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  <VOL>77</VOL>
  <NO>118</NO>
  <DATE>Tuesday, June 19, 2012</DATE>
  <UNITNAME>Contents</UNITNAME>
  <CNTNTS>
    <AGCY>
      <EAR>Agricultural Research</EAR>
      <PRTPAGE P="iii"/>
      <HD>Agricultural Research Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Intents to Grant Exclusive Licenses,</DOC>
          <PGS>36477</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14833</FRDOCBP>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14834</FRDOCBP>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14835</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Agriculture</EAR>
      <HD>Agriculture Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Agricultural Research Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Agricultural Statistics Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Rural Housing Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Air Force</EAR>
      <HD>Air Force Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>U.S. Air Force Scientific Advisory Board,</SJDOC>
          <PGS>36492-36493</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14917</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Alcohol Tobacco Tax</EAR>
      <HD>Alcohol and Tobacco Tax and Trade Bureau</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Establishment of Elkton Oregon Viticultural Area,</DOC>
          <PGS>36433-36439</PGS>
          <FRDOCBP D="6" T="19JNP1.sgm">2012-14920</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Architectural</EAR>
      <HD>Architectural and Transportation Barriers Compliance Board</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings,</DOC>
          <PGS>36479</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14914</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Consumer Financial Protection</EAR>
      <HD>Bureau of Consumer Financial Protection</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36489-36491</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14857</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Request for Information Regarding Senior Financial Exploitation,</DOC>
          <PGS>36491-36492</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14854</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Centers Disease</EAR>
      <HD>Centers for Disease Control and Prevention</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Disease, Disability, and Injury Prevention and Control Special Emphasis Panel,</SJDOC>
          <PGS>36544</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14922</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Coast Guard</EAR>
      <HD>Coast Guard</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Drawbridge Operations:</SJ>
        <SJDENT>
          <SJDOC>Sacramento River, Isleton, CA,</SJDOC>
          <PGS>36393</PGS>
          <FRDOCBP D="0" T="19JNR1.sgm">2012-14974</FRDOCBP>
        </SJDENT>
        <SJ>Safety Zones:</SJ>
        <SJDENT>
          <SJDOC>Fireworks Display, Potomac River, National Harbor Access Channel, Oxon Hill, MD,</SJDOC>
          <PGS>36394-36396</PGS>
          <FRDOCBP D="2" T="19JNR1.sgm">2012-14846</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Fireworks Displays in Captain of the Port Long Island Sound Zone,</SJDOC>
          <PGS>36396-36400</PGS>
          <FRDOCBP D="4" T="19JNR1.sgm">2012-14847</FRDOCBP>
        </SJDENT>
        <SJ>Special Local Regulations:</SJ>
        <SJDENT>
          <SJDOC>Annual Bayview Mackinac Race,</SJDOC>
          <PGS>36390-36393</PGS>
          <FRDOCBP D="3" T="19JNR1.sgm">2012-14972</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Safety Zones:</SJ>
        <SJDENT>
          <SJDOC>Bullhead City Regatta; Bullhead City, AZ,</SJDOC>
          <PGS>36439-36442</PGS>
          <FRDOCBP D="3" T="19JNP1.sgm">2012-14845</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commerce</EAR>
      <HD>Commerce Department</HD>
      <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 Institute of Standards and Technology</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Oceanic and Atmospheric Administration</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Commission Fine</EAR>
      <HD>Commission of Fine Arts</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings,</DOC>
          <PGS>36489</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14689</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commodity Futures</EAR>
      <HD>Commodity Futures Trading Commission</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Core Principles and Other Requirements for Designated Contract Markets,</DOC>
          <PGS>36612-36726</PGS>
          <FRDOCBP D="114" T="19JNR2.sgm">2012-12746</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>36489</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-15000</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Defense Department</EAR>
      <HD>Defense Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Air Force Department</P>
      </SEE>
    </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>Education Department</EAR>
      <HD>Education Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>National Assessment of Educational Progress 2013 Wave II,</SJDOC>
          <PGS>36493</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14898</FRDOCBP>
        </SJDENT>
        <SJ>Applications for New Awards:</SJ>
        <SJDENT>
          <SJDOC>Personnel Development to Improve Services and Results for Children with Disabilities, etc.,</SJDOC>
          <PGS>36510-36519</PGS>
          <FRDOCBP D="9" T="19JNN1.sgm">2012-14944</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities, etc.,</SJDOC>
          <PGS>36493-36510</PGS>
          <FRDOCBP D="8" T="19JNN1.sgm">2012-14940</FRDOCBP>
          <FRDOCBP D="9" T="19JNN1.sgm">2012-14942</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Employment and Training</EAR>
      <HD>Employment and Training Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Investigations:</SJ>
        <SJDENT>
          <SJDOC>Infrared Optics-Saxonburg Division, et al., Saxonburg, PA; Revised Determination on Reconsideration,</SJDOC>
          <PGS>36579</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14907</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Energy Department</EAR>
      <HD>Energy Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Energy Regulatory Commission</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Environmental Impact Statements; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Hydrogen Energy California's Integrated Gasification Combined Cycle Project, Kern County, CA; Amended,</SJDOC>
          <PGS>36519-36524</PGS>
          <FRDOCBP D="5" T="19JNN1.sgm">2012-14867</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Environmental Protection</EAR>
      <HD>Environmental Protection Agency</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Approvals and Promulgations of Air Quality Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>Massachusetts; Determination of Attainment of 1997 Ozone Standard for Western Massachusetts Nonattainment Area,</SJDOC>
          <PGS>36404-36405</PGS>
          <FRDOCBP D="1" T="19JNR1.sgm">2012-14719</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Texas; Determination of Failure to Attain 1-Hour Ozone Standard,</SJDOC>
          <PGS>36400-36403</PGS>
          <FRDOCBP D="3" T="19JNR1.sgm">2012-14713</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Approvals and Promulgations of Air Quality Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>Michigan; PSD Regulations,</SJDOC>
          <PGS>36442-36443</PGS>
          <FRDOCBP D="1" T="19JNP1.sgm">2012-14937</FRDOCBP>
        </SJDENT>
        <SJ>Disapprovals and Promulgations of Air Quality Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>State of Utah; Revisions to Open Burning Regulations,</SJDOC>
          <PGS>36443-36447</PGS>
          <FRDOCBP D="4" T="19JNP1.sgm">2012-14943</FRDOCBP>
        </SJDENT>
        <SJ>Hazardous Waste Management System:</SJ>
        <SJDENT>
          <SJDOC>Identification and Listing of Hazardous Waste,</SJDOC>
          <PGS>36447-36456</PGS>
          <FRDOCBP D="9" T="19JNP1.sgm">2012-14780</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <PRTPAGE P="iv"/>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Benchmark Dose Technical Guidance; Availability,</DOC>
          <PGS>36533</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14897</FRDOCBP>
        </DOCENT>
        <SJ>Determinations:</SJ>
        <SJDENT>
          <SJDOC>Massachusetts Marine Sanitation Device Standard,</SJDOC>
          <PGS>36533-36534</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14919</FRDOCBP>
        </SJDENT>
        <SJ>Draft Reports; Availability:</SJ>
        <SJDENT>
          <SJDOC>Third External Review Draft Integrated Science Assessment for Ozone and Related Photochemical Oxidants,</SJDOC>
          <PGS>36534-36536</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14776</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Executive Office of the President</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Presidential Documents</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Export Import</EAR>
      <HD>Export-Import Bank</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Economic Impact Policy,</DOC>
          <PGS>36536</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14856</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Aviation</EAR>
      <HD>Federal Aviation Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Airworthiness Directives:</SJ>
        <SJDENT>
          <SJDOC>Bell Helicopter Textron Canada, Limited, Helicopters,</SJDOC>
          <PGS>36389-36390</PGS>
          <FRDOCBP D="1" T="19JNR1.sgm">2012-14804</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Waivers for Aeronautical Land-Use Assurance:</SJ>
        <SJDENT>
          <SJDOC>Saline County Regional Airport, Benton, AR,</SJDOC>
          <PGS>36602-36603</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14864</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Communications</EAR>
      <HD>Federal Communications Commission</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Connect America Fund; A National Broadband Plan for Our Future:</SJ>
        <SJDENT>
          <SJDOC>Establishing Just and Reasonable Rates for Local Exchange Carriers; High-Cost Universal Service Support; Correction,</SJDOC>
          <PGS>36406</PGS>
          <FRDOCBP D="0" T="19JNR1.sgm">2012-14303</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Emergency</EAR>
      <HD>Federal Emergency Management Agency</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>National Flood Insurance Program:</SJ>
        <SJDENT>
          <SJDOC>Assistance to Private Sector Property Insurers, Availability of FY 2013 Arrangement,</SJDOC>
          <PGS>36566</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14831</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Energy</EAR>
      <HD>Federal Energy Regulatory Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Applications:</SJ>
        <SJDENT>
          <SJDOC>Freedom Falls, LLC,</SJDOC>
          <PGS>36524-36525</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14877</FRDOCBP>
        </SJDENT>
        <SJ>Environmental Assessments; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Cheniere Creole Trail Pipeline Company, LP, Creole Trail Expansion Project,</SJDOC>
          <PGS>36525-36527</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14879</FRDOCBP>
        </SJDENT>
        <SJ>Filings:</SJ>
        <SJDENT>
          <SJDOC>Enstor Grama Ridge Storage and Transportation, LLC,</SJDOC>
          <PGS>36527</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14878</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Enstor Katy Storage and Transportation, LP,</SJDOC>
          <PGS>36527-36528</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14873</FRDOCBP>
        </SJDENT>
        <SJ>Initial Market-Based Rate Filings Including Requests for Blanket Section 204 Authorization:</SJ>
        <SJDENT>
          <SJDOC>Apple Group LLC,</SJDOC>
          <PGS>36529-36530</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14881</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>K Road Modesto Solar LLC,</SJDOC>
          <PGS>36528-36529</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14883</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Patton Wind Farm, LLC,</SJDOC>
          <PGS>36529</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14882</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>South Jersey Energy ISO1, LLC,</SJDOC>
          <PGS>36528</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14884</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>South Jersey Energy ISO2, LLC,</SJDOC>
          <PGS>36528</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14874</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>36530-36531</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-15040</FRDOCBP>
        </DOCENT>
        <SJ>Preliminary Permit Applications:</SJ>
        <SJDENT>
          <SJDOC>Yegua Mesa Hydro, LLC,</SJDOC>
          <PGS>36531-36532</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14876</FRDOCBP>
        </SJDENT>
        <SJ>Requests under Blanket Authorization:</SJ>
        <SJDENT>
          <SJDOC>Columbia Gas Transmission, LLC,</SJDOC>
          <PGS>36532</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14880</FRDOCBP>
        </SJDENT>
        <SJ>Staff Attendances:</SJ>
        <SJDENT>
          <SJDOC>Joint Inter-Regional Planning Task Force / Electric System Planning Working Group,</SJDOC>
          <PGS>36532</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14875</FRDOCBP>
        </SJDENT>
        <SJ>Technical Conferences:</SJ>
        <SJDENT>
          <SJDOC>Review of Small Generator Interconnection Agreements and Procedures, etc.,</SJDOC>
          <PGS>36532-36533</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14885</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Housing Finance Agency</EAR>
      <HD>Federal Housing Finance Agency</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Examination Rating System,</DOC>
          <PGS>36536-36542</PGS>
          <FRDOCBP D="6" T="19JNN1.sgm">2012-14912</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Railroad</EAR>
      <HD>Federal Railroad Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36603-36604</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14933</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Reserve</EAR>
      <HD>Federal Reserve System</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Formations of, Acquisitions by, and Mergers of Bank Holding Companies,</DOC>
          <PGS>36542-36543</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14895</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Proposals to Engage in or to Acquire Companies Engaged in Permissible Nonbanking Activities,</DOC>
          <PGS>36543</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14820</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Trade</EAR>
      <HD>Federal Trade Commission</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Labeling Requirements for Alternative Fuels and Alternative Fueled Vehicles,</DOC>
          <PGS>36423-36428</PGS>
          <FRDOCBP D="5" T="19JNP1.sgm">2012-14828</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Fine Arts Commission</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Commission of Fine Arts</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Fish</EAR>
      <HD>Fish and Wildlife Service</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Revised Designation of Critical Habitat for Pacific Coast Population of Western Snowy Plover,</SJDOC>
          <PGS>36728-36869</PGS>
          <FRDOCBP D="141" T="19JNR3.sgm">2012-13886</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Designation of Critical Habitat for Coqui Llanero,</SJDOC>
          <PGS>36457-36460</PGS>
          <FRDOCBP D="3" T="19JNP1.sgm">2012-14733</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Removing the Magazine Mountain Shagreen from the Federal List,</SJDOC>
          <PGS>36460-36476</PGS>
          <FRDOCBP D="16" T="19JNP1.sgm">2012-14502</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Withdrawal of the Proposed Rule to List Dunes Sagebrush Lizard,</SJDOC>
          <PGS>36872-36899</PGS>
          <FRDOCBP D="27" T="19JNP2.sgm">2012-14818</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Thick-billed Parrot Draft Recovery Plan Addendum,</SJDOC>
          <PGS>36569-36571</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14853</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Endangered Species Permit Applications,</DOC>
          <PGS>36571-36573</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14855</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food and Drug</EAR>
      <HD>Food and Drug Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Survey on the Occurrence of Foodborne Illness Risk Factors in Selected Retail and Foodservice Facility Types,</SJDOC>
          <PGS>36544-36548</PGS>
          <FRDOCBP D="4" T="19JNN1.sgm">2012-14850</FRDOCBP>
        </SJDENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Dermatologic and Ophthalmic Drugs Advisory Committee,</SJDOC>
          <PGS>36548-36549</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14814</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>General Services</EAR>
      <HD>General Services Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Acquisition Regulation Part 523; Environmental Conservation, Occupational Safety, and Drug-Free Workplace,</SJDOC>
          <PGS>36543-36544</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14836</FRDOCBP>
        </SJDENT>
      </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>
        <PRTPAGE P="v"/>
        <HD SOURCE="HED">See</HD>
        <P>Food and Drug Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Health Resources and Services Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Indian Health Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Institutes of Health</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Health Resources</EAR>
      <HD>Health Resources and Services Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Advisory Committee on Infant Mortality,</SJDOC>
          <PGS>36549</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14825</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Advisory Committee on Training in Primary Care Medicine and Dentistry,</SJDOC>
          <PGS>36550</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14822</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Nursing Workforce Diversity Invitational Summit,</SJDOC>
          <PGS>36549-36550</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14823</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>Transportation Security Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>U.S. Customs and Border Protection</P>
      </SEE>
    </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>Generic Customer Satisfaction Surveys,</SJDOC>
          <PGS>36568</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14869</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Indian Health</EAR>
      <HD>Indian Health Service</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Indian Health Service</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Office of Clinical and Preventive Services Funding Opportunity:</SJ>
        <SJDENT>
          <SJDOC>National HIV Program for Enhanced HIV/AIDS Screening and Engagement in Care,</SJDOC>
          <PGS>36550-36557</PGS>
          <FRDOCBP D="7" T="19JNN1.sgm">2012-14891</FRDOCBP>
        </SJDENT>
        <SJ>Office of Urban Indian Health Programs Funding Opportunity:</SJ>
        <SJDENT>
          <SJDOC>Title V HIV/AIDS Program,</SJDOC>
          <PGS>36557-36563</PGS>
          <FRDOCBP D="6" T="19JNN1.sgm">2012-14887</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Reimbursement Rates for Calendar Year 2012; Correction,</DOC>
          <PGS>36563</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14896</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Industry</EAR>
      <HD>Industry and Security Bureau</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Proposed “Specially Designed” Definition,</DOC>
          <PGS>36409-36419</PGS>
          <FRDOCBP D="10" T="19JNP1.sgm">2012-14475</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Request for Comments on the Feasibility of Enumerating Specially Designed Components,</DOC>
          <PGS>36419-36423</PGS>
          <FRDOCBP D="4" T="19JNP1.sgm">2012-14473</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>License Transfer and Duplicate License Services,</SJDOC>
          <PGS>36479-36480</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14851</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Interior</EAR>
      <HD>Interior Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Fish and Wildlife Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Land Management Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Park Service</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Payments in Lieu of Taxes,</SJDOC>
          <PGS>36568-36569</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14915</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Internal Revenue</EAR>
      <HD>Internal Revenue Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36608-36609</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14843</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>International Trade Adm</EAR>
      <HD>International Trade Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Antidumping Duty Administrative Reviews; Results, Extensions, Amendments, etc.:</SJ>
        <SJDENT>
          <SJDOC>Fresh Garlic from People's Republic of China,</SJDOC>
          <PGS>36480-36481</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14966</FRDOCBP>
        </SJDENT>
        <SJ>Methodological Change for Implementation of Section 772(c)(2)(B) of the Tariff Act of 1930, as Amended:</SJ>
        <SJDENT>
          <SJDOC>Certain Non-Market Economy Antidumping Proceedings,</SJDOC>
          <PGS>36481-36485</PGS>
          <FRDOCBP D="4" T="19JNN1.sgm">2012-14964</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>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Leased/Charter Flight Personnel Expedited Clearance Request,</SJDOC>
          <PGS>36574-36575</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14842</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Lodgings of Consent Decrees,</DOC>
          <PGS>36575</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14815</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Proposed Consent Decrees,</DOC>
          <PGS>36575</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14840</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Justice Programs</EAR>
      <HD>Justice Programs Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Survey of General Purpose Law Enforcement Agencies, 2012,</SJDOC>
          <PGS>36575-36576</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14841</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>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Occupational Safety and Health Administration</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Notice of Termination, Suspension, Reduction, or Increase in Benefit Payments,</SJDOC>
          <PGS>36576-36577</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14862</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Tax Performance System,</SJDOC>
          <PGS>36577-36578</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14894</FRDOCBP>
        </SJDENT>
        <SJ>Dominican Republic-Central America-United States Free Trade Agreement:</SJ>
        <SJDENT>
          <SJDOC>Request for Public Comments on Submission #2011-03 (Dominican Republic),</SJDOC>
          <PGS>36578-36579</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14951</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Land</EAR>
      <HD>Land Management Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Filings of Plats:</SJ>
        <SJDENT>
          <SJDOC>Colorado,</SJDOC>
          <PGS>36573</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14913</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Legal</EAR>
      <HD>Legal Services Corporation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>36580</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-15022</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Agricultural</EAR>
      <HD>National Agricultural Statistics Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36477-36478</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14824</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Institute</EAR>
      <HD>National Institute of Standards and Technology</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Alternative Personnel Management System,</DOC>
          <PGS>36485-36487</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14918</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Institute</EAR>
      <HD>National Institutes of Health</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>National Cancer Institute,</SJDOC>
          <PGS>36564-36565</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14926</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Heart, Lung, and Blood Institute,</SJDOC>
          <PGS>36565</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14925</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Allergy and Infectious Diseases,</SJDOC>
          <PGS>36563</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14930</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Diabetes and Digestive and Kidney Diseases,</SJDOC>
          <PGS>36564</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14929</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <PRTPAGE P="vi"/>
          <SJDOC>National Institute of General Medical Sciences,</SJDOC>
          <PGS>36563</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14927</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Mental Health,</SJDOC>
          <PGS>36565-36566</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14934</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Neurological Disorders and Stroke,</SJDOC>
          <PGS>36563-36564</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14932</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute on Minority Health and Health Disparities,</SJDOC>
          <PGS>36564</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14928</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Oceanic</EAR>
      <HD>National Oceanic and Atmospheric Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Vessel Monitoring System Requirements under the Western and Central Pacific Fisheries Convention,</SJDOC>
          <PGS>36488</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14865</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Western and Central Pacific Fisheries Convention Vessel Information Family of Forms,</SJDOC>
          <PGS>36487</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14852</FRDOCBP>
        </SJDENT>
        <SJ>Applications:</SJ>
        <SJDENT>
          <SJDOC>Marine Mammals; File No. 17350,</SJDOC>
          <PGS>36488-36489</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14931</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>Fort Matanzas National Monument, FL,</SJDOC>
          <PGS>36573-36574</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14899</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Science</EAR>
      <HD>National Science Foundation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Antarctic Conservation Act Permit Applications,</DOC>
          <PGS>36581</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14838</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Nuclear Regulatory</EAR>
      <HD>Nuclear Regulatory Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Advisory Committee on Reactor Safeguards Subcommittee on Planning and Procedures,</SJDOC>
          <PGS>36583</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14892</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Advisory Committee on Reactor Safeguards Subcommittee on Plant License Renewal,</SJDOC>
          <PGS>36582-36583</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14888</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Advisory Committee on Reactor Safeguards Subcommittee on Regulatory Policies and Practices,</SJDOC>
          <PGS>36582</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14889</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Advisory Committee On Reactor Safeguards Subcommittee on U.S. Advanced Pressurized Power Reactor,</SJDOC>
          <PGS>36581-36582</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14886</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>36583</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-15001</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>NRC Form 5, Occupational Dose Record for a Monitoring Period,</DOC>
          <PGS>36583-36584</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14872</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Occupational Safety Health Adm</EAR>
      <HD>Occupational Safety and Health Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Establishing Indicators to Determine whether State Plan Operations are at Least as Effective as Federal OSHA,</SJDOC>
          <PGS>36579-36580</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14900</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Pipeline</EAR>
      <HD>Pipeline and Hazardous Materials Safety Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Actions on Special Permit Applications,</DOC>
          <PGS>36604-36605</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14692</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Delays in Processing of Special Permits Applications,</DOC>
          <PGS>36605-36606</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14698</FRDOCBP>
        </DOCENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Government/Industry Pipeline Research and Development Forum,</SJDOC>
          <PGS>36606-36607</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14903</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Special Permit Applications,</DOC>
          <PGS>36607</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14696</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Special Permit Modification Applications,</DOC>
          <PGS>36607-36608</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14693</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Postal Regulatory</EAR>
      <HD>Postal Regulatory Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Post Office Box Service Enhancements,</DOC>
          <PGS>36585</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14902</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Postal Rate Changes,</DOC>
          <PGS>36585-36586</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14890</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Presidential Documents</EAR>
      <HD>Presidential Documents</HD>
      <CAT>
        <HD>ADMINISTRATIVE ORDERS</HD>
        <SJ>National Defense Authorization Act for Fiscal Year 2012; Actions Pursuant to Section 1245 (Presidential Determination)</SJ>
        <SJDENT>
          <SJDOC>No. 2012-09 of June 11, 2012,</SJDOC>
          <PGS>36387</PGS>
          <FRDOCBP D="0" T="19JNO0.sgm">2012-14993</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Rural Housing Service</EAR>
      <HD>Rural Housing Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36478-36479</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14910</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Securities</EAR>
      <HD>Securities and Exchange Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>36586-36589</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14908</FRDOCBP>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14909</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>36589</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-15057</FRDOCBP>
        </DOCENT>
        <SJ>Self-Regulatory Organizations; Proposed Rule Changes:</SJ>
        <SJDENT>
          <SJDOC>ICE Clear Credit LLC; Correction,</SJDOC>
          <PGS>36599</PGS>
          <FRDOCBP D="0" T="19JNN1.sgm">2012-14858</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>International Securities Exchange, LLC,</SJDOC>
          <PGS>36589-36590</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14906</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NYSE Arca, Inc.,</SJDOC>
          <PGS>36591-36597, 36599-36602</PGS>
          <FRDOCBP D="3" T="19JNN1.sgm">2012-14849</FRDOCBP>
          <FRDOCBP D="6" T="19JNN1.sgm">2012-14905</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NYSE MKT LLC,</SJDOC>
          <PGS>36597-36599</PGS>
          <FRDOCBP D="2" T="19JNN1.sgm">2012-14904</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>State Department</EAR>
      <HD>State Department</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>International Traffic in Arms Regulations:</SJ>
        <SJDENT>
          <SJDOC>Definition for “Specially Designed”,</SJDOC>
          <PGS>36428-36433</PGS>
          <FRDOCBP D="5" T="19JNP1.sgm">2012-14471</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Statistical Reporting Service</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Agricultural Statistics Service</P>
      </SEE>
    </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 Railroad Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Pipeline and Hazardous Materials Safety Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Transportation Security Administration</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Security</EAR>
      <HD>Transportation Security Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Exemptions from Transportation Worker Identification Credential; Expiration Provisions,</DOC>
          <PGS>36406-36408</PGS>
          <FRDOCBP D="2" T="19JNR1.sgm">2012-15027</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Treasury</EAR>
      <HD>Treasury Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Alcohol and Tobacco Tax and Trade Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Internal Revenue Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Customs</EAR>
      <HD>U.S. Customs and Border Protection</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Application and Approval to Manipulate, Examine, Sample, or Transfer Goods,</SJDOC>
          <PGS>36567-36568</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14861</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Voluntary Customer Survey,</SJDOC>
          <PGS>36566-36567</PGS>
          <FRDOCBP D="1" T="19JNN1.sgm">2012-14859</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <PTS>
      <HD SOURCE="HED">Separate Parts In This Issue</HD>
      <HD>Part II</HD>
      <DOCENT>
        <DOC>Commodity Futures Trading Commission,</DOC>
        <PGS>36612-36726</PGS>
        <FRDOCBP D="114" T="19JNR2.sgm">2012-12746</FRDOCBP>
      </DOCENT>
      <HD>Part III</HD>
      <DOCENT>
        <DOC>Interior Department, Fish and Wildlife Service,</DOC>
        <PGS>36728-36869</PGS>
        <FRDOCBP D="141" T="19JNR3.sgm">2012-13886</FRDOCBP>
      </DOCENT>
      <HD>Part IV</HD>
      <DOCENT>
        <DOC>Interior Department, Fish and Wildlife Service,</DOC>
        <PGS>36872-36899</PGS>
        <FRDOCBP D="27" T="19JNP2.sgm">2012-14818</FRDOCBP>
      </DOCENT>
    </PTS>
    <AIDS>
      <PRTPAGE P="vii"/>
      <HD SOURCE="HED">Reader Aids</HD>
      <P>Consult the Reader Aids section at the end of this page for phone numbers, online resources, finding aids, reminders, and notice of recently enacted public laws.</P>
      
