measurement. The application is completed electronically using eGrants, the Corporation's Web-based grants management system.</P>
        <HD SOURCE="HD1">Current Action</HD>
        <P>The Corporation seeks to compete and revise the current application to reflect changes in the Web-based user interface for eGrants, give background information on the Corporation's new Strategy Office, and clarify guidance on the cost effectiveness and accountability of services provided.</P>
        <P>The information collection will otherwise be used in the same manner as the existing application. 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 September 30, 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>Application Instructions Training and Technical Assistance Cooperative Agreements.</P>
        <P>
          <E T="03">OMB Number:</E>3045-0105.</P>
        <P>
          <E T="03">Agency Number:</E>None.</P>
        <P>
          <E T="03">Affected Public:</E>Current/prospective training and technical assistance providers.</P>
        <P>
          <E T="03">Total Respondents:</E>56.</P>
        <P>
          <E T="03">Frequency:</E>Every three years.</P>
        <P>
          <E T="03">Average Time Per Response:</E>Averages 11.75 hours. Estimated at 16.5 hours for first time respondents; 7 hours for current providers.</P>
        <P>
          <E T="03">Estimated Total Burden Hours:</E>658 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: April 18, 2011</DATED>
          <NAME>Gretchen Van der Veer,</NAME>
          <TITLE>Director, Leadership Development and Training.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9961 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6050-$$-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <DEPDOC>[Docket ID: DoD-2011-OS-0045]</DEPDOC>
        <SUBJECT>Defense Transportation Regulation, Part IV</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>United States Transportation Command (USTRANSCOM), DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>DOD has issued draft business rules for the electronic payment of Nontemporary Storage (NTS) invoices in the Defense Transportation Regulation (DTR) Part IV (DTR 4500.9R). This process proposes mandatory use of the DOD Third Party Payment System (TPPS) as the transaction and payment system for all NTS Transportation Service Providers (TSP). Implementation of electronic payments for NTS at all Military Services and Coast Guard installations is the goal of the Defense Personal Property Program (DP3). The initial rollout of the TPPS and the electronic payment process for NTS is scheduled for August, 2011.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before June 24, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Do not submit comments directly to the point of contact under<E T="02">FOR FURTHER INFORMATION CONTACT</E>or mail your comments to any address other that what is shown below. Doing so will delay the posting of the submission. You may submit comments, identified by docket number and title, 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:</E>Federal Docket Management System Office, 1160 Defense Pentagon, OSD Mailroom 3C843, Washington, DC 20301-1160.</P>
          <P>
            <E T="03">Instructions:</E>All submissions received must include the agency name and docket number for this<E T="04">Federal Register</E>document. The general policy for comments and other submissions from members of the public is to make these submissions available for public viewing on the Internet at<E T="03">http://www.regulations.gov</E>as they are received without change, including any personal identifiers or contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Mr. Jim Teague, United States Transportation Command, TCJ5/4-PI, 508 Scott Drive, Scott Air Force Base, IL 62225-5357; (618) 256-9605.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>Request comments be submitted in the identified matrix-format posted with the business rules. In furtherance of DOD's goal to develop and implement an efficient personal property program, Electronic Billing and Payment Business Rules were developed by the Military Services, DFAS and SDDC. In addition, the proposed electronic billing processes will compliment the future implementation of the Defense Personal Property Program (DP3) Phase III NTS capabilities within the Defense Personal Property System (DPS). The proposed NTS TPPS business rules are available for review on the USTRANSCOM Web site at<E T="03">http://www.transcom.mil/dtr/part-iv/nts.cfm.</E>
        </P>

        <P>Any subsequent modification(s) to the business rules beyond the above stated changes will be published in the<E T="04">Federal Register</E>and incorporated into the Defense Transportation Regulation (DTR) Part IV (DTR 4500.9R). These program requirements do not impose a legal requirement, obligation, sanction or penalty on the public sector, and will not have an economic impact of $100 million or more.</P>
        <HD SOURCE="HD1">Additional Information</HD>

        <P>A complete version of the DTR is available via the internet on the USTRANSCOM homepage at<E T="03">http://www.transcom.mil/dtr/part-iv.cfm.</E>
        </P>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>Morgan F. Park,</NAME>
          <TITLE>Alternate OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9949 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <SUBJECT>Closed Meeting of the Threat Reduction Advisory Committee</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Under Secretary of Defense (Acquisition, Technology and Logistics), DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Federal Advisory Committee meeting notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Under the provisions of the Federal Advisory Committee Act of 1972 (5 U.S.C., Appendix, as amended) and the Sunshine Act of 1976 (5 U.S.C. 552b, as amended) the Department of Defense announces the following Federal advisory committee meeting of the Threat Reduction Advisory Committee (Hereafter referred to as “the Committee”).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Wednesday, May 11, 2011, from 8 a.m. to 4 p.m.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>ANSER Conference Center, Platt Conference Room, 2900 S. Quincy St., Suite 800, Arlington, VA 22206.</P>
        </ADD>
        <FURINF>
          <PRTPAGE P="22879"/>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Contact Mr. William Hostyn, Defense Threat Reduction Agency/SP-ACP, 8725 John J. Kingman Road, MS 6201, Fort Belvoir, VA 22060-6201; E-mail:<E T="03">william.hostyn@dtra.mil;</E>Phone: (703) 767-4453; Fax: (703) 767-5701.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P SOURCE="NPAR">
          <E T="03">Purpose of Meeting:</E>To obtain, review and evaluate classified information related to the Committee's mission to advise on technology security, combating weapons of mass destruction (WMD), counter terrorism and counter proliferation.</P>
        <P>
          <E T="03">Agenda:</E>Beginning at 8 a.m. through the end of the meeting, the Committee will present Working Group findings at the secret level in the morning and will receive secret level briefings on counterterrorism, counterproliferation and WMD world events in the morning and afternoon.</P>
        <P>
          <E T="03">Meeting Accessibility:</E>Pursuant to 5 U.S.C. 552b, as amended, and 41 CFR 102-3.155, the Department of Defense has determined that the meeting shall be closed to the public. The Undersecretary of Defense (Acquisition, Technology and Logistics), in consultation with the DoD FACA Attorney, has determined in writing that this meeting be closed to the public because the discussions fall under the purview of Title 5, United States Code, Section 552b(c)(1) and are inextricably intertwined with the unclassified material that they cannot reasonably be segregated into separate discussions without disclosing secret or classified material.</P>
        <P>
          <E T="03">Committee's Designated Federal Officer or Point of Contact:</E>Mr. William Hostyn, Defense Threat Reduction Agency/SP/SP, 8725 John J. Kingman Road, MS 6201, Fort Belvoir, VA 22060-6201; E-mail:<E T="03">william.hostyn@dtra.mil;</E>Phone: (703) 767-4453; Fax: (703) 767-5701.</P>
        <P>
          <E T="03">Written Statements:</E>Pursuant to 41 CFR 102-3.105(j) and 102-3.140, the public or interested organizations may submit written statements to the membership of the Committee at any time or in response to the stated agenda of a planned meeting. Written statements should be submitted to the Committee's Designated Federal Officer; the Designated Federal Officer's contact information can be obtained from the GSA's FACA Database—<E T="03">https://www.fido.gov/facadatabase/public.asp</E>.</P>
        <P>Written statements that do not pertain to a scheduled meeting of the Committee may be submitted at any time. However, if individual comments pertain to a specific topic being discussed at a planned meeting then these statements must be submitted no later than five business days prior to the meeting in question. The Designated Federal Officer will review all submitted written statements and provide copies to all committee members.</P>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>Morgan F. Park,</NAME>
          <TITLE>Alternate OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9950 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Department of the Army, Corps of Engineers</SUBAGY>
        <SUBJECT>Intent To Prepare an Environmental Impact Statement for Update of the Shoreline Management Plan and Supplement to the Master Plan, Eufaula Lake, OK</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of the Army, U.S. Army Corps of Engineers, DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of intent.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The purpose of the Environmental Impact Statement (EIS) is to address alternatives and environmental impacts associated with an update of the Shoreline Management Plan (SMP) and supplement to the Master Plan (MP), Eufaula Lake, Oklahoma. The EIS would likewise evaluate alternatives and environmental impacts associated with specific proposals for recreational development facilities on Federal lands at Eufaula Lake as identified through the SMP update and MP supplement process.</P>
        </SUM>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Questions or comments concerning the proposed action should be addressed to Mr. Stephen L. Nolen, Chief, Environmental Analysis and Compliance Branch, Tulsa District, U.S. Army Corps of Engineers, CESWT-PE-E, 1645 S. 101st E. Ave., Tulsa, OK 74128-4629.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Mr. Stephen L. Nolen, (918) 669-7660, fax: (918) 669-7546, e-mail:<E T="03">Stephen.L.Nolen@usace.army.mil</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Tulsa District, U.S. Army Corps of Engineers seeks to provide an update to the existing SMP and to supplement portions of the existing MP for Eufaula Lake, OK. Eufaula Lake is a multi-purpose reservoir impounded by Eufaula Dam on the Canadian River at river mile 27.0, about 12 miles east of Eufaula in McIntosh County, OK. Land and water resources at the lake are managed by the Tulsa District in accordance with regulations governing U.S. Army Corps of Engineers civil works projects. At Eufaula Lake, private shoreline uses to include private boat docks and vegetation modification are managed under a permit system dependent upon shoreline allocation classifications specified in the SMP in accordance with Engineer Regulation 1130-2-406. Reviews and updates to SMPs are periodically provided and the last update to the Eufaula Lake SMP occurred in 1998. Similarly, land resources at Eufaula Lake are managed in accordance with MP requirements as described in Engineer Pamphlet 1130-2-550. In the land allocation portion of the MP, all project lands are assigned categories which are used for determination of appropriate uses for these lands. The last update to the Eufaula Lake MP occurred in 1977. Owing to the elapsed time since last updates, changed conditions, and the need to assess lake-wide cumulative effects, the Tulsa District seeks to update the Eufaula Lake SMP and supplement the MP by updating the land allocation portion. Actions appropriate for updating these plans and preparing the EIS for the same will occur concurrently.</P>
        <P>As the SMP and MP update processes involve public participation and input, it is possible that specific proposals for recreational or other development features involving project shorelines and/or lands may be received by the Tulsa District. For proposals that have advanced to a planning stage of sufficient detail to allow for proposal-specific alternative and impact analysis, the EIS would include these analyses. For reasonably-foreseeable development proposals that have not advanced to the point where proposal-specific analyses are possible, these will be assessed under cumulative impacts but will require additional analysis under the National Environmental Policy Act (NEPA) prior to their implementation at Eufaula Lake.</P>
        <P>Reasonable alternatives to be considered include varying combinations of allocation classifications for both project shorelines and Federal lands at Eufaula Lake to include the no action alternative of retaining allocations in both the SMP and MP as they currently exist. For proposal-specific actions, alternatives would include varying development plans and features as well as the no action alternative.</P>

        <P>Issues to be addressed in the EIS include but are not limited to: (1) Socioeconomic impacts associated with allocation classifications and specific development proposals, (2) matters pertaining to shoreline impacts, (3)<PRTPAGE P="22880"/>potential impacts to cultural and ecological resources, (4) public access and safety, (5) impacts to lake use, public parks and recreation, (6) aesthetics, (7) infrastructure, (8) lake water quality, (9) traffic patterns, (10) terrestrial and aquatic fish and wildlife habitat, (11) Federally-listed threatened and endangered species, and (12) cumulative impacts associated with past, current, and reasonably foreseeable future actions at Eufaula Lake.</P>

        <P>A public scoping meeting for the action will be conducted in early summer 2011 in Eufaula, OK or the vicinity. In addition, public workshops addressing updates to the SMP and MP may be held at locations near Eufaula Lake. News releases and notices informing the public and local, state, and Federal agencies of the proposed action and date of the public scoping meeting will be published in local newspapers. Comments received as a result of this notice, news releases, and the public scoping meeting will be used to assist the Tulsa District Corps of Engineers in identifying potential impacts to the quality of the human or natural environment. Affected Federal, state, or local agencies, affected Indian tribes, and other interested private organizations and parties are encouraged to participate in the scoping process by forwarding written comments to (see<E T="02">ADDRESSES</E>) or attending the scoping meeting.</P>

        <P>The draft EIS will be available for public review and comment. While the specific date for release of the draft EIS has yet to be determined, all interested agencies, tribes, organizations and parties expressing an interest in this action will be placed on a mailing list for receipt of the draft EIS. In order to be considered, any comments and suggestions should be forwarded to (see<E T="02">ADDRESSES</E>) in accordance with dates specified upon release of the draft EIS.</P>
        <SIG>
          <NAME>Brenda S. Bowen,</NAME>
          <TITLE>Army Federal Register Liaison Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9902 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3720-58-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DELAWARE RIVER BASIN COMMISSION</AGENCY>
        <SUBJECT>Notice of Commission Meeting and Public Hearing</SUBJECT>
        <P>Notice is hereby given that the Delaware River Basin Commission will hold an informal conference followed by a public hearing on Wednesday, May 11, 2011. The hearing will be part of the Commission's regular business meeting. The conference session and business meeting both are open to the public and will be held at the West Trenton Volunteer Fire Company, located at 40 West Upper Ferry Road, West Trenton, New Jersey.</P>
        <P>The conference among the commissioners and staff will begin at 11 a.m. and will consist of two presentations: a report by Deputy Delaware River Master Gary N. Paulachok, P.G. of the U.S. Geological Survey on a one-year extension of the Flexible Flow Management Plan (FFMP); and a report by Dr. Jonathan H. Sharp of the University of Delaware on the Delaware Estuary Boat Run Monitoring Program.</P>
        <P>The subjects of the public hearing to be held during the 1:30 p.m. business meeting include the dockets listed below:</P>
        <P>1.<E T="03">U.S. Steel, D-1978-068-3.</E>An application to renew DRBC approval for the discharge of up to 0.163 million gallons per day (mgd) of treated sanitary wastewater from the applicant's wastewater treatment plant (WWTP) via Outfall No. 203 and 3.75 mgd of treated industrial wastewater and non-contact cooling water (NCCW) from the applicant's industrial wastewater treatment plant (IWTP) via Outfall No. 103 as well as to continue a TDS Determination that allows TDS effluent concentrations of up to 1,100 mg/l as a monthly average; 2,200 mg/l as a daily maximum; and 2,750 mg/l as an instantaneous maximum, via combined Outfall No. 003. Internal Outfalls Nos. 103, 203, and 303 (stormwater only) will continue to discharge to the Delaware River via combined Outfall No. 003. The combined discharge from the applicant's WWTP and IWTP is made via Outfall No. 003 to the tidal region of Water Quality Zone 2 of the Delaware River at River Mile 127.0. The WWTP and IWTP are located in Falls Township, Bucks County, Pennsylvania.</P>
        <P>2.<E T="03">French Creek State Park, D-1980-007 CP-4.</E>An application to renew DRBC approval to continue to withdraw up to 3.1 million gallons per month (mgm) of groundwater to supply the French Creek State Park from existing Wells in the Hammer Creek Formation. The project is located in the French Creek Watershed in Union Township, Berks County, Pennsylvania, within the Southeastern Pennsylvania Ground Water Protected Area.</P>
        <P>3.<E T="03">GenOn Energy, Inc., D-1987-26-3.</E>An application to renew DRBC approval of discharges of treated industrial wastewater effluent from the Titus Generating Station (TGS) to the Schuylkill River as follows: the TGS IWTP via Outfall 002; coal-ash leachate from the Beagle Club Ash Disposal (BCAD) site via Outfall 004; and combined NCCW, intake screen backwash, and stormwater via Outfall 001. The applicant has requested that the intermittent discharge from Outfall 004 continue to have an effluent limit of 3,500 mg/l of TDS as a monthly average. Effluent limits for the existing NCCW discharge (Outfall 001), IWTP (Outfall 002) and BCAD site (Outfall 004) will continue to be based on average annual flows of 1.469 mgd, 2.149 mgd and 1.007 mgd, respectively. The IWTP is hydraulically designed for 3.2 mgd. The TGS facilities will continue to discharge to the Schuylkill River. The project is located in Cumru Township, Berks County, Pennsylvania.</P>
        <P>4.<E T="03">Middletown Township, Middletown Country Club, D-1996-032 CP-2.</E>An application for approval of an existing groundwater withdrawalproject to continue to supply up to 4.13 mgm of water to the applicant's golf course from existing Well No. 1-G. The project is located in the Precambrian Felsic Gneiss in the Neshaminy Creek Watershed in Middletown Township, Bucks County, Pennsylvania within the Southeastern Pennsylvania Ground Water Protected Area.</P>
        <P>5.<E T="03">Concord Township Sewer Authority, D-1997-019 CP-3.</E>An application for approval to continue discharging 1.8 mgd of treated effluent from the Concord Township WWTP. The WWTP will continue to discharge to the West Branch Chester Creek at River Mile 82.93—8.9—5.4 (Delaware River—Chester Creek—West Branch Chester Creek) in Concord Township, Delaware County, Pennsylvania.</P>
        <P>6.<E T="03">Bedminster Municipal Authority—Pennland Farms, D-2006-010 CP-2.</E>An application to renew DRBC approval of the existing 0.06 mgd Pennland Farms WWTP. The WWTP discharges to an unnamed tributary of Deep Run Creek at River Mile 157.0—4.7—7.1—0.1 (Delaware River—Tohickon Creek—Deep Run Creek—UNT). It is located in Bedminster Township, Bucks County, Pennsylvania within the drainage area of the section of the non-tidal Delaware River known as the Lower Delaware, which is classified as Special Protection Waters.</P>
        <P>7.<E T="03">Exelon Generation Company, LLC—Schuylkill Generating Station, D-1964-074 CP-2.</E>An application for a decrease in the approved surface water withdrawal (SWWD) allocation associated with Intake No. 1 to 5,180 mgm, of which 2,483 mgm would be for use at the Schuylkill Generating Station (SGS). Intake No. 1 supplies water to the Grays Ferry Cogen Facility (GFCF) and the Tri-Gen Corporation Facility (Tri-Gen) as well as to the SGS. The three<PRTPAGE P="22881"/>facilities are located adjacent to one another on a Schuylkill River site formerly owned and operated by the Philadelphia Energy Company (PECO). The GFCF and Tri-Gen generating stations and subsidiary water allocations were approved on June 28, 1995 by Dockets Nos. D-95-32 and D-95-10, respectively. DRBC staff evaluated the current and 10-year projected uses for all three facilities. The current average and maximum SWWDs are 2,982 mgm and 4,473 mgm, respectively. The 10-year combined maximum SWWD is estimated to be 5,180 mgm, less than the 8,277 mgm formerly approved by DRBC in the facilities' three separate dockets. The SGS is located in the City of Philadelphia, Pennsylvania.</P>
        <P>8.<E T="03">E.I. du Pont de Nemours and Company (DuPont), D-1988-085-3.</E>An application to renew DRBC approval of discharges from the DuPont Chambers Works IWTP and to approve modifications to the IWTP, including the construction of a new 48” diameter IWTP outfall pipe with a multi-port diffuser and additional modifications to accommodate the new outfall. The proposed outfall will be located approximately 400 feet south of the existing outfall. By supplemental submission filed on July 22, 2010, the docket holder also seeks approval for an alternative mixing zone in accordance with section 4.20.5.A.1.f of the Water Quality Regulations. The IWTP outfall will continue to discharge treated effluent from the IWTP, non-contact cooling water, and stormwater to the Delaware River Estuary in Water Quality Zone 5. The project IWTP is located in Pennsville and Carneys Point Townships, Salem County, New Jersey.</P>
        <P>9.<E T="03">Sunnybrook Golf Club, D-1997-007-2.</E>An application to approve an existing GWD project of up to 4.6 mgm for irrigation of the applicant's golf course from existing Wells Nos. 1 and 2. The previous Commission approval expired before a renewal application was received. The project is located in the Ledger Dolomite in the Wissahickon Creek Watershed in Whitemarsh Township, Montgomery County, Pennsylvania, within the Southeastern Pennsylvania Ground Water Protected Area.</P>
        <P>10.<E T="03">Portland Borough Authority, D-1997-029 CP-4.</E>Application for approval of a GWD project to increase the existing allocation from all system wells from 5.7 million gallons per 30 days (mg/30 days) to 12.4 mgm. The increased allocation is requested in order to meet projected increases in service area demand. Docket No. D-1997-029 CP-3 approved the current groundwater allocation of up to 4.32 mgm of water from new Well No. 4 to serve the applicant's public water supply system. The project well is completed in the Martinsburg Formation and is located in the Slateford Creek Watershed in Upper Mount Bethel Township, Northampton County, Pennsylvania. The site is located within the drainage area of the section of the non-tidal Delaware River known as the Lower Delaware, which is classified as Special Protection Waters.</P>
        <P>11.<E T="03">Johnson Matthey, Inc., D-1999-038-3.</E>An application for approval of the existing IWTP. The IWTP will continue to treat 0.08 mgd of industrial wastewater generated by its pharmaceutical manufacturing facility. The previous DRBC approval—Docket No. D-1999-038-2 issued on May 10, 2007—expired on April 30, 2010. The IWTP will continue to discharge to the Schuylkill River via the Matsunk Creek culvert. The project is located in Upper Merion Township, Montgomery County, Pennsylvania.</P>
        <P>12.<E T="03">Reading Area Water Authority (RAWA), D-2000-59 CP-2.</E>An application for approval of the bulk sale interconnection and transfer up to 1.5 mgd of potable water from the RAWA system to the Pennsylvania American Water Company (PAWC) Glen Alsace District water distribution system. Some of the water supply is also needed to serve PAWC's customers in its Douglassville District via an existing interconnection. The application also includes the revision of the RAWA Operating Plan to reflect conservation release modifications from the Lake Ontelaunee Reservoir. The reservoir is located in Ontelaunee Township, Berks County, Pennsylvania and is situated on Maiden Creek in the Schuylkill River Watershed.</P>
        <P>13.<E T="03">Buckingham Township, D-2004-015 CP-2.</E>An application for approval of the existing Buckingham Village WWTP and Furlong Sewage Treatment Lagoon System (Furlong WWTP). The previous DRBC approval—Docket No. D-2004-015 CP-1 issued October 27, 2004—expired on October 27, 2009. The Buckingham Village WWTP will continue to discharge up to 0.236 mgd of treated sewage effluent to Mill Creek, a tributary of the Neshaminy Creek; however, from April 1 to November 30, the Buckingham Village WWTP will divert the treated sewage effluent for spray irrigation to spray fields associated with the Furlong WWTP. The Furlong WWTP is designed to treat a flow of up to 302,268 gpd and currently permitted by PADEP to treat up to 257,000 gpd. The facility is located in Buckingham Township, Bucks County, Pennsylvania.</P>
        <P>14.<E T="03">Lafarge North America, D-1974-189-2.</E>An application for approval of a GWD and SWWD project to supply up to 70.68 mgm of water to the applicant's cement manufacturing plant from existing Wells Nos. 1 and 2 and an existing surface water intake on the Lehigh River. The withdrawals are used for processing and non-contact cooling. The project withdrawals were previously approved by Docket No. D-1975-115 issued for the cooling water discharge on August 27, 1975. Consistent with current DRBC practice, a separate withdrawal docket is now required. The project wells and quarry are completed in the Jacksonburg Formation. The project is located in the Coplay Creek and Lehigh River Watersheds in Whitehall Township, Lehigh County, Pennsylvania within the drainage area of the section of the non-tidal Delaware River known as the Lower Delaware, which is classified as Special Protection Waters.</P>
        <P>15.<E T="03">City of Trenton, D-1998-009 CP-2.</E>An application for approval of an existing SWWD project to withdraw up to 1,350 mgm of surface water through one existing surface water intake. The application includes a request to retroactively approve the construction of an expansion and upgrade of the existing water filtration plant (WFP) from 45 mgd to 60 mgd. The allocation and expansion and upgrade of the WFP are required in order to meet projected increases in service area demand. The surface water intake withdraws water from the main stem Delaware River. The project is located in the Delaware River Watershed in the City of Trenton, Mercer County, New Jersey, within the drainage area of the section of the non-tidal Delaware River known as the Lower Delaware, which is classified as Special Protection Waters.</P>
        <P>16.<E T="03">Butter Valley Golf Port, D-2010-013-1.</E>An application for a new GWD and SWWD project to supply the applicant's golf course irrigation system with up to 5.89 mgm of water as a combined total from all sources. Sources are proposed to include one existing surface water intake (Pond Intake No. 1), one new surface water intake (Pond Intake No. 2), and one new groundwater well (Well B). The project well is located in the Brunswick Group in the West Branch Perkiomen Creek Watershed in Upper Hanover Township, Montgomery County, Pennsylvania within the Southeastern Pennsylvania Ground Water Protected Area.</P>
        <P>17.<E T="03">XTO Energy, Inc., D-2010-022-1.</E>An application for approval of a SWWD project to supply up to 0.25 mgd or 7.50<PRTPAGE P="22882"/>mgm of water for the applicant's natural gas exploration and production activities in Broome and Delaware Counties in the State of New York. Surface water will be withdrawn at a site on Oquaga Creek within the Oquaga Creek Watershed in the Town of Sanford, Broome County, New York. Oquaga Creek drains to the West Branch Delaware River. The withdrawal site is located within the drainage area of the section of the non-tidal Delaware River known as the Upper Delaware, which is classified as Special Protection Waters.</P>
        <P>18.<E T="03">Exelon Generation Company, LLC—Schuylkill, D-2010-040 CP-1.</E>An application for the approval of an existing combined discharge of up to 231.84 mgd of NCCW and traveling screen backwash from the Schuylkill Generating Station (SGS) via Outfall No. 001. Outfall No. 001 discharges to the tidal portion of the Schuylkill River at River Mile 92.47—5.6 (Delaware River—Schuylkill River) in Water Quality Zone 4 in the City of Philadelphia, Pennsylvania.</P>
        <P>19.<E T="03">South Jersey Port Corporation, D-2010-044 CP-1.</E>An application for approval of the Paulsboro Marine Terminal dredging and wharf construction project. The proposed project includes: The construction of a deep water marine terminal consisting of a 150-foot wide by 2,850-foot long wharf providing for: Four berths for the loading and unloading of a variety of general bulk and break bulk cargo; dredging in the Delaware River of approximately 334,000 cubic yards; the construction of a public, bi-directional access roadway between Paradise Road in the Township of West Deptford and Universal Road in the Borough of Paulsboro; and the construction of a 25-foot high, three span composite steel plate girder bridge across Mantua Creek just upstream of its confluence with the Delaware River. The proposed Paulsboro Marine Terminal site is located at the former 130-acre BP Oil Terminal site and adjacent 60-acre Essex Industrial Chemicals site in the Borough of Paulsboro, Gloucester County, New Jersey, along the Delaware River in Water Quality Zone 4 at approximately River Mile 90.</P>