      <P>To subscribe to the Federal Register Table of Contents LISTSERV electronic mailing list, go to http://listserv.access.gpo.gov and select Online mailing list archives, FEDREGTOC-L, Join or leave the list (or change settings); then follow the instructions.</P>
    </AIDS>
  </CNTNTS>
  <VOL>77</VOL>
  <NO>118</NO>
  <DATE>Tuesday, June 19, 2012</DATE>
  <UNITNAME>Rules and Regulations</UNITNAME>
  <RULES>
    <RULE>
      <PREAMB>
        <PRTPAGE P="36389"/>
        <AGENCY TYPE="F">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2012-0087; Directorate Identifier 2011-SW-029-AD; Amendment 39-17091; AD 2012-12-11]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; Bell Helicopter Textron Canada, Limited, Helicopters</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are adopting a new airworthiness directive (AD) for Bell Helicopter Textron Canada (Bell) Model 206, 206A, 206A-1, 206B, 206B-1, 206L, 206L-1, 206L-3, and 206L-4 helicopters, with Aviation Specialties Unlimited, Inc. (ASU), Night Vision Imaging System (NVIS) lighting modified by Supplemental Type Certificate SR01383SE (STC). This AD requires determining the date of STC installation, determining if the aircraft has an unfiltered turbine outlet temperature (TOT) internal over-temperature warning light, and based on those findings, installing an NVIS filter. This AD was prompted by the finding that an unfiltered TOT indicator over-temperature warning light, when illuminated, created glare and reflections that could degrade the pilot's view while using night vision goggles thereby creating an unsafe condition. The actions of this AD are intended to modify any unfiltered TOT indicator unit over-temperature warning light by installing a filter to prevent degradation of the pilot's vision while using night vision goggles and to prevent subsequent loss of control of the helicopter.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD is effective July 24, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>For service information identified in this AD, contact Aviation Specialties Unlimited, Inc., 4632 Aeronca Street, Boise, Idaho 83705; telephone (208) 426-8117; fax (208) 426-8975; or<E T="03">http://www.asu-nvg.com/.</E>You may review the referenced service information at the FAA, Office of the Regional Counsel, Southwest Region, 2601 Meacham Blvd., Room 663, Fort Worth, Texas 76137.</P>
          <P>
            <E T="03">Examining the AD Docket:</E>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 AD, any incorporated-by-reference service information, the economic evaluation, any comments received, and other information. The street address for the Docket Operations Office (phone: 800-647-5527) is U.S. Department of Transportation, Docket Operations Office, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE., Washington, DC 20590.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Kathleen Arrigotti, Aviation Safety Engineer, Seattle Aircraft Certification Office, Transport Airplane Directorate, FAA, 1601 Lind Avenue SW., Renton, WA 98057; telephone (425) 917-6426; email<E T="03">kathleen.arrigotti@faa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Discussion</HD>
        <P>On February 3, 2012, at 77 FR 5423, the<E T="04">Federal Register</E>published our notice of proposed rulemaking (NPRM), which proposed to amend 14 CFR part 39 to include an AD that would apply to Bell Model 206, 206A, 206A-1, 206B, 206B-1, 206L, 206L-1, 206L-3, and 206L-4 helicopters, modified with ASU NVIS lighting installed per STC SR01383SE. That NPRM proposed to require, within 30 days or 50 hours time-in-service, whichever occurs first, determining the date of the STC installation. If the date is on or before April 6, 2011, or is undocumented, the NPRM proposed to require determining if the TOT indicator unit has an internal over-temperature warning light. If the unit has an unfiltered internal over-temperature warning light, the NPRM proposed to require installing an NVIS filter, part number (P/N) ASU-TOTGAG-1. The proposed requirements were intended to modify any unfiltered TOT indicator unit over-temperature warning light by installing a filter to prevent degradation of the pilot's vision while using night vision goggles and to prevent subsequent loss of control of the helicopter.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>We gave the public the opportunity to participate in developing this AD, but we did not receive any comments on the NPRM.</P>
        <HD SOURCE="HD1">FAA's Determination</HD>
        <P>We have reviewed the relevant information and determined that an unsafe condition exists and is likely to exist or develop on other helicopters of these same type designs and that air safety and the public interest require adopting the AD requirements as proposed except for an editorial change. We have revised the “Differences Between This Proposed AD and the Service Information” section to include a statement about this AD applying to Model 206A-1 helicopters, whereas the service information does not. This change is consistent with the intent of the proposal and will not increase the economic burden on any operator nor increase the scope of the AD.</P>
        <HD SOURCE="HD1">Related Service Information</HD>
        <P>We reviewed ASU Alert Service Bulletin No. ASU 206-2010-11-1, dated November 4, 2010 (ASB) for the Bell Helicopter Textron 206 series helicopters. The ASB states to visually inspect each helicopter to determine if the TOT indicator/gauge has an internal over-temperature warning light installed. If the over-temperature warning light is internal, the ASB specifies notifying ASU. ASU states it will immediately ship an NVIS filter, P/N ASU-TOTGAG-1.</P>
        <HD SOURCE="HD1">Differences Between This AD and the Service Information</HD>

        <P>This AD does not apply to helicopters modified by the STC after April 6, 2011, because a new design was approved for the STC on April 6, 2011, and contained instructions to install the NVIS over-temperature indicator light filter. This AD applies to Model 206A-1 helicopters, whereas the service information does not. This AD does not require you to notify ASU.<PRTPAGE P="36390"/>
        </P>
        <HD SOURCE="HD1">Costs of Compliance</HD>
        <P>We estimate that this AD will affect 34 helicopters of U.S. Registry.</P>
        <P>We estimate that operators may incur the following costs in order to comply with this AD: Determining the date, inspecting for an unfiltered, over-temperature TOT indicator light in the cockpit, and installing a filter will take about 1.8 work-hours at $85 per work-hour. A filter will cost about $300. The total cost will be $15,402 assuming the filter will be installed on the entire fleet</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. Subtitle VII: Aviation Programs, describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in Subtitle VII, Part A, Subpart III, Section 44701: “General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on helicopters identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>This AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect on the States, on the relationship between the national government and the States, or on the distribution of power and responsibilities among the various levels of government.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify that this AD:</E>
        </P>
        <P>(1) Is not a “significant regulatory action” under Executive Order 12866;</P>
        <P>(2) Is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979);</P>
        <P>(3) Will not affect intrastate aviation in Alaska to the extent that it justifies making a regulatory distinction; and</P>
        <P>(4) Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>We prepared an economic evaluation of the estimated costs to comply with this 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">Adoption of the Amendment</HD>
        <P>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</P>
        <REGTEXT PART="39" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by adding the following new airworthiness directive (AD):</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2012-12-11BELL HELICOPTER TEXTRON CANADA, LIMITED (BELL):</E>Amendment 39-17091; Docket No. FAA-2012-0087; Directorate Identifier 2011-SW-029-AD.</FP>
            <HD SOURCE="HD1">(a) Applicability</HD>
            <P>This AD applies to Model 206, 206A, 206A-1, 206B, 206B-1, 206L, 206L-1, 206L-3, and 206L-4 helicopters, certificated in any category, modified with Aviation Specialties Unlimited, Inc. (ASU), Night Vision Imaging System (NVIS) lighting installed per Supplemental Type Certificate (STC) SR01383SE.</P>
            <HD SOURCE="HD1">(b) Unsafe Condition</HD>
            <P>This AD defines the unsafe condition as an unfiltered turbine outlet temperature (TOT) indicator over-temperature warning light, when illuminated, creating glare and reflections that could degrade the pilot's view through night vision goggles. This condition could result in loss of control of the helicopter.</P>
            <HD SOURCE="HD1">(c) Effective Date</HD>
            <P>This AD becomes effective July 24, 2012.</P>
            <HD SOURCE="HD1">(d) Compliance</HD>
            <P>You are responsible for performing each action required by this AD within the specified compliance time unless it has already been accomplished prior to that time.</P>
            <HD SOURCE="HD1">(e) Required Actions</HD>
            <P>Within 30 days or 50 hours time-in-service, whichever occurs first:</P>
            <P>(1) Determine the date of the STC installation.</P>
            <P>(2) If the date of the STC installation is on or before April 6, 2011, or the date is undocumented, determine whether the cockpit TOT indicator unit has an unfiltered internal over-temperature warning light. If the unit has an unfiltered internal over-temperature warning light, install an NVIS filter, part number ASU-TOTGAG-1.</P>
            <HD SOURCE="HD1">(f) Alternative Methods of Compliance (AMOCs)</HD>

            <P>(1) The Manager, Seattle Aircraft Certification Office, FAA, may approve AMOCs for this AD. Send your proposal to: Kathleen Arrigotti, Aviation Safety Engineer, Seattle Aircraft Certification Office, Transport Airplane Directorate, FAA, 1601 Lind Avenue SW., Renton, WA 98057; telephone (425) 917-6426; email<E T="03">9-ANM-Seattle-ACO-AMOC-Requests@faa.gov.</E>
            </P>
            <P>(2) For operations conducted under a 14 CFR part 119 operating certificate or under 14 CFR part 91, subpart K, we suggest that you notify your principal inspector, or lacking a principal inspector, the manager of the local flight standards district office or certificate holding district office, before operating any aircraft complying with this AD through an AMOC.</P>
            <HD SOURCE="HD1">(g) Additional Information</HD>

            <P>Aviation Specialties Unlimited, Inc., Alert Service Bulletin No. ASU 206-2010-11-1, dated November 4, 2010, which is not incorporated by reference, contains additional information about the subject of this AD. For service information identified in this AD, contact Aviation Specialties Unlimited, Inc., 4632 Aeronca Street, Boise, Idaho 83705; telephone (208) 426-8117; fax (208) 426-8975; or<E T="03">http://www.asu-nvg.com/.</E>You may review this service information at the FAA, Office of the Regional Counsel, Southwest Region, 2601 Meacham Blvd., Room 663, Fort Worth, Texas 76137.</P>
            <HD SOURCE="HD1">(h) Subject</HD>
            <P>Joint Aircraft Service Component (JASC) Code: 7722, Engine EFT/TOT Indicating System.</P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Fort Worth, Texas, on June 7, 2012.</DATED>
          <NAME>Kim Smith,</NAME>
          <TITLE>Manager, Rotorcraft Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14804 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 100</CFR>
        <DEPDOC>[Docket No. USCG-2012-0403]</DEPDOC>
        <RIN>RIN 1625-AA08</RIN>
        <SUBJECT>Special Local Regulations; Annual Bayview Mackinac Race</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Coast Guard is establishing a permanent Special Local Regulations to provide for the safe control of vessel movement during the start of the Annual Bayview Mackinac Race, commonly known as the Port Huron to Mackinac Sail Race. This action is necessary to provide for the safety of the general boating public and commercial shipping during the start of the race.</P>
        </SUM>
        <EFFDATE>
          <PRTPAGE P="36391"/>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective July 21, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Comments and material received from the public, as well as documents mentioned in this preamble, are part of docket [USCG-2012-0403]. To view documents mentioned in this preamble as being available in the docket, go to<E T="03">http://www.regulations.gov,</E>type the docket number in the “SEARCH” box, and click “Search.” You may visit the Docket Management Facility, 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 rule, email or call Frank Jennings, Jr., Auxiliary and Boating Safety Branch, Ninth Coast Guard District, 1240 East 9th Street, Cleveland, OH, via email at:<E T="03">frank.t.jennings@uscg.mil</E>or by phone at: (216) 902-6094. If you have questions on viewing or submitting material to 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">Table of Acronyms</HD>
        <EXTRACT>
          <FP SOURCE="FP-1">DHSDepartment of Homeland Security</FP>
          <FP SOURCE="FP-1">FR<E T="04">Federal Register</E>
          </FP>
          <FP SOURCE="FP-1">NPRMNotice of Proposed Rulemaking</FP>
        </EXTRACT>
        <HD SOURCE="HD1">A. Regulatory History and Information</HD>

        <P>On May 15, 2012, we published a notice of proposed rulemaking (NPRM) entitled Special Local Regulations; Annual Bayview Mackinac Race in the<E T="04">Federal Register</E>(77 FR 28538). We received 0 comments on the proposed rule. No public meeting was requested, and none was held.</P>

        <P>The Coast Guard recognizes that this final rule may be effective less than 30 days after publication in the<E T="04">Federal Register</E>. Under 5 U.S.C. 553(d)(3), an agency may issue a rule less than 30 days before its effective date when the agency finds good cause to do so. For this rule, the Coast Guard finds that good cause exists for publishing this final rule less than 30 days before its effective date. Delaying the effective date of this final rule would prevent its enforcement on the scheduled day of the 2012 race and thus, would preclude the Coast Guard from protecting spectators and vessels from the associated hazards, which are discussed herein. The goal of delaying the effective date is to allow the public time to prepare to comply with the new rule. In this case, that goal is supported by the NPRM published in rule has been met by the NPRM published in May of this year. In addition, this race is a local institution and has been run every year since 1925. The Coast Guard does not expect any member of the public to be unable to comply with the rule because they did not have sufficient time to prepare.</P>
        <HD SOURCE="HD1">B. Basis and Purpose</HD>
        <P>The Port Huron to Mackinac sail race (currently titled the “Bell's Beer Bayview Mackinac Race”) is an annual regatta that has taken place since 1925. The race occurs in July of each year with a starting point in Port Huron, MI. It is typical for more than 200 sailboats to take part in this annual event. The Coast Guard's Ninth District Commander has determined that the high concentration of participants and spectators at the race's starting point poses extra and unusual hazards to the boating public. The likely combination of recreational vessels and sailing vessels gathered together in high concentrations within a congested area known to have fast currents could lead to serious boating injuries or fatalities.</P>
        <HD SOURCE="HD1">C. Discussion of Rule</HD>

        <P>In light of the extra and unusual hazards likely to occur at the starting point of the Port Huron to Mackinac sail race, the Coast Guard is establishing permanent Special Local Regulations. These Special Local Regulations will be enforced in July of each year, and the exact times and dates of enforcement will be published in the<E T="04">Federal Register</E>annually via a Notice of Enforcement.</P>
        <P>This Special Local Regulation will apply in the starting area of the race in the vicinity of Port Huron, MI. Specifically, this regulated area will include all U.S. navigable waters of the Black River, St. Clair River and lower Lake Huron starting at: Latitude 042°58′47″ N, longitude 082°26′0″ W; then easterly to latitude 042°58′24″ N, longitude 082°24′47″ W; then northward along the International Boundary to latitude 043°2′48″ N, longitude 082°23′47″ W; then westerly to the shoreline at approximate location latitude 043°2′48″ N, longitude 082°26′48″ W; then southward along the U.S. shoreline to latitude 042°58′54″ N, longitude 082°26′1″ W; then back to the beginning [DATUM: NAD 83].</P>
        <P>In order to ensure the safety of spectators and those vessels participating in the race, the Coast Guard will patrol the regulated area under the direction of a designated Coast Guard Patrol Commander (PATCOM). Vessels desiring to transit the regulated area may do so but only with prior approval of the PATCOM and only when so directed by that individual. The PATCOM may be contacted on Channel 16 (156.8 MHZ) by the call sign “Coast Guard Patrol Commander.” Vessels allowed within the regulated area will be operated at a no wake speed and in a manner that will not endanger participants in the event or any other craft. These Special Local Regulations shall not apply to vessels participating in the event or government vessels patrolling the regulated area.</P>
        <P>In the event these Special Local Regulations affect shipping, commercial vessels may request permission from the PATCOM to transit the area of the event by hailing call sign “Coast Guard Patrol Commander” on Channel 16 (156.8 MHZ).</P>
        <HD SOURCE="HD1">D. 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="HD2">1. 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, as supplemented by Executive Order 13563, Improving Regulation and Regulatory Review, and does not require an assessment of potential costs and benefits under section 6(a)(3) of that Order. Executive Order 12866 or under section 1 of Executive Order 13563. The Office of Management and Budget has not reviewed it under those Orders. It is not “significant” under the regulatory policies and procedures of the Department of Homeland Security (DHS). We conclude that this rule is not a significant regulatory action because we anticipate that it will have minimal impact on the economy, will not interfere with other agencies, will not adversely alter the budget of any grant or loan recipients, and will not raise any novel legal or policy issues.</P>

        <P>This Special Local Regulation will be enforced for only seven hours on a single day in July of each year. Also, the regulated area will be a relatively small and only in effect at the race's starting point. It is expected that during the annual enforcement of this Special Local Regulation the majority of vessel traffic in the vicinity of the regulated area will be recreational in nature. Furthermore, some vessel traffic will be allowed to pass, albeit with caution and at a reduced speed, through the regulated area with the permission of<PRTPAGE P="36392"/>the Coast Guard Patrol Commander. Finally, the Coast Guard expects that public awareness of this event, along with the Coast Guard's regulation of it, is particularly high. As mentioned above, this race has recurred regularly since 1925, and the Coast Guard has regulated it for many years with both permanent and temporary regulations. Despite the race's long history, the Coast Guard still intends to issue maritime advisories to current users of the affected waterways. On the whole, local maritime interests are already well familiar with the effects of this event and this Special Local Regulation.</P>
        <HD SOURCE="HD2">2. Impact on Small Entities</HD>
        <P>The Regulatory Flexibility Act of 1980 (RFA), 5 U.S.C. 601-612, as amended, requires federal agencies to consider the potential impact of regulations on small entities during rulemaking. 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 might be small entities: The owners or operators of vessels intending to transit or anchor in a portion of the Black River, St. Clair River, and lower Lake Huron during the month of July each year. This Special Local Regulations will not have a significant economic impact on a substantial number of small entities for the same reasons discussed in above<E T="03">Regulatory Planning and Review</E>section.</P>
        <HD SOURCE="HD2">3. 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 want to assist small entities in understanding this rule. If the rule would affect your small business, organization, or governmental jurisdiction and you have questions concerning its provisions or options for compliance, please contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section above.</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="HD2">4. Collection of Information</HD>
        <P>This rule will not call for a new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD2">5. Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has 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. We have analyzed this rule under that Order and determined that this rule does not have implications for federalism.</P>
        <HD SOURCE="HD2">6. 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 (adjusted for inflation) 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="HD2">7. 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="HD2">8. 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="HD2">9. 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="HD2">10. 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="HD2">11. Energy Effects</HD>
        <P>This action is not a “significant energy action” under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use.</P>
        <HD SOURCE="HD2">12. Technical Standards</HD>
        <P>This rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD2">13. 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 determined that this action is one of a category of actions that do not individually or cumulatively have a significant effect on the human environment. This rule involves the establishment of Special Local Regulations and is therefore categorically excluded under figure 2-1, paragraph (34)(h), of the Instruction. During the annual permitting process for this event an environmental analysis will be conducted to include the effects of these proposed Special Local Regulations. Thus, no preliminary environmental analysis checklist or Categorical Exclusion Determination (CED) are required for this proposed rulemaking action. We seek any comments or information that may lead to the discovery of a significant environmental impact from this proposed rule.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 33 CFR Part 100</HD>
          <P>Marine safety, Navigation (water), Reporting and recordkeeping requirements, Waterways.</P>
        </LSTSUB>
        
        <P>For the reasons discussed in the preamble, the Coast Guard amends 33 CFR part 100 as follows:</P>
        <REGTEXT PART="100" TITLE="33">
          <PART>
            <HD SOURCE="HED">PART 100—SAFETY OF LIFE ON NAVIGABLE WATERS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 100 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>33 U.S.C. 1233.</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="100" TITLE="33">
          <AMDPAR>2. Add § 100.902 to read as follows:</AMDPAR>
          <SECTION>
            <PRTPAGE P="36393"/>
            <SECTNO>§ 100.902</SECTNO>
            <SUBJECT>Special Local Regulations; Annual Bayview Mackinac Race.</SUBJECT>
            <P>(a)<E T="03">Regulated area.</E>These Special Local Regulations apply to all U.S. navigable waters of the Black River, St. Clair River, and lower Lake Huron, bound by a line starting at latitude 042°58′47″ N, longitude 082°26′0″ W; then easterly to latitude 042°58′24″ N, longitude 082°24′47″ W; then northward along the International Boundary to latitude 043°2′48″ N, longitude 082°23′47″ W; then westerly to the shoreline at approximate location latitude 043°2′48″ N, longitude 082°26′48″ W; then southward along the U.S. shoreline to latitude 042°58′54″ N, longitude 082°26′1″ W; then back to the beginning [DATUM: NAD 83].</P>
            <P>(b)<E T="03">Enforcement period.</E>These Special Local Regulations will be enforced annually at the commencement of the Bayview Mackinac Race. The enforcement period will last approximately seven hours on a single day each July. The Coast Guard will notify the public of the exact enforcement date and times via a Notice of Enforcement published in the<E T="04">Federal Register</E>. Also, the Coast Guard may use marine broadcasts, local notice to mariners, local news media, on-scene oral notice, and broadcasts on VHF-FM marine radio Channel 16 (156.8 MHZ) to notify the public of the exact dates and times of enforcement.</P>
            <P>(c)<E T="03">Special local regulations.</E>(1) No vessel may enter the regulated area established in paragraph (a) of this section without prior approval from the Coast Guard's designated Patrol Commander (PATCOM). The PATCOM may restrict vessel operation within the regulated area to vessels having particular operating characteristics.</P>
            <P>(2) Vessels permitted to enter this regulated area must operate at a no wake speed and in a manner that will not endanger race participants or any other craft.</P>
            <P>(3) The PATCOM may direct the anchoring, mooring, or movement of any vessel within this regulated area. A succession of sharp, short signals by whistle or horn from vessels patrolling the area under the direction of the PATCOM shall serve as a signal to stop. Vessels so signaled shall stop and shall comply with the orders of the PATCOM. Failure to do so may result in expulsion from the area, a Notice of Violation for failure to comply, or both.</P>
            <P>(4) If it is deemed necessary for the protection of life and property, the PATCOM may terminate at any time the marine event or the operation of any vessel within the regulated area.</P>
            <P>(5) In accordance with the general regulations in § 100.35 of this part, the Coast Guard will patrol the regatta area under the direction of a designated Coast Guard Patrol Commander (PATCOM). The PATCOM may be contacted on Channel 16 (156.8 MHz) by the call sign “Coast Guard Patrol Commander.”</P>
            <P>(6) The rules in this section shall not apply to vessels participating in the event or to government vessels patrolling the regulated area in the performance of their assigned duties.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: June 15, 2012.</DATED>
          <NAME>M.N. Parks,</NAME>
          <TITLE>Rear Admiral, U.S. Coast Guard, Commander, Ninth Coast Guard District.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14972 Filed 6-15-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 117</CFR>
        <DEPDOC>[Docket No. USCG-2012-0566]</DEPDOC>
        <SUBJECT>Drawbridge Operation Regulation; Sacramento River, Isleton, CA</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of temporary deviation from regulations.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Coast Guard has issued a temporary deviation from the operating regulation that governs the Isleton Drawbridge across Sacramento River, mile 18.7, at Isleton, CA. The deviation is necessary to allow California Department of Transportation to paint and perform routine maintenance on the drawbridge. This deviation allows single leaf operation of the double leaf bascule style drawbridge during the project.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This deviation is effective from 7 a.m., June 19, 2012 to 6 p.m. on August 17, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Documents mentioned in this preamble as being available in the docket are part of the docket USCG-2012-0566 and are available online by going to<E T="03">http://www.regulations.gov,</E>inserting USCG-2012-0566 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 rule, call or email David H. Sulouff, Chief, Bridge Section, Eleventh Coast Guard District; telephone 510-437-3516, email<E T="03">David.H.Sulouff@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>The California Department of Transportation has requested a temporary change to the operation of the Isleton Drawbridge, mile 18.7, over Sacramento River, at Isleton, CA. The drawbridge navigation span provides a vertical clearance of 15 feet above Mean High Water in the closed-to-navigation position. The draw opens on signal from May 1 through October 31 from 6 a.m. to 10 p.m. and from November 1 through April 30 from 9 a.m. to 5 p.m. At all other times the draw shall open on signal if at least four hours notice is given to the drawtender at the Rio Vista bridge across the Sacramento River, mile 12.8, as required by 33 CFR 117.189(a). Navigation on the waterway is commercial and recreational.</P>
        <P>Either leaf of the double bascule drawspan may be secured in the closed-to-navigation position from 7 a.m., June 19, 2012 to 6 p.m. on August 17, 2012, to allow Caltrans to conduct painting and maintenance on the bridge. The opposite leaf will continue to operate normally, providing unlimited vertical clearance and 83 feet horizontal clearance between leafs. A work platform will be installed below the secured leaf, reducing vertical clearance by 6 feet. This temporary deviation has been coordinated with waterway users. No objections to the proposed temporary deviation were raised.</P>
        <P>In accordance with 33 CFR 117.35(e), the drawbridge must return to its regular operating schedule immediately at the end of the designated time period. This deviation from the operating regulations is authorized under 33 CFR 117.35.</P>
        <SIG>
          <DATED>Dated: June 11, 2012.</DATED>
          <NAME>D.H. Sulouff,</NAME>
          <TITLE>District Bridge Chief, Eleventh Coast Guard District.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14974 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <PRTPAGE P="36394"/>
        <AGENCY TYPE="S">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 165</CFR>
        <DEPDOC>[Docket Number USCG-2012-0507]</DEPDOC>
        <RIN>RIN 1625-AA00</RIN>
        <SUBJECT>Safety Zone for Fireworks Display, Potomac River, National Harbor Access Channel; Oxon Hill, MD</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 safety zone upon specified waters of the Potomac River. This action is necessary to provide for the safety of life on navigable waters during a fireworks display launched from a floating platform located within the National Harbor Access Channel at Oxon Hill in Prince Georges County, Maryland. This safety zone is intended to protect the maritime public in a portion of the Potomac River.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective from 8:00 p.m. on June 24, 2012, through 10:30 p.m. on June 25, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Documents mentioned in this preamble are part of docket [USCG-2012-0507]. To view documents mentioned in this preamble as being available in the docket, go to<E T="03">http://www.regulations.gov</E>, type the docket number in the “SEARCH” box and click “SEARCH.” Click on Open Docket Folder on the line associated with this rulemaking. You may also visit the Docket Management Facility in Room W12-140 on the ground floor of the Department of Transportation West Building, 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 rule, call or email Mr. Ronald L. Houck, Sector Baltimore Waterways Management Division, U.S. Coast Guard; telephone 410-576-2674, email<E T="03">Ronald.L.Houck@uscg.mil</E>. If you have questions on viewing or submitting material to 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">Table of Acronyms</HD>
        <EXTRACT>
          <FP SOURCE="FP-1">DHSDepartment of Homeland Security</FP>
          <FP SOURCE="FP-1">FR<E T="04">Federal Register</E>
          </FP>
          <FP SOURCE="FP-1">NPRMNotice of Proposed Rulemaking</FP>
        </EXTRACT>
        <HD SOURCE="HD1">A. Regulatory History and 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 would be impracticable to publish an NPRM for this rule. The Coast Guard received the information about the event on April 30, 2012; delaying the effective date by first publishing an NPRM would be contrary to the safety zone's intended objectives as well as to the public interest because immediate action is needed to protect persons and vessels against the hazards associated with a fireworks display on navigable waters. Such hazards include premature detonations, dangerous projectiles and falling or burning debris.</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>. Due to the need for immediate action, the restriction of vessel traffic is necessary to protect life, property and the environment; therefore, a 30-day notice is impracticable. Delaying the effective date would be contrary to the safety zone's intended objectives of as well as the public interest in protecting persons and vessels involved in the event, and enhancing public and maritime safety.</P>
        <HD SOURCE="HD1">B. Basis and Purpose</HD>
        <P>Fireworks displays are frequently held from locations on or near the navigable waters of the United States. The potential hazards associated with fireworks displays are a safety concern during such events. The purpose of this rule is to promote public and maritime safety during a fireworks display, and to protect mariners transiting the area from the potential hazards associated with a fireworks display, such as the accidental discharge of fireworks, dangerous projectiles, and falling hot embers or other debris. This rule is needed to ensure safety on the waterway during the scheduled event.</P>
        <HD SOURCE="HD1">C. Discussion of the Final Rule</HD>
        <P>Digital Lightning, of Kensington, Maryland, will conduct a fireworks display launched from a floating platform located on the Potomac River, adjacent to the Gaylord National Resort Hotel, at Oxon Hill in Prince Georges County, Maryland scheduled on June 24, 2012 at approximately 9:30 p.m. If necessary, due to inclement weather, the fireworks display may be re-scheduled to take place on June 25, 2012 at approximately 9:30 p.m.</P>
        <P>The Coast Guard is establishing a temporary safety zone on certain waters of the Potomac River, National Harbor Access Channel, within a 150 yards radius of a fireworks discharge platform in approximate position latitude 38°47′00″ N, longitude 77°01′21″ W, located at Oxon Hill in Prince Georges County, Maryland (NAD 1983). The temporary safety zone will be enforced from 8 p.m. through 10:30 p.m. on June 24, 2012 and, if necessary due to inclement weather, from 8 p.m. through 10:30 p.m. on June 25, 2012. The effect of this temporary safety zone will be to restrict navigation in the regulated area during, as well as the set up and take down of, the fireworks display. No person or vessel may enter or remain in the safety zone. Vessels will be allowed to transit the waters of the Potomac River outside the safety zone. Notification of the temporary safety zone will be provided to the public via marine information broadcasts.</P>
        <HD SOURCE="HD1">D. 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="HD2">1. 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, as supplemented by Executive Order 13563, Improving Regulation and Regulatory Review, and does not require an assessment of potential costs and benefits under section 6(a)(3) of Executive Order 12866 or under section 1 of Executive Order 13563. The Office of Management and Budget has not reviewed it under those Orders. Although this safety zone will restrict some vessel traffic, there is little vessel traffic associated with commercial fishing in the area, and recreational boating in the area can transit waters outside the safety zone. In addition, the effect of this rule will not be significant because the safety zone is of limited duration and limited size. For the above reasons, the Coast Guard does not anticipate any significant economic impact.<PRTPAGE P="36395"/>
        </P>
        <HD SOURCE="HD2">2. Impact on Small Entities</HD>
        <P>The Regulatory Flexibility Act of 1980 (RFA), 5 U.S.C. 601-612, as amended, requires federal agencies to consider the potential impact of regulations on small entities during rulemaking. 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 or operators of vessels intending to operate, transit, or anchor in a portion of the Potomac River, National Harbor Access Channel, located at Oxon Hill in Prince Georges County, Maryland from 8 p.m. through 10:30 p.m. on June 24, 2012 and, if necessary due to inclement weather, from 8 p.m. through 10:30 p.m. on June 25, 2012. This safety zone will not have a significant economic impact on a substantial number of small entities for the following reasons. The safety zone is of limited size; this safety zone would be activated, and thus subject to enforcement, for only 2<FR>1/2</FR>hours in the evening when vessel traffic is low; and vessel traffic could pass safely around the safety zone. In addition, before the activation of the zone, we will issue maritime advisories widely available to users of the waterway to allow mariners to make alternative plans for transiting the affected area.</P>
        <HD SOURCE="HD2">3. 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 want to assist small entities in understanding this rule. If the rule would affect your small business, organization, or governmental jurisdiction and you have questions concerning its provisions or options for compliance, please contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>, above.</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="HD2">4. Collection of Information</HD>
        <P>This rule will not call for a new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD2">5. Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has 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. We have analyzed this rule under that Order and determined that this rule does not have implications for federalism.</P>
        <HD SOURCE="HD2">6. Protest Activities</HD>

        <P>The Coast Guard respects the First Amendment rights of protesters. Protesters are asked to contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section to coordinate protest activities so that your message can be received without jeopardizing the safety or security of people, places or vessels.</P>
        <HD SOURCE="HD2">7. 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 (adjusted for inflation) 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="HD2">8. 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="HD2">9. 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="HD2">10. 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="HD2">11. 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="HD2">12. Energy Effects</HD>
        <P>This action is not a “significant energy action” under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use.</P>
        <HD SOURCE="HD2">13. Technical Standards</HD>
        <P>This rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD2">14. 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 determined that this action is one of a category of actions that do not individually or cumulatively have a significant effect on the human environment. This rule involves establishing a temporary safety zone. This rule is categorically excluded from further review under paragraph 34(g) of Figure 2-1 of the Commandant Instruction. An environmental analysis checklist supporting this determination and a Categorical Exclusion Determination are available in the docket where indicated under<E T="02">ADDRESSES</E>. We seek any comments or information that may lead to the discovery of a significant environmental impact from this rule.</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>
            <PRTPAGE P="36396"/>
            <HD SOURCE="HED">Authority:</HD>
            <P>33 U.S.C. 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, 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.T05-0507 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 165.T05-0507</SECTNO>
            <SUBJECT>Safety Zone for Fireworks Display, Potomac River, National Harbor Access Channel; Oxon Hill, MD.</SUBJECT>
            <P>(a)<E T="03">Regulated Area.</E>The following area is a safety zone: All waters of the Potomac River, National Harbor Access Channel, within a 150 yards radius of a fireworks discharge platform in approximate position latitude 38°47′00″ N, longitude 77°01′21″ W, located at Oxon Hill in Prince Georges County, Maryland (NAD 1983).</P>
            <P>(b)<E T="03">Regulations.</E>The general safety zone regulations found in 33 CFR 165.23 apply to the safety zone created by this temporary section, § 165.T05-0507.</P>
            <P>(1) All vessels and persons are prohibited from entering this zone, except as authorized by the Coast Guard Captain of the Port Baltimore.</P>
            <P>(2) Persons or vessels requiring entry into or passage within the zone must request authorization from the Captain of the Port or his designated representative by telephone at 410-576-2693 or on VHF-FM marine band radio channel 16.</P>
            <P>(3) All Coast Guard assets enforcing this safety zone can be contacted on VHF-FM marine band radio channels 13 and 16.</P>
            <P>(4) The operator of any vessel within or in the immediate vicinity of this safety zone shall:</P>
            <P>(i) Stop the vessel immediately upon being directed to do so by any commissioned, warrant or petty officer on board a vessel displaying a Coast Guard Ensign, and</P>
            <P>(ii) Proceed as directed by any commissioned, warrant or petty officer on board a vessel displaying a Coast Guard Ensign.</P>
            <P>(c)<E T="03">Definitions. Captain of the Port Baltimore</E>means the Commander, Coast Guard Sector Baltimore or any Coast Guard commissioned, warrant or petty officer who has been authorized by the Captain of the Port to act on his behalf.</P>
            <P>
              <E T="03">Designated representative</E>means any Coast Guard commissioned, warrant, or petty officer who has been authorized by the Captain of the Port Baltimore to assist in enforcing the safety zone described in paragraph (a) of this section.</P>
            <P>(d)<E T="03">Enforcement.</E>The U.S. Coast Guard may be assisted by Federal, State and local agencies in the patrol and enforcement of the zone.</P>
            <P>(e)<E T="03">Enforcement period.</E>This section will be enforced from 8 p.m. through 10:30 p.m. on June 24, 2012 and, if necessary due to inclement weather, from 8 p.m. through 10:30 p.m. on June 25, 2012.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: June 4, 2012.</DATED>
          <NAME>Mark P. O'Malley,</NAME>
          <TITLE>Captain, U.S. Coast Guard,Captain of the Port Baltimore.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14846 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-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 Number USCG-2012-0477]</DEPDOC>
        <RIN>RIN 1625-AA00</RIN>
        <SUBJECT>Safety Zones; Fireworks Displays in Captain of the Port Long Island Sound Zone</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 fourteen safety zones for fireworks displays within the Captain of the Port (COTP) Long Island Sound Zone. This action is necessary to provide for the safety of life on navigable waters during these events. Entry into, transit through, mooring or anchoring within these zones is prohibited unless authorized by the COTP Sector Long Island Sound.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective from June 23, 2012 until July 21, 2012.</P>
          <P>This rule will be enforced during the specific dates and times listed in Table of § 165.T01-0477.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Documents mentioned in this preamble are part of docket [USCG-2012-0477]. To view documents mentioned in this preamble as being available in the docket, go to<E T="03">http://www.regulations.gov,</E>type the docket number in the “SEARCH” box and click “SEARCH.” Click on Open Docket Folder on the line associated with this rulemaking. You may also visit the Docket Management Facility in Room W12-140 on the ground floor of the Department of Transportation West Building, 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 rule, call or email Petty Officer Joseph Graun, Prevention Department, U.S. Coast Guard Sector Long Island Sound, (203) 468-4544,<E T="03">Joseph.L.Graun@uscg.mil.</E>If you have questions on viewing or submitting material to 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">Table of Acronyms</HD>
        <EXTRACT>
          <FP SOURCE="FP-1">COTPCaptain of the Port</FP>
          <FP SOURCE="FP-1">DHSDepartment of Homeland Security</FP>
          <FP SOURCE="FP-1">FRFederal Register</FP>
          <FP SOURCE="FP-1">LISLong Island Sound</FP>
        </EXTRACT>
        <HD SOURCE="HD1">A. Regulatory History and Information</HD>
        <P>The Coast Guard is issuing this 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 any delay encountered in this regulation's effective date by publishing a NPRM would be contrary to public interest since immediate action is needed to provide for the safety of life and property on navigable waters from the hazardous nature of fireworks including unexpected detonation and burning debris. We spoke with each event sponsor and each indicated they were unable and unwilling to move their event date to a later time for the following reasons.</P>
        <P>The sponsor for North Bay Fourth of July Fireworks stated they are unwilling to reschedule their event because it is held in conjunction with the Independence Day holiday. Many individuals have made holiday plans based on this fireworks event, changing the date would cause numerous cancelations and hurt small businesses.</P>

        <P>Sponsors for Goren Wedding Fireworks, Goldstein Party Fireworks, National Golf Links Fireworks and Connetquot River Boat parade Fireworks were not aware of the requirements for submitting a marine event application 135 days in advance resulting in a late notification to the Coast Guard. The sponsors are now aware of this for future events. It is not viable for the sponsors to reschedule the event due to other activities being held in conjunction with these fireworks displays, including a wedding and<PRTPAGE P="36397"/>Independence Day celebrations involving many out of town guests.</P>

        <P>The sponsor for Salute to Veterans Fireworks, Devon Yacht Club Fireworks, Dolan Family Fourth Fireworks, Islip Fireworks, Madison Fireworks, Stratford Fireworks, Rowayton Fireworks, Quarentello Wedding Fireworks, and Niantic Bay Fireworks submitted marine event applications with 135 day notice and on April 4, 2012 the Coast Guard provided the public with prior notice when it published a notice of proposed rulemaking (NPRM) entitled Special Local Regulations and Safety Zones; Marine Events in Captain of the Port Sector Long Island Sound Zone, in the<E T="04">Federal Register</E>(77 FR 20324). The NPRM proposed these events and advertised a public comments period. We received no comments on the NPRM. No requests for a public meeting were received and no public meetings were held. These events will take place in less than 30 days and cannot be moved to a later date because many individuals made holiday plans based on these fireworks events and changing the dates would cause numerous cancelations and hurt small businesses.</P>

        <P>For the same reasons, 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>.</P>
        <HD SOURCE="HD1">B. Basis and Purpose</HD>
        <P>The legal basis for this temporary rule is 33 U.S.C. 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; Public Law 107-295, 116 Stat. 2064; and Department of Homeland Security Delegation No. 0170.1, which collectively authorize the Coast Guard to define regulatory safety zones.</P>
        <P>This rulemaking establishes marine events involving fireworks displays on the navigable waters of COTP Sector LIS zone. This rule is necessary to protect waterway users from the dangers inherent to fireworks displays.</P>
        <HD SOURCE="HD1">C. Discussion of the Final Rule</HD>
        <P>This temporary rule establishes safety zones for fourteen fireworks displays in the COTP Sector LIS zone.</P>
        <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,p1,8/9,i1">
          <TTITLE>Fireworks Display Events</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1"/>
          </BOXHD>
          <ROW>
            <ENT I="01">1. Goldstein Party Fireworks</ENT>
            <ENT>• Location: On Sag Harbor Cove off of Ferry Road, Sag Harbor, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2. Salute to Veterans Fireworks</ENT>
            <ENT>• Location: Waters of Reynolds Channel off Hempstead, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">3. Goren Wedding Fireworks</ENT>
            <ENT>• Location: On Bellport Bay 700 feet east of Point Road, Bellport, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4. Connetquot River Boat Parade Fireworks</ENT>
            <ENT>• Location: On the Great South Bay off Snapper Inn Restaurant, Oakdale, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">5. North Bay 4th of July Fireworks</ENT>
            <ENT>• Location: On the Great South Bay in Patchogue Bay 4000 feet south east of Blue Point, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">6. National Golf Links Fireworks</ENT>
            <ENT>• Location: On the Great Peconic Bay three quarters of a mile north west of Bullhead Bay, Shinnecock, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">7. Devon Yacht Club Fireworks</ENT>
            <ENT>• Location: Waters of Napeague Bay, in Block Island Sound off Amagansett, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">8. Dolan Family Fourth Fireworks</ENT>
            <ENT>• Location: Waters of Oyster Bay Harbor in Long Island Sound off Oyster Bay, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">9. Islip Fireworks</ENT>
            <ENT>• Location: Waters of the Great South Bay off Bay Shore Manor Park, Islip, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">10. Madison Fireworks</ENT>
            <ENT>• Location: Waters of Long Island Sound off Madison Beach in Madison, CT.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">11. Stratford Fireworks</ENT>
            <ENT>• Location: Waters of Long Island Sound surrounding Short Beach Park in Stratford, CT.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">12. Rowayton Fireworks</ENT>
            <ENT>• Location: Waters of Long Island Sound south of Bayley Beach Park in Rowayton, CT.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">13. Quarentello Wedding Fireworks</ENT>
            <ENT>• Location: Waters of the Great South Bay southeast of Brown Point in Sayville, NY.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">14. Niantic Bay Fireworks</ENT>
            <ENT>• Location: Waters of Niantic Bay 1,500 feet west of the Niantic River Railroad Bridge in Niantic, CT.</ENT>
          </ROW>
        </GPOTABLE>
        <P>Because large numbers of spectator vessels are expected to congregate around the location of these events, these regulated areas are needed to protect both spectators and participants from the safety hazards created by them including unexpected pyrotechnics detonation and burning debris.</P>
        <P>This rule prevents vessels from entering, transiting, mooring or anchoring within areas specifically designated as regulated areas during the periods of enforcement unless authorized by the COTP or designated representative.</P>
        <P>The Coast Guard has determined that these regulated areas will not have a significant impact on vessel traffic due to their temporary nature, limited size, and the fact that vessels are allowed to transit the navigable waters outside of the regulated areas. The COTP will cause public notifications to be made by all appropriate means including but not limited to the Local Notice to Mariners and Broadcast Notice to Mariners.</P>
        <HD SOURCE="HD1">D. 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 several of these statutes or executive orders.</P>
        <HD SOURCE="HD2">1. 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, as supplemented by Executive Order 13563, Improving Regulation and Regulatory Review, and does not require an assessment of potential costs and benefits under section 6(a)(3) of Executive Order 12866 or under section 1 of Executive Order 13563. The Office of Management and Budget has not reviewed it under those Orders.</P>
        <P>The Coast Guard determined that this rule is not a significant regulatory action for the following reasons: The regulated areas will be of limited duration and cover only a small portion of the navigable waterways. Furthermore, vessels may transit the navigable waterways outside of the regulated areas. Vessels requiring entry into the regulated areas may be authorized to do so by the COTP or designated representative.</P>

        <P>Advanced public notifications will also be made to the local maritime<PRTPAGE P="36398"/>community by the Local Notice to Mariners as well as Broadcast Notice to Mariners.</P>
        <HD SOURCE="HD2">2. Impact on Small Entities</HD>
        <P>The Regulatory Flexibility Act of 1980 (RFA), 5 U.S.C. 601-612, as amended, requires federal agencies to consider the potential impact of regulations on small entities during rulemaking. 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 or operators of vessels intending to transit or anchor in the designated regulated areas during the enforcement periods stated for each event listed below in the List of Subjects.</P>
        <P>The temporary safety zones will not have a significant economic impact on a substantial number of small entities for the following reasons: The regulated areas will be of limited size and of short duration, and vessels that can safely do so may navigate in all other portions of the waterways except for the areas designated as regulated areas. Additionally, notifications will be made before the effective period by all appropriate means, including but not limited to the Local Notice to Mariners and Broadcast Notice to Mariners well in advance of the events.</P>
        <HD SOURCE="HD2">3. 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 want to assist small entities in understanding this rule. If the rule would affect your small business, organization, or governmental jurisdiction and you have questions concerning its provisions or options for compliance, please contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>, above.</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="HD2">4. Collection of Information</HD>
        <P>This rule will not call for a new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD2">5. Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has 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. We have analyzed this rule under that Order and determined that this rule does not have implications for federalism.</P>
        <HD SOURCE="HD2">6. Protest Activities</HD>