        <P>In addition to the standard business meeting items, consisting of adoption of the Minutes of the Commission's March 2, 2011 business meeting, announcements of upcoming meetings and events, a report on hydrologic conditions, reports by the Executive Director and the Commission's General Counsel, and public dialogue, the business meeting also will include public hearings on: (a) A resolution to increase the maximum daily surface water withdrawal from the Schuylkill River by Exelon's Limerick Generating Station (LGS), without increasing LGS's total monthly allocation; (b) a hearing at which the Lambertville Municipal Utilities Authority is requested to show cause why it should not be assessed a penalty in accordance with the<E T="03">Delaware River Basin Compact</E>and DRBC regulations for failing to obtain DRBC review and approval prior to undertaking improvements to its wastewater treatment plant; (c) a resolution authorizing the Executive Director to enter into agreements for information technology upgrades to improve data management and retrieval; and (d) a resolution amending Resolution No. 2010-11 to increase the authorized amount of the Commission's contract for management of comments received on a proposed rulemaking concerning natural gas development. The Commissioners also will consider a Resolution for the Minutes authorizing the Executive Director to award a contract for janitorial services; a resolution to adopt the Delaware River Basin Commission current expense and capital budgets for fiscal year 2012 (on which the Commission held a public hearing on March 2, 2011); and a resolution approving election of the Commission Chair, Vice Chair and Second Vice Chair for fiscal year 2012.</P>
        <P>Draft dockets scheduled for public hearing on May 11, 2011 can be accessed through the Notice of Commission Meeting and Public Hearing on the Commission's Web site, drbc.net, ten days prior to the meeting date. Additional public records relating to the dockets may be examined at the Commission's offices. Please contact William Muszynski at 609-883-9500, extension 221, with any docket-related questions.</P>
        <P>Note that conference items are subject to change and items scheduled for hearing are occasionally postponed to allow more time for the Commission to consider them. Please check the Commission's Web site, drbc.net, closer to the meeting date for changes that may be made after the deadline for filing this notice.</P>

        <P>Individuals who wish to comment for the record on a hearing item or to address the Commissioners informally during the public dialogue portion of the meeting are asked to sign up in advance by contacting Ms. Paula Schmitt of the Commission staff, at<E T="03">paula.schmitt@drbc.state.nj.us</E>or by phoning Ms. Schmitt at 609-883-9500 ext. 224.</P>
        <P>Individuals in need of an accommodation as provided for in the Americans with Disabilities Act who wish to attend the informational meeting, conference session or hearings should contact the Commission Secretary directly at 609-883-9500 ext. 203 or through the Telecommunications Relay Services (TRS) at 711, to discuss how the Commission can accommodate your needs.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>Pamela M. Bush,</NAME>
          <TITLE>Commission Secretary.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9914 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6360-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <DEPDOC>[FRL-9297-9; EPA-HQ-OW-2010-0782]</DEPDOC>
        <SUBJECT>Draft National Pollutant Discharge Elimination System (NPDES) General Permit for Stormwater Discharges From Construction Activities</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA's Regional Offices are proposing for public comment the draft National Pollutant Discharge Elimination System general permit for stormwater discharges from large and small construction activities. This draft construction general permit includes new requirements that implement the technology-based Effluent Limitation Guidelines and New Source Performance Standards, which were issued by EPA for the construction and development industry on December 1, 2009. The draft permit also includes new water quality-based requirements for construction sites discharging stormwater to waters requiring additional pollutant control. EPA proposes to issue this construction general permit for five (5) years, and to provide permit coverage to eligible existing and new construction projects in all areas of the country where EPA is the National Pollutant Discharge Elimination System permitting authority, including Idaho, Massachusetts, New Hampshire, and New Mexico, Indian Country Lands, Puerto Rico, Washington, DC, and U.S. territories and protectorates.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments on the draft general permit must be received on or before June 24, 2011. Comments on the preparation and issuance of the draft/preliminary Environmental Assessment must be received by May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Submit your comments, identified by Docket ID No. EPA-HQ-OW-2010-0782, by one of the following methods:<PRTPAGE P="22883"/>
          </P>
          <P>1.<E T="03">http://www.regulations.gov:</E>Follow the online instructions for submitting comments.</P>
          <P>2.<E T="03">E-mail: ow-docket@epa.gov</E>
          </P>
          <P>3.<E T="03">Mail to:</E>Water Docket, U.S. Environmental Protection Agency, Mail Code: 2822T, 1200 Pennsylvania Avenue, NW., Washington, DC 20460, Attention: Docket ID No. EPA-HQ-OW-2010-0782. 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-HQ-OW-2010-0782. 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://</E>
            <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">http://www.regulations.gov</E>or e-mail. The<E T="03">http://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. For additional information about EPA's public docket visit the EPA Docket Center homepage at<E T="03">http://www.epa.gov/epahome/dockets.htm.</E>
          </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.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 either electronically in<E T="03">www.regulations.gov</E>or in hard copy at a docket facility. The Office of Water (OW) Docket Center is open from 8:30 until 4:30 p.m., Monday through Friday, excluding legal holidays. The OW Docket Center telephone number is (202) 566-2426, and the Docket address is OW Docket, EPA West, Room 3334, 1301 Constitution Avenue, NW., Washington, DC 20004. The Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number for the Public Reading Room is (202) 566-1744.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>For further information on the draft NPDES general permit, contact the appropriate EPA Regional office listed in Section I.G, or Greg Schaner, EPA Headquarters, Office of Water, Office of Wastewater Management at tel.: 202-564-0721<E T="03">or e-mail: schaner.greg@epa.gov,</E>or Erika Farris, EPA Headquarters, Office of Water, Office of Wastewater Management at tel.: 202-564-7548, or e-mail farris.erika@epa.gov. For further information on the preparation and issuance of the draft/preliminary Environmental Assessment, contact Jessica Trice, EPA Headquarters, Office of Federal Activities, NEPA Compliance Division at tel: 202-564-6646, or e-mail<E T="03">trice.jessica.@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>This supplementary information is organized as follows:</P>
        <HD SOURCE="HD1">Table of Contents</HD>
        <EXTRACT>
          <FP SOURCE="FP-2">I. General Information</FP>
          <FP SOURCE="FP1-2">A. Does this action apply to me?</FP>
          <FP SOURCE="FP1-2">B. How can I get copies of these documents and other related information?</FP>
          <FP SOURCE="FP1-2">C. What should I consider as I prepare my comments for EPA?</FP>
          <FP SOURCE="FP1-2">D. Will public hearings be held on this action?</FP>
          <FP SOURCE="FP1-2">E. What process will EPA follow to finalize the permit?</FP>
          <FP SOURCE="FP1-2">F. Who are the EPA regional contacts for this permit?</FP>
          <FP SOURCE="FP-2">II. Background of Permit</FP>
          <FP SOURCE="FP1-2">A. Statutory and Regulatory History</FP>
          <FP SOURCE="FP1-2">B. Vacature of the C&amp;D Rule Numeric Limit and Implications for This Permit</FP>
          <FP SOURCE="FP-2">III. Summary of the Draft CGP</FP>
          <FP SOURCE="FP1-2">A. Non-Numeric C&amp;D Rule Requirements</FP>
          <FP SOURCE="FP1-2">B. Numeric C&amp;D Rule Requirements</FP>
          <FP SOURCE="FP1-2">C. Water Quality-Based Effluent Limits</FP>
          <FP SOURCE="FP1-2">D. Summary of Significant Proposed Changes to the CGP</FP>
          <FP SOURCE="FP1-2">E. Permit Provisions for Which EPA is Soliciting Comment</FP>
          <FP SOURCE="FP1-2">F. Construction Projects Eligible for Permit Coverage</FP>
          <FP SOURCE="FP1-2">G. Geographic Coverage</FP>
          <FP SOURCE="FP-2">IV. Notice of Intent to Prepare an Environmental Assessment (EA) for the National Pollutant Discharge Elimination System (NPDES) General Permit for Discharges from Large and Small Construction Activities</FP>
          <FP SOURCE="FP-2">V. Executive Order 12898: Federal Actions to Address Environmental Justice in Minority Populations and Low-Income Populations</FP>
          <FP SOURCE="FP-2">VI. Executive Order 13175: Consultation and Coordination with Indian Tribal Governments</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. General Information</HD>
        <HD SOURCE="HD2">A. Does this action apply to me?</HD>
        <P>The draft construction general permit (“draft CGP”) applies to the following construction activities:</P>
        <GPOTABLE CDEF="xs40,r100,14" COLS="3" OPTS="L2,i1">
          <TTITLE>Table 1—Entities Potentially Regulated by This Permit</TTITLE>
          <BOXHD>
            <CHED H="1">Category</CHED>
            <CHED H="1">Examples of Affected Entities</CHED>
            <CHED H="1">North American Industry Classification System (NAICS) Code</CHED>
          </BOXHD>
          <ROW RUL="n,s">
            <ENT I="01">Industry</ENT>
            <ENT A="01">Construction site operators disturbing 1 or more acres of land, or less than 1 acre but part of a larger common plan of development or sale if the larger common plan will ultimately disturb 1 acre or more, and performing the following activities:</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>Building, Developing and General Contracting</ENT>
            <ENT>233</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>Heavy Construction</ENT>
            <ENT>234</ENT>
          </ROW>
        </GPOTABLE>

        <P>EPA does not intend the preceding table to be exhaustive, but provides it as a guide for readers regarding entities likely to be regulated by this action. This table lists the types of activities that EPA is now aware of that could potentially be affected by this action. Other types of entities not listed in the table could also be affected. To determine whether your facility is regulated by this action, you should carefully examine the definition of<PRTPAGE P="22884"/>“construction activity” and “small construction activity” in existing EPA regulations at 40 CFR 122.26(b)(14)(x) and 122.26(b)(15), respectively. If you have questions regarding the applicability of this action to a particular entity, consult one of the persons listed for technical information in the preceding<E T="02">FOR FURTHER INFORMATION CONTACT</E>section.</P>
        <P>Eligibility for coverage under the draft CGP is limited to operators of stormwater discharges from “new sources”, “existing permitted dischargers”, “existing unpermitted dischargers”, “new operators of new sources or existing permitted dischargers”, and “emergency-related projects”. A “new source” is a construction project that commenced or will commence construction activities after February 1, 2010, which is the effective date of the new source performance standards promulgated as part of the Construction and Development (C&amp;D) rule on December 1, 2009. An “existing permitted discharger” is a construction project that is not a new source, because construction activities commenced prior to February 1, 2010 and prior coverage was obtained under either the 2003 CGP, the 2008 CGP, or under another NPDES permit. An “existing unpermitted discharger” is a construction project that is not a new source, because construction activities commenced prior to February 1, 2010, but has never received coverage for its construction discharges under an effective NPDES permit. A “new operator of a new source or existing permitted discharger” is an operator that replaces an existing operator on a construction project through transfer or ownership and/or operation. An “emergency-related project” is one in which earth-disturbing activities need to take place immediately in order to respond to a public emergency (e.g., tornado, hurricane, earthquake, flood), and the related work requires immediate authorization to avoid imminent endangerment to human health or the environment. Coverage under this permit is available to operators of eligible projects located in those areas where EPA is the permitting authority and has opted to make this general permit for use. A list of eligible areas is included in Appendix B of the draft CGP.</P>
        <HD SOURCE="HD2">B. How can I get copies of these documents and other related information?</HD>
        <P>1.<E T="03">Docket.</E>EPA has established an official public docket for this action under Docket ID No. EPA-HQ-OW-2010-0782. The official public docket is the collection of materials that is available for public viewing at the Water Docket in the EPA Docket Center, (EPA/DC) EPA West, Room 3334, 1301 Constitution Ave., NW., Washington, DC 20460. Although all documents in the docket are listed in an index, some information is not publicly available, i.e., Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Publicly available docket materials are available in hard copy at the EPA Docket Center Public Reading Room, open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number for the Public Reading Room is (202) 566-1744 and the telephone number for the Water Docket is (202) 566-2426.</P>
        <P>2.<E T="03">Electronic Access.</E>You may access this<E T="04">Federal Register</E>document electronically through the United States government on-line source for Federal regulations at<E T="03">http://www.regulations.gov.</E>
        </P>

        <P>Electronic versions of this draft permit and fact sheet are available on EPA's NPDES Web site at<E T="03">http://www.epa.gov/npdes/stormwater/cgp.</E>
        </P>

        <P>An electronic version of the public docket is available through the EPA's electronic public docket and comment system, EPA Dockets. You may use EPA Dockets at<E T="03">http://www.regulations.gov</E>to submit or view public comments, access the index listing of the contents of the official public docket, and to access those documents in the public docket that are available electronically. For additional information about EPA's public docket, visit the EPA Docket Center homepage at<E T="03">http://www.epa.gov/dockets.</E>Although not all docket materials may be available electronically, you may still access any of the publicly available docket materials through the Docket Facility identified in Section I.B.1.</P>
        <HD SOURCE="HD2">C. 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 all of the information that you claim to be CBI. For CBI information on computer disks mailed to EPA, mark the surface of the disk as CBI. Also identify electronically the specific information contained in the disk or that you claim is CBI. In addition to one complete version of the specific information claimed as CBI, you must submit a copy that does not contain the information claimed as CBI for inclusion in the public document. Information marked as CBI will not be disclosed except in accordance with procedures set forth in 40 CFR Part 2.</P>
        <P>For public commenters, it is important to note that EPA's policy is that public comments, whether submitted electronically or in paper, will be made available for public viewing in EPA's electronic public docket as EPA receives them and without change, unless the comment contains copyrighted material, CBI, or other information whose disclosure is restricted by statute. When EPA identifies a comment containing copyrighted material, EPA will provide a reference to that material in the version of the comment that is placed in EPA's electronic public docket. The entire printed comment, including the copyrighted material, will be available in the public docket.</P>
        <P>Public comments submitted on computer disks that are mailed or delivered to the docket will be transferred to EPA's electronic public docket. Public comments that are mailed or delivered to the docket will be scanned and placed in EPA's electronic public docket. Where practical, physical objects will be photographed, and the photograph will be placed in EPA's electronic public docket along with a brief description written by the docket staff.</P>
        <P>2.<E T="03">Tips for Preparing Your Comments.</E>When submitting comments, remember to:</P>

        <P>• Identify this permit by docket number and other identifying information (subject heading,<E T="04">Federal Register</E>date, and page number).</P>
        <P>• Where possible, respond to specific questions or organize comments by referencing a section or part of this permit.</P>
        <P>• Explain why you agree or disagree, suggest alternatives, and suggest substitute language for your requested changes.</P>
        <P>• Describe any assumptions and provide any technical information and/or data that you used.</P>
        <P>• 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>• Provide specific examples to illustrate your concerns, and suggest alternatives.</P>
        <P>• Explain your views as clearly as possible.</P>

        <P>• To ensure that EPA can read, understand, and therefore properly respond to comments, the Agency would prefer that commenters cite, where possible, the paragraph(s) or section in the fact sheet or permit to which each comment refers.<PRTPAGE P="22885"/>
        </P>
        <P>• Make sure to submit your comments by the comment period deadline identified.</P>
        <HD SOURCE="HD2">D. Will public hearings be held on this action?</HD>
        <P>EPA has not scheduled any public hearings to receive public comment concerning the draft permit. All persons will continue to have the right to provide written comments during the public comment period. However, interested persons may request a public hearing pursuant to 40 CFR 124.12 concerning the draft permit. Requests for a public hearing must be sent or delivered in writing to the same address as provided above for public comments prior to the close of the comment period. Requests for a public hearing must state the nature of the issues proposed to be raised in the hearing. Pursuant to 40 CFR 124.12, EPA shall hold a public hearing if it finds, on the basis of requests, a significant degree of public interest in a public hearing on the draft permit. If EPA decides to hold a public hearing, a public notice of the date, time and place of the hearing will be made at least 30 days prior to the hearing. Any person may provide written or oral statements and data pertaining to the draft permit at the public hearing.</P>
        <HD SOURCE="HD2">E. What process will EPA follow to finalize the permit?</HD>
        <P>After the close of the public comment period, EPA intends to issue a final permit on or prior to the expiration date of the current 2008 CGP. [Please note that EPA is proposing in another notice today an extension of the 2008 CGP to January 31, 2012 in order to provide the Agency with sufficient time to finalize this permit.] This permit will not be issued until all significant comments have been considered and appropriate changes made to the permit. EPA's responses to public comments received will be included in the docket as part of the final permit issuance. Once the final permit becomes effective, eligible operators of existing and new construction projects may seek authorization under the new CGP. Any construction site operator obtaining permit coverage prior to the expiration date of the 2008 CGP will automatically remain covered under that permit until the earliest of:</P>
        <P>• The operator submits a Notice of Termination (NOT); or</P>
        <P>• EPA issues an individual permit or denies coverage under an individual permit for the site's stormwater discharges.</P>
        <HD SOURCE="HD2">F. Who are the EPA regional contacts for this permit?</HD>

        <P>For EPA Region 1, contact Jessica Hing at tel.: (617) 918-1560 or e-mail at<E T="03">hing.jessica@epa.gov.</E>
        </P>

        <P>For EPA Region 2, contact Stephen Venezia at tel.: (212) 637-3856 or e-mail at<E T="03">venezia.stephen@epa.gov,</E>or for Puerto Rico, contact Sergio Bosques at tel.: (787) 977-5838 or e-mail at<E T="03">bosques.sergio@epa.gov.</E>
        </P>

        <P>For EPA Region 3, contact Chuck Schadel at tel.: (215) 814-5761 or e-mail at<E T="03">schadel.chuck@epa.gov.</E>
        </P>

        <P>For EPA Region 4, contact Michael Mitchell at tel.: (404) 562-9303 or e-mail at<E T="03">mitchell.michael@epa.gov.</E>
        </P>

        <P>For EPA Region 5, contact Brian Bell at tel.: (312) 886-0981 or e-mail at<E T="03">bell.brianc@epa.gov.</E>
        </P>

        <P>For EPA Region 6, contact Suzanna Perea at tel.: (214) 665-7217 or e-mail at:<E T="03">perea.suzanna@epa.gov.</E>
        </P>

        <P>For EPA Region 7, contact Mark Matthews at tel.: (913) 551-7635 or e-mail at:<E T="03">matthews.mark@epa.gov.</E>
        </P>

        <P>For EPA Region 8, contact Amy Clark at tel.: (303) 312-7014 or e-mail at:<E T="03">clark.amy@epa.gov.</E>
        </P>

        <P>For EPA Region 9, contact Eugene Bromley at tel.: (415) 972-3510 or e-mail at<E T="03">bromley.eugene@epa.gov.</E>
        </P>

        <P>For EPA Region 10, contact Misha Vakoc at tel.: (206) 553-6650 or e-mail at<E T="03">vakoc.misha@epa.gov.</E>
        </P>
        <HD SOURCE="HD1">II. Background of Permit</HD>
        <HD SOURCE="HD2">A. Statutory and Regulatory History</HD>
        <P>The Clean Water Act (“CWA”) establishes a comprehensive program “to restore and maintain the chemical, physical, and biological integrity of the Nation's waters.” 33 U.S.C. 1251(a). The CWA also includes the objective of attaining “water quality which provides for the protection and propagation of fish, shellfish and wildlife and  * * *  recreation in and on the water.” 33 U.S.C. 1251(a)(2)). To achieve these goals, the CWA requires EPA to control discharges of pollutants from point sources through the issuance of National Pollutant Discharge Elimination System (“NPDES”) permits.</P>