        <P>The Coast Guard respects the First Amendment rights of protesters. Protesters are asked to contact the person listed in the<E T="02">FOR FURTHER INTFORMATION CONTACT</E>section to coordinate protest activities so that your message can be received without jeopardizing the safety or security of people, places or vessels.</P>
        <HD SOURCE="HD2">7. 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 (adjusted for inflation) 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="HD2">8. 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="HD2">9. 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="HD2">10. 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="HD2">11. 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="HD2">12. Energy Effects</HD>
        <P>This action is not a “significant energy action” under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use.</P>
        <HD SOURCE="HD2">13. Technical Standards</HD>
        <P>This rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD2">14. 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 determined that this action is one of a category of actions that do not individually or cumulatively have a significant effect on the human environment. This rule involves the establishment of safety zones. This rule is categorically excluded from further review under paragraph 34(g) of Figure 2-1 of the Commandant Instruction. An environmental analysis checklist supporting this determination and a Categorical Exclusion Determination are available in the docket where indicated under<E T="02">ADDRESSES</E>. We seek any comments or information that may lead to the discovery of a significant environmental impact from this rule.</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, and 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. 1231; 46 U.S.C. Chapter 701, 3306, 3703; 50 U.S.C. 191, 195;<PRTPAGE P="36399"/>33 CFR 1.05-1, 6.04-1, 6.04-6, and 160.5; Pub. L. 107-295, 116 Stat. 2064; and Department of Homeland Security Delegation No. 0170.1.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="165" TITLE="33">
          <AMDPAR>2. Add § 165.T01-0477 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 165.T01-0477</SECTNO>
            <SUBJECT>Safety Zones; Fireworks Displays in Captain of the Port Long Island Sound Zone.</SUBJECT>
            <P>(a)<E T="03">Regulations.</E>The general regulations contained in 33 CFR 165.23 as well as the following regulations apply to the events listed in the TABLE of § 165.T01-0477. These regulations will be enforced for the duration of each event.</P>
            <P>(b)<E T="03">Definitions.</E>The following definitions apply to this section:</P>
            <P>(1)<E T="03">Designated Representative.</E>A “designated representative” is any Coast Guard commissioned, warrant or petty officer of the U.S. Coast Guard who has been designated by the Captain of the Port (COTP), Sector Long Island Sound, to act on his or her behalf. The designated representative may be on an official patrol vessel or may be on shore and will communicate with vessels via VHF-FM radio or loudhailer. In addition, members of the Coast Guard Auxiliary may be present to inform vessel operators of this regulation.</P>
            <P>(2)<E T="03">Official Patrol Vessels.</E>Official patrol vessels may consist of any Coast Guard, Coast Guard Auxiliary, state, or local law enforcement vessels assigned or approved by the COTP.</P>
            <P>(3)<E T="03">Spectators.</E>All persons and vessels not registered with the event sponsor as participants or official patrol vessels.</P>
            <P>(c) Vessel operators desiring to enter or operate within the regulated areas should contact the COTP or the designated representative via VHF channel 16 or by telephone at (203) 468-4404 to obtain permission to do so.</P>
            <P>(d) Spectators shall not anchor, block, loiter, or impede the transit of event participants or official patrol vessels in the regulated areas during the effective dates and times, or dates and times as modified through the Local Notice to Mariners, unless authorized by COTP or designated representative.</P>
            <P>(e) The COTP or designated representative may delay or terminate any marine event in this subpart at any time it is deemed necessary to ensure the safety of life or property.</P>
            <P>(f) The regulated area for all fireworks displays listed in the TABLE of § 165.T01-0477 is that area of navigable waters within a 1000 foot radius of the launch platform or launch site for each fireworks display. Fireworks barges used in these locations will also have a sign on their port and starboard side labeled “FIREWORKS—STAY AWAY.” This sign will consist of 10 inch high by 1.5 inch wide red lettering on a white background. Shore sites used in these locations will display a sign labeled “FIREWORKS—STAY AWAY” with the same dimensions.</P>
            <GPOTABLE CDEF="s100,r100" COLS="2" OPTS="L2,p1,8/9,i1">
              <TTITLE>Table of § 165.T01-0477</TTITLE>
              <TTITLE>Fireworks Display Events</TTITLE>
              <BOXHD>
                <CHED H="1"/>
                <CHED H="1"/>
              </BOXHD>
              <ROW>
                <ENT I="01">1Goldstein Party Fireworks</ENT>
                <ENT>• Date: June 23, 2012.<LI>• Rain Date: June 24, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Time: 8:30 p.m. to 10:30 p.m.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: A point in Sag Harbor Cove off of Ferry Road, Sag Harbor, NY in approximate position 41°00′15.39″ N, 072°18′21.92″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">2Salute to Veterans Fireworks</ENT>
                <ENT>• Date: June 23, 2012.<LI>• Rain Date: June 30, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Reynolds Channel off Hempstead, NY in approximate position 40°35′36.62″ N, 073°35′20.72″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">3Goren Wedding Fireworks</ENT>
                <ENT>• Date: June 30, 2012.<LI>• Rain Date: July 1, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Time: 8:30 p.m. to 10:30 p.m.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: A point in Bellport Bay 700 feet east of Point Road, Bellport, NY in approximate position 40°44′31.18″ N, 072°56′31.38″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">4Connetquot River Boat Parade Fireworks</ENT>
                <ENT>• Date: July 3, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Time: 8:30 p.m. to 10:30 p.m.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: A point on the Connetquot River off Snapper Inn Restaurant, Oakdale, NY in approximate position 40°43′32.38″ N, 073°9′2.64″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">5North Bay 4th of July Fireworks</ENT>
                <ENT>• Date: July 4, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Time: 8:30 p.m. to 10:30 p.m.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: A point on the Great South Bay in Patchogue Bay 4000 feet south east of Blue Point, NY in approximate position 40°44′6.28″ N, 073°1′2.5″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">6National Golf Links Fireworks</ENT>
                <ENT>• Date: July 6, 2012.<LI>• Rain Date: July 7, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Time: 8:30 p.m. to 10:30 p.m.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: A point on the Great Peconic Bay<FR>3/4</FR>of a mile north west of Bullhead Bay, Shinnecock, NY in approximate position 40°55′11.79″ N, 072°28′4.34″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">7Devon Yacht Club Fireworks</ENT>
                <ENT>• Date: July 7, 2012.<LI>• Rain Date: July 8, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Napeague Bay, in Block Island Sound off Amagansett, NY in approximate position 40°59′41.4″ N, 072°6′8.7″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">8Dolan Family Fourth Fireworks</ENT>
                <ENT>• Date: July 4, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="36400"/>
                <ENT I="22"/>
                <ENT>• Location: Waters of Oyster Bay Harbor in Long Island Sound off Oyster Bay, NY in approximate position 40°53′42.50″ N, 073°30′04.30″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">9Islip Fireworks</ENT>
                <ENT>• Date: July 4, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of the Great South Bay off Bay Shore Manor Park, Islip, NY in approximate position 40°42′24″ N, 073°14′24″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">10 Madison Fireworks</ENT>
                <ENT>• Date: July 4, 2012.<LI>• Rain Date: July 7, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Long Island Sound off Madison Beach in Madison, CT in approximate position 41°16′3.93″ N, 072°36′15.97″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">11Stratford Fireworks</ENT>
                <ENT>• Date: July 3, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Long Island Sound surrounding Short Beach Park in Stratford, CT in approximate position 41°09′50.82″ N, 073°6′47.13″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">12Rowayton Fireworks</ENT>
                <ENT>• Date: July 4, 2012.<LI>• Rain Date: July 5, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Long Island Sound south of Bayley Beach Park in Rowayton, CT in approximate position 41°03′11″ N, 073°26′41″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">13Quarentello Wedding Fireworks</ENT>
                <ENT>• Date: July 21, 2012.<LI>• Rain Date: None.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of the Great South Bay south east of Brown Point in Sayville, NY in approximate position 40°43′19″ N, 073°03′53″ W (NAD 83).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">14Niantic Bay Fireworks</ENT>
                <ENT>• Date: July 6, 2012.<LI>• Rain Date: July 7, 2012.</LI>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>• Location: Waters of Niantic Bay 1500 feet west of the Niantic River Railroad Bridge in Niantic, CT in approximate position 41°19′22.59″ N, 072°11′3.47″ W (NAD 83).</ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: June 7, 2012.</DATED>
          <NAME>J.M. Vojvodich,</NAME>
          <TITLE>Captain, U.S. Coast Guard, Captain of the Port Sector Long Island Sound.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14847 Filed 6-18-12; 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-R06-OAR-2011-0775; FRL-9688-3]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality Implementation Plans; Texas; Determination of Failure To Attain the 1-Hour Ozone Standard</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>The EPA is taking final action to determine that the Houston/Galveston/Brazoria (HGB) area did not attain the 1-hour ozone national ambient air quality standard (NAAQS) by its applicable attainment date, November 15, 2007. This determination is based on three years of complete, quality-assured and certified ambient air quality monitoring data for the period preceding the applicable attainment deadline.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective on July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>EPA has established a docket for this action under Docket ID No. EPA-R06-OAR-2011-0775. 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 is not publicly available, e.g., 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 Air Planning Section (6PD-L), Environmental Protection Agency, 1445 Ross Avenue, Suite 700, Dallas, Texas 75202-2733. The file will be made available by appointment for public inspection in the Region 6 Freedom of Information Act Review Room between the hours of 8:30 a.m. and 4:30 p.m. weekdays except for legal holidays. Contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>paragraph below or Mr. Bill Deese at (214) 665-7253 to make an appointment. If possible, please make the appointment at least two working days in advance of your visit. There will be a 15 cent per page fee for making photocopies of documents. On the day of the visit, please check in at the EPA Region 6 reception area at 1445 Ross Avenue, Suite 700, Dallas, Texas.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Kenneth W. Boyce, Air Planning Section (6PD-L), Environmental Protection Agency, Region 6, 1445 Ross Avenue, Suite 700, Dallas, Texas 75202-2733, telephone 214-665-7259; fax number 214-665-7263; email address<E T="03">boyce.kenneth@epa.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Throughout this document, whenever “we” “us” or “our” is used, we mean the EPA.</P>
        <HD SOURCE="HD1">Outline</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>
        <HD SOURCE="HD2">EPA's Proposed Action</HD>

        <P>The background for today's action is discussed in detail in our February 1, 2012, proposal (77 FR 4937). In that notice, EPA proposed to determine,<PRTPAGE P="36401"/>under the Clean Air Act (CAA or “Act”), the HGB ozone nonattainment area failed to attain the 1-hour ozone NAAQS by its applicable 1-hour NAAQS attainment date of November 15, 2007. The proposal was based on three years of complete, quality-assured and certified ambient air quality monitoring data for the period preceding the applicable attainment deadline (2005-2007).</P>
        <P>The CAA, as amended in 1990, required EPA to designate as nonattainment any area that was violating the 1-hour ozone standard, generally based on air quality monitoring data from the 1987 through 1989 period (section 107(d)(4) of the Act; 56 FR 56694, November 6, 1991). The Act further classified these areas, based on the severity of their nonattainment problem, as Marginal, Moderate, Serious, Severe, or Extreme.</P>
        <P>The control requirements and date by which attainment of the 1-hour ozone standard was to be achieved varied with an area's classification. Marginal areas were subject to the fewest mandated control requirements and had the earliest attainment date, November 15, 1993, while Severe and Extreme areas were subject to more stringent planning requirements and were provided more time to attain the standard. Two measures that are linked to a determination that a Severe or Extreme area failed to attain the standard by the applicable attainment date are contingency measures [section 172(c)(9)] and a major stationary source fee provision [sections 182(d)(3) and 185)] (“major source fee program” or “section 185 fee program”).</P>
        <HD SOURCE="HD2">Designation and Classification</HD>
        <P>The HGB area consists of Brazoria, Chambers, Fort Bend, Galveston, Harris, Liberty, Montgomery and Waller counties in Texas. Upon the date of enactment of the 1990 CAA Amendments, the HGB area was classified as a severe ozone nonattainment area for the 1-hour ozone NAAQS. As noted above, severe and extreme areas are subject to more stringent planning requirements but were provided more time to attain the ozone standard. The HGB 1-hour ozone nonattainment area was classified as severe 17. As a result, the attainment date for the HGB area was November 15, 2007.<SU>1</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>56 FR 56694, November 6, 1991 and CAA section 181(a)(1).</P>
        </FTNT>
        <HD SOURCE="HD2">Technical Evaluation</HD>
        <P>As we more fully explained in our February 1, 2012, proposal (77 FR 4937), a determination of whether an area's air quality meets the 1-hour ozone standard is generally based upon three years of complete, quality-assured and certified air quality monitoring data gathered at established State and Local Air Monitoring Stations (“SLAMS”) in the nonattainment area and entered into the EPA's Air Quality System (AQS) database. Data from air monitors operated by state/local agencies in compliance with EPA monitoring requirements must be submitted to the AQS database. Monitoring agencies annually certify that these data are accurate to the best of their knowledge. Accordingly, EPA relies primarily on data in its AQS database when determining the attainment status of an area. See 40 CFR 50.9; 40 CFR part 50, appendix H; 40 CFR part 53; 40 CFR part 58, appendices A, C, D and E. All data are reviewed to determine the area's air quality status in accordance with 40 CFR part 50, appendix H.</P>
        <P>Under EPA regulations at 40 CFR 50.9, the 1-hour ozone standard is attained at a monitoring site when the expected number of days per calendar year with maximum hourly average concentrations above 0.12 parts per million (235 micrograms per cubic meter) is equal to or less than 1, as determined by 40 CFR part 50, appendix H.</P>
        <P>EPA has determined that the HGB area failed to attain the 1-hour ozone standard by its applicable attainment date; that is, the number of expected exceedances at sites in the nonattainment area was greater than one per year in the period prior to the applicable attainment date. This determination is based on three years of complete, quality-assured and certified ambient air quality monitoring data in AQS for the 2005-2007 monitoring period for the HGB area. Please see our February 1, 2012, proposal (77 FR 4937) for a more complete description and summary of the monitoring data relied upon for this determination.</P>
        <HD SOURCE="HD2">Comment Received on the Proposed Rulemaking</HD>
        <P>The comment period on the proposed rulemaking closed on March 2, 2012 and EPA received no comments. On May 14, 2012, more than two months after the close of the comment period, the BCCA Appeal Group and the Section 185 Working Group (“the groups” or “BCCA”) submitted a late comment opposing EPA's determination that Houston failed to attain the 1-hour ozone standard by its attainment deadline. The groups acknowledged that this late comment—the only comment submitted by the groups—came after the close of the comment period. The groups claimed, however, that the comment was “based on legal grounds arising after the close of EPA's comment period.” The groups contended that an EPA rulemaking entitled, “Final Rule to Implement the 1997 8-Hour Ozone National Ambient Air Quality Standard: Classification of Areas That Were Initially Classified Under Subpart 1: Revision to the Anti-backsliding Provisions to Address 1-Hour Contingency Measure Requirements; Deletion of Obsolete 1-Hour Standard Provision,” 77 FR 28424, 28439 (May 14, 2012) “reflects EPA's final decision not to issue further determinations whether areas (such as HGB) attained the 1-hour ozone standard by the applicable attainment dates.” The commenters claimed that “it would be arbitrary and capricious for EPA to ignore the May 14 Rulemaking with respect to the HGB area and make a finding only with respect to HGB.”</P>
        <HD SOURCE="HD2">Response to Comment</HD>

        <P>EPA believes that there is no justification for this late comment. EPA's May 14, 2012 Rulemaking did not give rise to any new grounds for comment. First, as the commenters themselves admit, “the May 14, rule preserves the * * * wording” of EPA's regulation at 40 CFR 51.905 (e)(2)(i) Thus the commenters concede that the May 14 Rulemaking merely preserved the regulation, which existed at the time of EPA's proposed determination on Houston, and as to which the groups could have commented at that time. The commenters' argument, it seems, centers on a few sentences, contained in the preamble of the May 14 rule, which refer to the regulation. The commenters offer no explanation for their prior failure to address the regulation in comments on EPA's proposed determination with respect to Houston. See, 77 FR 4937 (Feb. 1, 2012). Since commenters do not claim that the May 14 Rulemaking changed the regulation, perhaps what they intend to convey is that EPA's May 14 Rulemaking reminded the commenters of the regulation's existence. Despite their claim of fresh awareness, however, the commenters' own actions reveal that they were closely acquainted with 40 CFR 51.905(e)(2)(i) and with determinations regarding specific anti-backsliding requirements. For example, in June, 2011, the BCAA Appeal Group filed a motion to intervene in the very litigation that resulted in EPA's agreement to make final determinations on 1-hour ozone attainment for Houston and five other areas in the country.<E T="03">Sierra Club</E>v.<E T="03">Jackson</E>(D.D.C. Case No.<PRTPAGE P="36402"/>1:11-CV-00100-JDB). In support of their motion, BCCA raised the same argument relating to determinations under this regulatory provision that they echo here. Similarly, BCCA took another opportunity to comment on the issue of the Houston determination in the CAA section 113(g) proceedings that EPA conducted when it gave notice of the settlement agreement that resolved the litigation. Ultimately, however, the groups failed to submit any comments on EPA's proposed rulemaking to make the Houston determination. The comment period closed on March 2, 2012. On May 14—just two weeks prior to EPA's deadline for making a final determination under the settlement agreement—a deadline known to BCCA, as shown by its participation in the litigation and section 113(g) process—BCCA submitted its comment.<SU>2</SU>
          <FTREF/>The late comment was submitted under the claim that BCCA had just learned of the issue through a tangential reference in a correction to a footnote contained in a separate EPA rulemaking.</P>
        <FTNT>
          <P>
            <SU>2</SU>The settlement agreement deadline was May 31, 2012, but was extended to June 7, 2012 for the HGB area.</P>
        </FTNT>
        <P>Although EPA believes that we are not compelled to respond to BCCA's late comments, since the basis for them existed at the time of the original proposal, EPA has considered their comment, and we address it below.</P>

        <P>As set forth above, EPA's May 14 Rulemaking enunciates no new legal position to which the comment is responding. 40 CFR 51.905(e)(2)(i)(A) and (B) provide that EPA is no longer obligated to determine “<E T="03">pursuant to section 181(b)(2) or section 179(c),</E>” * * *“whether an area attained by its deadline the revoked 1-hour standard, or to reclassify the area as a result.” 40 CFR 51.905(e)(2). (emphasis added) This regulation existed when EPA published its February 1, 2012 proposed determination for Houston, and EPA's May 14 Rulemaking did not change that regulation. The statements in the preamble cited by the commenters merely corrected a portion of a footnote (n.16) in a 2009 proposal 74 FR 2941, 2942 (January 16, 2009), which had erroneously stated that EPA would continue to reclassify areas under the revoked 1-hour ozone standard. In the May 14 Rulemaking, EPA stated:</P>

        <P>“EPA is clarifying that the portion of footnote 16 stating the EPA remains obligated to make a finding of failure to attain the 1-hour ozone standard by an area's attainment date (<E T="03">under section 181(b)(2) or section 179(c)) and to reclassify the area</E>was erroneous and in conflict with 51.905(e)(2)(i).” (emphasis added).</P>
        

        <FP>Contrary to commenters' claim, this clarification nowhere states that EPA is prohibited from or will no longer make determinations of failure to attain the 1-hour ozone deadlines for the purpose of effectuating specific 1-hour anti-backsliding requirements as required by the court in the<E T="03">South Coast Air Quality Management District, et al.,</E>v.<E T="03">EPA,</E>472 F.3d 882 (D.C. Cir. 2006) reh'g denied 489 F.3d 1245.</FP>
        <P>BCCA`s comments are ostensibly in response to EPA's February 1, 2012 proposed determination that the Houston nonattainment area failed to attain the revoked 1-hour ozone standard by its applicable attainment date. EPA's proposal expressly stated that this determination is solely for the purpose of effectuating the 1-hour ozone anti-backsliding requirements for section 185 penalty fees and contingency measures. While BCCA claims that its comment was prompted by EPA's May 14 Rulemaking, that Rulemaking specifically declared that it did not address 1-hour ozone anti-backsliding for section 185 penalty fees, and advised that section 185 anti-backsliding issues would be addressed in other rulemakings. See, 77 FR 28,424 at 28436 (May 14, 2012). Thus it is doubly plain that the paragraph entitled “A Correction to a Footnote in Proposed Rule” in the preamble of the May 14 Rulemaking was not intended to address or to prohibit EPA from proceeding with air quality determinations affecting section 185 anti-backsliding requirements.</P>
        <P>EPA recently published in the<E T="04">Federal Register</E>final determinations that three California 1-hour ozone nonattainment areas failed to meet their 1-hour ozone attainment deadlines. See 76 FR 82133 (Dec. 30, 2011). The rulemakings show that, for the purpose of effectuating contingency measures and section 185 anti-backsliding requirements, EPA continues to make determinations of failure to attain the 1-hour ozone deadlines. The California notices, and the responses to comments they contain, explain at length EPA's views of its authority and of its obligation to make these determinations. See, e.g., 76 FR 82140. They also demonstrate that there is no conflict between 40 CFR 51.905(e)(2)(i) and EPA's continuing obligations to effectuate specific 1-hour ozone anti-backsliding requirements through determinations regarding attainment deadlines. EPA incorporates by reference the extensive discussions of these points contained in the December 30, 2011 California determinations.</P>
        <P>Aside from its proposed and final determinations for Houston and the California areas, EPA has proposed and finalized, also pursuant to the settlement agreement, determinations as to whether a number of other 1-hour ozone nonattainment areas throughout the country attained the 1-hour ozone standard by their applicable attainment dates. As in the case of Houston, the purpose of these determinations is limited to effectuating 1-hour ozone anti-backsliding requirements. See, Baltimore, MD 77 FR 4940 (February 1, 2012), NY-NJ-CT 77 FR 3720 (January 25, 2012), Eastern Massachusetts 77 FR 31496 (May 29, 2012), Western Massachusetts 77 FR 25362 (April 30, 2012), and Greater Connecticut 77 FR 15607 (March 16, 2012).</P>
        <P>EPA has considered BCCA's comment, and we believe that EPA's responses here will relieve the groups of their concerns that EPA is “ignoring the May 14 rule with respect to the [Houston] area” and also allay their fears that EPA makes determinations such as this “only with respect to [Houston].”</P>
        <HD SOURCE="HD1">II. Final Action</HD>

        <P>After revocation of the 1-hour standard, EPA must continue to provide a mechanism to give effect to the 1-hour anti-backsliding requirements. See<E T="03">SCAQMD</E>v.<E T="03">EPA,</E>472 F.3d 882, at 903. As stated in EPA's proposal, EPA is making its determination here pursuant to, and solely with the purpose and effect of discharging this obligation. As EPA stated in its proposal, EPA is making this attainment deadline determination for the revoked standard for the strictly limited purpose of effectuating specific 1-hour ozone anti-backsliding requirements. Based on the facts and rationale set forth in our February 1, 2012, proposal (77 FR 4937) and in today's rulemaking, EPA has determined that the HGB area failed to attain the 1-hour ozone standard by its applicable attainment date.</P>