        <P>The Water Quality Act of 1987 (WQA) added section 402(p) to the Clean Water Act (CWA), which directed EPA to develop a phased approach to regulate stormwater discharges under the NPDES program. 33 U.S.C. 1342(p). EPA published a final regulation in the<E T="04">Federal Register</E>, often called the “Phase I Rule”, on November 16, 1990, establishing permit application requirements for, among other things, “storm water discharges associated with industrial activity.”<E T="03">See</E>55 FR 47990. EPA defines the term “storm water discharge associated with industrial activity” in a comprehensive manner to cover a wide variety of facilities.<E T="03">See id.</E>Construction activities, including activities that are part of a larger common plan of development or sale, that ultimately disturb at least five acres of land and have point source discharges to waters of the U.S. were included in the definition of “industrial activity” pursuant to 40 CFR 122.26(b)(14)(x). The second rule implementing section 402(p), often called the Phase II Rule, was published in the<E T="04">Federal Register</E>on December 8, 1999. It requires NPDES permits for discharges from construction sites disturbing at least one acre but less than five acres, including sites that are part of a larger common plan of development or sale that will ultimately disturb at least one acre but less than five acres, pursuant to 40 CFR 122.26(b)(15)(i).<E T="03">See</E>64 FR 68722. EPA is proposing to issue this draft CGP under the statutory and regulatory authority cited above.</P>
        <P>NPDES permits issued for construction stormwater discharges are required under Section 402(a)(1) of the CWA to include conditions to meet technology-based effluent limits established under Section 301 and, where applicable, Section 306. Effluent limitations guidelines (ELGs), and New Source Performance Standards (NSPS) are technology-based effluent limitations that are based on the degree of control that can be achieved using various levels of pollutant control technology as defined in Subchapter III of the CWA.</P>

        <P>Once a new national standard is established in accordance with these sections, NPDES permits must incorporate limits based on such technology-based standards.<E T="03">See</E>CWA section 301 and 306, 33 U.S.C. 1311 and 1316, and 40 CFR 122.44(a)(1). Prior to the issuance of such national standards, permit authorities are required to incorporate technology-based limits on a best professional judgment basis. CWA section 402(a)(1); 40 CFR 125.3(a)(2)(ii)(B). On December 1, 2009, EPA published final regulations establishing technology-based Effluent Limitations Guidelines (ELGs) and New Source Performance Standards (NSPS) for the Construction &amp; Development (C&amp;D) point source category. See 40 CFR Part 450, and 74 FR 62996 (December 1, 2009). The Construction &amp; Development Rule, or “C&amp;D rule”, became effective on February 1, 2010; therefore all NPDES construction permits issued by EPA or states after this date must incorporate the C&amp;D rule requirements. Because EPA will be issuing its new CGP after the effective date of the C&amp;D rule, the<PRTPAGE P="22886"/>Agency is required by the CWA and 40 CFR 122.44(a)(1) to incorporate into its new CGP all applicable C&amp;D rule requirements.</P>
        <HD SOURCE="HD2">B. Vacature of the C&amp;D Rule Numeric Limit and Implications for This Permit</HD>

        <P>The C&amp;D rule was finalized on December 1, 2009, and included non-numeric requirements for erosion and sediment control, stabilization, and pollution prevention (<E T="03">see</E>40 CFR 450.21(a) thru (f)), and, for the first time, a numeric limitation on the discharge of turbidity from active construction sites (<E T="03">see</E>40 CFR 450.22). Since its promulgation, EPA discovered that the data used to calculate the numeric limit for turbidity were misinterpreted, and that it was necessary to recalculate the numeric limit.</P>
        <P>On August 12, 2010, EPA filed a motion with the U.S. Court of Appeals for the Seventh Circuit, requesting the Court issue an order vacating and remanding to the Agency limited portions of the final C&amp;D rule. To address the specific issues raised by petitioners, the motion also provided that EPA:</P>
        
        <EXTRACT>
          <P>• “May address (and if necessary take further regulatory action on) certain impacts of the final rule specific to linear gas and electricity utility projects.”</P>
          <P>• Will “solicit site specific information regarding the applicability of a numeric limit” to cold weather sites and to small sites that are part of a larger plan of development that is subject to the numeric limit.</P>
        </EXTRACT>
        
        <P>On August 24, 2010, the U.S. Court of Appeals for the Seventh Circuit remanded the matter to EPA but did not vacate the numeric limit. On September 9, 2010, the National Association of Home Builders (NAHB) filed a motion for clarification (which EPA did not oppose) asking the Court to (1) vacate the limit and (2) hold the case in abeyance instead of remanding the matter to EPA. On September 20, 2010, the Court granted the motion in part by ruling to hold the matter in abeyance pending EPA consideration of the numeric limit and the other remand issues, but the Court did not vacate the numeric limit. Instead, the Court stated that “EPA may make any changes to the limit it deems appropriate, as authorized by law.”</P>

        <P>EPA issued a direct final rule staying the current numeric limit and a companion proposed rule proposing a stay, and the stay took effect on January 4, 2011, resulting in an indefinite postponement of the implementation of the 280 NTU limit. The Agency is currently preparing to issue a proposed rule proposing the recalculated limit and a one-year extension to the first phase-in date for complying with the numeric limit. EPA will seek public comment on this recalculated limit and the one-year extension of the first phase-in date, and persons who wish to comment on the recalculated limit and extension should submit comments on that proposal. EPA plans to promulgate the recalculated numeric limit and the one-year extension of the first phase-in date prior to the final issuance of the new CGP. Therefore, if the numeric limit and one-year extension are promulgated and become effective prior to the issuance of the final CGP, EPA must by law incorporate the applicable numeric limit and new first phase-in date from the ELGs and standards into the final CGP. With this in mind, EPA has included a placeholder reference to the final numeric limit, which will be replaced by the recalculated numeric limit in the final permit if it is promulgated prior to permit issuance. With respect to the first phase-in date for complying with the limit (<E T="03">i.e.,</E>August 1, 2011), EPA notes in the proposed permit that this date may change depending on the outcome of the proposed extension.</P>
        <HD SOURCE="HD1">III. Summary of the Draft CGP</HD>
        <P>As stated above, the draft permit proposed today includes new requirements that implement the effluent limitations guidelines and new source performance standards in the C&amp;D rule. These proposed new requirements would require site operators to install and implement stormwater measures to accomplish erosion and sediment control, pollution prevention, and stabilization, and, for certain larger construction sites, to meet a recalculated numeric turbidity limit and conduct compliance monitoring of their stormwater discharges. For sites that discharge to waters where additional controls are necessary to ensure compliance with applicable water quality standards, the draft permit includes new water quality-based effluent limits. This section summarizes the C&amp;D rule requirements upon which the permit's proposed technology-based requirements are based, and highlights the significant new permit provisions included in the draft permit.</P>
        <HD SOURCE="HD2">A. Non-Numeric C&amp;D Rule Requirements</HD>
        <P>The non-numeric effluent limitations in the C&amp;D rule are designed to prevent the mobilization and discharge of sediment and sediment-bound pollutants, such as metals and nutrients, and to prevent or minimize exposure of stormwater to construction materials, debris, and other sources of pollutants on construction sites. In addition, these non-numeric effluent limitations limit the generation of dissolved pollutants. For background, soil on construction sites can contain a variety of pollutants such as nutrients, organics, pesticides, herbicides, and metals. These pollutants may be present naturally in the soil, such as arsenic or selenium, or they may have been contributed by previous activities on the site, such as agriculture or industrial activities. These pollutants, once mobilized by stormwater, can detach from the soil particles and become dissolved pollutants. Once dissolved, these pollutants would not be removed by down-slope sediment controls. Source control through minimization of soil erosion is therefore the most effective way of controlling the discharge of these pollutants.</P>
        <P>The non-numeric effluent limits in the C&amp;D rule, upon which certain technology-based requirements in the draft CGP are based, include the following:</P>
        <P>•<E T="03">Erosion and Sediment Controls:</E>Permittees are required to design, install, and maintain effective erosion and sediment controls to minimize the discharge of pollutants. At a minimum, such controls must be designed, installed, and maintained to:</P>
        <P>1. Control stormwater volume and velocity within the site to minimize soil erosion;</P>
        <P>2. Control stormwater discharges, including both peak flowrates and total stormwater volume, to minimize erosion at outlets and to minimize downstream channel and streambank erosion;</P>
        <P>3. Minimize the amount of soil exposed during construction activity;</P>
        <P>4. Minimize the disturbance of steep slopes;</P>
        <P>5. Minimize sediment discharges from the site. The design, installation and maintenance of erosion and sediment controls must address factors such as the amount, frequency, intensity, and duration of precipitation, the nature of resulting stormwater runoff, and soil characteristics, including the range of soil particle sizes expected to be present on the site;</P>
        <P>6. To increase sediment removal and maximize stormwater infiltration, provide and maintain natural buffers around surface waters and direct stormwater to vegetated areas, unless infeasible; and</P>
        <P>7. Minimize soil compaction and, unless infeasible, preserve topsoil.</P>
        <P>•<E T="03">Soil Stabilization Requirements:</E>Permittees are required to, at a minimum, initiate soil stabilization measures immediately whenever any clearing, grading, excavating, or other earth disturbing activities have<PRTPAGE P="22887"/>permanently ceased on any portion of the site, or temporarily ceased on any portion of the site and will not resume for a period exceeding 14 calendar days. Stabilization must be completed within a period of time determined by the permitting authority. In arid, semiarid, and drought-stricken areas where initiating vegetative stabilization measures immediately is infeasible, vegetative stabilization measures must be initiated as soon as practicable.</P>
        <P>•<E T="03">Dewatering Requirements:</E>Permittees are required to minimize the discharge of pollutants from dewatering trenches and excavations. Discharges are prohibited unless managed by appropriate controls.</P>
        <P>•<E T="03">Pollution Prevention Measures:</E>Permittees are required to design, install, implement, and maintain effective pollution prevention measures to minimize the discharge of pollutants. At a minimum, such measures must be designed, installed, implemented and maintained to:</P>
        <P>1. Minimize the discharge of pollutants from equipment and vehicle washing, wheel wash water, and other wash waters. Wash waters must be treated in a sediment basin or an alternative control that provides equivalent or better treatment prior to discharge;</P>
        <P>2. Minimize the exposure of building materials, building products, construction wastes, trash, landscape materials, fertilizers, pesticides, herbicides, detergents, sanitary waste, and other materials present on the site to precipitation and to stormwater; and</P>
        <P>3. Minimize the discharge of pollutants from spills and leaks and implement chemical spill and leak prevention and response procedures.</P>
        <P>•<E T="03">Prohibited Discharges:</E>The following discharges from regulated construction sites are prohibited:</P>
        <P>1. Wastewater from washout of concrete, unless managed by an appropriate control;</P>
        <P>2. Wastewater from washout and cleanout of stucco, paint, form release oils, curing compounds, and other construction materials;</P>
        <P>3. Fuels, oils, or other pollutants used in vehicle and equipment operation and maintenance; and</P>
        <P>4. Soaps or solvents used in vehicle and equipment washing.</P>
        <P>•<E T="03">Surface Outlets:</E>When discharging from basins and impoundments, permittees are required to utilize outlet structures that withdraw water from the surface, unless infeasible.</P>

        <P>When EPA was writing the C&amp;D rule's final non-numeric effluent limits listed above, it intended to provide discretion to permitting authorities to determine how best to implement these provisions with respect to requiring controls and measures appropriate for the conditions in their permitted areas. For example, in the preamble to the C&amp;D rule, EPA states “* * * in the erosion and sediment control section * * * EPA simply required that permittees `minimize the disturbance of steep slopes' leaving it up to the permitting authority to determine the specific requirements applicable to owners or operators of C&amp;D sites to minimize disturbance of steep slopes in order to minimize the discharge of pollutants from the site.”<E T="03">See</E>74 FR 63016. As the permitting authority responsible for issuing stormwater permits for construction activities in four States, Indian Country lands, Federal facilities, Washington, DC, and U.S. territories/protectorates, EPA believes that it is important in this draft permit to include requirements that more specifically define what is necessary to implement each of the C&amp;D rule's non-numeric limits. Accordingly, in translating the C&amp;D rule requirements into the draft CGP, EPA added specificity to many of the C&amp;D rule provisions that it believed call for further definition, such as the requirements to “Provide and maintain natural buffers”, “Minimize steep slopes”, and “Minimize soil compaction”, among others. In EPA's view, adding specificity to the C&amp;D rule-based requirements in the CGP will assist permittees in understanding the Agency's view of what is required to comply with the permit.</P>
        <HD SOURCE="HD2">B. Numeric C&amp;D Rule Requirements</HD>
        <P>The C&amp;D rule at 40 CFR 450.22 requires compliance for certain sites with a numeric turbidity limit. Compliance with the numeric turbidity limit is to be accomplished in two phases and applies to construction activities as follows:</P>
        <P>• Any construction activities that will occur on or after August 1, 2011, which disturb 20 or more acres of land at one time, including non-contiguous land disturbances that take place at the same time and are part of a larger common plan of development or sale; and</P>
        <P>• Any construction activities that will occur on or after February 2, 2014, and disturb 10 or more acres of land at one time, including non-contiguous land disturbances that take place at the same time and are part of a larger common plan of development or sale.</P>
        
        <FP>
          <E T="03">See</E>40 CFR 450.22(a). The C&amp;D rule established an exception from the numeric limit for sites that receive an amount of precipitation that in any day is larger than the local 2-year, 24-hour storm.<E T="03">See</E>40 CFR 450.22(b). In addition to promulgating a numeric limit, the C&amp;D rule also requires monitoring consistent with requirements established by the permitting authority.<E T="03">See</E>40 CFR 450.22(a)(2). The rule specifies that each sample must be analyzed for turbidity in accordance with the requirements established by the permitting authority.<E T="03">See id.</E>
        </FP>
        <P>As stated previously, the 280 NTU numeric limit that was originally promulgated has been found to be based on data that was misinterpreted. EPA has issued a stay of the 280 NTU numeric limit, which indefinitely postpones the application of this limit in permits. EPA also intends to propose and finalize a recalculated numeric limit. In accordance with the Agency's plan, once a recalculated limit and extension of the first phase-in date are promulgated, they would replace the 280 NTU limit and the August 1, 2011 phase-in date, respectively. Assuming the stay of the 280 NTU limit is in effect, the CWA does not require states whose construction stormwater permits expire prior to the promulgation of the new, corrected numeric limit to include the stayed numeric limit of 280 NTU in their construction stormwater permit. However, if any state permits expire after the effective date of a final rule containing the recalculated numeric limit, those states would be required under the CWA to incorporate the new numeric effluent limit into their construction stormwater permits.</P>
        <P>The draft permit implements the numeric effluent limit provisions of the C&amp;D rule by including provisions explaining which sites are required to comply with the numeric limit and the two phase-in dates for compliance (while noting the possibility that the first phase-in date may change), the exceptions where the numeric limit does not apply, sampling and analysis requirements for compliance monitoring, and requirements to report sampling data to EPA. The draft permit includes a placeholder reference for the actual numeric limit itself, which EPA plans to promulgate prior to the expiration of the 2008 CGP, so that the numeric limit may be incorporated into the new CGP prior to issuance.</P>
        <HD SOURCE="HD2">C. Water Quality-Based Effluent Limits</HD>

        <P>Because the C&amp;D rule requirements are technology-based, they do not account for the level of pollutant control that may be necessary in a specific area to meet applicable water quality standards. EPA's regulations at 40 CFR 122.44(d)(1) require permitting authorities to include additional or more stringent permit requirements when necessary to achieve water quality<PRTPAGE P="22888"/>standards. With this requirement in mind, the draft CGP includes additional requirements that apply to those sites that discharge to waters impaired for sediment, sediment-related parameters, or nutrients, including nitrogen and phosphorus, which are parameters typically associated with stormwater discharges from construction sites, and to those sites that discharge to waters requiring enhanced protection under a State or Tribe's antidegradation requirements.</P>
        <HD SOURCE="HD2">D. Summary of Significant Proposed Changes to the CGP</HD>
        <P>The draft CGP includes a number of new or modified requirements, many of which are related to the implementation of the new C&amp;D rule effluent limits, and thus differ from the 2008 CGP. The following list summarizes the proposed changes to the CGP:</P>
        <P>1.<E T="03">Structure/Appearance of Permit:</E>EPA attempted to restructure its CGP so that it would be better organized to present requirements in a generally more readable manner. It is EPA's hope that this structure will enhance the permittees' understanding of and compliance with the permit's requirements. For instance, the permit's stormwater control requirements are organized into distinct and related categories, such as erosion and sediment control requirements, stabilization requirements, and pollution prevention requirements. Within the erosion and sediment control requirements of the permit, EPA has organized the section to reflect the general sequence of the construction process. For example, the proposed permit places in separate sections requirements that apply to the site planning phase, which should occur prior to earth-disturbance, followed by requirements affecting the selection, design, and installation of stormwater controls. Similarly, in the pollution prevention section, EPA organizes the requirements based on where in the construction sequence they would apply. Therefore, there are requirements relating to (1) where pollution-generating activities may be placed, (2) how to design stormwater controls, (3) what performance standards to meet during construction, and (4) how to maintain required stormwater controls.</P>
        <P>2.<E T="03">Eligibility for Emergency-Related Construction:</E>EPA proposes to provide immediate authorization for construction activities required for response to public emergencies (<E T="03">e.g.,</E>tornado, hurricane, flooding). Immediate authorization would enable work that is necessary to avoid imminent endangerment to human health or the environment to proceed without administrative delay. The construction operator must still comply with the terms of the permit, and must submit an NOI within 7 days of commencing earth-disturbing activities, whereas typically operators must submit NOIs 30 days prior to commencing earth-disturbing activities. The operator is then required to develop its stormwater pollution prevention plan (SWPPP) within 7 days of submitting the NOI.</P>
        <P>3.<E T="03">Authorization Process/NOIs:</E>EPA proposes to increase the “waiting period” from 7 days to 30 days for new projects. This new timeframe is intended to better reflect the endangered species-related reviews that must take place prior to authorization. EPA also proposes to maximize the use of its electronic NOI, or eNOI, process for authorizing construction discharges by requiring that construction operators seek coverage using the eNOI system. Certain case-by-case exceptions, i.e., instances in which a “paper NOI” will be allowed, will still exist, but approval by the applicable EPA Region will be necessary first.</P>
        <P>4.<E T="03">Sediment and Erosion Controls:</E>The draft permit includes specific requirements that implement the C&amp;D rule's sediment and erosion control limits. While many of these requirements are already included in the 2008 CGP, the draft permit includes more detail in order to properly implement the C&amp;D rule. The following is a list of requirements that can be considered significant modifications to the 2008 CGP:</P>
        <P>i. Buffer Compliance Alternatives—To implement the C&amp;D rule requirement to provide and maintain natural buffers around surface waters, unless feasible, sites must ensure that any discharges flowing through the area between the disturbed portions of the site and any waters of the U.S. are treated by an area of undisturbed natural vegetation that alone or supplemented by erosion and sediment controls achieves a reduction in sediment loads equivalent to that achieved by 50 feet of undisturbed natural vegetation. Appendix M of the draft permit has been added to provide guidance to operators in complying with this requirement.</P>
        <P>ii. Installation of Sediment Controls Prior to Construction—Operators must install and make operational all sediment controls prior to conducting earth-disturbing activities.</P>
        <P>iii. Sediment Removal Requirements—Operators are specifically required to remove deposited sediment on the site, tracked out of the site, or accumulated near sediment controls before it compromises the effectiveness of on-site controls and/or is discharged to surface waters.</P>
        <P>iv. Entrance and Exit Points—Any entrance and exit points created on the site must be stabilized for a minimum of 50 feet into the site.</P>
        <P>v. Storm Drain Inlets—Controls must be installed and maintained to protect any storm drain inlets to which the site discharges and that are accessible to the operator.</P>
        <P>vi. Chemical Treatment—Where operators plan to employ treatment chemicals to reduce sediment discharges, they are subject to specific use restrictions and stormwater control design requirements.</P>
        <P>vii. Dewatering Practices—Specific controls and discharge restrictions apply to sites that will discharge groundwater or accumulated stormwater removed from excavations, trenches, foundations, vaults, or other points of accumulation associated with construction activity.</P>
        <P>5.<E T="03">Stabilization Requirements:</E>The permit includes modified stabilization requirements that define more specifically what EPA requires for temporary and final stabilization. Criteria are proposed for both vegetative and non-vegetative stabilization that are based on the Revised Universal Soil Loss Equation's (RUSLE) cover management factor, or “C-factor”. EPA has provided guidance in Appendix H to assist permittees in understanding what stabilization measures meet the requirements of the draft permit.</P>
        <P>6.<E T="03">Pollution Prevention:</E>Beyond adopting the specific C&amp;D rule requirements for pollution prevention and the prohibition of certain discharges, the draft permit includes specific location restrictions (e.g., locate pollutant-generating activities outside of any buffers established under the permit and set back from stormwater conveyance channels) and design standards (e.g., install secondary containment or cover activities). The pollution prevention requirements also include a proposal to restrict the discharge of fertilizers at construction sites.</P>
        <P>7.<E T="03">Numeric Turbidity Limit:</E>EPA proposes that it will include whatever numeric turbidity limit is effective under the C&amp;D rule, at the time of final permit issuance, as well as applicability (i.e., phase-in dates), sampling, and reporting requirements.</P>
        <P>8.<E T="03">Water Quality-Based Effluent Limits:</E>The draft permit includes specific requirements that apply to sites discharging to waters impaired for common pollutants associated with construction activities, such as sediment and nutrients. For such sites,<PRTPAGE P="22889"/>construction activities are subject to additional requirements, including tighter stabilization deadlines (immediately initiate stabilization if construction in an area is inactive for 7 days, as opposed to 14 days) and more frequent site inspections. For sites disturbing 10 or more acres at a time, the permittees would be subject to the additional requirement to conduct benchmark monitoring of their discharge based on benchmarks that are tied to the receiving water's water quality criteria. The permit also proposes to include additional requirements for waters identified as Tier 2, Tier 2.5, or Tier 3 for antidegradation purposes.</P>
        <P>9.<E T="03">Site Inspections:</E>EPA proposes to make explicit the requirement for permittees to visually assess the quality of the discharge (e.g., color, odor, floating, settled, or suspended solids) if the site inspection occurs during a discharge-generating rain event.</P>
        <P>10.<E T="03">Corrective Actions:</E>Although the 2008 CGP requires corrective action, it does not include specific requirements instructing the permittee as to what conditions trigger specific corrective actions and what deadlines apply. The draft permit includes specific triggering conditions for corrective action as well as deadlines to fix such problems and document what was done.</P>
        <P>11.<E T="03">Stormwater Pollution Prevention Plan (SWPPP):</E>The SWPPP requirements are modified in accordance with the proposed changes discussed above. In general, the requirements are more specific, but consistent with the current permit.</P>
        <P>12.<E T="03">Notice of Termination:</E>EPA proposes to include additional requirements that affect when a site may terminate coverage under the CGP. For instance, beyond enabling sites to terminate coverage when earth-disturbing activities have stopped and the site is stabilized, the permit would require the removal of all temporary stormwater controls and construction materials, waste, and waste handling devices.</P>
        <HD SOURCE="HD2">E. Permit Provisions for Which EPA is Soliciting Comment</HD>
        <P>While EPA encourages the public to review and comment on all provisions of the draft permit, EPA has included in the body of the draft CGP several specific requirements on which it requests feedback. The following list summarizes these specific requests for comment, and where they are included in the permit:</P>
        <P>1. How to submit your NOI—Request for comment on the transition to a “paperless” NOI system for the CGP. Part 1.5.2.</P>
        <P>2. Natural buffers and equivalent sediment controls—Request for comment on the buffer compliance alternatives. Part 2.1.2.1.</P>
        <P>3. General design requirements/required design factors—Request for comment on the concept, not included in the proposal, to adopt a minimum design storm standard for designing stormwater controls. Part 2.1.3.1.a.</P>
        <P>4. Install stormwater controls before construction starts—Request for comment on whether there are situations in which it would be infeasible or impracticable to make operators install all stormwater controls before commencing earth disturbances. Part 2.1.3.2.a.</P>
        <P>5. Stabilize construction entrance and exit points—Request for comment on the feasibility of stabilizing entrance and exit points for a minimum of 50 feet. Part 2.1.4.1.a.</P>
        <P>6. Chemical treatment—Request for comment on the draft permit's restrictions on the use of polymers, flocculants, or other treatment chemicals to enhance sediment removal. Part 2.1.4.6.</P>
        <P>7. Deadline to complete stabilization activities—Request for comment on the practicability of the stabilization timeframes. Part 2.2.1.2.</P>
        <P>8. Stabilization deadlines for arid/semi-arid areas and sensitive areas—Request for comment on the proposed deadlines for initiating and completing stabilization of exposed areas of the site in arid and semi-arid areas. EPA also requests comment on treating as a sensitive area for stabilization purposes sites that will conduct construction activities in critical habitat areas or areas where listed endangered species exist. Part 2.2.1.4.</P>
        <P>9. Criteria for stabilization/vegetative stabilization—Request for comment on whether the C-factor stabilization criteria should be used as the sole option for complying with the permit's stabilization requirements, as opposed to allowing, as the draft permit does, permittees to choose either the C-factor method or the 70 percent areal cover approach. Part 2.2.2.1.</P>
        <P>10. Pollution prevention standards for fueling and maintenance of equipment and vehicles—Request for comment on the practicability of providing secondary containment or cover for fueling and maintenance areas on the site. Part 2.3.2.1.b.</P>
        <P>11. Pollution prevention standards for staging and storage areas—Request for comment on the practicability of providing secondary containment or cover for staging and storage areas on the site. Part 2.3.2.3.b.</P>
        <P>12. Types of discharge conditions requiring sampling—Request for comment on whether the permit should include a minimum rainfall amount below which no sampling is required. Part 3.3.1.1.</P>
        <P>13. Sampling frequency—Request for comment on the sampling frequency specified, and on the alternative option of requiring samples to be taken once every 2 hours following the first sample. Part 3.3.2.</P>
        <P>14. Sampling location—Request for comment on whether the permit should allow representative samples for other types of construction projects. Part 3.3.3.4.</P>
        <P>15. Actions required if you violate the numeric turbidity limit—Request for comment on whether the permit should require immediate notification of EPA for extremely high turbidity levels. Part 3.3.8.</P>
        <P>16. Reporting turbidity sample results to EPA—Request for comment on whether allowances should be made in the permit for quarterly reporting for sites that have not exceeded the turbidity limit. Part 3.3.9.</P>
        <P>17. Discharge limitations for impaired waters—Request for comment on the way in which this permit determines whether there is a discharge to impaired waters. Part 4.2.</P>
        <P>18. Requirements for discharges to sediment or nutrient-impaired waters without an EPA-approved or established TMDL/water quality benchmark monitoring—Request for comment on whether benchmark monitoring is an appropriate tool for assessing the effectiveness of controls in not contributing to impairments, and request for comments on the 10-acre threshold for requiring sites to conduct benchmark monitoring. EPA also requests comment on how benchmark monitoring might be used for discharges to waters that are habitat for listed fish species (e.g., white sturgeon, sockeye salmon). Part 4.2.2.1.</P>
        <P>19. Daily visual examination—Request for comment on the appropriateness of daily visual examinations. Part 4.2.2.3.b.</P>

        <P>20. Requirements for discharges to sediment or nutrient-impaired waters without an EPA-approved or established TMDL—Request for comment on the proposed additional requirements on sites discharging to sediment or nutrient-impaired waters. Also request for comment on whether the focus should be expanded to cover certain biological impairments attributable to sediment or nutrients. Part 4.2.2.<PRTPAGE P="22890"/>
        </P>
        <P>21. Requirements for inspections—Request for comment on the proposed application of the same inspection requirements for linear projects as to other types of construction projects. Part 5.1.4.</P>
        <P>22. Residual chitosan testing—Request for comment on whether there is a level of chitosan residual below which corrective action would not be necessary. Part 6.3.1.3.</P>
        <P>23. Requirement to install and make operational corrective action stormwater controls—Request for comment on whether the 7-day timeframe is feasible. Part 6.3.2.4.</P>
        <P>24. Reporting to EPA—Request for comments on whether the deadline for reporting to EPA is reasonable, or whether a different deadline is more appropriate. Part 6.6.</P>
        <P>25. Person(s) responsible for developing SWPPP—Request for comment on whether the owner of the site should bear the initial requirement to develop the SWPPP. Part 8.1.2.</P>
        <P>26. Turbidity benchmarks—Request for comment on how the proposed methodology used to establish benchmarks for waters impaired for turbidity for which the underlying water quality criterion is based on natural background levels of turbidity. Appendix J.</P>
        <HD SOURCE="HD2">F. Construction Projects Eligible for Permit Coverage</HD>
        <P>This draft permit provides coverage to eligible operators of “new sources”, “existing permitted dischargers”, “existing unpermitted dischargers”, “new operators of new sources and existing permitted dischargers”, and “emergency-related projects.” Although the existing 2008 CGP will have expired, existing permitted dischargers authorized under that permit will continue to be authorized to discharge under that permit, in accordance with EPA's regulations at 40 CFR 122.6, for a period of 90 days after the issuance of the new permit. Within 90 days of the issuance of the new CGP, owners/operators of permitted ongoing projects must submit a complete Notice of Intent (NOI) for coverage under the new permit. New operators of new sources or existing permitted dischargers that were authorized under the existing 2008 permit prior to its expiration date must submit a complete NOI for coverage under the new permit a minimum of 30 days prior to the date that the transfer will take place to the new owner/operator. Operators of emergency-related projects are required to submit their completed NOIs within 7 days of commencing earth-disturbing activities.</P>
        <HD SOURCE="HD2">G. Geographic Coverage</HD>
        <P>This permit provides coverage for stormwater discharges from construction activities that occur in areas not covered by an approved State NPDES program. The areas of geographic coverage of this permit are listed in Appendix B, and include the States of New Hampshire, Massachusetts, New Mexico, and Idaho as well as all Indian Country lands, and federal facilities in selected states. Permit coverage is also provided in Puerto Rico, the District of Columbia, and the Pacific Island territories. The only changes to the current permit's area of coverage is that Indian Country lands in Region 4 are now added to the draft permit's area of coverage, and due to a phased delegation of the NPDES program to the State of Alaska starting in late 2008, EPA now retains NPDES permitting authority only for discharges occurring within the Denali National Park and Preserve, and in Indian Country located within the State of Alaska.</P>
        <HD SOURCE="HD1">IV. Notice of Intent To Prepare an Environmental Assessment (EA) for the National Pollutant Discharge Elimination System (NPDES) General Permit for Discharges From Large and Small Construction Activities</HD>
        <P>Pursuant to the National Environmental Policy Act (NEPA) (42 U.S.C. 4321-4307h), the Council on Environmental Quality's NEPA regulations (40 CFR Part 15), and EPA's regulations for implementing NEPA (40 CFR Part 6), EPA plans to prepare an Environmental Assessment (EA) to analyze the potential environmental impacts of the new CGP. The EA will consider the potential environmental impacts from the discharge of pollutants in stormwater discharges associated with construction activity where EPA is the permitting authority to determine whether to prepare an Environmental Impact Statement (EIS).</P>
        <P>This notice initiates the scoping process by inviting comments from Federal, State, and local agencies, Indian tribes, and the public to help identify the environmental issues and reasonable alternatives to be examined in the EA. The scoping process will inform the preparation and issuance of the draft/preliminary EA, which will be made available for public comment.</P>
        <P>To ensure that EPA has an opportunity to fully consider your comments and to facilitate EPA's prompt preparation of the EA, scoping comments should be received on or before May 25, 2011. You may submit scoping comments to the Docket ID No. EPA-HQ-OW-2010-0782 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 online instructions for submitting comments by clicking on “Help” or “FAQs.”</P>
        <P>•<E T="03">Mail:</E>U.S. Environmental Protection Agency, Ariel Rios Building, 1200 Pennsylvania Avenue, NW., Mail Code: 2252A, Washington, DC 20460.</P>
        <P>•<E T="03">Courier:</E>U.S. Environmental Protection Agency, Ariel Rios Building, 1200 Pennsylvania Avenue, NW., Rm # 7241C, Washington, DC 20004, between 9 a.m. and 5 p.m. Eastern time, Monday through Friday, except Federal holidays.</P>
        <P>•<E T="03">Fax:</E>202-564-0072.</P>
        <P>
          <E T="03">For further information regarding scoping contact:</E>Jessica Trice, NEPA Compliance Division, Office of Federal Activities, U.S. Environmental Protection Agency, 1200 Pennsylvania Avenue, NW., Mail Code: 2252A, Washington, DC 20460.<E T="03">Telephone:</E>(202) 564-6646.</P>
        <HD SOURCE="HD1">V. Executive Order 12898: Federal Actions to Address Environmental Justice in Minority Populations and Low-Income Populations</HD>
        <P>Executive Order (EO) 12898 (59 FR 7629 (Feb. 16, 1994)) establishes federal executive policy on environmental justice. Its main provision directs federal agencies, to the greatest extent practicable and permitted by law, to make environmental justice part of their mission by identifying and addressing, as appropriate, disproportionately high and adverse human health or environmental effects of their programs, policies, and activities on minority populations and low-income populations in the United States.</P>

        <P>EPA has determined that this draft CGP will not have disproportionately high and adverse human health or environmental effects on minority or low-income populations because it increases the level of environmental protection for all affected populations without having any disproportionately high and adverse human health or environmental effects on any population, including any minority or low-income population. The permit provisions in this permit include new requirements for erosion and sediment control and pollution prevention, and result in an increase in the level of environmental protection. The requirements in this permit apply equally to all construction projects that disturb one or more acres in areas where EPA is the permitting authority, and therefore do not disproportionately and adversely affect minority or low-income populations.<PRTPAGE P="22891"/>
        </P>
        <HD SOURCE="HD1">VI. Executive Order 13175: Consultation and Coordination with Indian Tribal Governments</HD>
        <P>In compliance with Executive Order 13175, EPA is in the process of consulting with tribal officials to gain an understanding of and, where necessary, to address the tribal implications of the draft CGP. In the course of this consultation, EPA plans to undertake the following activities:</P>
        <P>1. Provide education and outreach on the draft CGP;</P>
        <P>2. Hold national conference call(s) to discuss issues and concerns of the tribes and document discussions held in this call;</P>
        <P>3. Solicit comment on the draft permit; and</P>
        <P>4. Provide feedback through a written communication explaining how tribal issues and concerns were considered in the final action. This communication will be completed and made available to the tribes at the same time the permit is promulgated and the other responses to the comments are published.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>Clean Water Act, 33 U.S.C. 1251<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>H. Curtis Spalding,</NAME>
          <TITLE>Regional Administrator, EPA Region 1.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Carl-Axel P. Soderberg,</NAME>
          <TITLE>Division Director, Caribbean Environmental Protection Division, EPA Region 2.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Kevin Bricke,</NAME>
          <TITLE>Acting Director, Division of Environmental Planning &amp; Protection, EPA. Region 2.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Jon M. Capacasa,</NAME>
          <TITLE>Director, Water Protection Division, EPA Region 3.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Douglas Mundrick,</NAME>
          <TITLE>Acting Director, Water Protection Division, EPA Region 4.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Tinka G. Hyde,</NAME>
          <TITLE>Director, Water Division, EPA Region 5.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Miguel I. Flores,</NAME>
          <TITLE>Director, Water Quality Protection Division, EPA Region 6.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Jamie Green,</NAME>
          <TITLE>Acting Director, Water, Wetlands and Pesticides Division, EPA Region 7.</TITLE>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Stephen S. Tuber,</NAME>
          <TITLE>Assistant Regional Administrator, EPA Region 8.</TITLE>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Alexis Strauss,</NAME>
          <TITLE>Director, Water Division, EPA Region 9.</TITLE>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Michael A. Bussell,</NAME>
          <TITLE>Director, Office of Water and Watersheds, EPA Region 10.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9929 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <DEPDOC>[FRL-9297-8; EPA-HQ-OW-2008-0238]</DEPDOC>
        <SUBJECT>Modification to 2008 National Pollutant Discharge Elimination System (NPDES) General Permit for Stormwater Discharges Associated with Construction Activities</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA Regions 1, 2, 3, 5, 6, 7, 8, 9, and 10 propose to modify the 2008 National Pollutant Discharge Elimination System (NPDES) general permits for stormwater discharges associated with construction activity in order to extend until January 31, 2012 the expiration date of the permit. Hereinafter, these NPDES general permits will be referred to as “permit” or “2008 construction general permit” or “2008 CGP.” This proposed modification would, if finalized, extend the three-year permit so that it expires on January 31, 2012 instead of June 30, 2011. Prior to this proposed extension, EPA modified the 2008 CGP in January 2010 to extend the permit by one year, thus making it a three-year permit. By Federal law, no NPDES permit may be issued for a period that exceeds five years.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>EPA is proposing a modification to its 2008 CGP that would extend the permit until January 31, 2012. If the proposed modification is finalized, the 2008 CGP would expire on midnight, January 31, 2012, instead of June 30, 2011. Comments on EPA's proposal must be postmarked by May 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Greg Schaner, Water Permits Division, Office of Wastewater Management (Mail Code: 4203M), Environmental Protection Agency, 1200 Pennsylvania Avenue, NW., EPA East, Washington, DC 20460; telephone number: (202) 564-0721; fax number: (202) 564-6431; email address:<E T="03">schaner.greg@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>If a discharger chooses to apply for coverage under the 2008 CGP, the permit provides specific requirements for preventing contamination of waterbodies from stormwater discharges from the following construction activities:</P>
        
        <PRTPAGE P="22892"/>
        <GPOTABLE CDEF="xs84,r100,15" COLS="3" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Category</CHED>
            <CHED H="1">Examples of affected entities</CHED>
            <CHED H="1">North American Industry<LI>Classification</LI>
              <LI>System (NAICS) Code</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Industry</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="22"/>
            <ENT A="01">Construction site operators disturbing 1 or more acres of land, or less than 1 acre but part of a larger common plan of development or sale if the larger common plan will ultimately disturb 1 acre or more, and performing the following activities:</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>Building, Developing and General Contracting</ENT>
            <ENT>233</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>Heavy Construction</ENT>
            <ENT>234</ENT>
          </ROW>
        </GPOTABLE>

        <P>EPA does not intend the preceding table to be exhaustive, but provides it as a guide for readers regarding entities likely to be regulated by this action. This table lists the types of activities that EPA is now aware of that could potentially be affected by this action. Other types of entities not listed in the table could also be affected. To determine whether your facility is affected by this action, you should carefully examine the definition of “construction activity” and “small construction activity” in existing EPA regulations at 40 CFR 122.26(b)(14)(x) and 122.26(b)(15), respectively. If you have questions regarding the applicability of this action to a particular entity, consult the person listed for technical information in the preceding<E T="02">FOR FURTHER INFORMATION CONTACT</E>section.</P>
        <P>Eligibility for coverage under the 2008 CGP is limited to operators of “new projects” or “unpermitted ongoing projects.” A “new project” is one that commences after the effective date of the 2008 CGP. An “unpermitted ongoing project” is one that commenced prior to the effective date of the 2008 CGP, yet never received authorization to discharge under the 2003 CGP or any other NPDES permit covering its construction-related stormwater discharges. Construction sites that originally obtained permit coverage under the 2003 CGP will continue to be covered under that permit. The 2008 CGP is effective only in those areas where EPA is the permitting authority. A list of eligible areas is included in Appendix B of the 2008 CGP.</P>
        <HD SOURCE="HD2">B. How can I get copies of this document and other related information?</HD>

        <P>1. Docket. EPA has established an official public docket for this action under Docket ID No. EPA-HQ-OW-2008-0238. The official public docket is the collection of materials that is available for public viewing at the Water Docket in the EPA Docket Center, (EPA/DC) EPA West, Room 3334, 1301 Constitution Ave., NW., Washington, DC 20460. Although all documents in the docket are listed in an index, some information is not publicly available, i.e., Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Publicly available docket materials are available electronically through<E T="03">www.regulations.gov</E>and in hard copy at the EPA Docket Center Public Reading Room, open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number for the Public Reading Room is (202) 566-1744 and the telephone number for the Water Docket is (202) 566-2426.</P>

        <P>2. Electronic Access. You may access this Federal Register document electronically through the EPA Internet under the “Federal Register” listings at<E T="03">http://www.epa.gov/fedrgstr/.</E>Electronic versions of the final permit and fact sheet are available at EPA's stormwater website<E T="03">http://www.epa.gov/npdes/stormwater.</E>
        </P>

        <P>An electronic version of the public docket is available through EPA's electronic public docket and comment system, EPA Dockets. You may use EPA Dockets at<E T="03">http://www.regulations.gov/fdmspublic/component/main</E>to view public comments, access the index listing of the contents of the official public docket, and to access those documents in the public docket that are available electronically. Once in the system, select “search”, then key in the appropriate docket identification number.</P>
        <P>Certain types of information will not be placed in the EPA Dockets. Information claimed as CBI and other information whose disclosure is restricted by statute, which is not included in the official public docket, will not be available for public viewing in EPA's electronic public docket. EPA policy is that copyrighted material will not be placed in EPA's electronic public docket but will be available only in printed, paper form in the official public docket. Although not all docket materials may be available electronically, you may still access any of the publicly available docket materials through the docket facility identified in Section I.B.1.</P>
        <P>
          <E T="03">Submitting CBI.</E>Do not submit this information to EPA through regulations.gov or e-mail. Clearly mark all of the information that you claim to be CBI. For CBI information on computer disks mailed to EPA, mark the surface of the disk as CBI. Also identify electronically the specific information contained in the disk or that you claim is CBI. In addition to one complete version of the specific information claimed as CBI, you must submit a copy that does not contain the information claimed as CBI for inclusion in the public document. Information so marked will not be disclosed except in accordance with procedures set forth in 40 CFR Part 2.</P>
        <P>For public commenters, it is important to note that EPA's policy is that public comments, whether submitted electronically or in paper, will be made available for public viewing in EPA's electronic public docket as EPA receives them and without change, unless the comment contains copyrighted material, CBI, or other information whose disclosure is restricted by statute. When EPA identifies a comment containing copyrighted material, EPA will provide a reference to that material in the version of the comment that is placed in EPA's electronic public docket. The entire printed comment, including the copyrighted material, will be available in the public docket.</P>

        <P>Public comments submitted on computer disks that are mailed or delivered to the docket will be transferred to EPA's electronic public docket. Public comments that are mailed or delivered to the docket will be scanned and placed in EPA's electronic public docket. Where practical, physical objects will be photographed, and the photograph will be placed in EPA's electronic public docket along with a brief description written by the docket staff.<PRTPAGE P="22893"/>
        </P>
        <HD SOURCE="HD2">C. How and to whom do I submit comments?</HD>
        <P>You may submit comments electronically, by mail, or through hand delivery/courier. To ensure proper receipt by EPA, identify the appropriate docket identification number in the subject line on the first page of your comment. To ensure that EPA can read, understand, and therefore properly respond to comments, the Agency would prefer that commenters cite, where possible, the paragraph(s) or section in the fact sheet or permit to which each comment refers. Please ensure that your comments are submitted within the specified comment period. Comments received after the close of the comment period will be marked “late.” EPA is not required to consider these late comments.</P>
        <P>1.<E T="03">Electronically.</E>If you submit an electronic comment as prescribed below, EPA recommends that you include your name, mailing address, and an e-mail address or other contact information in the body of your comment. Also include this contact information on the outside of any disk or CD-ROM you submit, and in any cover letter accompanying the disk or CD-ROM. This ensures that you can be identified as the submitter of the comment and allows EPA to contact you in case EPA cannot read your comment due to technical difficulties or needs further information on the substance of your comment. EPA's policy is that EPA will not edit your comment, and any identifying or contact information provided in the body of a comment will be included as part of the comment that is placed in the official public docket, and made available in EPA's electronic public docket. 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.</P>
        <P>i.<E T="03">EPA Dockets.</E>Your use of EPA's electronic public docket to submit comments to EPA electronically is EPA's preferred method for receiving comments. The system is an “anonymous access” system, which means EPA will not know your identity, email address, or other contact information unless you provide it in the body of your comment.</P>
        <P>ii.<E T="03">E-mail.</E>In contrast to EPA's electronic public docket, EPA's e-mail system is not an “anonymous access” system. If you send an e-mail comment directly to the Docket without going through EPA's electronic public docket, EPA's e-mail system automatically captures your e-mail address. E-mail addresses that are automatically captured by EPA's e-mail system are included as part of the comment that is placed in the official public docket, and made available in EPA's electronic public docket.</P>
        <P>iii.<E T="03">Disk or CD-ROM.</E>These electronic submissions will be accepted in Microsoft Word or ASCII file format. Avoid the use of special characters and any form of encryption.</P>
        <P>2.<E T="03">By mail.</E>Send the original and three copies of your comments.</P>
        <P>3.<E T="03">By Hand Delivery or Courier.</E>Such deliveries are only accepted during the Docket's normal hours of operation as identified in Section I.B.</P>
        <HD SOURCE="HD2">D. Public Hearings</HD>
        <P>EPA has not scheduled any public hearings to receive public comment concerning the proposed extension. All persons will continue to have the right to provide written comments during the public comment period. However, interested persons may request a public hearing pursuant to 40 CFR 124.12 concerning the proposed extension. Requests for a public hearing must be sent or delivered in writing to the same address as provided above for public comments prior to the close of the comment period. Requests for a public hearing must state the nature of the issues proposed to be raised in the hearing. Pursuant to 40 CFR 124.12, EPA shall hold a public hearing if it finds, on the basis of requests, a significant degree of public interest in a public hearing on the proposed extension. If EPA decides to hold a public hearing, a public notice of the date, time and place of the hearing will be made at least 30 days prior to the hearing. Any person may provide written or oral statements and data pertaining to the proposed permit at the public hearing.</P>
        <HD SOURCE="HD2">E. Finalizing This Action</HD>
        <P>This action will not be finalized until after all significant public comments have been considered and addressed. EPA's response to public comments received will be included in the docket as part of the final action. Once the final permit becomes effective, operators of new and unpermitted ongoing construction projects may seek authorization under the 2008 CGP prior to the midnight January 31, 2012 expiration date.</P>
        <HD SOURCE="HD2">F. Who are the EPA Regional contacts for this permit?</HD>