        <P>This determination bears solely on the HGB's obligation with respect to two required 1-hour anti-backsliding measures: i.e., 1-hour contingency measures for failure to attain under section 172(c)(9), and fee programs under sections 182(d)(3) and 185 of the CAA. This final determination of failure to attain by the area's 2007 attainment date does not result in reclassification of the area under the revoked 1-hour standard. As a severe 1-hour nonattainment area, the HGB area is not subject to reclassification for the 1-hour standard, and in any event EPA is no<PRTPAGE P="36403"/>longer required to reclassify any area to a higher classification for the 1-hour ozone NAAQS based upon a determination that the area failed to attain that NAAQS by its attainment date. 40 CFR 51.905(e)(2)(i)(B).</P>
        <P>With respect to the 1-hour ozone anti-backsliding requirement for contingency measures, the Texas SIP included contingency measures to achieve an additional 3 percent reduction in NOx and VOC emissions in 2008. The contingency measure reductions for 2008 were to be obtained from on-road and off-road mobile control measures already being implemented. EPA has previously approved the State's 1-hour ozone attainment demonstration and Rate of Progress plans for the HGB area which included contingency measures. See: 71 FR 52670, 70 FR 7407, 66 FR 57195, and 66 FR 20750. Thus, the reductions from contingency measures have already been achieved and therefore this final determination of failure to attain by the area's 1-hour ozone attainment date would not trigger any additional contingency measures.</P>
        <P>With respect to the 1-hour ozone anti-backsliding requirement for penalty fees, section 182(d)(3) of the CAA requires SIPs to include provisions required by section 185 of the CAA. Section 185 requires 1-hour ozone SIPs for severe areas to provide a program requiring each major stationary source of ozone precursors located in the area to pay fees to the State when the area has failed to attain by the attainment date. This final determination of failure to attain by the area's 1-hour attainment date bears on the obligation relating to implementation of the 1-hour anti-backsliding penalty fee program under section 182(d)(3) and 185, unless that obligation is terminated.</P>
        <HD SOURCE="HD1">III. Statutory and Executive Order Reviews</HD>
        <P>This action makes a determination, based on air quality, that this area did not attain the 1-hour ozone standard, and it does not impose any requirements beyond those required by federal statute or regulation. For that reason, this proposed action:</P>
        <P>• Is not a “significant regulatory action” subject to review by the Office of Management and Budget under Executive Order 12866 (58 FR 51735, October 4, 1993);</P>

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

        <P>• Is certified as not having a significant economic impact on a substantial number of small entities under the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>);</P>
        <P>• Does not contain any unfunded mandate or significantly or uniquely affect small governments, as described in the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4);</P>
        <P>• Does not have Federalism implications as specified in Executive Order 13132 (64 FR 43255, August 10, 1999);</P>
        <P>• Is not an economically significant regulatory action based on health or safety risks subject to Executive Order 13045 (62 FR 19885, April 23, 1997);</P>
        <P>• Is not a significant regulatory action subject to Executive Order 13211 (66 FR 28355, May 22, 2001);</P>
        <P>• Is not subject to the 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 Clean Air Act; and</P>
        <P>• Does not provide EPA with the discretionary authority to address disproportionate human health or environmental effects with practical, appropriate, and legally permissible methods under Executive Order 12898 (59 FR 7629, February 16, 1994).</P>
        
        <FP>In addition, this proposed rule does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because it would not 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 Clean Air Act, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by August 20, 2012.</P>
        <P>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 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, Intergovernmental relations, Oxides of nitrogen, Ozone, Reporting and recordkeeping requirements, Volatile organic compounds.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: June 6, 2012.</DATED>
          <NAME>Samuel Coleman,</NAME>
          <TITLE>Acting Regional Administrator, Region 6.</TITLE>
        </SIG>
        
        <P>Part 52, chapter I, title 40 of the Code of Federal Regulations 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 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 SS—Texas</HD>
          </SUBPART>
          <AMDPAR>2. Section 52.2275 is amended by adding paragraph (d) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.2275</SECTNO>
            <SUBJECT>Control strategy and regulations: Ozone.</SUBJECT>
            <STARS/>
            <P>(d)<E T="03">Determinations that Certain Areas Did Not Attain the 1-Hour Ozone NAAQS.</E>EPA has determined that the Houston/Galveston/Brazoria severe-17 1-hour ozone nonattainment area did not attain the 1-hour ozone NAAQS by the applicable attainment date of November 15, 2007. This determination bears on the area's obligations with respect to implementation of two specific 1-hour ozone standard anti-backsliding requirements: section 172(c)(9) contingency measures for failure to attain and sections 182(d)(3) and 185 major stationary source fee programs.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14713 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <PRTPAGE P="36404"/>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R01-OAR-2011-0960; FRL-9688-4]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality ImplementationPlans; Massachusetts; Determination of Attainment of the 1997 Ozone Standard for the Western Massachusetts Nonattainment Area</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>The EPA is making two separate and independent determinations. First, EPA is making a final determination that the Springfield (Western Massachusetts) moderate 1997 8-hour ozone nonattainment area has attained the 1997 8-hour National Ambient Air Quality Standard (NAAQS) for ozone. This determination is based upon complete, quality-assured, certified ambient air monitoring data that show the area has monitored attainment of the 1997 8-hour ozone NAAQS for the 2007-2009 and 2008-2010 monitoring periods. In addition, complete, quality-assured, certified ambient air monitoring data for 2011 indicate that the area continues to attain the standard. Under the provisions of EPA's ozone implementation rule, the requirements for this area to submit an attainment demonstration, a reasonable further progress plan, contingency measures, and other planning State Implementation Plans related to attainment of the 1997 8-hour ozone NAAQS shall be suspended for so long as the area continues to attain the 1997 ozone NAAQS. In addition, EPA is determining that this area attained the 1997 ozone NAAQS as of June 15, 2010, its applicable attainment date.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>This rule is effective on July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>EPA has established a docket for this action under Docket Identification No. EPA-R01-OAR-2011-0960. All documents in the docket are listed on the<E T="03">www.regulations.gov</E>Web site. Although listed in the index, some information is not publicly available, i.e., CBI or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, is not placed on the Internet and will be publicly available only in hard copy form. Publicly available docket materials are available either electronically through<E T="03">www.regulations.gov</E>or in hard copy at the Office of Ecosystem Protection, U.S. Environmental Protection Agency, EPA New England Regional Office, Office of Ecosystem Protection, Air Quality Planning Unit, 5 Post Office Square—Suite 100, Boston, MA. EPA requests that if at all possible, you contact the contact 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 to 4:30, excluding legal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Richard P. Burkhart, Air Quality Planning Unit, U.S. Environmental Protection Agency, EPA New England Regional Office, 5 Post Office Square, Suite 100, Boston, MA 02109-3912, telephone number (617) 918-1664, fax number (617) 918-0664, email<E T="03">Burkhart.Richard@epa.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Throughout this document whenever “we,” “us,” or “our” is used, we mean EPA.</P>
        <P>Organization of this document. The following outline is provided to aid in locating information in this preamble.</P>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. What actions is EPA taking?</FP>
          <FP SOURCE="FP-2">II. What is the background for these actions?</FP>
          <FP SOURCE="FP-2">III. What is the effect of these actions?</FP>
          <FP SOURCE="FP-2">IV. Final Actions</FP>
          <FP SOURCE="FP-2">V. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. What actions is EPA taking?</HD>
        <P>EPA is making two separate and independent determinations. First, EPA is determining that the Springfield (Western Massachusetts) moderate 8-hour ozone nonattainment area has attained the 1997 8-hour ozone National Ambient Air Quality Standard (NAAQS). This determination is based upon complete, quality-assured and certified ambient air monitoring data that show the area has monitored attainment of the 1997 ozone NAAQS for the 2007-2009 and 2008-2010 monitoring periods. Inaddition, complete, quality-assured, certified ambient air monitoring data for 2011<SU>1</SU>
          <FTREF/>indicate that the area continues to attain the standard. Second, EPA is determining, under section 181(b)(2)(A) of the Clean Air Act (CAA), that this area attained the 1997 8-hour ozone NAAQS by its applicable attainment date (June 15, 2010).</P>
        <FTNT>
          <P>
            <SU>1</SU>The data capture for the Adams ozone monitor for 2011 was below EPA data capture requirements for the 1997 8-hour ozone NAAQS. In addition the 3-year period between 2009 and 2011 had low data capture. The Adams monitor is a mountain top monitor and the road to the site was not accessible until early May in both 2010 and 2011, due to snow and ice. The Massachusetts Department of Environmental Protection recently performed a missing data analysis for this site in accordance with the regulatory requirements of 40 CFR Part 50, Appendix I, for both 2010 and 2011. The Massachusetts missing data analysis used a combination of meteorology and air quality data for ozone monitors near the Adams site for the missing days to decisively conclude that on the days with missing ozone data, the ozone levels, if captured, would have been below both the 1997 8-hour ozone NAAQS and the 2008 8-hour ozone NAAQS. Thus, by rule, these days can be counted for the purpose of meeting the data completeness requirement. The missing data analysis for this site was approved by EPA on April 27, 2012. The approval letter is in the Docket for this action.</P>
        </FTNT>
        <HD SOURCE="HD1">II. What is the background for these actions?</HD>
        <P>On January 23, 2012 (77 FR 3220), EPA published in the<E T="04">Federal Register</E>a Notice of Proposed Rulemaking (NPR) proposing the determinations that are the subject of this final rulemaking action. The rationale and bases for EPA's actions are set forth in the January 23, 2012 NPR, and need not be restated here. EPA received no comments on the NPR.</P>
        <HD SOURCE="HD1">III. What is the effect of these actions?</HD>
        <P>Under the provisions of EPA's ozone implementation rule (see 40 CFR Section 51.918), a determination that the area is attaining the standard suspends the requirements for the Western Massachusetts moderate ozone nonattainment area to submit an attainment demonstration, a reasonable further progress plan, section 172(c)(9) contingency measures, and any other planning State Implementation Plans (SIPs) related to attainment of the 1997 8-hour ozone NAAQS for so long as the area continues to attain the 1997 ozone NAAQS.</P>

        <P>This action does not constitute a redesignation to attainment under CAA section 107(d)(3), because EPA has not yet approved a maintenance plan for the area, as required under section 175A of the CAA, nor made a determination that the area has met the other requirements for redesignation. The classification and designation status of the area remains moderate nonattainment for the 1997 8-hour ozone NAAQS until such time as EPA determines that it meets the CAA requirements for redesignation to attainment. If EPA subsequently determines, after notice-and-comment rulemaking in the<E T="04">Federal Register</E>, that the area has violated the 1997 8-hour ozone standard, the basis for the suspension of these requirements would no longer exist, and the area would thereafter have to address the pertinent requirements. In addition, in accordance with CAA section 181(b)(2)(A), EPA is determining that the Western Massachusetts 1997 8-hour ozone nonattainment area attained the 1997 ozone NAAQS by its applicable attainment date of June 15, 2010. The<PRTPAGE P="36405"/>effect of this determination of attainment by the area's attainment date is to discharge EPA's obligation under section 181(b)(2)(A), and to establish that, in accordance with that section, the area will not be reclassified for failure to attain by its applicable attainment date.</P>
        <HD SOURCE="HD1">IV. Final Actions</HD>
        <P>EPA is making two separate and independent determinations. First, EPA is determining that the Western Massachusetts 8-hour ozone nonattainment area has attained the 1997 8-hour ozone standard based on complete, quality-assured and certified ozone monitoring data from 2007-2009 and from 2008-2010. In addition, complete, quality-assured, certified ambient air monitoring data for 2011 indicate the area continues to attain the standard. As provided in 40 CFR 51.918, this determination suspends the requirements for Massachusetts to submit an attainment demonstration, a reasonable further progress plan, contingency measures under section 172(c)(9), and any other planning SIP related to attainment of the 1997 8-hour ozone NAAQS for this area, for so long as the area continues to attain the 1997 ozone standard. Furthermore, pursuant to CAA section 181(b)(2)(A) EPA is determining that the Western Massachusetts 8-hour ozone nonattainment area attained the 1997 8-hour ozone NAAQS by its applicable attainment date (June 15, 2010).</P>
        <HD SOURCE="HD1">IV. Statutory and Executive Order Reviews</HD>
        <P>These actions make determinations of attainment based on air quality, result in the suspension of certain Federal requirements, and/or would not impose additional requirements beyond those imposed by state law. For that reason, these actions:</P>
        <P>• Are not “significant regulatory actions” subject to review by the Office of Management and Budget under Executive Order 12866 (58 FR 51735, October 4, 1993);</P>

        <P>• Do 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>• Are 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>• Do 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>• Do not have Federalism implications as specified in Executive Order 13132 (64 FR 43255, August 10, 1999);</P>
        <P>• Are not economically significant regulatory actions based on health or safety risks subject to Executive Order 13045 (62 FR 19885, April 23, 1997);</P>
        <P>• Are not significant regulatory actions subject to Executive Order 13211 (66 FR 28355, May 22, 2001);</P>
        <P>• Are 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 Clean Air Act; and</P>
        <P>• Do 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, these actions do 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>
        <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 these actions 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 Clean Air Act, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by August 20, 2012.</P>
        <P>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.</P>
        <P>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 52</HD>
          <P>Environmental protection, Air pollution control, Incorporation by reference, Intergovernmental relations, Nitrogen dioxide, Ozone, Reporting and recordkeeping requirements, Volatile organic compounds.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: June 6, 2012.</DATED>
          <NAME>H. Curtis Spalding,</NAME>
          <TITLE>Regional Administrator,EPA New England.</TITLE>
        </SIG>
        
        <P>Part 52 of chapter I, title 40 of the Code of Federal Regulations 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 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 W—Massachusetts</HD>
          </SUBPART>
          <AMDPAR>2. Section 52.1129 is amended by adding paragraph (h) to read asfollows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.1129</SECTNO>
            <SUBJECT>Control strategy: Ozone.</SUBJECT>
            <STARS/>
            <P>(h) Determinations of Attainment: Effective July 19, 2012.</P>
            <P>(1) Determination of Attainment. EPA is determining that the Springfield (Western Massachusetts) 8-hour ozone nonattainment area has attained the 1997 8-hour ozone standard. Under the provisions of EPA's ozone implementation rule (see 40 CFR 51.918), this determination suspends the reasonable further progress and attainment demonstration requirements of section 182(b)(1) and related requirements of section 172(c)(9) of the Clean Air Act for as long as the area continues to attain the 1997 8-hour ozone standard. If EPA determines, after notice-and comment rulemaking, that the Western Massachusetts area no longer meets the 1997 ozone NAAQS, this determination shall be withdrawn.</P>
            <P>(2) Determination of Attainment by the Area's Attainment Date. EPA has determined that the Springfield (Western Massachusetts) 8-hour ozone nonattainment area met the applicable June 15, 2010 attainment deadline for the 1997 8-hour ozone standard.</P>
          </SECTION>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14719 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <PRTPAGE P="36406"/>
        <AGENCY TYPE="N">FEDERAL COMMUNICATIONS COMMISSION</AGENCY>
        <CFR>47 CFR Parts 51 and 54</CFR>
        <DEPDOC>[WC Docket Nos. 10-90, 07-135, 05-337, 03-109; GN Docket No. 09-51; CC Docket Nos. 01-92, 96-45; WT Docket No. 10-208; FCC 12-47]</DEPDOC>
        <SUBJECT>Connect America Fund; a National Broadband Plan for Our Future; Establishing Just and Reasonable Rates for Local Exchange Carriers; High-Cost Universal Service Support; Correction</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Communications Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; correction.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Federal Communications Commission published in the<E T="04">Federal Register</E>of May 29, 2012, a document that reconsiders and modifies certain provisions of the Commission's rules that were adopted in the<E T="03">USF/ICC Transformation Order.</E>This final rule correction states that the amendments made to 47 CFR part 51 shall be effective on July 13, 2012, and, the amendments made to 47 CFR part 54 shall be effective on June 28, 2012.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective June 19, 2012, the effective date of the amendments to 47 CFR part 51 in the final rule published May 29, 2012 (77 FR 31520) is corrected to July 13, 2012. The effective date of the amendments to 47 CFR part 54 shall remain June 28, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Amy Bender, Wireline Competition Bureau, (202) 418-1469, Victoria Goldberg, Wireline Competition Bureau, (202) 418-1520</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The FCC published a document in the<E T="04">Federal Register</E>of May 29, 2012, (77 FR 31520) stating that 47 CFR part 51, is<E T="03">amended,</E>and such rule amendments shall be effective 45 days after the date of publication of the rule amendments in the<E T="04">Federal Register</E>. The document also states that 47 CFR part 54, is<E T="03">amended,</E>and such rule amendments shall be effective 30 days after the date of publication of the rule amendments in the<E T="04">Federal Register</E>. This document specifies the actual effective dates of the rule amendments. The<E T="02">Dates</E>heading of the May 29, 2012,<E T="04">Federal Register</E>document only included the effective date of the revisions to 47 CFR part 51. This final rule correction specifies the separate effective dates for the part 51 amendments and the part 54 amendments as follows: The amendments to part 51 are effective July 13, 2012. The amendments to part 54 are effective June 28, 2012.</P>
        <SIG>
          <FP>Federal Communications Commission.</FP>
          <NAME>Marlene H. Dortch,</NAME>
          <TITLE>Secretary.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14303 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6712-01-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Transportation Security Administration</SUBAGY>
        <CFR>49 CFR Part 1572</CFR>
        <DEPDOC>[Docket No. TSA-2006-24191]</DEPDOC>
        <SUBJECT>Exemption From Transportation Worker Identification Credential (TWIC) Expiration Provisions for Certain Individuals Who Hold a Valid TWIC</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Transportation Security Administration, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of Exemption.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Transportation Security Administration (TSA) is granting a temporary exemption from certain TWIC regulations regarding card expiration and replacement requirements. This exemption applies to U.S. nationals<SU>1</SU>
            <FTREF/>who hold a valid TWIC expiring on or before December 31, 2014. The exemption permits eligible TWIC holders to obtain a replacement card that extends the expiration date of their current security threat assessment and TWIC by three years. During 2012, DHS intends to publish a Notice of Proposed Rulemaking (NPRM) to seek comment on card reader requirements and deployment requirement plans. At the end of the three-year extension period, pending the outcome of this rulemaking activity, DHS expects card reader requirements to be in place and readers to be deployed at facilities with the highest risk.</P>
          <FTNT>
            <P>
              <SU>1</SU>The term U.S. nationals includes U.S. citizens and noncitizen nationals of the United States.</P>
          </FTNT>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This exemption becomes effective August 30, 2012.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>David Baker, Office of Security Policy and Industry Engagement, TWIC Program Office, TSA-28, Transportation Security Administration, 601 South 12th Street, Arlington, VA 20598-6028; telephone (571) 227-2659; facsimile (571) 227-1376; email:<E T="03">david.baker1@dhs.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>This document grants a temporary exemption to certain TWIC regulations contained at 49 CFR part 1572. The background, purpose, and terms of the exemption are explained below.</P>
        <HD SOURCE="HD1">Background</HD>
        <P>The Maritime Transportation Security Act (MTSA) of 2002<SU>2</SU>
          <FTREF/>and the Security and Accountability for Every Port Act of 2006<SU>3</SU>
          <FTREF/>require TSA and the U.S. Coast Guard to establish regulations requiring certain merchant mariners and individuals with unescorted access to secure areas of certain vessels and facilities to undergo a security threat assessment (STA) and receive a biometric credential called the Transportation Worker Identification Credential (TWIC). The STA consists of criminal, immigration and terrorism checks. TSA and the U.S. Coast Guard implemented these requirements in a joint final rulemaking.<SU>4</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>2</SU>Public Law 107-295, 116 Stat. 2064 (November 25, 2002).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>Public Law 109-347, 120 Stat. 1884 (October 13, 2006).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>Transportation Worker Identification Credential (TWIC) Implementation in the Maritime Sector Final Rule, 72 FR 3492 (January 25, 2007).</P>
        </FTNT>
        <P>TSA is issuing this exemption to give eligible individuals the option to extend for an additional three years their current STAs for five-year TWICs that are set to expire on or before December 31, 2014,<SU>5</SU>
          <FTREF/>rather than require them to renew the card. Through this notice, we are exempting eligible individuals from 49 CFR 1572.23(a) and (a)(1) and 1572.501(d) of the TWIC regulation. If card holders so choose, they will have the option to renew the card for a full five years, as detailed in the TWIC regulation, codified at 49 CFR 1572.17, 1572.19, and 1572.21. The process for exercising the three-year TWIC extension option will be similar to the card replacement procedures outlined in the TWIC regulation at 49 CFR 1572.19(f) and 1572.501(d).</P>
        <FTNT>
          <P>
            <SU>5</SU>49 CFR 1572.23.</P>
        </FTNT>

        <P>Eligible individuals choosing the three-year TWIC extension may obtain it by ordering the credential via telephone, paying a $60 card replacement fee, and visiting a TWIC enrollment center to pick up and activate the card. For the purposes of this exemption, the three-year TWIC is considered a valid TWIC, in that it can be used to enter maritime facilities and vessels just as the five-year TWIC is used currently. The three-year TWIC will expire three years from the expiration date of the TWIC that is being replaced. Eligible individuals selecting the three-year TWIC option do not have to go through the standard renewal process that includes providing new biometric and biographic information at an enrollment center, new STA, payment of the renewal fee of $129.75, and a second trip to an enrollment center to retrieve and activate the credential.<PRTPAGE P="36407"/>
        </P>
        <P>This exemption will reduce the burden and cost<SU>6</SU>
          <FTREF/>associated with obtaining a new TWIC for the majority of individuals holding expiring TWICs, while the U.S. Coast Guard develops the TWIC reader regulation. This exemption (and the option that it will provide to certain TWIC holders with expiring TWICs) and the U.S. Coast Guard TWIC reader rulemaking are part of the Department of Homeland Security's overall proposed effort to ensure that TWIC readers are deployed, through a risk-based approach, to appropriate vessels and facilities throughout the Nation in the coming three-year period.</P>
        <FTNT>
          <P>

            <SU>6</SU>TSA's OMB control number for the TWIC collection of information is 1652-0047. TSA has updated its Paperwork Reduction Act submission to OMB to reflect the changes in hour and cost burden that will result from the TWIC Exemption. TSA estimates for those eligible individuals who select the three-year TWIC option, the cost and hour burden will be reduced by over 50 percent. This information will be available at<E T="03">www.reginfo.gov.</E>
          </P>
        </FTNT>
        <P>In particular, over the next three years, during the STA extension period, DHS intends to issue a U.S Coast Guard NPRM and final rulemaking to establish a risk-based reader deployment and implementation schedule. DHS anticipates that the highest risk facilities will be required to implement TWIC card readers prior to the expiration of the TWIC STA extension period detailed in this notice. If a card holder chooses not to exercise this extension, the individual must follow TWIC renewal provisions as specified in the TWIC regulation at 49 CFR 1572.17, 1572.19 and 1572.21. For card holders that opt to follow renewal procedures in the final rule, renewal cards will be valid for five years.</P>
        <HD SOURCE="HD1">Authority and Determination</HD>
        <P>TSA may grant an exemption from a regulation if TSA determines that the exemption is in the public interest.<SU>7</SU>
          <FTREF/>TSA has determined that it is in the public interest to grant an exemption from certain TWIC regulations found at 49 CFR part 1572, described below under “Exemption.” This exemption will contribute to providing safe and efficient transportation while ensuring the efficient use and conservation of the resources of the United States. Due to the fact that readers are not yet required by regulation or in widespread use, we believe the burden associated with the full renewal requirements is not currently justified. The exemption permits eligible individuals to pay lower fees, reduce trips to an enrollment center, and avoid providing new biometric and biographic enrollment information when they request the card. As stated above, this exemption will reduce the burden and cost associated with obtaining a new TWIC for the majority of individuals holding expiring TWICs, without reducing the current benefits of possession of those TWICs, while the U.S. Coast Guard develops the TWIC reader regulation.</P>
        <FTNT>
          <P>
            <SU>7</SU>49 U.S.C. 114(q).</P>
        </FTNT>
        <P>These factors save time and resources for TWIC workers and the government and also facilitate commerce at America's ports, a vital element of the national economy.</P>
        <HD SOURCE="HD1">Eligibility and Process for Using the Exemption</HD>
        <P>Individuals are eligible to apply for the three-year TWIC if they are U.S. nationals<SU>8</SU>
          <FTREF/>and hold a valid TWIC that expires on or before December 31, 2014. Individuals eligible for the three-year TWIC may choose to obtain a five-year TWIC under the current process. All other individuals who are not eligible for the three-year TWIC must obtain or renew a TWIC through the standard renewal process and obtain a five-year TWIC.</P>
        <FTNT>
          <P>
            <SU>8</SU>8 U.S.C. 1101(a)(22).</P>
        </FTNT>
        <P>Eligible individuals must request a three-year TWIC from TSA. To make this request, individuals should call 1-866-347-8942 (the TWIC Help Desk<SU>9</SU>
          <FTREF/>) to order a three-year TWIC. Individuals must pay the associated $60 card replacement fee either by credit card over the telephone, or via cashier's check or money order at an enrollment center.<SU>10</SU>
          <FTREF/>The new three-year TWICs will be available within five to ten business days after calling the TWIC Help Desk. Once the card is ready, individuals must make one visit to an enrollment center of their choosing to pick up and activate the three-year TWIC, and present a government-issued photo identification to verify that they are the authorized TWIC holder. This visit to the enrollment center is the only one required; individuals can make an appointment or walk in during normal enrollment center business hours to pick-up and activate the three-year TWIC.</P>
        <FTNT>
          <P>

            <SU>9</SU>To obtain more information about contacting the TWIC Help Desk and this exemption, visit the TSA Web site at<E T="03">http://www.tsa.gov/what_we_do/layers/twic/contact.shtm</E>(last visited Apr. 18, 2012).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>10</SU>Please note that because payment must be made in advance of ordering the replacement card, those eligible individuals who choose to pay via cashier's check or money order will have to make a separate trip to the enrollment center to order the card, in addition to visiting the enrollment center to pick-up and activate the three-year TWIC.</P>
        </FTNT>
        <P>All individuals holding a TWIC must continue to comply with all non-exempt requirements of 49 CFR part 1572, including requirements to report disqualifying arrests, convictions or unlawful immigration status. Ports and facility operators do not have to modify current access control procedures to accommodate three-year TWICs. Any facility may use a TWIC reader in conjunction with TSA's Cancelled Card List (CCL) to determine if a five-year or three-year TWIC has been revoked for cause, or reported as lost, stolen or damaged. Industry and law enforcement officials may use a three-year TWIC to verify identity using a TWIC reader, as is currently done with five-year TWICs.</P>
        <HD SOURCE="HD1">Exemption</HD>
        <HD SOURCE="HD2">Section I—General Exemption</HD>
        <P>Beginning August 30, 2012, TSA exempts eligible individuals who hold a valid TWIC that expires on or before December 31, 2014, from the requirements of 49 CFR part 1572 described below:</P>
        <P>1. Eligible individuals are exempt from 49 CFR 1572.23(a) and may receive a three-year extension of the five-year expiration date of their current TWIC by following the procedures described below in “Approved Procedures.” TSA does not exempt individuals from the requirements of 49 CFR 1572.23(a)(2).</P>
        <P>2. Eligible individuals whose TWIC was issued based on a comparable threat assessment are exempt from 49 CFR 1572.23(a)(1) and may receive a three-year extension of the expiration date of their current TWIC by following the procedures described below in “Approved Procedures.”</P>
        <P>3. Eligible individuals are exempt from 49 CFR 1572.501(d) and may replace their five-year TWIC with a three-year TWIC by paying the $60 card replacement fee even if their current TWIC has not been lost, stolen or damaged. Individuals may continue to replace a lost, stolen or damaged TWIC pursuant to the requirements in 49 CFR 1572.501(d).</P>
        <HD SOURCE="HD2">Section II—Approved Procedures</HD>
        <P>To receive a three-year TWIC, eligible individuals must:</P>
        <P>1. Call the TWIC Help Desk (currently 1-866-347-8942) and order a three-year TWIC.<SU>11</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>11</SU>To obtain more information about contacting the TWIC Help Desk and this exemption, visit the TSA Web site at<E T="03">http://www.tsa.gov/what_we_do/layers/twic/contact.shtm</E>(last visited Apr. 18, 2012).</P>
        </FTNT>
        <P>2. Pay the $60 card replacement fee.</P>
        <P>3. For individuals who became a U.S. national after enrolling for the original five-year TWIC, provide proof of U.S. national status<SU>12</SU>
          <FTREF/>before picking up the three-year TWIC.</P>
        <FTNT>
          <P>

            <SU>12</SU>The list of acceptable documents that may be used to provide proof of U.S. nationality is located at<E T="03">http://www.tsa.gov/assets/pdf/<PRTPAGE/>approved_twic_identification_docs.pdf</E>(last visited May 2, 2012).</P>
        </FTNT>
        <PRTPAGE P="36408"/>
        <P>4. Visit an enrollment center and present a government-issued photo identification<SU>13</SU>
          <FTREF/>to activate and pick up the new TWIC.</P>
        <FTNT>
          <P>

            <SU>13</SU>The list of acceptable identification documents is located at<E T="03">http://www.tsa.gov/assets/pdf/approved_twic_identification_docs.pdf.</E>
          </P>
        </FTNT>
        <P>5. Comply with all non-exempt requirements of 49 CFR part 1572.</P>
        <SIG>
          <DATED>Issued in Arlington, Virginia, on June 15, 2012.</DATED>
          <NAME>John S. Pistole,</NAME>
          <TITLE>Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-15027 Filed 6-15-12; 4:15 pm]</FRDOC>
      <BILCOD>BILLING CODE 9110-05-P</BILCOD>
    </RULE>
  </RULES>
  <VOL>77</VOL>
  <NO>118</NO>
  <DATE>Tuesday, June 19, 2012</DATE>
  <UNITNAME>Proposed Rules</UNITNAME>
  <PRORULES>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="36409"/>
        <AGENCY TYPE="F">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Bureau of Industry and Security</SUBAGY>
        <CFR>15 CFR Parts 772 and 774</CFR>
        <DEPDOC>[Docket No. 120403245-1034-01]</DEPDOC>
        <RIN>RIN 0694-AF66</RIN>
        <SUBJECT>“Specially Designed” Definition</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Bureau of Industry and Security, Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>As part of the President's Export Control Reform (ECR) Initiative, this proposed rule, and a separate proposed rule from the Department of State, Directorate of Defense Trade Controls, being published in conjunction with this document, sets forth, as much as possible, a common definition of the term “specially designed” for use in the Export Administration Regulations (EAR) and the International Traffic in Arms Regulations (ITAR). The term “specially designed” is used widely in the Commerce Control List (CCL) and would play an important role in the “600 series” that the Bureau of Industry and Security (BIS) has proposed to create to control less sensitive defense articles transferred from the United States Munitions List (USML) to the Commerce Control List (CCL). The revisions in this rule are part of Commerce's retrospective plan under EO 13563 completed in August 2011. Commerce's full plan can be accessed at:<E T="03">http://open.commerce.gov/news/2011/08/23/commerce-plan-retrospective-analysis-existing-rules</E>.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received by BIS no later than August 3, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Comments on this rule may be submitted to the Federal rulemaking portal (<E T="03">www.regulations.gov</E>). The regulations.gov ID for this rule is: BIS-2012-0021. Comments may also be submitted via email to<E T="03">publiccomments@bis.doc.gov</E>or on paper to Regulatory Policy Division, Bureau of Industry and Security, Room 2099B, U.S. Department of Commerce, 14th St. and Pennsylvania Ave. NW., Washington, DC 20230. Please refer to RIN 0694-AF66 in all comments and in the subject line of email comments. All comments must be in writing. All comments (including any personal identifiable information) will be available for public inspection and copying. Those wishing to comment anonymously may do so by submitting their comment via regulations.gov and leaving the fields for identifying information blank.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Timothy Mooney, Regulatory Policy Division, Bureau of Industry and Security, Department of Commerce, Phone: (202) 482-2440, Fax: (202) 482-3355, Email:<E T="03">timothy.mooney@bis.doc.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The revisions in this proposed rule are part of Commerce's retrospective plan under EO 13563 completed in August 2011.</P>
        <P>Elsewhere in this issue of the<E T="04">Federal Register</E>, BIS publishes an advanced notice of proposed rulemaking,<E T="03">Feasibility of Enumerating “Specially Designed” Components,</E>requesting comments on the feasibility of positively identifying “specially designed” components on the CCL. That proposal is a part of a longer term project the U.S. Government intends to undertake with the multilateral export control regimes.</P>
        <HD SOURCE="HD1">Background</HD>

        <P>On July 15, 2011, BIS proposed a single definition of the term “specially designed” as it would be used in the proposed “600 series” and the rest of the Commerce Control List (CCL) (the “July 15 proposed rule”) (76 FR 41958). This action would revise that proposed definition. Additionally, the State Department is concurrently publishing a proposed rule to create, to the extent possible, a common definition of “specially designed” in the International Traffic in Arms Regulations (ITAR). After reviewing comments received in response to both proposed rules, the Departments of Commerce and State plan to publish final rules amending the Export Administration Regulations (EAR) and ITAR so that they have, to the extent possible, common definitions of the term. The revisions in this rule are part of Commerce's retrospective plan under EO 13563 completed in August 2011. Commerce's full plan can be accessed at:<E T="03">http://open.commerce.gov/news/2011/08/23/commerce-plan-retrospective-analysis-existing-rules</E>.</P>

        <P>All references to the United States Munitions List (USML) in this rule are to the list of defense articles that are controlled for purposes of export pursuant to the ITAR, 22 CFR Parts 120<E T="03">et seq.,</E>and not to the list of defense articles on the United States Munitions Import List (USMIL) controlled by the Bureau of Alcohol, Tobacco, Firearms and Explosives (ATF) for purposes of import, under its regulations at 27 CFR Part 447. Pursuant to section 38(a)(1) of the Arms Export Control Act (AECA), all defense articles controlled for export or import are part of the USML under the AECA, but, for the sake of clarity, the list of defense articles controlled by ATF for purposes of import are on the USMIL. The transfer of defense articles from the ITAR's USML to the EAR's CCL for purposes of export controls does not affect the list of defense articles controlled on the USMIL under the AECA for purposes of import controls.</P>
        <P>A common definition of the term “specially designed” that is as clear and objective as possible is vital to the Administration's ECR Initiative. Many of the controls in the CCL use the term. Most of the new “600 series” ECCNs that have been proposed to control items the President determines no longer warrant control under the ITAR pursuant to AECA section 38(f) use the term. Several of the USML categories the State Department proposes to revise use the term as well.</P>
        <P>The State Department has decided to revise the USML to make it more “positive.” A “positive” list uses more objective parameters to describe the items controlled. As described in the ANPR referenced in the summary of this rule, BIS plans to continue the process of revising the CCL so that it is more “positive” as well.</P>

        <P>BIS cannot, however, immediately remove all references to the term in the CCL and replace them with lists of specific items that warrant control because the lists of items controlled by the multilateral export control regimes rely on the term extensively. Most of the CCL is based on and implements these regime lists. Moreover, BIS has not developed lists of which specific items would be “specially designed.” Such an<PRTPAGE P="36410"/>effort would take many years to complete and would require BIS to prepare and submit proposals to the regimes and then receive approval of those proposals to change the relevant control text.</P>
        <P>In addition, the new “600 series” ECCNs that have been proposed to control items that the President determines no longer warrant control on the USML must use a catch-all “specially designed” term to avoid inadvertently de-controlling items other than common, single unassembled parts that are now ITAR-controlled as “specifically designed, modified or configured” for a military application. As the State Department has described in its previous ANPR and proposed rules, much of the ITAR now relies upon catch-all controls. For example, the control for military electronic components, parts, components, accessories, and associated equipment is in USML Category XI(c), which controls “[c]omponents, parts, accessories, attachments, and associated equipment specifically designed or modified for use with equipment in paragraphs (a) and (b) of this category, except for such items as are in normal commercial use.” No other detail is provided. USML (22 CFR Part 121) Category XI(a) similarly uses a broad catch-all control phrase to control “[e]lectronic equipment not included in Category XII of the [USML] which is specifically designed, modified or configured for military applications.” The examples provided in the rule are not an exhaustive list of controlled items. USML Category VIII(h) similarly controls all “[c]omponents, parts, accessories, attachments and associated equipment (including ground support equipment) specifically designed or modified for the articles in paragraphs (a) through (d) of [Category VIII], excluding aircraft tires and propellers used with reciprocating engines,” other than the parts and components that are standard equipment in civil aircraft as described in the “Note” to USML Category VIII. Similarly, USML Category XII(e) controls “[c]omponents, parts, accessories, attachments and associated equipment specifically designed or modified for the [fire control, range finding, optical, night vision and other articles enumerated in] paragraphs (a) through (d) of this category, except for such items as are in normal commercial use.”</P>
        <P>The “specially designed” definition proposed here would capture the items currently captured under the ITAR “specifically designed, modified or configured” for a military application catch-all. BIS understands that the issues associated with catch-all control text would largely be transferred from one set of regulations to another. However, the Administration believes that industry and government would benefit from adopting this new definition because doing so would confine the term's use to a single set of regulations for a large volume of parts, components, and other items that do not warrant the worldwide and collateral controls of the ITAR. Moreover, this action would objectively define the catch-all term “specially designed” for such items, consistently apply the “normal commercial use” carve-outs described above, and also implement the statement of policy in ITAR section 120.3, consistent with the AECA. Under that policy, the ITAR, and by implication, the new “600 series” ECCNs, should not control items that (a) have predominant civil applications and performance equivalents to those used for civil applications and (b) do not have significant military or intelligence applicability such that control under the ITAR (or a new “600 series” ECCN) is warranted.</P>
        <P>This proposed definition would also provide the public with an as objective as possible basis for determining whether any other item on the CCL is “specially designed,” thus responding to a common industry suggestion for improving the CCL. In addition, the proposed definition responds to a common industry request to clarify that “specially designed” does not mean merely “capable of use in” or “capable of use for” another item. For example, non-application specific general purpose integrated circuits that are not designed for a particular application would not be “specially designed” items, even if they are used in controlled end items. Rather, the extent of the controls on such circuits would be described by the technical and other parameters in Category 3 of the CCL.</P>
        <P>Although BIS does not propose to remove references to “specially designed” that are part of multilateral control texts, it does have the discretion to define the term so long as the definition is not inconsistent with how the regimes define the term. The Missile Technology Control Regime (MTCR) is the only one of the four multilateral export control regimes to define the term. BIS believes that the proposed definition is not inconsistent with the MTCR definition, which is in EAR § 772.1. BIS asks the public to comment in particular on whether this proposed definition would result in specific items that are not now controlled for Missile Technology (MT) reasons on the CCL to become controlled for MT reasons. We also ask for public comments on whether this definition would remove from control items that are now controlled for MT reasons on the CCL as a result of the application of the MTCR definition. Additionally, as in the July 15 proposed rule, BIS asks the public to test this proposed definition to determine its ease of use, whether it meets the nine objectives identified for the term, and how it corresponds to what the public considers “specially designed” items.</P>
        <HD SOURCE="HD1">Objectives for the “Specially Designed” Definition</HD>
        <P>The July 15 proposed rule included nine objectives for the revised “specially designed” definition. These objectives have not changed. The U.S. Government is committed to adopting a “specially designed” definition under the EAR and ITAR that would achieve these objectives. The nine objectives are to:</P>
        <P>(i) Preclude multiple or overlapping controls of similar items within and across the two control lists;</P>

        <P>(ii) Be easily understood and applied by exporters, prosecutors, juries, and the U.S. Government—<E T="03">e.g.,</E>by using objective, knowable, and clear requirements that do not rely upon a need to investigate and divine the intentions of the original designer of a part or the predominant market applications for such items;</P>
        <P>(iii) Be consistent with definitions used by the multilateral export control regimes;</P>
        <P>(iv) Not include any item specifically enumerated on either the USML or the CCL and, in order to avoid a definitional loop, do not use “specially designed” as a control criterion;</P>
        <P>(v) Be capable of excluding from control simple or multi-use parts such as springs, bolts, and rivets, and other types of items the U.S. Government determines do not warrant significant export controls;</P>

        <P>(vi) Apply to both descriptions of end items that are “specially designed” to have particular characteristics<E T="03">and</E>to parts and components that were “specially designed” for particular end items;</P>
        <P>(vii) Apply to materials and software because they are “specially designed” to have a particular characteristic or for a particular type of end item;</P>

        <P>(viii) Not increase the current control level to “600 series” control or other higher end controls of items (<E T="03">i.e.,</E>not move items currently subject to a lower control status to a higher level control status), particularly current EAR99 items, which are now controlled at lower levels;<E T="03">and</E>
          <PRTPAGE P="36411"/>
        </P>
        <P>(ix) Not, merely as a result of the definition, cause historically EAR-controlled items to become ITAR controlled.</P>
        <P>BIS believes that this proposed definition, and its counterpart published by the State Department, achieves these nine objectives. However, we invite public comments and ideas for how to define the term to meet or exceed all these objectives, and to provide additional objectives for such a term.</P>
        <P>BIS received many responses to the proposed “specially designed” definition in the July 15 proposed rule. The comments, along with the additional review of this issue the U.S. Government conducted in conjunction with BIS's Technical Advisory Committees (TACs) and State's Defense Trade Advisory Group (DTAG), identified additional changes necessary to achieve the nine objectives for “specially designed.” This rule proposes a revised definition of “specially designed” to allow this term to play the key role envisioned for it under the ECR Initiative.</P>

        <P>Similar to the July 15 proposed definition, this proposed definition adopts a “catch and release” approach. Paragraph (a) of the definition contains broad bases for items to be “specially designed”—the “catch”—and paragraph (b) contains various exceptions to an item's being “specially designed”—the “release.” BIS believes that this structure creates an objective and common definition for both the EAR and ITAR, which nonetheless can be tailored and refined over time as necessary. This definition also simultaneously meets the nine objectives defined above while, with respect to the “600 series” items, also remains consistent with the policy standards set out in ITAR section 120.3 and the carve-outs in various USML categories that do not control items “in normal commercial use.” BIS believes that this approach more readily lends itself to analysis in a decision tree format,<E T="03">i.e.,</E>with a series of “yes” and “no” questions leading to a conclusion about whether an item is “specially designed.” BIS further believes that this format will contribute to a more orderly and efficient determination about whether an item is “specially designed.” This change would, then, eventually facilitate enhanced public understanding of the definition of the term.</P>
        <HD SOURCE="HD1">Summary of Public Comments on “Specially Designed”</HD>

        <P>Generally, public comments on the July 15 proposed rule supported the overall ECR Initiative and the proposed rule. In particular, commenters supported creating the “600 series,” which most commenters characterized as a sensible approach to addressing a fairly complicated problem. However, most commenters expressed concerns about the proposed “specially designed” definition, along with transition-related concerns that are being addressed in a separate proposed rule to be published in the<E T="04">Federal Register</E>. For example, commenters felt that the new definition was difficult to understand and would capture items that should not be considered “specially designed.” The comments are discussed in greater detail below in regards to the specific concerns with the July 15 proposed rule. The comments can be reviewed at:<E T="03">http://efoia.bis.doc.gov/pubcomm/records-of-comments/record_of_comments_usml.pdf</E>.</P>
        <P>BIS took into account the comments from the July 15 proposed rule when developing the revised definition of “specially designed” proposed here. BIS intends this revised definition to be evaluated on its own merits, and the public need not review the July 15 proposed rule to understand this action. Once the public comments on this rule are reviewed and responded to, BIS intends to publish a final “specially designed” definition.</P>
        <P>However, a general summary of the July 15 definition and the responses to it provides context for this proposed definition. In the July 15 proposed rule, BIS suggested defining “specially designed” in four paragraphs. Paragraph (a) would have identified what items would be “specially designed” except for “parts” and “components.” Paragraph (b) would have identified which “parts” and “components” would be “specially designed.” The paragraph (c) and (d) exclusion paragraphs would have identified certain items that would not be “specially designed.”Most commenters supported paragraph (a) of the proposed definition. The majority of commenters suggested also adopting paragraph (a) for “parts” and “components.” Additionally, the majority of comments received indicated the public could understand and apply the paragraph (a) criteria, so BIS decided to include the same type of criteria as part of the proposed paragraph (a)(1) criteria included in this rule's proposed definition of “specially designed.” However, a small number of commenters indicated that the proposed paragraph (a) could result in confusion over whether an item was “specially designed,” because the definition still relied on design intent. This proposed “specially designed” definition addresses that concern by adopting a single paragraph (a) for determining what items are “specially designed.” Under the proposed structure, an item meeting one of the three listed criteria would be considered “specially designed.”</P>
        <P>Most of the concerns with the definition related to paragraphs (b), (c), and (d), which defined non-specific “parts” or “components” could be considered “specially designed.” Of the commenters criticizing these paragraphs, most believed the exclusions in paragraphs (c) and (d) were difficult to understand and, once understood, would have resulted in items that they had not historically considered to be “specially designed” to become controlled as a result of the definition. In particular, the definition would have caused non-specific “parts” and “components” designed for controlled and uncontrolled applications or no particular application to become “specially designed,” and therefore subject to control. Thus, the definition would have resulted in some items' control status being undefined until the items first were used in a controlled, or uncontrolled item. BIS believes the paragraphs (b)(4) and (b)(5) proposed here address those concerns.</P>
        <HD SOURCE="HD1">I. Proposed Adoption of a Revised “Specially Designed” Definition</HD>
        <HD SOURCE="HD2">A. Discussion of Each Element of the Proposed Definition and Its Notes</HD>
        <P>The definition begins with introductory text to provide guidance on the proper steps for analyzing the definiton. This brief introductory text would assist the public in understanding that they must follow the sequential analysis set forth below. Specifically, the public is to begin with paragraph (a)(1) and proceed through each subsequent paragraph. This introductory text would also specify that commodities subject to the EAR described in any paragraph (b) subparagraph are not “specially designed” under this definition.</P>
        <HD SOURCE="HD3">1. Paragraph (a) Identifies “Specially Designed” Items</HD>
        <P>Paragraph (a)<E T="03"/>begins with the phrase<E T="03"/>“Except for items described in (b), an `item' is `specially designed' if, as a result of `development,' it [is within the scope of any one of three subparagraphs discussed below].” It is the beginning of the “catch” in the “catch and release” structure of the definition. With respect to ECCNs containing the term “specially designed,” an item is “caught” as “specially designed” if any of the three<PRTPAGE P="36412"/>elements of paragraph (a) apply and none of the elements of paragraph (b) apply. The word “items” refers to how the term is defined in the EAR,<E T="03">i.e.,</E>any “commodity,” “software,” or “technology.”</P>
        <P>Paragraph (a) is limited by the phrase “if, as a result of `development.'” The EAR defines “development” as “related to all stages prior to serial production, such as: design, design research, design analyses, design concepts, assembly and testing of prototypes, pilot production schemes, design data, process of transforming design data into a product, configuration design, integration design, layouts.” Determining whether an item is “a result of development” is a threshold question for whether an item is “specially designed;” an item is considered to be “specially designed” under this paragraph only if someone engaged in any of these “development” activities with respect to that item.</P>
        <P>Thus, there are three questions an exporter, reexporter or transferor must ask to determine if an item is within the scope of paragraph (a):</P>
        <P>1. Does the item, as a result of “development,” have properties “peculiarly responsible for” achieving or exceeding the performance levels, characteristics, or functions described in the relevant ECCN or USML paragraph?</P>
        <P>2. If the item is a part or component, is it, as a result of “development,” necessary for an enumerated or referenced commodity or defense article to function as designed?</P>
        <P>3. If the item is an accessory or attachment, is it, as a result of “development,” used with an enumerated or referenced commodity or defense article to enhance its usefulness or effectiveness?</P>
        <P>If the answer to all three questions is “no,” then the item is not “specially designed” and no further analysis of paragraph (b) is necessary. If the answer to any one of the questions is “yes,” then the exporter, reexporter or transferor must determine whether any one of the five paragraph (b) exclusions applies. If any one of the five paragraph (b) exclusions apply, then the item is not “specially designed.” If none do, then the item is “specially designed.”</P>
        <P>
          <E T="03">Paragraph (a)(1).</E>Paragraph (a)(1) would capture an item if, as a result of “development,” it “has properties peculiarly responsible for achieving or exceeding the performance levels, characteristics, or functions described in the relevant ECCN or U.S. Munitions List (USML) paragraph.” This criterion is essentially the same as the one that was proposed in the July 15 rule. Based on the comments, the public found this part of the definition clear. The positive response was, perhaps, due to the fact that it is taken from the EAR's current definition of “required” at § 772.1. Although that definition, by its terms, applies only to technology and software, BIS believes that the principle of that definition—which is that items are not controlled merely because they are somehow capable of use with a controlled item—equally applies to commodities for purposes of the proposed definition. Therefore, even if something is capable of being used with a controlled item, it is not captured by this part of paragraph (a) unless someone did something during the item's development so that it would achieve or exceed the performance levels, characteristics, or functions described in a referenced ECCN or USML paragraph.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example for paragraph (a)(1):</HD>
          <P>ECCN 1A007 controls equipment and devices specially designed to initiate charges and devices containing energetic materials, by electrical means. If a piece of equipment or device, as a result of “development,” has properties peculiarly responsible for initiating energetic materials by electrical means, such equipment or device would be “specially designed” under paragraph (a)(1) of the proposed definition. For example, if the equipment was designed to communicate electronically with devices containing energetic materials, such as sending a detonation signal and having safety features to ensure other electronic equipment could not detonate the device containing the energetic material, such equipment or device would be “specially designed” under this proposal.</P>
        </EXAMPLE>
        <NOTE>
          <HD SOURCE="HED">Note to paragraph (a)(1).</HD>
          <P>This rule would add a note to paragraph (a)(1) to provide an example of an item that would, as a result of “development,” meet the paragraph (a)(1) criterion. This note would also include an example of an item that would not, as a result of “development,” meeting the paragraph (a)(1) criterion. In addition to providing two concrete examples under ECCN 2B007, this note would also specify that similar to the definition of “required” the peculiarly responsible for criterion in paragraph (a)(1) would not be limited to exclusive use.</P>
        </NOTE>
        <P>
          <E T="03">Paragraph (a)(2)</E>. Paragraph (a) would capture a part or component if, as a result of “development,” it “is necessary for an enumerated or referenced commodity or defense article to function as designed.” This element is similar to (a)(1), but it must be listed separately because not all descriptions of commodities on the USML and the CCL include performance levels, characteristics, or functions as a basis for control. Paragraph (a)(2) would capture parts and components that are necessary for another item on the CCL or the USML to function “as designed.” If an item would function “as designed” without the part or component at issue, then that part or component is not captured by paragraph (a)(2).</P>
        <P>BIS has deliberately separated the terms `enumerated' and `referenced' in paragraph (a)(2), which are unique to the EAR's definition of the term. As described below, an `enumerated' item is one that is controlled on the USML or the CCL (except for AT-only items) for reasons other than being “specially designed.” The CCL, however, contains notes that exclude from control parts and components “specially designed” for uncontrolled items. Such uncontrolled items are merely `referenced' but not `enumerated.' Note 2 to ECCN 1A002 provides an example of items excluded from control based on being “specially designed” for a referenced item. Under Note 2 to 1A002, if the semi-finished item was “specially designed” for a referenced sporting goods item, such as a golf club designated as EAR99, such a semi-finished item is excluded from 1A002.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example for paragraph (a)(2):</HD>
          <P>ECCN 7A001.b controls angular or rotational accelerometers specified to function at linear acceleration levels exceeding 100 g and, according to the heading, specially designed components therefor. The heading of 7A001 is an example of a catch-all control for “specially designed” components for the accelerometers subject to control in 7A001.b. In this case, if a component, as a result of “development,” is necessary for an accelerometer enumerated in 7A001.b to function as designed, such component would be considered “specially designed” as a result of paragraph (a)(2), unless the component was excluded from “specially designed” on the basis of paragraph (b) of the proposed definition.</P>
        </EXAMPLE>
        