        <P>For EPA Region 1, contact Jessica Hing at tel.: (617) 918-1560 or e-mail at<E T="03">hing.jessica@epa.gov.</E>
        </P>

        <P>For EPA Region 2, contact Stephen Venezia at tel.: (212) 637-3856 or e-mail at<E T="03">venezia.stephen@epa.gov,</E>or for Puerto Rico, contact Sergio Bosques at tel.: (787) 977-5838 or e-mail at<E T="03">bosques.sergio@epa.gov.</E>
        </P>

        <P>For EPA Region 3, contact Chuck Schadel at tel.: (215) 814-5761 or e-mail at<E T="03">schadel.chuck@epa.gov.</E>
        </P>

        <P>For EPA Region 5, contact Brian Bell at tel.: (312) 886-0981 or e-mail at<E T="03">bell.brianc@epa.gov.</E>
        </P>

        <P>For EPA Region 6, contact Suzanna Perea at tel.: (214) 665-7217 or e-mail at:<E T="03">perea.suzannabrent@epa.gov.</E>
        </P>

        <P>For EPA Region 7, contact Mark Matthews at tel.: (913) 551-7635 or e-mail at:<E T="03">matthews.mark@epa.gov.</E>
        </P>

        <P>For EPA Region 8, contact Amy Clark at tel.: (303) 312-7014 or e-mail at:<E T="03">clark.amy@epa.gov.</E>
        </P>

        <P>For EPA Region 9, contact Eugene Bromley at tel.: (415) 972-3510 or e-mail at<E T="03">bromley.eugene@epa.gov.</E>
        </P>

        <P>For EPA Region 10, contact Misha Vakoc at tel.: (206) 553-6650 or e-mail at<E T="03">vakoc.misha@epa.gov.</E>
        </P>
        <HD SOURCE="HD1">II. Background of Permit</HD>
        <HD SOURCE="HD2">A. Statutory and Regulatory History</HD>
        <P>The Clean Water Act (“CWA”) establishes a comprehensive program “to restore and maintain the chemical, physical, and biological integrity of the Nation's waters.” 33 U.S.C. 1251(a). The CWA also includes the objective of attaining “water quality which provides for the protection and propagation of fish, shellfish and wildlife and * * * recreation in and on the water.” 33 U.S.C. 1251(a)(2)). To achieve these goals, the CWA requires EPA to control point source discharges of pollutants to waters of the United States through the issuance of National Pollutant Discharge Elimination System (“NPDES”) permits.</P>

        <P>The Water Quality Act of 1987 (WQA) added section 402(p) of the Clean Water Act (CWA), which directed EPA to develop a phased approach to regulate stormwater discharges under the NPDES program. 33 U.S.C. 1342(p). EPA published a final regulation in the<E T="04">Federal Register</E>, often called the “Phase I Rule” on November 16, 1990, establishing, among other things, permit application requirements for, among other things, “storm water discharges associated with industrial activity.” See 55 FR 47990. EPA defines the term “storm water discharge associated with industrial activity” in a comprehensive manner to cover a wide variety of facilities. See id. Construction activities, including activities that are part of a larger common plan of development or sale, that ultimately disturb at least five acres of land and have point source discharges to waters of the U.S. were included in the definition of “industrial<PRTPAGE P="22894"/>activity” pursuant to 40 CFR 122.26(b)(14)(x). The second rule implementing section 402(p), often called the Phase II Rule, was published in the<E T="04">Federal Register</E>on December 8, 1999, requires NPDES permits for discharges from construction sites disturbing at least one acre but less than five acres, including sites that are less than one acre but are part of a larger common plan of development or sale that will ultimately disturb at least one acre but less than five acres, pursuant to 40 CFR 122.26(b)(15)(i). See 64 FR 68722.</P>
        <P>NPDES permits issued for construction stormwater discharges are required under Section 402(a)(1) of the CWA to include conditions for meeting technology-based effluent limits established under Section 301 and, where applicable, Section 306. Once an effluent limitations guideline or new source performance standard is promulgated in accordance with these sections, NPDES permits issued by the NPDES permitting authorities must incorporate requirements based on such limitations and standards. See 40 CFR 122.44(a)(1). Prior to the promulgation of national effluent limitations guidelines and new source performance standards, permitting authorities incorporate technology-based effluent limitations on a best professional judgment basis. CWA section 402(a)(1)(B); 40 CFR 125.3(a)(2)(ii)(B).</P>
        <HD SOURCE="HD2">B. Summary of 2008 CGP</HD>
        <P>EPA announced the issuance of the 2008 CGP on July 14, 2008. See 73 FR 40338. Construction operators choosing to be covered by the 2008 CGP must certify in their notice of intent (NOI) that they meet the requisite eligibility requirements described in Part 1.3 of the permit. If eligible, operators are authorized to discharge under this permit in accordance with Part 2. Permittees must install and implement control measures to meet the effluent limits applicable to all dischargers in Part 3, and must inspect such stormwater controls and repair or modify them in accordance with Part 4. The permit in Part 5 requires all construction operators to prepare a stormwater pollution prevention plan (SWPPP) that identifies all sources of pollution, and describes control measures used to minimize pollutants discharged from the construction site. Part 6 details the requirements for terminating coverage under the permit.</P>
        <P>The 2008 CGP permit provides coverage for discharges from construction sites that occur in areas not covered by an approved State NPDES program. EPA Regions 1, 2, 3, 5, 6, 7, 8, 9, and 10 issued the 2008 CGP to replace the expired 2003 CGP for operators of new and unpermitted ongoing construction projects. The geographic coverage and scope of the 2008 CGP is listed in Appendix B of the permit.</P>
        <HD SOURCE="HD2">C. What Is EPA's rationale for the modification of the 2008 CGP for an extension of the expiration date?</HD>
        <P>As stated above, EPA proposes to modify the 2008 CGP by extending to January 31, 2012 the expiration date of the permit. EPA finds it necessary to propose this extension in order to provide sufficient time to finalize the new CGP, which will incorporate for the first time new effluent limitations guidelines and new source performance standards, which EPA promulgated in December 2009. The extension is necessary in order to make up for a delay in the issuance process of the new CGP due to an error discovered in the December 2009 final rule regarding the calculation of the numeric limitation on turbidity. This numeric limit has since been stayed by EPA. EPA's proposed extension would provide the Agency with sufficient time to account for this delay and to meet its other permit issuance obligations.</P>
        <P>NPDES permits issued for construction stormwater discharges are required under Section 402(a)(1) of the CWA to include conditions for meeting technology-based effluent limits established under Section 301 and, where applicable, Section 306. Once an effluent limitations guideline or new source performance standard is promulgated in accordance with these sections, any NPDES permits issued after the effective date of these requirements must incorporate limits based on such limitations and standards. See 40 CFR 122.44(a)(1). In the case of the CGP, EPA promulgated effluent limitations guidelines and new source performance standards for the construction and development point source category on December 1, 2009 (“C&amp;D rule”), which for the first time imposed a set of minimum federal numeric and non-numeric effluent limitations on regulated construction sites. See 74 FR 62996 (December 1, 2009). The C&amp;D rule (located at 40 CFR Part 450) became effective on February 1, 2010, thus requiring that any NPDES permit issued after this date, whether issued by EPA or an authorized state, must incorporate the substantive technology-based requirements of the rule into the permit. For the next CGP, this means that EPA must incorporate the effective requirements of the C&amp;D rule into the permit.</P>
        <P>Among other requirements, the C&amp;D rule subjected discharges from certain larger construction sites to a numeric effluent limitation of 280 NTU for the pollutant turbidity starting in August of 2011 (for sites disturbing 20 or more acres at one time) and February of 2014 (for sites disturbing 10 or more acres at one time). Subsequent to the promulgation of the C&amp;D rule, EPA received two petitions for reconsideration of the rule. These petitions pointed out a potential error in the calculation of the numeric limitation. Based on EPA's examination of the dataset underlying the 280 NTU limit, EPA concluded that it improperly interpreted the data and, as a result, the calculations in the existing administrative record are no longer adequate to support the 280 NTU numeric effluent limitation. In response to this finding, EPA finalized a stay of the 280 numeric NTU limit and associated monitoring requirements (see 40 CFR 450.22(a)) on January 4, 2011, in order to enable the Agency to correct its error in calculating the numeric limitation. See 75 FR 68215 (November 5, 2010). EPA is currently in the process of initiating a limited rulemaking to correct the numeric limitation.</P>

        <P>Preceding the decision to stay the numeric turbidity limit, the uncertainty surrounding the error in calculating the 280 NTU limit and the appropriate way for EPA to address it, caused a delay of several months to the permit issuance process for the new CGP. The result of this delay makes it a near certainty that, given even the most optimistic timeframe for finalizing the new CGP, EPA will not be able to finalize the new CGP by the June 30, 2011 expiration date of the 2008 CGP. With less than three months remaining before the 2008 CGP expires, EPA believes it is impracticable to finalize the new CGP when considering the minimum tasks required of the Agency to finalize the permit. For instance, EPA has provided 60 days for the public to comment on the draft CGP (Refer to other FR Notice), which is typical of the amount of time provided for review of similar permits. Depending on the type and amount of comments the Agency receives, it is not unusual for EPA to take between two to three additional months to adequately review and respond to those comments, and to make corresponding changes to the permit and fact sheet. In addition to this time, EPA is required to complete inter-agency review on the modified permit prior to final issuance, which may take up to 90 days, all requiring an amount of time that is several months<PRTPAGE P="22895"/>beyond the June 30, 2011 expiration of the 2008 CGP.</P>
        <P>EPA was unaware of the present need to extend the expiration date of the 2008 CGP when it first modified the 2008 CGP's expiration date in January 2010 by one year to June 30, 2011. At that time, EPA was under the impression that June 30, 2011 provided sufficient time to finalize a new permit incorporating all of the new C&amp;D rule requirements. However, with the setback of time related to the stay of the 280 NTU limit, EPA needs additional time to complete the permit issuance process as explained above. EPA believes that the proposed extension to January 31, 2012 will provide the Agency with sufficient time to finalize the new CGP.</P>
        <P>EPA believes it is imperative that EPA has sufficient time to incorporate the C&amp;D ELG into the new CGP and issue the new CGP prior to the existing permit's expiration date. If EPA does not issue the new CGP before expiration of the existing permit, no new construction projects may be permitted under the CGP, leaving individual NPDES permits as the only available option for permitting new projects. The sole reliance on individual permits would mean that discharge authorizations would almost certainly be delayed due to the greater amount of time and Agency resources that are required for developing and issuing individual permits. In turn, construction projects that need to begin construction activity on or after midnight June 30, 2011 would be delayed for an uncertain amount of time until EPA can review their individual permit application and issue the necessary permits. Rather than risk detrimental delays to new construction projects, with no clear benefit to our nation's surface waters, EPA has decided that it is advisable to instead propose a modification to the 2008 CGP to extend the expiration date until January 31, 2012.</P>
        <HD SOURCE="HD2">D. EPA's Authority To Modify NPDES Permits</HD>

        <P>EPA regulations establish when the permitting authority may make modifications to existing NPDES permits. In relevant part, EPA regulations state that “[w]hen the Director receives any information * * * he or she may determine whether or not one or more of the causes listed in paragraph (a) * * * of this section for modification * * * exist. If cause exists, the Director may modify * * * the permit accordingly, subject to the limitations of 40 CFR 124.5(c).” 40 CFR 122.62. For purposes of this<E T="04">Federal Register</E>notice, the relevant cause for modification is at 40 CFR 122.62(a)(2), which states that a permit may be modified when “[t]he Director has received new information” and that information was not available at the time of permit issuance * * * and would have justified the application of different permit conditions at the time of issuance.” Pursuant to EPA regulations, “[w]hen a permit is modified, only the conditions subject to the modification are reopened.” 40 CFR 122.62.</P>
        <P>In the case of the 2008 CGP, a permit modification is justified based on the new information EPA received since it issued the 2008 CGP, and more specifically, since it modified the 2008 CGP in January 2010, in terms of the delay to the permit process associated with the discovery of the numeric limit calculation error and resulting stay to the numeric turbidity limit. If this information was available at the time of issuance of the 2008 CGP, and more specifically, in January 2010 when EPA extended the expiration date to June 30, 2011, it would have justified EPA establishing an expiration date for the 2008 CGP that was later than June 30, 2011. As a result, cause exists under EPA regulations to justify modification of the 2008 CGP to extend the expiration date of the permit from midnight June 30, 2011 to midnight January 31, 2012.</P>
        <P>EPA notes that, by law, NPDES permits cannot be extended beyond 5 years. 40 CFR 122.46. The proposed extension of the 2008 CGP complies with this restriction. The 2008 CGP was first issued on June 30, 2008. Assuming the extension of the 2008 CGP is finalized as proposed, the permit would still have been in effect for less than the 5-year limit.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>Clean Water Act, 33 U.S.C. 1251<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>H. Curtis Spalding,</NAME>
          <TITLE>Regional Administrator, EPA Region 1.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Carl-Axel P. Soderberg,</NAME>
          <TITLE>Division Director, Caribbean Environmental Protection Division, EPA Region 2.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Kevin Bricke,</NAME>
          <TITLE>Acting Director, Division of Environmental Planning &amp; Protection, EPA Region 2.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Jon M. Capacasa,</NAME>
          <TITLE>Director, Water Protection Division, EPA Region 3.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Tinka G. Hyde,</NAME>
          <TITLE>Director, Water Division, EPA Region 5.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Miguel I. Flores,</NAME>
          <TITLE>Director, Water Quality Protection Division, EPA Region 6.</TITLE>
          <DATED>Dated: April 12, 2011.</DATED>
          <NAME>Jamie Green,</NAME>
          <TITLE>Acting Director, Water, Wetlands and Pesticides Division, EPA Region 7.</TITLE>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Stephen S. Tuber,</NAME>
          <TITLE>Assistant Regional Administrator, EPA Region 8.</TITLE>
          <DATED>Dated: April 11, 2011.</DATED>
          <NAME>Alexis Strauss,</NAME>
          <TITLE>Director, Water Division, EPA Region 9.</TITLE>
          <DATED>Dated: April 11, 2011</DATED>
          <NAME>Michael A. Bussell,</NAME>
          <TITLE>Director, Office of Water and Watersheds, EPA Region 10.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9926 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">EQUAL EMPLOYMENT OPPORTUNITY COMMISSION</AGENCY>
        <SUBJECT>Agency Information Collection Activities: Proposed Collection; Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Equal Employment Opportunity Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final Notice of Submission for OMB Review—Request for an Extension Without Change: State and Local Government Information Report (EEO-4).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>In accordance with the Paperwork Reduction Act, the Equal Employment Opportunity Commission (EEOC or Commission) hereby gives notice that it has submitted to the Office of Management and Budget (OMB) a request for an extension through 2014 of the existing collection requirements under 29 CFR part 1602, Recordkeeping and Reporting Requirements, under Title VII. The Commission has<PRTPAGE P="22896"/>requested an extension of an existing collection as listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments on this notice must be submitted on or before May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The Request for Clearance (SF83-I), supporting statement, and the other documents submitted to OMB for this review may be obtained from: Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street NE., Washington, DC 20507. Comments on this final notice must be submitted to Chad A. Lallemand, Office of Information and Regulatory Affairs, Office of Management and Budget, 725 17th Street, NW, Room 10235, New Executive Office Building, Washington, DC 20503 or electronically mailed to,<E T="03">Chad_A_Lallemand@omb.eop.gov.</E>Copies of comments should be sent to Stephen Llewellyn, Executive Officer, Executive Secretariat, Equal Employment Opportunity Commission, 131 M Street, NE., Washington, DC 20507. As a convenience to commentors, the Executive Secretariat will accept comments totaling six or fewer pages by facsimile (“FAX”) machine. This limitation is necessary to assure access to the equipment. The telephone number of the fax receiver is (202) 663-4114. (This is not a toll-free number.) Receipt of FAX transmittals will not be acknowledged, except that the sender may request confirmation of receipt by calling the Executive Secretariat staff at (202) 663-4070 (voice) or (202) 663-4074 (TTD). (These are not toll-free telephone numbers.) Instead of sending written comments to EEOC, you may submit comments and attachments electronically at<E T="03">http://www.regulations.gov,</E>which is the Federal eRulemaking Portal. Follow the instructions online for submitting comments. All comments received through this portal will be posted without change, including any personal information you provide. Copies of comments submitted by the public to EEOC directly or through the Federal eRulemaking Portal will be available for review, by advance appointment only, at the Commission's library between the hours of 9 a.m. and 5 p.m. EST or can be reviewed at<E T="03">http://www.regulations.gov.</E>To schedule an appointment to inspect the comments at EEOC's library, contact the library staff at (202) 663-4630 (voice) or (202) 663-4641 (TTY). (These are not toll-free numbers.)</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Room 4SW30F, Washington, DC 20507; (202) 663-4958 (voice) or (202) 663-7063 (TTY).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>A notice that EEOC would be submitting this request was published in the<E T="04">Federal Register</E>on February 4, 2011 allowing for a 60-day public comment period. There were no comments received from the public.</P>
        <HD SOURCE="HD1">Overview of Information Collection</HD>
        <P>
          <E T="03">Type of Review:</E>Extension—No change.</P>
        <P>
          <E T="03">OMB Control NO.:</E>3046-0008.</P>
        <P>
          <E T="03">Collection Title:</E>State and Local Government Information Report (EEO-4).</P>
        <P>
          <E T="03">Frequency of Report:</E>Biennial.</P>
        <P>
          <E T="03">Type of Respondent:</E>State and local government jurisdictions with 100 or more Employees.</P>
        <P>
          <E T="03">Description of Affected Public:</E>State and local governments excluding elementary and secondary public school districts.</P>
        <P>
          <E T="03">Number of Responses:</E>13,456.</P>
        <P>
          <E T="03">Reporting Hours:</E>44,719.</P>
        <P>
          <E T="03">Cost to Respondents:</E>$1,045,000.</P>
        <P>
          <E T="03">Number of Forms:</E>1.</P>
        <P>
          <E T="03">Form Number:</E>EEOC Form 164.</P>
        <P>
          <E T="03">Federal Cost:</E>$187,500.</P>
        <P>
          <E T="03">Abstract:</E>Section 709(c) of Title VII of the Civil Rights Act of 1964, as amended, 42 U.S.C. 2000e-8(c), requires employers to make and keep records relevant to a determination of whether unlawful employment practices have been or are being committed, to preserve such records, and to produce reports as the Commission prescribes by regulation or order. Accordingly, the EEOC issued regulations, Title 29, Chapter XIV Subpart F, § 1602.30-37, prescribing the reporting requirements for state and local governments. State and local governments with 100 or more employees have been required to submit EEO-4 reports since 1973 (biennially in odd-numbered years since 1993). The individual reports are confidential.</P>
        <P>EEO-4 data are used by the EEOC to investigate charges of discrimination against state and local governments and to provide information on the employment status of minorities and women. The data are shared with several other federal agencies. Pursuant to Section 709(d) of Title VII of the Civil Rights Act of 1964, 42 U.S.C. 2000e-8(d), as amended, EEO-4 data is shared with state and local Fair Employment Practices Agencies (FEPAs). Aggregated data are also used by researchers and the general public.</P>
        <P>
          <E T="03">Burden Statement:</E>The estimated number of respondents included in the EEO-4 survey is 9,000 state and local governments. These 9,000 jurisdictions file about 13,456 reports due to the requirement for some to file separate reports by function. The form is estimated to impose 44,719 burden hours biennially.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          
          <P>For the Commission.</P>
          <NAME>Jacqueline A. Berrien,</NAME>
          <TITLE>Chair.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9943 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6570-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">EQUAL EMPLOYMENT OPPORTUNITY COMMISSION</AGENCY>
        <SUBJECT>Agency Information Collection Activities: Proposed Collection; Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Equal Employment Opportunity Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final Notice of Submission for OMB Review—Extension Without Change: Local Union Report (EEO-3).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In accordance with the Paperwork Reduction Act, the Equal Employment Opportunity Commission (EEOC or Commission) hereby gives notice that it has submitted to the Office of Management and Budget (OMB) a request for an extension through 2014 of the existing collection requirements under 29 CFR 1602, Recordkeeping and Reporting Requirements, under Title VII. The Commission has requested an extension of an existing collection as listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments on this notice must be submitted on or before May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The Request for Clearance (SF83-I), supporting statement, and the other documents submitted to OMB for this review may be obtained from: Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Washington, DC 20507. Comments on this final notice must be submitted to Chad A. Lallemand, Office of Information and Regulatory Affairs, Office of Management and Budget, 725 17th Street, NW., Room 10235, New Executive Office Building, Washington, DC 20503 or electronically mailed to,<E T="03">Chad_A_Lallemand@omb.eop.gov.</E>Copies of comments should be sent to Stephen Llewellyn, Executive Officer, Executive Secretariat, Equal Employment Opportunity Commission, 131 M Street, NE., Washington, DC 20507. As a convenience to commentors, the Executive Secretariat will accept comments totaling six or fewer pages by facsimile (“FAX”) machine. This limitation is necessary to assure access to the equipment. The telephone number of the fax receiver is<PRTPAGE P="22897"/>(202) 663-4114. (This is not a toll-free number.) Receipt of FAX transmittals will not be acknowledged, except that the sender may request confirmation of receipt by calling the Executive Secretariat staff at (202) 663-4070 (voice) or (202) 663-4074 (TTD). (These are not toll-free telephone numbers.) Instead of sending written comments to EEOC, you may submit comments and attachments electronically at<E T="03">http://www.regulations.gov,</E>which is the Federal eRulemaking Portal. Follow the instructions online for submitting comments. All comments received through this portal will be posted without change, including any personal information you provide. Copies of comments submitted by the public to EEOC directly or through the Federal eRulemaking Portal will be available for review, by advance appointment only, at the Commission's library between the hours of 9 a.m. and 5 p.m. EST or can be reviewed at<E T="03">http:// www.regulations.gov.</E>To schedule an appointment to inspect the comments at EEOC's library, contact the library staff at (202) 663-4630 (voice) or (202) 663-4641 (TTY). (These are not toll-free numbers.)</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Room 4SW30F, Washington, DC 20507; (202) 663-4958 (voice) or (202) 663-7063 (TTY).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>A notice that EEOC would be submitting this request was published in the<E T="04">Federal Register</E>on February 4, 2011 allowing for a 60-day public comment period. There was one comment received from the public; however, it did not apply to the proposed extension.</P>
        <HD SOURCE="HD1">Overview of Information Collection</HD>
        <P>
          <E T="03">Type of Review:</E>Extension—No change.</P>
        <P>
          <E T="03">OMB Control NO.:</E>3046-006.</P>
        <P>
          <E T="03">Collection Title:</E>Local Union Report (EEO-3).</P>
        <P>
          <E T="03">Frequency of Report:</E>Biennial.</P>
        <P>
          <E T="03">Type of Respondent:</E>Referral local unions with 100 or more members.</P>
        <P>
          <E T="03">Description of Affected Public:</E>Referral local unions and independent or unaffiliated referral unions and similar labor organizations.</P>
        <P>
          <E T="03">Responses:</E>1,399.</P>
        <P>
          <E T="03">Reporting Hours:</E>2,098 (including recordkeeping).</P>
        <P>
          <E T="03">Cost to Respondents:</E>$39,871.</P>
        <P>
          <E T="03">Federal Cost:</E>$60,000.</P>
        <P>
          <E T="03">Number of Forms:</E>1.</P>
        <P>
          <E T="03">Form Number:</E>EEOC Form 274.</P>
        <P>
          <E T="03">Abstract:</E>Section 709(c) of Title VII of the Civil Rights Act of 1964, as amended, 42 U.S.C. 2000e-8(c), requires labor organizations to make and keep records relevant to a determination of whether unlawful employment practices have been or are being committed and to produce reports from the data. The EEOC issued regulations, Title 29, Chapter XIV, Subpart F, Section 1602.22-26, requiring referral local unions with 100 or more members to submit EEO-3 reports. The individual reports are confidential. The EEOC uses EEO-3 data to investigate charges of discrimination and for research.</P>
        <P>
          <E T="03">Burden Statement:</E>The estimated number of respondents included in the biennial EEO-3 survey is 1,399 referral unions. The form is estimated to impose 2,098 burden hours biennially. In order to help reduce survey burden, respondents are encouraged to report data electronically whenever possible.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          
          <P>For the Commission.</P>
          <NAME>Jacqueline A. Berrien,</NAME>
          <TITLE>Chair.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9946 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6570-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">EQUAL EMPLOYMENT OPPORTUNITY COMMISSION</AGENCY>
        <SUBJECT>Agency Information Collection Activities: Proposed Collection; Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Equal Employment Opportunity Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final Notice of Submission for OMB Review—Extension Without Change: Employer Information Report (EEO-1).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In accordance with the Paperwork Reduction Act, the Equal Employment Opportunity Commission (EEOC or Commission) hereby gives notice that it has submitted to the Office of Management and Budget (OMB) a request for an extension through 2014 of the existing collection requirements under 29 CFR 1602, Recordkeeping and Reporting Requirements under Title VII. The Commission has requested an extension of an existing collection as listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments on this notice must be submitted on or before May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The Request for Clearance (SF83-I), supporting statement, and the other documents submitted to OMB for this review may be obtained from: Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street NE., Washington, DC 20507. Comments on this final notice must be submitted to Chad A. Lallemand, Office of Information and Regulatory Affairs, Office of Management and Budget, 725 17th Street, NW., Room 10235, New Executive Office Building Washington DC 20503 or electronically mailed to<E T="03">Chad_A_Lallemand@omb.eop.gov.</E>Copies of comments should be sent to Stephen Llewellyn, Executive Officer, Executive Secretariat, Equal Employment Opportunity Commission, 131 M Street, NE., Washington, DC 20507. As a convenience to commentors, the Executive Secretariat will accept comments totaling six or fewer pages by facsimile (“FAX”) machine. This limitation is necessary to assure access to the equipment. The telephone number of the fax receiver is (202) 663-4114. (This is not a toll-free number.) Receipt of FAX transmittals will not be acknowledged, except that the sender may request confirmation of receipt by calling the Executive Secretariat staff at (202) 663-4070 (voice) or (202) 663-4074 (TTD). (These are not toll-free telephone numbers.) Instead of sending written comments to EEOC, you may submit comments and attachments electronically at<E T="03">http://www.regulations.gov,</E>which is the Federal eRulemaking Portal. Follow the instructions online for submitting comments. All comments received through this portal will be posted without change, including any personal information you provide. Copies of comments submitted by the public to EEOC directly or through the Federal eRulemaking Portal will be available for review, by advance appointment only, at the Commission's library between the hours of 9 a.m. and 5 p.m. EST or can be reviewed at<E T="03">http://www.regulations.gov.</E>To schedule an appointment to inspect the comments at EEOC's library, contact the library staff at (202) 663-4630 (voice) or (202) 663-4641 (TTY). (These are not toll-free numbers.)</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Room 4SW30F, Washington, DC 20507; (202) 663-4958 (voice) or (202) 663-7063 (TTY).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>A notice that EEOC would be submitting this request was published in the Federal Register on February 4, 2011 allowing for a 60-day public comment period. Only one comment was received and it supported EEOC's intent to request a three-year extension.</P>
        <HD SOURCE="HD1">Overview of Information Collection</HD>
        <P>
          <E T="03">Type of Review:</E>Extension—No change.<PRTPAGE P="22898"/>
        </P>
        <P>
          <E T="03">OMB Control NO.:</E>3046-007.</P>
        <P>
          <E T="03">Collection Title:</E>Employer Information Report (EEO-1).</P>
        <P>
          <E T="03">Frequency of Report:</E>Annual.</P>
        <P>
          <E T="03">Type of Respondent:</E>Private employers with 100 or more employees and certain federal government contractors and first-tier subcontractors with 50 or more employees.</P>
        <P>
          <E T="03">Description of Affected Public:</E>Private employers with 100 or more employees and certain federal government contractors and first-tier subcontractors with 50 or more employees.</P>
        <P>
          <E T="03">Reporting Hours:</E>599,000.</P>
        <P>
          <E T="03">Respondent Cost:</E>$11.4 million.</P>
        <P>
          <E T="03">Federal Cost:</E>$2.1 million.</P>
        <P>
          <E T="03">Number of Forms:</E>1.</P>
        <P>
          <E T="03">Form Number:</E>EEOC Form 100.</P>
        <P>
          <E T="03">Abstract:</E>Section 709(c) of Title VII of the Civil Rights Act of 1964, as amended, 42 U.S.C. 2000e-8(c), requires employers to make and keep records relevant to a determination of whether unlawful employment practices have been or are being committed, to preserve such records, and to produce reports as the Commission prescribes by regulation or order. Accordingly, the EEOC issued regulations, Title 29, Chapter XIV, Subpart B, Section 1602.7, prescribing the EEO-1 reporting requirement. Employers in the private sector with 100 or more employees and some federal contractors with 50 or more employees have been required to submit EEO-1 reports annually since 1966. The individual reports are confidential. EEO-1 data is used by EEOC to investigate charges of employment discrimination against employers in private industry and to provide information about the employment status of minorities and women. The data is shared with the Office of Federal Contract Compliance Programs (OFCCP), U.S. Department of Labor, and several other federal agencies. Pursuant to § 709(d) of Title VII of the Civil Rights Act of 1964, as amended, EEO-1 data is also shared with state and local Fair Employment Practices Agencies (FEPAs).</P>
        <P>
          <E T="03">Burden Statement:</E>The estimated number of respondents included in the annual EEO-1 survey is 45,000 private employers. The estimated number of establishment-based responses per reporting company is between three and four EEO-1 reports annually. The annual number of responses is approximately 170,000. The form is estimated to impose 599,000 burden hours annually. In order to help reduce survey burden, respondents are encouraged to report data electronically whenever possible.</P>
        <SIG>
          <DATED>Dated:<E T="03">April 19, 2011.</E>
          </DATED>
          