        <P>
          <E T="03">Paragraph (a)(3).</E>Paragraph (a)(3) would capture an accessory or attachment if, as a result of “development,” it “is used with an enumerated or referenced commodity or defense article to enhance its usefulness or effectiveness.” BIS takes this phrase from the ITAR's current and the EAR's proposed definition of “accessory” and “attachment.”</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example for paragraph (a)(3):</HD>
          <P>ECCN 3B001 controls specific types of equipment for manufacturing semiconductor devices or materials, and specially designed components and accessories therefor. ECCN 3B001.i controls imprint lithography templates designed for integrated circuits by 3A001. If, as a result of “development,” an accessory is used with equipment enumerated in 3B001.i to enhance its usefulness or effectiveness, such an accessory would be “specially designed” under the catch-all control for “specially designed” accessory included in the heading of 3B001, unless the accessory was excluded from “specially designed” on the basis of paragraph (b) of the proposed definition.</P>
        </EXAMPLE>
        <PRTPAGE P="36413"/>
        <HD SOURCE="HD3">2. Paragraph (b) Identifies Exclusions From “Specially Designed”</HD>

        <P>BIS proposes adopting a simplified, single paragraph structure for excluding certain parts, components, accessories and attachments from the “specially designed” definition. Under this proposal, any “part,” “component,” “accessory,” or “attachment” described in an exclusion paragraph under (b)(1), (b)(2), (b)(3), (b)(4)<E T="03">or</E>(b)(5), would not be controlled by a `catch-all' provision of an ECCN.</P>
        <P>The five exclusions under paragraph (b) would refine the set of “parts,” “components,” “accessories” and “attachments” that would be subject to the `catch-all' controls on the CCL.In this way, paragraph (a) and (b) are inextricably linked and together identify the “parts,” “components,” “accessories,” and “attachments” that are “specially designed” for purposes of the `catch-all' controls on the CCL.</P>

        <P>Paragraph (a), described above, would create objective tests for what “items,” as a result of “development,” would be “specially designed” based on the criteria identified in (a)(1), (a)(2)<E T="03">or</E>(a)(3). Paragraph (b) would create objective tests for what “parts,” “components,” “accessories,” and “attachments” are excluded from “specially designed” under the exclusion criteria identified in (b)(1), (b)(2), (b)(3), (b)(4)<E T="03">or</E>(b)(5). Together, the objective criteria identified in paragraph (a) and the objective exclusion criteria identified in paragraph (b) allow the proposed “specially designed” definition to achieve the nine objectives identified above for the definition.</P>

        <P>Paragraph (b) codifies the principle in ITAR section 120.3 that, in general, a commodity should not be ITAR controlled if it has a predominant civil application or has performance equivalent (defined by form, fit, and function) to articles used for civil applications. If such an article nonetheless warrants control under the ITAR because it provides the U.S. with a critical military or intelligence advantage or for another reason, then it is or should be enumerated on the USML, as described in the “bright line,” “positive list” objectives listed in the Department of State's December 10, 2010<E T="04">Federal Register</E>notice,<E T="03">Revisions to the United States Munitions List</E>(75 FR 76935).</P>
        <P>Another purpose of paragraph (b) is to apply the ITAR concept of “in normal commercial use” equally and consistently to all non-specific, catch-all controls with respect to the “600 series.” Under the current USML, this concept of exclusions for certain items “in normal commercial use” is variously worded in multiple catch-all paragraphs in the current USML. For example, Category XI(c), by its terms, does not control electronic components, parts, accessories, attachments or associated equipment specifically designed or modified for military electronics if they are “in normal commercial use.” Similarly, Category XII(e) does not control components, parts, accessories, attachments or associated equipment specifically designed or modified for fire control systems, military lasers, ITAR-controlled night vision equipment, military inertial navigation equipment, and other items controlled by Category XII(a) through (d) that are “in normal commercial use.” Categories XVI(b) and XIV(n)(2) have similar carve-outs for items in normal commercial use. In addition, Category VIII(h), by virtue of a note, does not control parts, components, accessories, or attachments specifically designed or modified for military aircraft or engines if they are, among other things, standard equipment in certain civil aircraft.</P>
        <P>These five exclusions under paragraph (b) play an important role in the proposed “specially designed” definition and are described below in greater detail. The description below includes examples of parts, components, accessories and attachments that would be excluded from “specially designed” under each of the respective paragraph (b) exclusions.</P>
        <P>
          <E T="03">Exclusion paragraph (b)(1).</E>Paragraph (b)(1) would exclude any “part,” “component,” “accessory,” or “attachment” from a `catch-all' provision of an ECCN if the “part,” “component,” “accessory” or “attachment” is enumerated in a USML paragraph. This exclusion also addresses an important concept regarding how the USML and CCL relate to each other, and the correct order in which the public should review the two control lists. When determining an item's proper jurisdiction and classification, before reviewing the CCL, a person must examine the ITAR to determine that the item is not subject to the ITAR, or to the exclusive jurisdiction of any of the other departments or agencies of the U.S. Government identified in § 734.3(b)(1)(i) of the EAR.</P>
        <P>Paragraph (b)(1) would clarify that any “part,” “component,” “accessory,” or “attachment” enumerated on the USML, is excluded from the definition of “specially designed,” because it would remain subject to the ITAR and would not be controlled under a catch-all provision of an ECCN. Under the current USML, most of its categories end with a broad catch-all control on “parts,” “components,” “accessories,” and “attachments” that were specifically designed or modified for the particular USML category. Under the USML categories being proposed under the USML-to-CCL process, in most cases these broad catch-all controls would no longer be used. Instead, these items would be enumerated on the revised USML's “positive” control list. This change will make the paragraph (b)(1) exclusion more useful by more clearly defining the line between control under the USML and CCL. The items in former `catch-all' controls found at the end of most of the USML categories would be added to the CCL under the “600 series” .x paragraphs that are being created under the USML-to-CCL process and would include “specially designed” criteria.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of a “component” excluded under paragraph (b)(1):</HD>

          <P>On December 6, 2011, the Department of State proposed a rule,<E T="03">Amendment to the International Traffic in Arms Regulations: Revision of U.S. Munitions List Category VII</E>(76 FR 76100) that, among other things, would control ground vehicle components, parts, accessories, attachments, and associated equipment identified in paragraphs (g)(1)-(14) of the rule. Under proposed paragraph (g)(5), reactive armor parts and components would be controlled under USML Category VII. If a company uses reactive armor components enumerated on the USML in producing the EAR item, such a component would not be captured under a `catch-all' control on the CCL, because the reactive armor components would be enumerated on the USML and would therefore be subject to the ITAR, not the EAR. Paragraph (b)(1) of this proposed rule would make this existing policy explicit by excluding such USML enumerated “parts,” “components,” “accessories,” or “attachments” from the definition of “specially designed.”</P>
        </EXAMPLE>
        
        <P>
          <E T="03">Exclusion paragraph (b)(2).</E>Paragraph (b)(2) would exclude any single unassembled “part” that is of a type commonly used in multiple types of commodities not enumerated on the USML or the CCL. The paragraph (b)(2) exclusion would include an illustrative list of the types of “parts” excluded under this paragraph. These “parts” include threaded fasteners (<E T="03">e.g.,</E>screws, bolts, nuts, nut plates, studs, inserts), other fasteners (<E T="03">e.g.,</E>clips, rivets, pins), basic hardware (<E T="03">e.g.,</E>washers, spacers, insulators, grommets, bushings, springs), wire, and solder.</P>

        <P>In preparing this proposed rule, BIS evaluated the merits of expanding the scope of this exclusion to cover minor components, but ultimately determined that the expansion would not be<PRTPAGE P="36414"/>warranted, particularly in light of the other exclusions and the proposed criterion in paragraph (a)(2). However, BIS determined it should clarify the illustrative list of single unassembled “parts” that would be excluded from the definition of “specially designed” on the basis of the exclusion paragraph (b)(2).</P>
        <P>Paragraph (b)(2) would adopt the phrase “used in multiple types of commodities not enumerated on the CCL or the USML” instead of the phrase “used in multiple types of civil items.” BIS believes the former phrase is more specific than the latter, and would clarify this exclusion. BIS also proposes to change the illustrative list of single unassembled “parts” that may be excluded from “specially designed” on the basis of paragraph (b)(2). BIS further proposes using the term “basic hardware” instead of the term “common hardware,” and to include the term “springs” in the parenthetical examples of basic hardware. Finally, BIS proposes to add the term “solder” as another type of “part” that would be within the scope of this exclusion paragraph (b)(2).</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of a “part” excluded under paragraph (b)(2):</HD>
          <P>ECCN 8A992 controls vessels, marine systems or equipment, not controlled by 8A001, 8A002 or 8A018, and specially designed parts therefor. A company developing a new vessel that would be controlled under 8A992 needs to modify nut plates for use in it. The modified nut plate is an example of a single unassembled “part” that meets the necessary criteria in paragraph (a)(2). However, if the modified nut plate is of a type commonly used in multiple types of commodities not enumerated on the USML or the CCL, it would not be “specially designed” on the basis of paragraph (b)(2). Although, as a result of “development” the “part” may have some unique characteristic, such as being a cut-to-length nut plate, substantively the “part” is common to multiple types of commodities not enumerated on the USML or the CCL. For example, a similar type of nut plate may also be used for assembling self-assembled furniture designated as EAR99.</P>
        </EXAMPLE>
        
        <P>
          <E T="03">Exclusion paragraph (b)(3).</E>Under paragraph (b)(3), a “part,” “component,” “accessory,” or “attachment” that would otherwise be controlled by a `catch-all' provision of an ECCN would not be controlled if it has the same performance capabilities as a “part,” “component,” “accessory,” or “attachment” used in or with a commodity that (i) is or was in “production” (<E T="03">i.e.,</E>not in “development”)<E T="03">and</E>(ii) is either not enumerated on the CCL or USML, or is enumerated in an ECCN controlled only for Anti-Terrorism (AT) reasons. In the context of paragraph (b)(3), an item in an ECCN controlled only for AT reasons is considered enumerated provided it is not controlled in a `catch-all' paragraph.</P>
        <P>Proposed paragraph (b)(3) would use the phrase “performance capabilities” instead of the term “function,” which was in the July 15 proposal. Several comments to the July 15 proposed rule suggested using this alternative term because performance capabilities is a well understood concept under the EAR, and is easier to understand than function. BIS agrees.</P>
        <P>In addition, paragraph (b)(3)(i) would simplify the exclusion by removing the term “serial production,” and substituting the EAR-defined term “production,” along with a parenthetical explanation that if an item is in “production” it is no longer in “development.” Some of the comments in response to the July 15 proposed rule did not see a sufficient distinction between serial production and “production” to warrant adding a new EAR definition and creating another concept the public would need to understand to apply the “specially designed” definition. After further consideration, BIS agrees that this suggested change would clarify the intent of exclusion paragraph (b)(3) and further simplify the definition.</P>
        <P>Paragraph (b)(3)(ii) would expand the scope of what was included in the July 15 proposed rule with the second criterion extending to ECCNs controlled only for Anti-Terrorism (AT) reasons. The July 15 exclusion was limited to EAR99 items. BIS made this change because such a “part,” “component,” accessory” or “attachment” crosses over into broader commercial applicability and thus does not warrant being treated as “specially designed.” This crossing over into broader commercial applicability occurs when a “part,” “component,” “accessory,” or “attachment” has the same form, fit and performance capabilities as a “part,” “component,” “accessory,” or “attachment” used in or with an item that is either not enumerated on the CCL or USML or is only controlled for AT reasons. If such an item nonetheless warranted control because of certain capabilities or potential uses of concern for national security, foreign policy, or other reasons, then the item would be enumerated on either the USML or the CCL.</P>
        <NOTE>
          <HD SOURCE="HED">Note to paragraph (b)(3).</HD>
          <P>This proposed rule would add a note to clarify the applicability of paragraph (b)(3). This note would specify that commodities in “production” that are subsequently subject to “development” activities, such as those pertaining to quality improvements, cost reductions, or feature enhancements, remain in “production.” However, any new models or versions of such commodities developed from such efforts that change the basic performance or capability of the commodity are in “development” until and unless they enter into “production.” This proposed rule would use the term “production” instead of “serial production” to conform to the use of “production” in paragraph (b)(3).</P>
        </NOTE>
        <P>This Note to paragraph (b)(3) further clarifies the relationship between “production” and “development” in the context of this exclusion. When an item enters “production,” there may still be some peripheral “development” activities for the next generation of the item in which the “part,” “component,” “accessory,” or “attachment” is used. This note would provide guidance on when the exclusion would no longer apply and when a separate determination would need to be made regarding whether a particular “part,” “component,” “accessory,” or “attachment” would no longer be excluded.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of excluded component under paragraph (b)(3):</HD>
          <P>A company manufactures a fire truck designated as EAR99. The manufacturer uses a radiator originally designed in the 1980s for use in large military transport vehicles. The cost of the original 1980s radiator has now dropped significantly, so the company incorporates that same radiator into a fire truck that went into “production” in 2010. Under this example, although the radiator is not a “specially designed” “component” because it is necessary for large military transport vehicles to function as designed, it might nonetheless be caught by the criteria in paragraph (a)(2). However, because the “component” with the same form, fit and performance capabilities is used in the “production” of an EAR99 fire truck, it would be excluded from the “specially designed” definition by paragraph (b)(3). If, for some reason, such radiators warranted control for national security, foreign policy, or other reasons, then it would be enumerated on either the USML or the CCL. It would thus be controlled regardless of its use in a civil or military end item.</P>
        </EXAMPLE>
        
        <P>
          <E T="03">Exclusion paragraph (b)(4) and (b)(5).</E>This proposed rule would add paragraphs (b)(4) and (b)(5) to address aspects of unintended overreaching identified in the definition of “specially designed” in the July 15 proposed rule. The comments identified one unintended result of eliminating design intent from the criteria used to identify a “specially designed” “component” or “part” is that the first use of a part or component could result in a part or component being considered “specially designed” under the rule. This result could occur even if the “part” or “component” had been originally developed for a general purpose that was not specific to the `enumerated' item for which the “part” or<PRTPAGE P="36415"/>“component” would have been “specially designed” under the July 15 definition.</P>

        <P>To address this unintended overreach, BIS decided that some element of design intent should be included in the proposed “specially designed” definition. Through paragraph (b)(4), this rule proposes excluding “parts,” “components,” “accessories” and “attachments” if they were or are being developed with a reasonable expectation of (i) use in or with commodities described on the CCL<E T="03">and</E>commodities not enumerated on the CCL or the USML,<E T="03">or</E>(ii) use in or with commodities not enumerated on the CCL or the USML. As discussed below, through paragraph (b)(5), this rule proposes excluding “parts,” “components,” “accessories,” and “attachments” if they were or are being developed for no particular application.</P>
        <P>Although these exclusion concepts under paragraphs (b)(4) and (b)(5) are new to the proposed definition of “specially designed,” they are little more than a restatement of BIS's application of the term “specially designed” now. BIS had not included these two exclusions in the July 15 proposed rule in an effort to avoid overtly design-intent based aspects of the definition. The public comments, however, as noted above made it clear that without such carve-outs proposed in this rule under (b)(4) and (b)(5), the EAR would likely over-control items based on their first uses. Thus, the proposed paragraphs (b)(4) and (b)(5) are intended to allow people who know or who can determine the design intent of their “part,” “component,” “accessory,” or “attachment” to exclude it from the definition of “specially designed” when it was or is being developed for the items identified in (b)(4)(i), or (ii), or (b)(5). These exclusion paragraphs (b)(4) and (b)(5) would not create a burden to know the original design intent, but they would allow those who know the original design intent to exclude those “parts,” “components,” “accessories,” or “attachments” from being controlled as “specially designed.” This change is not a departure from the current BIS position on the subject. It is, however, a specific, precise written articulation of the practice that would become part of the EAR.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of a “component” excluded under paragraph (b)(4)(i):</HD>

          <P>An example of a component that would not be “specially designed” and excluded under (b)(4)(i) is one that was or is being developed to be interchangeable between a military vehicle enumerated in ECCN 0A606.a<E T="03">and</E>also a vehicle that is not described on the USML or the CCL, such as an EAR99 civilian vehicle. One example would be a component that a company designs that is used in both military vehicles as well as in firetrucks. Another example of a component that would not be “specially designed” as a result of (b)(4)(i) is one that was or is being developed to be interchangeable between a military aircraft enumerated in ECCN 9A610.a and also a civilian aircraft that is controlled for AT-only reasons in ECCN 9A991.b, such as an aircraft actuator developed for use in military aircraft in ECCN 9A610.a and civil transport aircraft in 9A991.b.</P>
        </EXAMPLE>
        
        <P>Even though a component may be used interchangeably and meet the paragraph (b)(4) exclusion and thus not be “specially designed,” it does not necessarily mean that the component is exempt from export controls. The component may, for example, be positively identified on the USML and ITAR controlled, regardless of whether it is common to a vehicle or aircraft not enumerated on the CCL. The jurisdictional and classification status of any particular component must be determined by reviewing the full scope of the control lists to determine the appropriate jurisdiction and classification. Paragraph (b)(4)(i) merely states that such a component would not be within the scope of a `catch-all' paragraph of an ECCN (i.e., would not be “specially designed)” based on its commonality with components not identified on the CCL or controlled for AT-only reasons.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of a “part” excluded under paragraph (b)(4)(ii):</HD>
          <P>An example of a “part” that would not be “specially designed” as a result of (b)(4)(ii) is one that was or is being developed for use in or with commodities not enumerated on the CCL or the USML, such as a “part” being developed for use in a mining truck designated as EAR99. Again, the application of (b)(4)(ii) does not necessarily mean that such a part is uncontrolled. As a result of its characteristics or capabilities it may be positively listed on the USML or CCL and, as such, controlled by the applicable provisions. The jurisdictional and classification status of any particular component must be determined by reviewing the full scope of the control lists to determine the appropriate jurisdiction and classification. Paragraph (b)(4)(ii) merely states that such a part would not be within the scope of a `catch-all' paragraph of an ECCN (i.e., would not be “specially designed)” based on its development for use in or with commodities not enumerated on the CCL or the USML.</P>
        </EXAMPLE>
        
        <P>
          <E T="03">Exclusion paragraph (b)(5).</E>As noted above, this rule would also add a paragraph (b)(5) to address another aspect of the unintended overreach identified in the definition of “specially designed” in the July 15 proposed rule. This paragraph (b)(5) exclusion is intended to address potential overreach that could occur even if the “part” or “component” had been originally developed for a general purpose that was not specific to the `enumerated' item for which the “part” or “component” would have been “specially designed” under the July 15 definition. BIS would address this by excluding from “specially designed” on the basis of paragraph (b)(5) “parts,” “components,” “accessories” and “attachments” if they were or are being developed with no reasonable expectation of use for a particular application.</P>
        