          <P>For the Commission.</P>
          <NAME>Jacqueline A. Berrien,</NAME>
          <TITLE>Chair.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9947 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6570-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">EQUAL EMPLOYMENT OPPORTUNITY COMMISSION</AGENCY>
        <SUBJECT>Agency Information Collection Activities: Proposed Collection; Submission for OMB Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Equal Employment Opportunity Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>No Final Notice of Submission for OMB Review—Extension Without Change: Elementary-Secondary Staff Information Report (EEO-5).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In accordance with the Paperwork Reduction Act, the Equal Employment Opportunity Commission (EEOC or Commission) hereby gives notice that it has submitted to the Office of Management and Budget (OMB) a request for an extension through 2014 of the existing collection requirements under 29 CFR part 1602, Recordkeeping and Reporting Requirements under Title VII. The Commission has requested an extension of an existing collection as listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments on this notice must be submitted on or before May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The Request for Clearance (SF83-I), supporting statement, and the other documents submitted to OMB for this review may be obtained from: Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Washington, DC 20507. Comments on this final notice must be submitted to Chad A Lallemand, Office of Information and Regulatory Affairs, Office of Management and Budget, 725 17th Street, NW., Room 10235, New Executive Office Building, Washington, DC 20503 or electronically mailed to,<E T="03">Chad_A_Lallemand@omb.eop.gov.</E>Copies of comments should be sent to Stephen Llewellyn, Executive Officer, Executive Secretariat, Equal Employment Opportunity Commission, 131 M Street, NE., Washington, DC 20507. As a convenience to commentors, the Executive Secretariat will accept comments totaling six or fewer pages by facsimile (“FAX”) machine. This limitation is necessary to assure access to the equipment. The telephone number of the fax receiver is (202) 663-4114. (This is not a toll-free number). Receipt of FAX transmittals will not be acknowledged, except that the sender may request confirmation of receipt by calling the Executive Secretariat staff at (202) 663-4070 (voice) or (202) 663-4074 (TTD). (These are not toll-free telephone numbers.) Instead of sending written comments to EEOC, you may submit comments and attachments electronically at<E T="03">http://www.regulations.gov,</E>which is the Federal eRulemaking Portal. Follow the instructions online for submitting comments. All comments received through this portal will be posted without change, including any personal information you provide. Copies of comments submitted by the public to EEOC directly or through the Federal eRulemaking Portal will be available for review, by advance appointment only, at the Commission's library between the hours of 9 a.m. and 5 p.m. EST or can be reviewed at<E T="03">http://www.regulations.gov.</E>To schedule an appointment to inspect the comments at EEOC's library, contact the library staff at (202) 663-4630 (voice) or (202) 663-4641 (TTY). (These are not toll-free numbers.)</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Ronald Edwards, Director, Program Research and Surveys Division, 131 M Street, NE., Room 4SW30F, Washington, DC 20507; (202) 663-4958 (voice) or (202) 663-7063 (TTY).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>A notice that EEOC would be submitting this request was published in the<E T="04">Federal Register</E>on February 4, 2011 allowing for a 60-day public comment period. There were no comments received from the public.</P>
        <HD SOURCE="HD1">Overview of Information Collection</HD>
        <P>
          <E T="03">Type of Review:</E>Extension—No change.</P>
        <P>
          <E T="03">OMB Control NO.:</E>3046-0003.</P>
        <P>
          <E T="03">Collection Title:</E>Elementary-Secondary Staff Information Report (EEO-5).</P>
        <P>
          <E T="03">Frequency of Report:</E>Biennial.</P>
        <P>
          <E T="03">Type of Respondent:</E>Certain public elementary and secondary school districts.</P>
        <P>
          <E T="03">Description of Affected Public:</E>Certain public elementary and secondary school districts.</P>
        <P>
          <E T="03">Number of Responses:</E>7,155.</P>
        <P>
          <E T="03">Reporting Hours:</E>10,000.</P>
        <P>
          <E T="03">Cost to the Respondents:</E>$190,000.</P>
        <P>
          <E T="03">Federal Cost:</E>$170,000.</P>
        <P>
          <E T="03">Number of Forms:</E>1.</P>
        <P>
          <E T="03">Form Number:</E>EEOC Form 168A.</P>
        <P>
          <E T="03">Abstract:</E>Section 709 (c) of Title VII of the Civil Rights Act of 1964, as amended, 42 U.S.C. 2000e-8(c), requires employers to make and keep records relevant to a determination of whether unlawful employment practices have been or are being committed, to preserve such records, and to produce reports as<PRTPAGE P="22899"/>the Commission prescribes by regulation or order. Accordingly, the EEOC issued regulations, Title 29, Chapter XIV, Subpart F, § 1602.39-45, prescribing the reporting requirements for elementary and secondary public school districts. The EEOC uses EEO-5 data to investigate charges of employment discrimination against elementary and secondary public school districts. The data also are used for research. The data are shared with the Department of Education (Office for Civil Rights) and the Department of Justice. Pursuant to Section 709(d) of Title VII of the Civil Rights Act of 1964, as amended, EEO-5 data also are shared with state and local Fair Employment Practices Agencies (FEPAs).</P>
        <P>
          <E T="03">Burden Statement:</E>The estimated number of respondents included in the biennial EEO-5 survey is 7,155 public elementary and secondary school districts. The form is estimated to impose 10,000 burden hours biennially.</P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          
          <P>For the Commission.</P>
          <NAME>Jacqueline A. Berrien,</NAME>
          <TITLE>Chair.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9948 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6750-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">FEDERAL RESERVE SYSTEM</AGENCY>
        <SUBJECT>Notice of Proposals To Engage in Permissible Nonbanking Activities or Tto Acquire Companies That Are Engaged in Permissible Nonbanking Activities</SUBJECT>

        <P>The companies listed in this notice have given notice under section 4 of the Bank Holding Company Act (12 U.S.C. 1843) (BHC Act) and Regulation Y, (12 CFR part 225) to engage<E T="03">de novo,</E>or to acquire or control voting securities or assets of a company, including the companies listed below, that engages either directly or through a subsidiary or other company, in a nonbanking activity that is listed in § 225.28 of Regulation Y (12 CFR 225.28) or that the Board has determined by Order to be closely related to banking and permissible for bank holding companies. Unless otherwise noted, these activities will be conducted throughout the United States.</P>
        <P>Each notice is available for inspection at the Federal Reserve Bank indicated. The notice also will be available for inspection at the offices of the Board of Governors. Interested persons may express their views in writing on the question whether the proposal complies with the standards of section 4 of the BHC Act.</P>
        <P>Unless otherwise noted, comments regarding the applications must be received at the Reserve Bank indicated or the offices of the Board of Governors not later than May 10, 2011.</P>
        <P>A. Federal Reserve Bank of Kansas City (Dennis Denney, Assistant Vice President) 1 Memorial Drive, Kansas City, Missouri 64198-0001:</P>
        <P>1.<E T="03">BancFirst Corporation,</E>Oklahoma City, Oklahoma; to acquire 100 percent of the voting shares of FBC Financial Corporation, and thereby indirectly acquire voting shares of 1st Bank Oklahoma, both in Claremore, Oklahoma, and thereby engage in the operating a savings association, pursuant to section 225.28(b)(4)(ii) of Regulation Y.</P>
        <SIG>
          <DATED>Board of Governors of the Federal Reserve System, April 20, 2011.</DATED>
          <NAME>Robert deV. Frierson,</NAME>
          <TITLE>Deputy Secretary of the Board.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9909 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6210-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">GENERAL SERVICES ADMINISTRATION</AGENCY>
        <DEPDOC>[Notice: 2011-OGP-2; Docket 2011-0006; Sequence 7]</DEPDOC>
        <SUBJECT>Discontinuance of the Looseleaf Version of the Federal Management Regulation (FMR) and Federal Travel Regulation (FTR)</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Governmentwide Policy, General Services Administration (GSA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>As part of GSA's effort to increase efficiency and reduce and attain the goal of zero environmental impact (ZEF), the Office of Governmentwide Policy (OGP) has determined that it will no longer produce the looseleaf version of the Federal Management Regulation (FMR) and the Federal Travel Regulation (FTR).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This notice is effective April 25, 2011.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>For clarification of content, contact Michael Hopkins, Office of Governmentwide Policy, at (202) 208-4421.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">A. Background</HD>
        <P>Looseleaf pages of the FMR and the FTR were originally made available at a time when it was the only means to view a change to either regulation in context with the existing text until the publication of the next volume of Title 41 of the Code of Regulations (41 CFR title 41) was published the following July 1. Patrons who maintained the regulations in looseleaf could purchase subscriptions from the Government Printing Office (GPO) and when any change to the FMR or FTR occurred, they would be sent the new pages. At best, it could be weeks and even months before patrons would receive the latest changes. With the coming of new technology, GSA began producing these pages and sending them to patrons electronically.</P>

        <P>Because of today's technologies, those who follow the FMR and FTR can view and print the latest changes on the day the changes are published in the<E T="04">Federal Register</E>. Through the years, GSA continued to produce the looseleaf pages for these changes although the need for them has become almost nonexistent. GSA has come to the conclusion that the time that it takes to produce the pages for information already available is not an efficient use of government resources and has decided to discontinue the production of the looseleaf versions of the FMR and FTR immediately. In addition, printing updated pages for those maintaining looseleaf binders of the regulations will no longer be necessary and this supports GSA's goal of a zero environmental footprint.</P>
        <HD SOURCE="HD1">B. Procedures</HD>
        <P>The FMR and related documents can be found at<E T="03">http://www.gsa.gov/fmr.</E>The FTR and related documents can be found at<E T="03">http://www.gsa.gov/fmr.</E>In addition to the Federal Register's web page (<E T="03">http://www.archives.gov/federal-register</E>) you can access the Electronic Code of Regulations (eCFR) through the GPO Web site at<E T="03">http://ecfr.gpoaccess.gov.</E>
        </P>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>Kathleen M. Turco,</NAME>
          <TITLE>Associate Administrator, General Services Administration.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9959 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6820-14-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBJECT>Federal Health IT Strategic Plan: 2011-2015 Open Comment Period Extended Until Friday, May 6</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the National Coordinator for Health Information Technology, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The<E T="03">Federal Health IT Strategic Plan: 2011-2015</E>(“the Plan”)<PRTPAGE P="22900"/>was posted on the ONC Web site on March 25, 2011 and originally open for public comment through Friday, April 22 at 11:59 p.m. (Eastern). This notice serves to announce that the public comment period for the Plan has been extended through Friday, May 6 at 11:59 p.m. (Eastern).</P>

          <P>In order for your comments to be read and considered, you must submit your comment via the Federal Health IT Buzz Blog:<E T="03">http://www.healthit.gov/buzz-blog/from-the-onc-desk/hit-strat-plan/.</E>
          </P>
        </SUM>
        <SIG>
          <DATED>Dated: April 19, 2011.</DATED>
          <NAME>Erin Poetter,</NAME>
          <TITLE>Office of Policy and Planning, Office of the National Coordinator for Health Information Technology.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9941 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4150-45-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBJECT>Decision To Evaluate a Petition To Designate a Class of Employees From Ames Laboratory in Ames, IA, To Be Included in the Special Exposure Cohort</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Institute for Occupational Safety and Health (NIOSH), Department of Health and Human Services (HHS).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>HHS gives notice as required by 42 CFR 83.12(e) of a decision to evaluate a petition to designate a class of employees from Ames Laboratory in Ames, Iowa, to be included in the Special Exposure Cohort under the Energy Employees Occupational Illness Compensation Program Act of 2000. The initial proposed definition for the class being evaluated, subject to revision as warranted by the evaluation, is as follows:</P>
          <P>Facility: Ames Laboratory.</P>
          <P>Location: Ames, Iowa.</P>
          <P>Job Titles and/or Job Duties: All Department of Energy (DOE) employees, its predecessor agencies, and its contractors and subcontractors who worked in any area of the DOE facility.</P>
          <P>Period of Employment: January 1, 1942 through December 31, 1970.</P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Stuart L. Hinnefeld, Director, Division of Compensation Analysis and Support, National Institute for Occupational Safety and Health (NIOSH), 4676 Columbia Parkway, MS C-46, Cincinnati, OH 45226, Telephone 877-222-7570. Information requests can also be submitted by e-mail to<E T="03">DCAS@CDC.GOV.</E>
          </P>
          <SIG>
            <NAME>John Howard,</NAME>
            <TITLE>Director, National Institute for Occupational Safety and Health.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9928 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4163-19-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBJECT>Request for Information (RFI) To Identify and Obtain Relevant Information From Public or Private Entities With an Interest in Biovigilance</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Assistant Secretary for Health, Office of the Secretary, Department of Health and Human Services.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This Request for Information (RFI) seeks to identify and obtain relevant information regarding the possible development of a public-private partnership (PPP) designed to facilitate the identification of risks and strategies to assure safety of the U.S. supply of blood and blood components, tissues, cells, and organs. This RFI is intended to inform the Department of Health and Human Services (HHS) regarding stakeholders, mechanisms, and approaches on issues related to developing and managing a PPP and scope of PPP activities. Replies are invited from (1) public or private entities with an interest in biovigilance, and (2) entities with experience and capabilities managing public-private partnerships (PPPs) in the biological sciences and public health domains. This RFI is for information and planning purposes only and is not a solicitation for applications or an obligation on the part of the U.S. Government to provide support for any ideas identified in response to it. Please note that the U.S. Government will not pay for the preparation of any information submitted or for its use of that information.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>All responses must be received no later than 4 p.m. EDT on June 9, 2011 at the address listed below.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>All responses should be e-mailed to<E T="03">Biovigilance@hhs.gov</E>(attention Dr. Jerry Holmberg). Please limit responses to 10 pages. Include in the subject line, the following information:</P>
          <P>• Name of the institution or site.</P>
          <P>• Respondent, title, and full contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Dr. Jerry Holmberg, Senior Advisor for Blood Safety, Office of the Assistant Secretary for Health, Office of the Secretary, U.S. Department of Health and Human Services, 1101 Wootton Parkway, Tower Building, Suite 250, Rockville, MD 20852.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>In 2009, the Advisory Committee on Blood Safety and Availability (ACBSA) within the Department of Health and Human Services (HHS), Office of the Assistant Secretary of Health, reviewed and discussed a report on the current state of biovigilance. In that report (“Biovigilance: Efforts to Bridge a Critical Gap in Patient Safety and Donor Health”<E T="03">http://www.hhs.gov/ash/bloodsafety/biovigilance/index.html</E>), biovigilance was defined as “a comprehensive and integrated national patient safety program to collect, analyze, and report on the outcomes of collection and transfusion and/or transplantation of blood components and derivatives, tissues, cells, and organs. This definition does not include vaccines, allergenic products, and most recombinant human proteins.” Safety surveillance for plasma derivatives, while a logical part of biovigilance, already falls under FDA mandated drug adverse event reporting and is not addressed in the current HHS initiative. Among the recommendations in that report was for HHS to develop an HHS action plan to support a national biovigilance program, integration of systems within government and private sectors, and steps to enhance mechanisms for surveillance.</P>
        <P>HHS is continuing its efforts to develop an action plan to support a national biovigilance program for blood and blood components, tissues, cells, and organs. As part of these efforts, HHS is exploring the feasibility of a PPP. HHS believes that a PPP potentially could serve as an appropriate mechanism for achieving the broad goals and mission of biovigilance. A PPP might provide the American public with a mechanism for leveraging and maximizing resources, for collaborating on research and problem solving, for creating new opportunities, and for advancing the Department's public health mission as it relates to challenges associated with disease prevention (including emerging infectious diseases or EIDs), adverse events, and process improvements.</P>
        <P>Biovigilance is an area of growing importance, with a potential role in any of the following areas:</P>

        <P>• Identifying strategies for protecting recipients and living donor health;<PRTPAGE P="22901"/>
        </P>
        <P>• Identifying processes that reduce medical errors and improve donor/patient outcomes in blood transfusions, and tissue and organ transplantations;</P>
        <P>• Reporting and analyzing adverse events, including medical “near misses” and patient adverse reactions;</P>
        <P>• Identifying emerging infectious disease prevalence and incidence in donors and recipients, both quickly and effectively;</P>
        <P>• Informing public health and regulatory policy, and reimbursement decisions; and,</P>
        <P>• Contributing to and collaborating on research studies, including research that provides a basic understanding of recipient outcomes so as to inform future surveillance activities.</P>
        <P>Specific areas and activities in which a biovigilance PPP is likely to be involved may include:</P>
        <P>• Safety and surveillance—Identifying areas where greater safety and surveillance measures are needed.</P>
        <P>• Process improvement—Proposing new processes or process enhancements to improve blood and blood component, tissue, cell, and organ safety for donors and recipients.</P>
        <P>• Standards and measurements—Identifying areas where standards are lacking or need additional development; proposing definitions for standards; defining measurement approaches or best practices for collecting measurement data.</P>
        <P>• Research and analysis—Identifying research needs; proposing and conducting short and long-term research studies; identifying knowledge gaps that prevent effective surveillance or reporting; proposing strategies for closing these gaps.</P>
        <P>• Data repositories, infrastructure and policies—Identifying requirements for new data repositories and related infrastructure; developing policies for data sharing, access, privacy and confidentiality; establishing and operating such data repositories and related infrastructure (or contractually arranging for the operation).</P>
        <P>• Baseline data, data quality, measurement, and collection—Establishing baseline data and associated quality standards for measurement and collection of that data.</P>
        <P>• Goal setting—Establishing targets or goals for improved outcomes.</P>
        <P>• Reporting—Issuing regular and periodic reports on progress, trends, adverse outcomes, and corrective actions to improve patient safety and donor health.</P>
        <P>• Innovation in technologies and post-marking surveillance of new technologies.</P>
        <P>Interested stakeholders in biovigilance may include any of the following, and/or others:</P>
        <P>• Foundations and non-profit entities with an interest or responsibilities in biovigilance, in particular those with a public advocacy mission related to supply, access, safety, use, or payment of blood, tissues, cells and organs and/or those with expertise in PPPs;</P>
        <P>• Recipients of blood or blood components, tissues, cells, or organs;</P>
        <P>• Donors, potential donors, and donor families;</P>
        <P>• Healthcare facilities, including transfusion services and transplant centers;</P>
        <P>• Pharmaceutical, diagnostic, and other related biotechnology companies offering products, services, medical equipment, or technology;</P>
        <P>• Organizations engaged in collecting, recovery banking, preserving, distributing or processing blood, organs, or tissues, or cells;</P>
        <P>• Insurance companies, self-insured entities, and other payers;</P>
        <P>• IT and database companies;</P>
        <P>• Professional, research, and academic organizations;</P>
        <P>• Other U.S. Federal, State, or local government groups with an interest or responsibilities in biovigilance; and,</P>
        <P>• Managing partners or consultancy firms.</P>
        <HD SOURCE="HD1">Information Requested</HD>
        <P>The Assistant Secretary for Health has charged a biovigilance working group, with membership from the HHS Operating Divisions, to define the foundational elements and operating framework for a National Biovigilance Program within HHS and for a PPP. This framework for a National Biovigilance Program will propose a set of high-level strategic goals, priorities, and key initiatives for the next five years. In developing the framework, HHS will take into account the feasibility, as well as foundational elements and basic operating framework for a PPP.</P>

        <P>HHS is interested in exploring a biovigilance PPP that could achieve its mission through collaboration among public sector entities (<E T="03">e.g.,</E>government agencies and institutions) and private sector entities. Private sector entities include, but are not limited to academia; non-governmental organizations (NGOs); philanthropic institutions; patient groups; blood bank operators; blood, tissue, cell, and organ establishments or manufacturers, transplant centers, and professional societies; and other members of the blood, tissue, cells, and organ communities. Under such a partnership, all partners might engage in the development of an operating structure and policies that will meet the broad goals of biovigilance as well as serving the needs and interests of the partners. Due to the expanding role of blood transfusion, and tissue, cell and organ transplantation in the healthcare sector, sustained involvement among partners might be needed for the foreseeable future.</P>
        <P>This RFI is being issued to notify the public that HHS is exploring the feasibility of a PPP as an approach for achieving the broad goals of biovigilance. This RFI, moreover, is being issued to encourage all interested parties to comment on any aspect of a PPP. This may include any of the following:</P>
        
        <FP SOURCE="FP-1">• General or organizational issues:</FP>
        <FP SOURCE="FP1-2">○ Scope, key priorities, goals, or initiatives for the PPP in the first five years;</FP>
        <FP SOURCE="FP1-2">○ Key PPP challenges and critical success factors.</FP>
        <FP SOURCE="FP-1">• Structural issues, such as:</FP>
        <FP SOURCE="FP1-2">○ Governance structure, operating and voting rules, and decision-making processes for the PPP;</FP>
        <FP SOURCE="FP1-2">○ Funding mechanisms and models for both the start-up period (during the initial 6-18 months) and the long term, to support sustained funding for an ongoing collaboration.</FP>
        <FP SOURCE="FP-1">• Partner issues, including:</FP>
        <FP SOURCE="FP1-2">○ Identification of potential partners;</FP>
        <FP SOURCE="FP1-2">○ Management approaches for optimizing public and private-sector involvement.</FP>
        <FP SOURCE="FP-1">• PPP scope and activities:</FP>
        <FP SOURCE="FP1-2">○ Project and research selection strategies in evaluation of the suitability of projects, partners, and overall internal decision-making structure;</FP>
        <FP SOURCE="FP1-2">○ Standards and measurements (definition, development, implementation)</FP>
        <FP SOURCE="FP1-2">○ Data collection through surveillance;</FP>
        <FP SOURCE="FP1-2">○ Analysis of data;</FP>
        <FP SOURCE="FP1-2">○ Public policy influence and development;</FP>
        <FP SOURCE="FP1-2">○ International biovigilance.</FP>
        <FP SOURCE="FP-1">• PPP Management issues, such as:</FP>
        <FP SOURCE="FP1-2">○ Expertise and experience in managing a PPP, particularly in the biological sciences and public health domains;</FP>

        <FP SOURCE="FP1-2">○ Expertise and input on applicable research agendas. This could include how the PPP functions with regard to direct solicitation of research applications, how funding decisions are made, and the performance of administrative or oversight functions for such<PRTPAGE P="22902"/>projects;</FP>
        <FP SOURCE="FP1-2">○ Fund-raising experience;</FP>
        <FP SOURCE="FP1-2">○ Fiscal management experience, including management of the flow of funds among the partners.</FP>
        
        <P>This RFI is for information and planning purposes only and should not be construed as a solicitation or as an obligation on the part of HHS. HHS does not intend to award a grant or contract to pay for the preparation of any information submitted or for the use of such information by HHS. Acknowledgment of receipt of responses may not be made, nor will respondents be notified of the evaluation by HHS of the information received. No basis for claims against HHS shall arise as a result of a response to this request for information or to the use of such information by HHS as either part of our evaluation process or in developing specifications for any subsequent announcement. Any proprietary information submitted should be clearly marked for confidentiality.</P>
        <SIG>
          <DATED>Dated: April 20, 2011.</DATED>
          <NAME>James J. Berger,</NAME>
          <TITLE>Associate Public Health Advisor for Blood, Organ, and Tissue Safety.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9966 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4150-41-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Centers for Disease Control and Prevention</SUBAGY>
        <DEPDOC>[30 Day-11-0020]</DEPDOC>
        <SUBJECT>Agency Forms Undergoing Paperwork Reduction Act Review</SUBJECT>

        <P>The Centers for Disease Control and Prevention (CDC) publishes a list of information collection requests under review by the Office of Management and Budget (OMB) in compliance with the Paperwork Reduction Act (44 U.S.C. chapter 35). To request a copy of these requests, call the CDC Reports Clearance Officer at (404) 639-5960 or send an e-mail to<E T="03">omb@cdc.gov.</E>Send written comments to CDC Desk Officer, Office of Management and Budget, Washington, DC 20503 or by fax to (202) 395-5806. Written comments should be received within 30 days of this notice.</P>
        <HD SOURCE="HD1">Proposed Project</HD>
        <P>Coal Workers' Health Surveillance Program (CWHSP)—OMB 0920-0020- Reinstatement With Change—National Institute for Occupational Safety and Health (NIOSH), Centers for Disease Control and Prevention (CDC).</P>
        <HD SOURCE="HD2">Background and Brief Description</HD>
        <P>This submission will incorporate the National Coal Workers' X-Ray Surveillance Program 42 CFR 37 (0920-0020) and National Coal Workers' Autopsy Study 42 CFR part 37.204 (0920-0021) into one complete package which will be called the Coal Workers' Health Surveillance Program (CWHSP). Upon OMB approval, 0920-0021 will be discontinued. CWHSP is a congressionally-mandated medical examination program for monitoring the health of underground coal miners, established under the Federal Coal Mine Health and Safety Act of 1969, as amended in 1977 and 2006, PL-91-173 (the Act). The Act provides the regulatory authority for the administration of the CWHSP. This Program, which includes both a health surveillance and an autopsy component, has been useful in providing tools for protecting the health of miners (whose participation is entirely voluntary), and also in documenting trends and patterns in the prevalence of coal workers' pneumoconiosis (`black lung' disease) among miners employed in U.S. coal mines. During the early 1970s, one out of every three miners examined through the CWHSP who had worked at least 25 years underground had evidence of pneumoconiosis on their chest x-ray. An analysis among over 25,000 miners who participated in the x-ray Programs from 1996 to 2002 indicated that the proportion of affected individuals had decreased to about one in 20. However, recent surveillance analyses and research studies have confirmed that the prevalence of `black lung' disease is increasing, there is regional clustering of rapidly progressive pneumoconiosis cases, and coal miners have a higher risk of disease if they perform certain jobs, work in smaller mines, or are from certain geographic areas. Importantly, young coal miners are developing the disabling and lethal forms of `black lung'.</P>
        <P>Demographic and logistical information is gathered from coal mine operators and participating x-ray facilities. Participating miners also provide health and work histories, and participating physicians report radiographic findings. The Centers for Disease Control and Prevention's National Institute for Occupational Safety and Health, Division of Respiratory Disease Studies, 1095 Willowdale Road, Morgantown, WV 26505, also called the Appalachian Laboratory for Occupational Safety and Health (ALOSH), is charged with administration of this Program.</P>
        <P>From October 1, 1999 through September 30, 2002, the Mine Safety and Health Administration (MSHA), in consultation with NIOSH, conducted a pilot health surveillance program for both underground and surface miners (The Miners' Choice Program). The Miners' Choice Program has been continued as an extension of the CWHSP (currently called the Enhanced Coal Workers' Health Surveillance Program—ECWHSP). This extension of the CWHSP currently operates utilizing a mobile examination unit which travels to mining regions to provide locally accessible and more comprehensive health surveillance, including chest radiography, spirometry, and blood pressure screening.</P>
        <P>Under the Act, the provision of periodic chest x-ray examinations is specifically mandated, and the x-rays are to be supplemented by such other tests as the Secretary deems necessary. In addition to radiographically-apparent pneumoconiosis, miners are at risk for the development of chronic obstructive pulmonary disease (COPD). Chest radiographs alone cannot provide a measure of airflow obstruction and therefore often miss important lung disease. For this reason, spirometry, a simple breathing test, is an additional component that is particularly useful for the health assessment of miners. Periodic medical history and spirometry tests have been recommended by NIOSH for both surface and underground coal miners since 1995, to facilitate preventive actions, increase miners' participation in programs for early detection of disease, and improve the derivation of representative estimates of the burden, distribution, and determinants of occupational lung disease in relation to coal mining in the U.S. Finally, unrecognized hypertension has previously been observed among many miners, and the ECWHSP offers blood pressure screening as a safe, simple, and inexpensive test, which can help target initiation of proven health conserving medications.</P>

        <P>The National Coal Workers' Autopsy Study (NCWAS) provides standardized lung specimens for ongoing scientific research as well as information to the next-of-kin regarding the presence and extent of coal workers' pneumoconiosis (black lung) in the lungs of the deceased miner. The Consent Release and History Form is primarily used to obtain written authorization from the next-of-kin to perform an autopsy on the deceased miner. Because a basic reason for the post-mortem examination is research (both epidemiological and clinical), a minimum of essential information is collected regarding the deceased miner,<PRTPAGE P="22903"/>including occupational history and smoking history. The data collected are used by scientists for research purposes in defining the diagnostic criteria for pneumoconiosis and in correlating pathologic changes with exposures and x-ray findings.</P>
        <P>There are no costs of the NCWAS to respondents other than their time. The total estimated burden hours are 4,470.</P>
        <GPOTABLE CDEF="s50,r100,12,12,12" COLS="5" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Type of respondent</CHED>
            <CHED H="1">Form name</CHED>
            <CHED H="1">Number of<LI>respondents</LI>
            </CHED>
            <CHED H="1">Responses per<LI>respondent</LI>
            </CHED>
            <CHED H="1">Average<LI>burden per</LI>
              <LI>response</LI>
              <LI>(in hours)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Physicians B Readers</ENT>
            <ENT>Roentgenographic Interpretation Form—CDC/NIOSH (M) 2.8</ENT>
            <ENT>10,000</ENT>
            <ENT>1</ENT>
            <ENT>3/60</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>Interpreting Physician Certification Document—CDC/NIOSH (M) 2.12</ENT>
            <ENT>300</ENT>
            <ENT>1</ENT>
            <ENT>10/60</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Miners</ENT>
            <ENT>Miner Identification Document—CDC/NIOSH (M) 2.9</ENT>
            <ENT>5,000</ENT>
            <ENT>1</ENT>
            <ENT>20/60</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>No form—X-ray</ENT>
            <ENT>5,000</ENT>
            <ENT>1</ENT>
            <ENT>15/60</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>No form—Spirometry</ENT>
            <ENT>2,500</ENT>
            <ENT>1</ENT>
            <ENT>20/60</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Coal Mine Operators</ENT>
            <ENT>Coal Mine Operator's Plan—CDC/NIOSH (M) 2.10</ENT>
            <ENT>200</ENT>
            <ENT>1</ENT>
            <ENT>30/60</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Supervisor at X-ray Facilities</ENT>
            <ENT>Facility Certification Document—CDC/NIOSH (M) 2.11</ENT>
            <ENT>100</ENT>
            <ENT>1</ENT>
            <ENT>30/60</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Pathologist</ENT>
            <ENT>No form—Invoice</ENT>
            <ENT>50</ENT>
            <ENT>1</ENT>
            <ENT>5/60</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>No form—Final Diagnosis Report</ENT>
            <ENT>50</ENT>
            <ENT>1</ENT>
            <ENT>5/60</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Next-of-Kin</ENT>
            <ENT>Consent, Release, and History Form—CDC/NIOSH (M) 2.6</ENT>
            <ENT>50</ENT>
            <ENT>1</ENT>
            <ENT>15/60</ENT>
          </ROW>
        </GPOTABLE>
        <SIG>
          <NAME>Daniel Holcomb,</NAME>
          <TITLE>Reports Clearance Officer, Centers for Disease Control and Prevention.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2011-9922 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4163-18-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <DEPDOC>[Docket No. FDA-2011-D-0125]</DEPDOC>
        <SUBJECT>Draft Guidance for Industry and Food and Drug Administration Staff; Establishing That a Tobacco Product Was Commercially Marketed in the United States as of February 15, 2007; Availability; Agency Information Collection Activities; Proposed Collection; Comment Request</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Food and Drug Administration (FDA) is announcing the availability of a draft guidance entitled “Establishing That a Tobacco Product Was Commercially Marketed in the United States as of February 15, 2007.” This draft guidance provides information on how a manufacturer may demonstrate that a tobacco product was commercially marketed in the United States as of February 15, 2007. In this draft guidance, FDA provides recommendations on the evidence that a manufacturer may use to demonstrate that a tobacco product was commercially marketed in the United States as of February 15, 2007. This draft guidance is not final nor is it in effect at this time.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Although you can comment on any guidance at any time (see 21 CFR 10.115(g)(5)), to ensure that the Agency considers your comment of this draft guidance before it begins work on the final version of the guidance, submit either electronic or written comments on the draft guidance by June 24, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Submit written requests for single copies of the draft guidance document entitled “Establishing That a Tobacco Product Was Commercially Marketed in the United States as of February 15, 2007” to the Center for Tobacco Products, Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850-3229. Send one self-addressed adhesive label to assist that office in processing your request or include a fax number to which the guidance document may be sent. See the<E T="02">SUPPLEMENTARY INFORMATION</E>section for information on electronic access to the guidance document.</P>
          <P>Submit electronic comments on the draft guidance to<E T="03">http://www.regulations.gov.</E>Submit written comments to the Division of Dockets Management (HFA-305), Food and Drug Administration, 5630 Fishers Lane, rm. 1061, Rockville, MD 20852. Identify comments with the docket number found in brackets in the heading of this document.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>With regard to the draft guidance: Annette Marthaler, Center for Tobacco Products, Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850, 1-877-287-1373, e-mail:<E T="03">annette.marthaler@fda.hhs.gov.</E>
          </P>

          <P>With regard to the proposed collection of information: Jonna Capezzuto,  Office of Information Management, Food and Drug Administration, 1350 Piccard Dr., PI50-400B, Rockville, MD 20850, 301-796-3794, e-mail:<E T="03">Jonnalynn.Capezzuto@fda.hhs.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Background</HD>
        <P>This draft guidance provides information on how a manufacturer may establish that a tobacco product was commercially marketed in the United States as of February 15, 2007. In this draft guidance, FDA provides recommendations on the information that a manufacturer may use to establish that a tobacco product was commercially marketed in the United States on February 15, 2007, and is, therefore, a grandfathered product not subject to premarket review requirements. In the draft guidance document, FDA recommends that this information may include, among other things, dated copies of advertisements, dated catalog pages, and dated promotional material.</P>
        <HD SOURCE="HD1">II. Significance of Guidance</HD>
        <P>This draft guidance is being issued consistent with FDA's good guidance practices regulation (21 CFR 10.115). The draft guidance, when finalized, will represent the Agency's current thinking on “Establishing That a Tobacco Product Was Commercially Marketed in the United States as of February 15, 2007.” It does not create or confer any rights for or on any person and does not operate to bind FDA or the public. An alternative approach may be used if such approach satisfies the requirements of the applicable statute and regulations.</P>
        <HD SOURCE="HD1">III. Electronic Access</HD>

        <P>An electronic version of the draft guidance document is available on the Internet at<E T="03">http://www.regulations.gov</E>
          <PRTPAGE P="22904"/>and<E T="03">http://www.fda.gov/TobaccoProducts/GuidanceComplianceRegulatoryInformation/default.htm.</E>
        </P>
        <HD SOURCE="HD1">IV. Paperwork Reduction Act of 1995</HD>

        <P>Under the Paperwork Reduction Act (PRA) (44 U.S.C. 3501-3520), Federal Agencies must obtain approval from the Office of Management and Budget (OMB) for each collection of information they conduct or sponsor. “Collection of information” is defined in 44 U.S.C. 3502(3) and 5 CFR 1320.3(c) and includes Agency requests or requirements that members of the public submit reports, keep records, or provide information to a third party. Section 3506(c)(2)(A) of the PRA (44 U.S.C. 3506(c)(2)(A)) requires Federal Agencies to provide a 60-day notice in the<E T="04">Federal Register</E>concerning each proposed collection of information before submitting the collection to OMB for approval. To comply with this requirement, FDA is publishing notice of the proposed collection of information set forth in this document.</P>
        <P>With respect to the following collection of information, FDA invites comments on these topics: (1) Whether the proposed collection of information is necessary for the proper performance of FDA's functions, including whether the information will have practical utility; (2) the accuracy of FDA's estimate of the burden of the proposed collection 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>
        <HD SOURCE="HD2">Draft Guidance on Establishing That a Tobacco Product Was Commercially Marketed in the United States as of February 15, 2007—(OMB Control Number 0910-NEW)</HD>
        <P>This draft guidance provides information on how a manufacturer may establish that a tobacco product was commercially marketed in the United States as of February 15, 2007, and is, therefore, a grandfathered product not subject to premarket review. The draft guidance recommends that the manufacturer provide evidence that may include, among other things, dated copies of advertisements, dated catalog pages, dated promotional material, and dated bills of lading. FDA recommends that the manufacturer submit as much information as possible to demonstrate that the tobacco product was commercially marketed in the United States as of February 15, 2007. FDA's estimate of the number of respondents is based on the fact that requesting an agency determination of the grandfathered status of a tobacco product under the draft guidance is not required and also on indications of interest in making such request. The number of hours is FDA's estimate of how long it might take one to review, gather, and submit dated information if making a request for an agency determination.</P>
        <P>FDA estimates the burden of this collection of information as follows:</P>
        <GPOTABLE CDEF="s25,12C,12C,12C,12C,12C" COLS="6" OPTS="L2,i1">
          <TTITLE>Table 1—Estimated One Time Reporting Burden<SU>1</SU>
          </TTITLE>
          <BOXHD>
            <CHED H="1">Activity</CHED>
            <CHED H="1">Number of<LI>respondents</LI>
            </CHED>
            <CHED H="1">Annual<LI>frequency per</LI>
              <LI>response</LI>
            </CHED>
            <CHED H="1">Total annual responses</CHED>
            <CHED H="1">Hours per<LI>response</LI>
            </CHED>
            <CHED H="1">Total hours</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Submit evidence of commercial marketing in the United States as of February 15, 2007</ENT>
            <ENT>150</ENT>
            <ENT>1</ENT>
            <ENT>150</ENT>
            <ENT>10</ENT>
            <ENT>1,500</ENT>
          </ROW>
          <TNOTE>
            <SU>1</SU>There are no capital costs or operating and maintenance costs associated with this collection of information.</TNOTE>
        </GPOTABLE>
        <HD SOURCE="HD1">V. Comments</HD>

        <P>Interested persons may submit to the Division of Dockets Management (see<E T="02">ADDRESSES</E>), either electronic or written comments regarding this document. It is only necessary to send one set of comments. It is no longer necessary to send two copies of mailed comments. Identify comments with the docket number found in brackets in the heading of this document. Received comments may be seen in the Division of Dockets Management between 9 a.m. and 4 p.m., Monday through Friday.</P>
        <SIG>
          <DATED>Dated: April 15, 2011.</DATED>
          <NAME>Leslie Kux,</NAME>
          <TITLE>Acting Assistant Commissioner for Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9939 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <DEPDOC>[Docket No. FDA-2011-F-0225]</DEPDOC>
        <SUBJECT>Ferm Solutions, Inc.; Filing of Food Additive Petition (Animal Use); Erythromycin Thiocyanate</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Food and Drug Administration (FDA) is announcing that Ferm Solutions, Inc., has filed a petition proposing that the food additive regulations be amended to provide for the safe use of erythromycin thiocyanate as an antimicrobial processing aid in fuel-ethanol fermentations with respect to its consequent presence in byproduct distiller grains used as an animal feed or feed ingredient.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Submit either electronic or written comments on the petitioner's environmental assessment by May 25, 2011.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit electronic comments to:<E T="03">http://www.regulations.gov.</E>Submit written comments to the Division of Dockets Management (HFA-305), Food and Drug Administration, 5630 Fishers Lane, rm. 1061, Rockville, MD 20852.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Isabel W. Pocurull, Center for Veterinary Medicine, Food and Drug Administration, 7519 Standish Pl., Rockville, MD 20855, 240-453-6853, e-mail:<E T="03">isabel.pocurull@fda.hhs.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>Under the Federal Food, Drug, and Cosmetic Act (section 409(b)(5) (21 U.S.C. 348(b)(5)), notice is given that a food additive petition (FAP 2271) has been filed by Ferm Solutions, Inc., P.O. Box 203, 445 Roy Arnold Ave., Danville, KY 40423. The petition proposes to amend the food additive regulations in part 573<E T="03">Food Additives Permitted in Feed and Drinking Water of Animals</E>(21 CFR part 573) to provide for the safe use of erythromycin thiocyanate as an antimicrobial processing aid in fuel-ethanol fermentations with respect to its<PRTPAGE P="22905"/>consequent presence in byproduct distiller grains used as an animal feed or feed ingredient.</P>

        <P>The potential environmental impact of this action is being reviewed. To encourage public participation consistent with regulations issued under the National Environmental Policy Act (40 CFR 1501.4(b)), the Agency is placing the environmental assessment submitted with the petition that is the subject of this notice on public display at the Division of Dockets Management (see<E T="02">DATES</E>and<E T="02">ADDRESSES</E>) for public review and comment.</P>

        <P>Interested persons may submit to the Division of Dockets Management (see<E T="02">ADDRESSES</E>) either electronic or written comments regarding this document. It is only necessary to send one set of comments. It is no longer necessary to send two copies of mailed comments. Identify comments with the docket number found in brackets in the heading of this document. Received comments may be seen in the Division of Dockets Management between 9 a.m. and 4 p.m., Monday through Friday. FDA will also place on public display any amendments to, or comments on, the petitioner's environmental assessment without further announcement in the<E T="04">Federal Register</E>. If, based on its review, the Agency finds that an environmental impact statement is not required and this petition results in a regulation, the notice of availability of the Agency's finding of no significant impact and the evidence supporting that finding will be published with the regulation in the<E T="04">Federal Register</E>in accordance with 21 CFR 25.51(b).</P>
        <SIG>
          <DATED>Dated: April 15, 2011.</DATED>
          <NAME>Bernadette Dunham,</NAME>
          <TITLE>Director, Center for Veterinary Medicine.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9913 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <DEPDOC>[Docket No. FDA-2010-D-0431]</DEPDOC>
        <SUBJECT>Guidance for Food and Drug Administration Staff and Tobacco Retailers on Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers; Availability</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Food and Drug Administration (FDA) is announcing the availability of a guidance entitled “Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers.” This guidance document describes FDA's current policies with respect to civil money penalties and no-tobacco-sale orders for retailers who violate requirements of the Federal Food, Drug, and Cosmetic Act (the FD&amp;C Act) relating to tobacco products, including the FD&amp;C Act requirement that tobacco products may not be sold or distributed in violation of FDA's “Regulations Restricting the Sale and Distribution of Cigarettes and Smokeless Tobacco to Protect Children and Adolescents.” With the release of this final guidance document, several provisions in the Family Smoking Prevention and Tobacco Control Act (the Tobacco Control Act) that relate to civil money penalties and no-tobacco-sale orders become effective.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Submit either electronic or written comments on Agency guidances at any time.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Submit written requests for single copies of the guidance entitled “Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers” to the Center for Tobacco Products, Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850-3229. Send one self-addressed adhesive label to assist that office in processing your request or include a fax number to which the guidance document may be sent. See the<E T="02">SUPPLEMENTARY INFORMATION</E>section for electronic access to the guidance document.</P>
          <P>Submit electronic comments on the guidance to<E T="03">http://www.regulations.gov.</E>Submit written comments to the Division of Dockets Management (HFA-305), Food and Drug Administration, 5630 Fishers Lane, Rm. 1061, Rockville, MD 20852.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Gerie A. Voss, Center for Tobacco Products, Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850, 1-877-287-1373,<E T="03">gerie.voss@fda.hhs.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Background</HD>
        <P>FDA is announcing the availability of a guidance for FDA staff and tobacco retailers entitled “Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers.” On June 22, 2009, President Obama signed the Tobacco Control Act (Pub. L. 111-31) into law. The Tobacco Control Act grants FDA important new authority to regulate the manufacture, marketing, and distribution of tobacco products to protect the public health generally and to reduce tobacco use by minors.</P>
        <P>Among its many provisions, the Tobacco Control Act authorizes FDA to impose civil money penalties for violations of the FD&amp;C Act requirements that relate to tobacco products (section 303(f)(9) of the FD&amp;C Act (21 U.S.C. 333(f)(9)). Of special interest to retailers, one of the FD&amp;C Act's requirements is that tobacco products may not be sold or distributed in a manner that violates regulations issued under section 906(d) of the FD&amp;C Act (21 U.S.C. 387f(d)), such as the “Regulations Restricting the Sale and Distribution of Cigarettes and Smokeless Tobacco to Protect Children and Adolescents” that were published by FDA on March 19, 2010 (75 FR 13225) (21 CFR part 1140). The Tobacco Control Act also authorizes FDA to impose a no-tobacco-sale order on a retail outlet for repeated violations of regulations issued under section 906(d) of the FD&amp;C Act, and discusses a number of technical and procedural issues relating to civil money penalties and no-tobacco-sale orders.</P>
        <P>This guidance document describes the penalty structure and FDA policies with respect to civil money policies and no-tobacco-sale orders. With the release of this final guidance document, several Tobacco Control Act provisions that relate to civil money penalties and no-tobacco-sale orders become effective (section 103(q)(3) of the Tobacco Control Act).</P>
        <P>In the<E T="04">Federal Register</E>of August 31, 2010 (75 FR 53316), FDA announced the availability of the draft guidance of the same title dated August 2010. FDA received a few comments on the draft guidance, and those comments were considered as the guidance was finalized. In addition, editorial changes were made to improve clarity.</P>
        <HD SOURCE="HD1">II. Significance of Guidance</HD>
        <P>This level 1 guidance is being issued consistent with FDA's good guidance practices regulation (21 CFR 10.115). The guidance represents the Agency's current thinking on “Civil Money Penalties and No-Tobacco-Sale Orders for Tobacco Retailers.” It does not create or confer any rights for or on any person and does not operate to bind FDA or the public. An alternative approach may be used if such approach satisfies the requirements of the applicable statute and regulations.</P>
        <HD SOURCE="HD1">III. Comments</HD>

        <P>Interested persons may submit to the Division of Dockets Management (see<E T="02">ADDRESSES</E>) either electronic or written comments regarding this document. It is only necessary to send one set of comments. It is no longer necessary to send two copies of mailed comments.<PRTPAGE P="22906"/>Identify comments with the docket number found in brackets in the heading of this document. Received comments may be seen in the Division of Dockets Management between 9 a.m. and 4 p.m., Monday through Friday.</P>
        <HD SOURCE="HD1">IV. Electronic Access</HD>

        <P>Persons with access to the Internet may obtain the guidance at either<E T="03">http://www.fda.gov/TobaccoProducts/GuidanceComplianceRegulatoryInformation/default.htm</E>or<E T="03">http://www.regulations.gov.</E>
        </P>
        <SIG>
          <DATED>Dated:<E T="03">April 15, 2011.</E>
          </DATED>
          <NAME>Leslie Kux,</NAME>
          <TITLE>Acting Assistant Commissioner for Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9938 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <DEPDOC>[Docket No. FDA-2006-D-0094]</DEPDOC>
        <SUBJECT>Guidance for Industry and Food and Drug Administration Staff; Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities; Availability</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Food and Drug Administration (FDA) is announcing the availability of the guidance entitled, “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities.” This guidance document was developed as a special control to support the reclassification of the topical oxygen chamber for extremities (TOCE) from class III (premarket approval) into class II (special controls). This guidance document describes a means by which manufacturers of TOCE may comply with the requirement of special controls for class II devices. Elsewhere in this issue of the<E T="04">Federal Register</E>, FDA is publishing a final rule reclassifying these devices from class III into class II (special controls).</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Submit written or electronic comments on this guidance at any time. General comments on agency guidance documents are welcome at any time.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Submit written requests for single copies of the guidance document entitled, “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities,” to the Division of Small Manufacturers, International, and Consumer Assistance (HFZ-220), Center for Devices and Radiological Health, Food and Drug Administration, 1350 Piccard Dr., Rockville, MD 20850. Send one self-addressed adhesive label to assist that office in processing your request, or fax your request to 240-276-3151. See the<E T="02">SUPPLEMENTARY INFORMATION</E>section for information on electronic access to the guidance.</P>

          <P>Submit written comments concerning this guidance to the Division of Dockets Management (HFA-305), Food and Drug Administration, 5630 Fishers Lane, rm. 1061, Rockville, MD 20852. Submit electronic comments to<E T="03">http://www.regulations.gov.</E>Identify comments with the docket number found in brackets in the heading of this document.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Charles N. Durfor, Center for Devices and Radiological Health (HFZ-410), Food and Drug Administration, 9200 Corporate Blvd., Rockville, MD 20850, 240-276-3555.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Background</HD>
        <P>In the<E T="04">Federal Register</E>of April 6, 2006 (71 FR 17390), FDA's Center for Devices and Radiological Health (CDRH) published a proposed rule to reclassify the TOCE device type from class III (premarket approval) into class II (special controls) after reviewing current technological and scientific developments. To support the reclassification, CDRH issued a draft class II special controls guidance document entitled “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities” (71 FR 17476). Interested persons were invited to comment on the proposed rule and guidance by July 5, 2006. FDA received 11 comments on the proposed rule. The comments received discussed academic literature, clinical experiences, and patient outcomes that support the proposed reclassification's determinations of the safety and effectiveness of the TOCE device. The comments did not recommend any changes to the proposed regulation.</P>
        <P>FDA is now identifying the guidance document entitled “Class II Special Controls Guidance Document: Topical Oxygen Chamber for Extremities” as the special control for these devices. This guidance document provides a means by which manufacturers of TOCE devices may comply with the requirement of special controls for class II devices. Following the effective date of the final reclassification rule, any manufacturer submitting a premarket notification submission under section 510(k) of the Federal Food, Drug, and Cosmetic Act (the FD&amp;C act) (21 U.S.C. 360(k)) for a TOCE device will need to address the issues covered in the special controls guidance document. However, the manufacturer need only show that its device meets the recommendations in the guidance document or in some other way provides equivalent assurances of safety and effectiveness.</P>
        <HD SOURCE="HD1">II. Significance of Special Controls Guidance</HD>
        <P>FDA believes that adherence to the recommendations described in this guidance document, in addition to the general controls, will provide reasonable assurance of the safety and effectiveness of TOCE classified under § 878.5650 (21 CFR 878.5650). The final rule establishing this guidance document as a special control will be effective May 25, 2011. Following the effective date of the final rule, TOCE classified under § 878.5650 must comply with the requirement of special controls; manufacturers must address the issues requiring special controls as identified in the guidance, either by following the recommendations in the guidance or by some other means that provides equivalent assurances of safety and effectiveness.</P>
        <HD SOURCE="HD1">III. Electronic Access</HD>

        <P>Persons with access to the Internet may obtain the document at either<E T="03">http://www.fda.gov/RegulatoryInformation/Guidances/default.htm</E>or<E T="03">http://www.regulation.gov.</E>Always access an FDA guidance document by using FDA's Web site listed previously to find the most current version of the guidance.</P>
        <HD SOURCE="HD1">IV. Paperwork Reduction Act of 1995</HD>
        <P>This guidance refers to previously approved collections of information found in FDA regulations. These collections of information were subject to review by the Office of Management and Budget (OMB) under the Paperwork Reduction Act of 1995 (PRA) (44 U.S.C. 3501-3520).</P>

        <P>The collections of information in 21 CFR part 807, subpart E, have been approved under OMB control number 0910-0120; the collections of information in 21 CFR part 801 have been approved under OMB control number 0910-0485; the collections of information in 21 CFR part 820 have been approved under OMB control number 0910-0073; the collections of information in 21 CFR part 812 have been approved under OMB control number 0910-0078; and the collections of information in 21 CFR parts 50 and<PRTPAGE P="22907"/>56 have been approved under OMB control number 0910-0130.</P>
        <HD SOURCE="HD1">V. Comments</HD>

        <P>Interested persons may submit to the Division of Dockets Management (see<E T="02">ADDRESSES</E>) either electronic or written comments regarding this document. It is only necessary to send one set of comments. It is no longer necessary to send two copies of mailed comments. Identify comments with the docket number found in brackets in the heading of this document. Received comments may be seen in the Division of Dockets Management between 9 a.m. and 4 p.m., Monday through Friday.</P>
        <SIG>
          <DATED>Dated:<E T="03">April 19, 2011.</E>
          </DATED>
          <NAME>Leslie Kux,</NAME>
          <TITLE>Acting Assistant Commissioner for Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2011-9898 Filed 4-22-11; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>National Institutes of Health</SUBAGY>
        <SUBJECT>Center for Scientific Review; Notice of Closed Meetings</SUBJECT>
        <P>Pursuant to section 10(d) of the Federal Advisory Committee Act, as amended (5 U.S.C. App.), notice is hereby given of the following meetings.</P>
        <P>The meetings will be closed to the public in accordance with the provisions set forth in sections 552b(c)(4) and 552b(c)(6), Title 5 U.S.C., as amended. The grant applications and the discussions could disclose confidential trade secrets or commercial property such as patentable material, and personal information concerning individuals associated with the grant applications, the disclosure of which would constitute a clearly unwarranted invasion of personal privacy.</P>
        
        <P>
          <E T="03">Name of Committee:</E>Integrative, Functional and Cognitive Neuroscience Integrated Review Group; Auditory System Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1-2, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Embassy Suites at the Chevy Chase Pavilion, 4300 Military Road, NW., Washington, DC 20015.</P>
        <P>
          <E T="03">Contact Person:</E>Lynn E Luethke, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5166, MSC 7844, Bethesda, MD 20892, (301) 806-3323,<E T="03">luethkel@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Endocrinology, Metabolism, Nutrition and Reproductive Sciences; Integrated Review Group. Molecular and Cellular Endocrinology Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Doubletree Hotel Bethesda, 8120 Wisconsin Avenue, Bethesda, MD 20814.</P>
        <P>
          <E T="03">Contact Person:</E>John Bleasdale, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6170 MSC 7892, Bethesda, MD 20892, 301-435-4514,<E T="03">bleasdaleje@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Genes, Genomes, and Genetics Integrated Review Group; Molecular Genetics B Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1-2, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Avenue Crowne Plaza Hotel and Suites, 160 E. Huron Street, Chicago, IL 60611.</P>
        <P>
          <E T="03">Contact Person:</E>Richard A Currie, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5128, MSC 7840, Bethesda, MD 20892, (301) 435-1219,<E T="03">currieri@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Integrative, Functional and Cognitive Neuroscience Integrated Review Group; Cognitive Neuroscience Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>One Washington Circle Hotel, One Washington Circle, NW., Washington, DC 20037.</P>
        <P>
          <E T="03">Contact Person:</E>Kirk Thompson, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5184, MSC 7844, Bethesda, MD 20892, 301-435-1242,<E T="03">kgt@mail.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Biological Chemistry and Macromolecular Biophysics Integrated Review Group; Macromolecular Structure and Function E Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Hotel Monticello, 1075 Thomas Jefferson Street, NW., Washington, DC 20007.</P>
        <P>
          <E T="03">Contact Person:</E>Nitsa Rosenzweig, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 1102, MSC 7760, Bethesda, MD 20892, (301) 435-1747,<E T="03">rosenzweign@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Biological Chemistry and Macromolecular Biophysics Integrated Review Group; Synthetic and Biological Chemistry B Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1-2, 2011.</P>
        <P>
          <E T="03">Time:</E>8:30 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>The Dupont Hotel, 1500 New Hampshire Avenue, NW., Washington, DC 20036.</P>
        <P>
          <E T="03">Contact Person:</E>Kathryn M Koeller, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 4166, MSC 7806, Bethesda, MD 20892, 301-435-2681,<E T="03">koellerk@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Surgical Sciences, Biomedical Imaging and Bioengineering Integrated Review Group; Surgery, Anesthesiology and Trauma Study Section.</P>
        <P>
          <E T="03">Date:</E>June 1-2, 2011.</P>
        <P>
          <E T="03">Time:</E>9 a.m. to 3 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>The Allerton Hotel, 701 North Michigan Avenue, Chicago, IL 60611.</P>
        <P>
          <E T="03">Contact Person:</E>Weihua Luo, MD, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5114, MSC 7854, Bethesda, MD 20892, (301) 435-1170,<E T="03">luow@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Endocrinology, Metabolism, Nutrition and Reproductive Sciences Integrated Review Group; Cellular, Molecular and Integrative Reproduction Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2, 2011.</P>
        <P>
          <E T="03">Time:</E>7 a.m. to 7 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>The Allerton Hotel, 701 North Michigan Avenue, Chicago, IL 60611.</P>
        <P>
          <E T="03">Contact Person:</E>Gary Hunnicutt, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6164, MSC 7892, Bethesda, MD 20892, 301-435-0229,<E T="03">gary.hunnicutt@nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Oncology 1-Basic Translational Integrated Review Group; Cancer Molecular Pathobiology Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>The Fairmont Washington, DC, 2401 M Street, NW., Washington, DC 20037.</P>
        <P>
          <E T="03">Contact Person:</E>Manzoor Zarger, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6208, MSC 7804, Bethesda, MD 20892, (301) 435-2477,<E T="03">zargerma@csr.nih.gov.</E>
        </P>
        
        <PRTPAGE P="22908"/>
        <P>
          <E T="03">Name of Committee:</E>Biobehavioral and Behavioral Processes Integrated Review Group; Cognition and Perception Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Doubletree Hotel Washington, 1515 Rhode Island Avenue, NW., Washington, DC 20005.</P>
        <P>
          <E T="03">Contact Person:</E>Dana Jeffrey Plude, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 3176, MSC 7848, Bethesda, MD 20892, (301) 435-2309,<E T="03">pluded@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Genes, Genomes, and Genetics Integrated Review Group; Molecular Genetics A Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Renaissance M Street Hotel, 1143 New Hampshire Avenue, NW., Washington, DC 20037.</P>
        <P>
          <E T="03">Contact Person:</E>Michael M Sveda, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 1114, MSC 7890, Bethesda, MD 20892, 301-435-3565,<E T="03">svedam@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Infectious Diseases and Microbiology Integrated Review Group; Vector Biology Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 6:30 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>One Washington Circle Hotel, One Washington Circle, NW., Washington, DC 20037.</P>
        <P>
          <E T="03">Contact Person:</E>Liangbiao Zheng, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 3214, MSC 7808, Bethesda, MD 20892, 301-402-5671,<E T="03">zhengli@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Immunology Integrated Review Group; Transplantation, Tolerance, and Tumor Immunology Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 2:30 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Washington Plaza Hotel, 10 Thomas Circle, NW., Washington, DC 20005.</P>
        <P>
          <E T="03">Contact Person:</E>Jin Huang, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 4199, MSC 7812, Bethesda, MD 20892, 301-435-1230,<E T="03">jh377p@nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Immunology Integrated Review Group; Immunity and Host Defense Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 2 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Embassy Suites at the Chevy Chase Pavilion, 4300 Military Road, NW., Washington, DC 20015.</P>
        <P>
          <E T="03">Contact Person:</E>Patrick K Lai, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 2215, MSC 7812, Bethesda, MD 20892, 301-435-1052,<E T="03">laip@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Endocrinology, Metabolism, Nutrition and Reproductive Sciences Integrated Review Group; Integrative and Clinical Endocrinology and Reproduction Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>The Allerton Hotel, 701 North Michigan Avenue, Chicago, IL 60611.</P>
        <P>
          <E T="03">Contact Person:</E>David Weinberg, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6170, MSC 7892, Bethesda, MD 20892, 301-435-1044,<E T="03">David.Weinberg@nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Cell Biology Integrated Review Group; Nuclear and Cytoplasmic Structure/Function and Dynamics Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Sir Francis Drake Hotel, 450 Powell Street at Sutter, San Francisco, CA 94102.</P>
        <P>
          <E T="03">Contact Person:</E>David Balasundaram, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5189, MSC 7840, Bethesda, MD 20892, 301-435-1022,<E T="03">balasundaramd@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Integrative, Functional and Cognitive Neuroscience Integrated Review Group; Neuroendocrinology, Neuroimmunology, Rhythms and Sleep Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Pier 5 Hotel, 711 Eastern Avenue, Baltimore, MD 21202.</P>
        <P>
          <E T="03">Contact Person:</E>Michael Selmanoff, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5164, MSC 7844, Bethesda, MD 20892, 301-435-1119,<E T="03">mselmanoff@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Endocrinology, Metabolism, Nutrition and Reproductive Sciences Integrated Review Group; Clinical and Integrative Diabetes and Obesity Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 7 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Hyatt Regency Bethesda, One Bethesda Metro Center, 7400 Wisconsin Avenue, Bethesda, MD 20814.</P>
        
        <P>
          <E T="03">Contact Person:</E>Nancy Sheard, SCD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6046-E, MSC 7892, Bethesda, MD 20892, 301-408-9901,<E T="03">sheardn@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Brain Disorders and Clinical Neuroscience Integrated Review Group; Developmental Brain Disorders Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Beacon Hotel and Corporate Quarters, 1615 Rhode Island Avenue, NW., Washington, DC 20036.</P>
        <P>
          <E T="03">Contact Person:</E>Pat Manos, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 5200, MSC 7846, Bethesda, MD 20892, 301-408-9866,<E T="03">manospa@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Endocrinology, Metabolism, Nutrition and Reproductive Sciences Integrated Review Group; Integrative Physiology of Obesity and Diabetes Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>One Washington Circle Hotel, One Washington Circle, NW., Washington, DC 20037.</P>
        <P>
          <E T="03">Contact Person:</E>Reed A Graves, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 6166, MSC 7892, Bethesda, MD 20892, (301) 402-6297,<E T="03">gravesr@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Digestive, Kidney and Urological Systems Integrated Review Group; Gastrointestinal Mucosal Pathobiology Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 3 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Hyatt Regency Bethesda, One Bethesda Metro Center, 7400 Wisconsin Avenue, Bethesda, MD 20814.<PRTPAGE P="22909"/>
        </P>
        <P>
          <E T="03">Contact Person:</E>Peter J Perrin, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 2180, MSC 7818, Bethesda, MD 20892, (301) 435-0682,<E T="03">perrinp@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Risk, Prevention and Health Behavior Integrated Review Group; Psychosocial Risk and Disease Prevention Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:</E>To review and evaluate grant applications.</P>
        <P>
          <E T="03">Place:</E>Hyatt Regency Bethesda, One Bethesda Metro Center, 7400 Wisconsin Avenue, Bethesda, MD 20814.</P>
        <P>
          <E T="03">Contact Person:</E>Stacey FitzSimmons, PhD, Scientific Review Officer, Center for Scientific Review, National Institutes of Health, 6701 Rockledge Drive, Room 3114, MSC 7808, Bethesda, MD 20892, 301-451-9956,<E T="03">fitzsimmonss@csr.nih.gov.</E>
        </P>
        
        <P>
          <E T="03">Name of Committee:</E>Risk, Prevention and Health Behavior Integrated Review Group; Risk, Prevention and Intervention for Addictions Study Section.</P>
        <P>
          <E T="03">Date:</E>June 2-3, 2011.</P>
        <P>
          <E T="03">Time:</E>8 a.m. to 5 p.m.</P>
        <P>
          <E T="03">Agenda:<