        <EXAMPLE>
          <HD SOURCE="HED">Example of a “component” excluded under paragraph (b)(5):</HD>
          <P>An example of a component that would not be “specially designed” as a result of (b)(5) is one that was developed for general or multi-purpose applications. For example, many catalog electronic components are designed as basic building blocks for other equipment, regardless of whether the equipment is military or civilian, controlled or uncontrolled. Again, application of (b)(5) does not necessarily mean that such a component is uncontrolled, and as result of its characteristics or capabilities it may be positively listed on the USML or CCL and, as such, controlled by the applicable provisions. The jurisdictional and classification status of any particular component must be determined by reviewing the full scope of the control lists to determine the appropriate jurisdiction and classification. Paragraph (b)(5) merely states that such a component would not be within the scope of a `catch-all' paragraph of an ECCN (i.e., would not be “specially designed)” based on its not having been designed for a particular application.</P>
        </EXAMPLE>
        
        <NOTE>
          <HD SOURCE="HED">Note to paragraph (b)(4) and (b)(5):</HD>

          <P>This proposed rule would also add a note to paragraph (b)(4) and (b)(5) to specify for a commodity not to be “specially designed” on the basis of paragraph (b)(4)<E T="03">or</E>(b)(5), documents contemporaneous with its “development,” in their totality, must establish the elements of paragraph (b)(4)<E T="03">or</E>(b)(5). The proposed note would also provide an illustrative list of documents that may be pointed to to demonstrate the applicability of the exclusions under (b)(4) or (b)(5). Such documents may include concept design information, marketing plans, declarations in patent applications, or contracts. Lastly, the note would specify that absent such documents, the “commodity” may not be determined to be excluded from the definition of “specially design” by virtue of paragraphs (b)(4)<E T="03">or</E>(b)(5).</P>
        </NOTE>
        

        <P>Proposed paragraphs (b)(4) and (b)(5) would create an incentive for parties responsible for making jurisdictional and classification determinations to maintain such documents for the life of the product in order to be able to demonstrate without ambiguity that it was or was not “specially designed” for a controlled item or application. The<PRTPAGE P="36416"/>creation of such incentives would help national security by emphasizing the need for those responsible for making jurisdictional and classification self-determinations to do so in a reliable, consistent, documented way that is consistent with the relevant export control regulations. The creation of such incentives would also help make U.S. exporters more reliable and predictable because they would be able to make and demonstrate with more certainty determinations regarding whether a commodity is or is not controlled by virtue of a “specially designed” catch-all in the regulations.</P>
        <NOTE>
          <HD SOURCE="HED">Note to paragraph (b)(5):</HD>
          <P>This rule would also add another note to paragraph (b)(5) to specify that if one has “knowledge” that the commodity was or is being developed for a particular application, one cannot rely on paragraph (b)(5) to determine that a commodity was not “specially designed.” BIS would use the EAR defined term “knowledge” in this note to paragraph (b)(5) to establish a clear standard for when the commodity would not be eligible for being excluded from “specially designed” on the basis of paragraph (b)(5).</P>
        </NOTE>
        <NOTE>
          <HD SOURCE="HED">Note 1:</HD>
          <P>This proposed rule would also add a new Note 1 to define `enumerated' for purposes of the proposed “specially designed” definition. This note would read: `Enumerated' means any item (i) on either the USML or CCL not controlled in a `catch-all' paragraph and (ii) when on the CCL, controlled for more than AT-only reasons, except in the context of paragraph (b)(3), where an item in an ECCN controlled only for AT reasons is considered enumerated when it is not controlled in a `catch-all' paragraph.</P>
        </NOTE>
        <EXAMPLE>
          <HD SOURCE="HED">Examples of enumerated items:</HD>
          <P>The law enforcement end items controlled in the heading of ECCN 0A978 are examples of enumerated commodities on the CCL. ECCN 0A978 specifies that it controls law enforcement striking weapons and includes six examples for the types of law enforcement striking weapons that are subject to control under 0A978. The fiber optic hull penetrators and connectors controlled in ECCN 8A002.c are additional examples of enumerated commodities on the CCL. The ECCN specifies the hull penetrators controlled are limited to fiber optic hull penetrators or connectors.</P>
        </EXAMPLE>
        <NOTE>
          <HD SOURCE="HED">Note 2:</HD>
          <P>This proposed rule would also add a Note 2 to define `catch-all' for purposes of the proposed “specially designed” definition. This note would read as follows: A `catch-all' paragraph is one that does not refer to specific types of parts, components, accessories, or attachments but rather controls non-specific “parts,” “components,” “accessories,” or “attachments” because they were “specially designed” for an enumerated item. BIS is aware that the term `catch-all' has also been used informally by the public to refer to the part 744 end-use and end-user controls that impose a license requirement on all items subject to the EAR. In preparing this proposed rule, BIS considered adding a new part 772 definition to clarify the two different contexts under which the term `catch-all' would be used, but decided simply noting this in the preamble of this proposed rule would be sufficient.</P>
        </NOTE>
        <EXAMPLE>
          <HD SOURCE="HED">Examples of catch-all controls:</HD>
          <P>The phrase “and specially designed components therefor” in the heading of ECCN 1A005 is an example of a catch-all control on the CCL; it reaches all components that have been “specially designed” for the body armor enumerated in 1A005. The phrase “and specially designed components therefor” used in ECCN 3A001.c is another example of a catch-all control on the CCL. That catch-all control reaches all components that have been “specially designed” for the acoustic wave devices enumerated in 3A001.c.</P>
        </EXAMPLE>
        <HD SOURCE="HD3">3. Guidance for “Specially Designed” in the Context of De-Control Notes</HD>
        <P>Some ECCNs, such as 1A002, state that an item is<E T="03">not</E>controlled if it is “specially designed” for a particular type of item, purpose, or application. As indicated by the introduction to paragraph (b) explained above, an item that would be “specially designed” under paragraph (a) and would not be controlled as a result of such a de-control provision in an ECCN nonetheless remains “specially designed” and, thus, uncontrolled regardless of whether any aspect of paragraph (b) would apply to it. The basis for this conclusion is that paragraph (b) states that it only applies to items that “would be<E T="03">controlled</E>by a catch-all provision of an ECCN.”</P>
        <HD SOURCE="HD1">II. Other Definition To Assist Public's Review of the “Specially Designed” definition</HD>
        <P>This rule proposes to revise the definition of “end item” included in the July 15 proposed rule by proposing a definition that would more closely correspond with the ITAR definition of end item, although be EAR specific. BIS made this change because several commenters indicated that the July 15 definition, with the inclusion of the term `stand-alone,' would cause confusion over whether an item was an “end item” or a “component.” BIS determined the best and simplest approach would be to revise the definition to more closely correspond to the “end item” definition used in the ITAR. This rule proposes defining “end item” as follows:</P>
        <P>
          <E T="03">End item.</E>This is an assembled commodity ready for its intended use. Only ammunition, fuel or other energy source is required to place it in an operating state. Examples of end items include ships, aircraft, firearms, and milling machines.</P>
        <P>This rule also proposes splitting the proposed definition of “accessories and attachments” included in the July 15 proposed rule into separate but identical definitions for the terms “accessories” and “attachments.” As there will be locations in the EAR where either “accessories” or “attachments” but not both will be used, this change would avoid any potential confusion as to whether the definition applies to the terms when used separately. While “accessories” and “attachments” would have the same definitions, both would include a note at the end of each definition to indicate that the definition of “accessories” and “attachments” are the same. This rule proposes defining “accessories” and “attachments” as follows:</P>
        <P>
          <E T="03">Accessories.</E>These are associated items for any “component,” “end item,” or “system,” and which are not necessary for their operation, but which enhance their usefulness or effectiveness. For example, for a riding lawnmower, accessories and attachments will include the bag to capture the cut grass, and a canopy to protect the operator from the sun and rain. For purposes of this definition, accessories and attachments are the same.</P>
        <P>
          <E T="03">Attachments.</E>These are associated items for any “component,” “end item,” or “system,” and which are not necessary for their operation, but which enhance their usefulness or effectiveness. For example, for a riding lawnmower, accessories and attachments will include the bag to capture the cut grass, and a canopy to protect the operator from the sun and rain. For purposes of this definition, attachments and accessories are the same.</P>
        <P>As with the proposed “specially designed” definition, BIS requests comments on the proposed definitions of “end item,” “accessories,” and “attachments.” Any comments received on these three proposed definitions will be considered and addressed in the final rule adding these three definitions to the EAR.</P>
        <P>BIS does not propose here to re-define the terms “part,” and “component,” that were included in the July 15 proposed rule.</P>

        <P>Although the Export Administration Act expired on August 20, 2001, the President, through Executive Order 13222 of August 17, 2001, 3 CFR, 2001 Comp., p. 783 (2002), as extended by the Notice of August 12, 2011, 76 FR 50661 (August 16, 2011), has continued the Export Administration Regulations in effect under the International Emergency Economic Powers Act. BIS continues to carry out the provisions of the Export Administration Act, as<PRTPAGE P="36417"/>appropriate and to the extent permitted by law, pursuant to Executive Order 13222.</P>
        <HD SOURCE="HD1">Rulemaking Requirements</HD>
        <P>1. Executive Orders 13563 and 12866 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, distribute 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. This rule has been designated a “significant regulatory action,” but not economically significant, under section 3(f) of Executive Order 12866. Accordingly, the rule has been reviewed by the Office of Management and Budget (OMB).</P>

        <P>2. Notwithstanding any other provision of law, no person is required to respond to, nor is subject to a penalty for failure to comply with, a collection of information, subject to the requirements of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>) (PRA), unless that collection of information displays a currently valid OMB control number. This proposed rule would affect two approved collections: Simplified Network Application Processing + System (control number 0694-0088), which includes, among other things, license applications, and License Exceptions and Exclusions (0694-0137). Total burden hours associated with the PRA and OMB control numbers 0694-0088 and 0694-0137 are not expected to increase as a result of this rule. As part of the President's Export Control Reform (ECR) Initiative, this proposed rule, and a separate proposed rule from the Department of State, Directorate of Defense Trade Controls being published in conjunction with this rule, sets forth, as much as possible, a common definition of “specially designed” for use in the EAR and the ITAR. This proposed rule would not move any items from the USML to the CCL, although the revised definition included here would play an important role in the “600 series” that would be used to control items transitioned from the USML to the CCL.</P>
        <P>As stated in the July 15 proposed rule (76 FR 41958), BIS believed that the combined effect of all rules to be published adding items to the EAR that would be removed from the ITAR as part of the administration's Export Control Reform Initiative would increase the number of license applications submitted by approximately 16,000 annually. As the review of the USML has progressed, the interagency group has gained more specific information about the number of items that would come under BIS jurisdiction whether those items would be eligible for export under license exception. As of June 19, 2012, BIS believes the increase in license applications may be 30,000 annually, resulting in an increase in burden hours of 8,500 (30,000 transactions at 17 minutes each) under control number 0694-0088.</P>
        <P>3. This rule does not contain policies with Federalism implications as that term is defined under E.O. 13132.</P>

        <P>4. The Regulatory Flexibility Act (RFA), as amended by the Small Business Regulatory Enforcement Fairness Act of 1996 (SBREFA), 5 U.S.C. 601<E T="03">et seq.,</E>generally requires an agency to prepare a regulatory flexibility analysis of any rule subject to the notice and comment rulemaking requirements under the Administrative Procedure Act (5 U.S.C. 553) or any other statute, unless the agency certifies that the rule will not have a significant economic impact on a substantial number of small entities. Under section 605(b) of the RFA, however, if the head of an agency certifies that a rule will not have a significant impact on a substantial number of small entities, the statute does not require the agency to prepare a regulatory flexibility analysis. Pursuant to section 605(b), the Chief Counsel for Regulations, Department of Commerce, submitted a memorandum to the Chief Counsel for Advocacy, Small Business Administration, certifying that proposed rule published on July 15, 2011, will not have a significant impact on a substantial number of small entities.</P>
        <P>This proposed rule re-proposes, with certain changes, the definitions of “specially designed,” of “end item,” and of “accessories and attachments” that BIS originally proposed in the July 15 proposed rule. The changes proposed here do not impact the original certification. Consequently, BIS has not prepared a regulatory flexibility analysis. A summary of the factual basis for the certification is provided below.</P>
        <HD SOURCE="HD2">Number of Small Entities</HD>
        <P>The Bureau of Industry and Security (BIS) does not collect data on the size of entities that apply for and are issued export licenses. Although BIS is unable to estimate the exact number of small entities that would be affected by this rule, it acknowledges that this rule would affect some unknown number.</P>
        <HD SOURCE="HD2">Economic Impact</HD>
        <P>This rule will not have a significant impact on a small number of entities, and in fact will reduce the burden on small entities by facilitating enhanced public understanding of a key term used extensively on the Commerce Control List (CCL). This rule proposes a single definition for the term “special designed” and slightly revised definitions for the terms “end item,” “accessories,” and “attachments” BIS proposed in the July 15 proposed rule.</P>

        <P>The proposed definition of “specially designed” would provide clear guidance to small entities, and all other entities, on the meaning of this term wherever it is used on the CCL. The term “specially designed” is used extensively throughout the CCL, but up to this point the only definition included in the EAR has been under the Missile Technology Control Regime (MTCR) context. Outside of the MTCR context, the First Circuit's ruling in<E T="03">United States</E>v.<E T="03">Lachman,</E>387 F.3d 42, 52-53 (2004) provides a definition of the term “specially designed,” but for small entities, and all other entities, this requires reviewing the<E T="03">Lachman</E>decision to understand the court-provided definition outside the MTCR context.</P>

        <P>BIS is aware that some small entities, and other entities, instead of relying on the<E T="03">Lachman</E>definition for the term “specially designed” outside the MTCR context have simply decided to submit classification requests to BIS for ECCNs where the term “specially designed” is used. Others have made subjective determinations of which types of items are “special” to or for a controlled end item. The CCL is intended to allow exporters to self-classify their items. If the<E T="03">status quo,</E>where the term is not defined in the regulations, creates an incentive for the public to submit additional classification requests or make self-determinations that expose exporters to compliance risks, then the rule places a burden on all entities, large and small. All entities should be able to confidently self-classify their items on the CCL. BIS believes it should take steps to alleviate any concerns the public may have with self-classifying their items, including providing definitions for key terms used on the CCL, which is being done in this proposed rule and not making small entities and other entities to consult outside legal decisions in order to determine the meaning of a key term used under the EAR.</P>

        <P>This proposed rule would reduce burdens on small entities and all other entities by proposing a single definition<PRTPAGE P="36418"/>of the term “specially designed” to part 772 that would apply wherever the term is used. In the past, small entities, and other entities, have urged BIS to add a single definition of the term “specially designed” to the EAR. This proposed definition is consistent with the scope of the other two definitions of the term “specially designed” that are currently in use. Specifically, this rule's proposed definition is consistent with the “specially designed” MTCR definition defined at § 772.1 of the EAR, and with the<E T="03">Lachman</E>decision. BIS believes this rule's proposed “specially designed” definition comes closest to encompassing the scope and intent of both the<E T="03">Lachman</E>and the MTCR definitions, while also allowing this term to play the key role envisioned for it under the larger Export Control Reform (ECR) Initiative. This proposed rule identifies nine objectives for the term “specially designed” and encourages the public to submit comments on whether they agree with BIS that this proposed definition best achieves the nine objectives and whether the public may have any alternative that would better achieve the nine stated objectives.</P>
        <P>The ECR Initiative is making fundamental changes to the U.S. export control system. These fundamental changes will protect and enhance U.S. national security interests, while at the same time also easing the burdens on small entities and all other entities. One of the key objectives of the ECR Initiative is to draw a bright-line between the USML and the CCL, including transitioning items that no longer warrant ITAR control to the CCL.</P>
        <P>A bright-line between the two control lists will be a key benefit to small entities and all other entities. When small entities, and other entities, have difficulty in determining the jurisdiction and/or classification of their item, it creates a burden on such entities. The proposed definition of “specially designed” included in this rule is a key term being used to develop the bright-line between the USML and the CCL. Using this proposed “specially designed” definition in the “600 series” .x and .y paragraphs is a key structural element that will create a more “positive” USML and ensure that munitions items transitioned from the USML to the CCL are appropriately controlled in the applicable “600 series” ECCNs.</P>
        <P>This rule is based on a simple catch-and-release concept. The proposed definition would allow for small entities, and all other entities, to use a simple set of “yes/no” questions to make determinations whether an item is or is not “specially designed.” The “release” portion of the proposed definition will also allow for items that no longer warrant being considered “specially designed” to be removed from “specially designed” once they have crossed over into broader commercial applicability. The five proposed paragraph (b) exclusions included in the proposed rule would allow the public to objectively know when an item would no longer be “specially designed.”</P>
        <HD SOURCE="HD2">Conclusion</HD>
        <P>BIS is unable to determine the precise number of small entities that would be affected by this rule. Based on the facts and conclusions set forth above, BIS believes that any burdens imposed by this rule would be offset by the benefits that will occur with the fundamental changes being made to the U.S. export control system under the Export Control Reform Initiative and the USML-to-CCL process, which the definition of “specially designed” will be an important role. In addition, any burdens would be offset by the benefits of defining this key term used extensively on the CCL. For these reasons, the Chief Counsel for Regulations of the Department of Commerce certified to the Chief Counsel for Advocacy of the Small Business Administration that this rule, if adopted in final form, would not have a significant economic impact on a substantial number of small entities.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects</HD>
          <CFR>15 CFR Part 772</CFR>
          <P>Exports.</P>
          <CFR>15 CFR Part 774</CFR>
          <P>Exports, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        
        <P>Accordingly, parts 772 and 774 of the Export Administration Regulations (15 CFR parts 730-774) are proposed to be amended as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 772—[AMENDED]</HD>
          <P>1. The authority citation for 15 CFR part 772 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>50 U.S.C. app. 2401<E T="03">et seq.;</E>50 U.S.C. 1701<E T="03">et seq.;</E>E.O. 13222, 66 FR 44025, 3 CFR, 2001 Comp., p. 783; Notice of August 12, 2011, 76 FR 50661 (August 16, 2011).</P>
          </AUTH>
          
          <P>2. Section 772.1 is amended:</P>
          <P>a. By revising the definition of “specially designed;” and</P>
          <P>b. By adding definitions for the terms “accessories,” “attachments,” and “end item”.</P>
          <P>The revision and additions read as follows:</P>
          <SECTION>
            <SECTNO>§ 772.1</SECTNO>
            <SUBJECT>Definitions of terms as used in the Export Administration Regulations (EAR).</SUBJECT>
            <STARS/>
            <P>
              <E T="03">Accessories.</E>These are associated items for any “component,” “end item,” or “system,” and which are not necessary for their operation, but which enhance their usefulness or effectiveness. For example, for a riding lawnmower, accessories and attachments will include the bag to capture the cut grass, and a canopy to protect the operator from the sun and rain. For purposes of this definition, accessories and attachments are the same.</P>
            <STARS/>
            <P>
              <E T="03">Attachments.</E>These are associated items for any “component,” “end item,” or “system,” and which are not necessary for their operation, but which enhance their usefulness or effectiveness. For example, for a riding lawnmower, accessories and attachments will include the bag to capture the cut grass, and a canopy to protect the operator from the sun and rain. For purposes of this definition, attachments and accessories are the same.</P>
            <STARS/>
            <P>
              <E T="03">End item.</E>This is an assembled commodity ready for its intended use. Only ammunition, fuel or other energy source is required to place it in an operating state. Examples of end items include ships, aircraft, firearms, and milling machines.</P>
            <STARS/>
            <P>
              <E T="03">Specially designed.</E>When applying this definition, follow this sequential analysis: Begin with paragraph (a)(1) of this definition and proceed through each subsequent paragraph. If an item would not be controlled as a result of the application of the standards in paragraph (a) of this definition, then it is not necessary to work through paragraph (b) of this definition. If an item would be controlled as a result of paragraph (a), then it is necessary to work through each of the elements of paragraph (b). Items subject to the EAR described in any of paragraphs (b)(1) through (5) of this definition are not “specially designed” items subject to the EAR.</P>
            <P>(a) Except for items described in (b) of this definition, an “item” is “specially designed” if, as a result of “development,” it:</P>
            <P>(1) Has properties peculiarly responsible for achieving or exceeding the performance levels, characteristics, or functions in the relevant ECCN or U.S. Munitions List (USML) paragraph;</P>

            <P>(2) Is a part or component necessary for an enumerated or referenced<PRTPAGE P="36419"/>commodity or defense article to function as designed;<E T="03">or</E>
            </P>
            <P>(3) Is an accessory or attachment used with an enumerated or referenced commodity or defense article to enhance its usefulness or effectiveness.</P>

            <P>(b) A “part,” “component,” “accessory,” or “attachment” that would be<E T="03">controlled</E>by paragraph (a) of this paragraph is not “specially designed” if it:</P>
            <P>(1) Is enumerated in a USML paragraph;</P>

            <P>(2) Is a single unassembled “part” that is of a type commonly used in multiple types of commodities not enumerated on the CCL or the USML, such as threaded fasteners (<E T="03">e.g.,</E>screws, bolts, nuts, nut plates, studs, inserts), other fasteners (<E T="03">e.g.,</E>clips, rivets, pins), basic hardware (<E T="03">e.g.,</E>washers, spacers, insulators, grommets, bushings, springs), wire, and solder;</P>
            <P>(3) Has the same form, fit, and performance capabilities as a part, component, accessory, or attachment used in or with a commodity that:</P>
            <P>(i) Is or was in “production” (<E T="03">i.e.,</E>not in “development”);<E T="03">and</E>
            </P>
            <P>(ii) Is either not enumerated on the CCL or USML, or is enumerated in an ECCN controlled only for Anti-Terrorism (AT) reasons;</P>
            <P>(4) Was or is being developed with a reasonable expectation of:</P>
            <P>(i) Use in or with commodities described on the CCL<E T="03">and</E>commodities not enumerated on the CCL or the USML;<E T="03">or</E>
            </P>

            <P>(ii) Use in or with commodities not enumerated on the CCL or the USML;<E T="03">or</E>
            </P>
            <P>(5) Was or is being developed with no reasonable expectation of use for a particular application.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>

              <P>`Enumerated' means any item (i) on either the USML or CCL not controlled in a `catch-all' paragraph and (ii) when on the CCL, controlled by an ECCN for more than AT-only reasons, except in the context of paragraph (b)(3), where an item in an ECCN controlled only for AT reasons is considered enumerated when it is not controlled in a `catch-all' paragraph. An example of an `enumerated' ECCN is 2A226, which controls valves with the following three characteristics: a “nominal size” of 5 mm or greater; having a bellows seal;<E T="03">and</E>wholly made of or lined with aluminum, aluminum alloy, nickel, or nickel alloy containing more than 60% nickel by weight. The CCL also contains notes excluding from control parts and components “specially designed” for uncontrolled items. Such uncontrolled items are merely `referenced' and are not `enumerated.' Note 2 to ECCN 1A002 is an example of items excluded from control based on being “specially designed” for a referenced item.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note 2:</HD>
              <P>A `catch-all' paragraph is one that does not refer to specific types of parts, components, accessories, or attachments but rather controls non-specific “parts,” “components,” “accessories,” or “attachments” because they were “specially designed” for an enumerated item. For example, ECCN paragraph 9A610.x is a catch-all, because it controls “parts,” “components,” “accessories,” and “attachments” “specially designed” for military aircraft, but does not identify specific types of parts, components, accessories, or attachments within its control. Another example of a `catch-all' is the heading of 7A102, which controls “specially designed” components for the gyros enumerated in 7A102, but does not identify the specific types of components within its control.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (a)(1):</HD>
              <P>Items that as a result of “development” have properties peculiarly responsible for achieving or exceeding the performance levels, functions or characteristics in a relevant ECCN paragraph may have properties shared by different products. For example, ECCN 2B007.a controls “robots” capable in real time of full three-dimensional image processing or full-three dimensional `scene analysis' to generate or modify “programs” or to generate or modify numerical program data [and specially designed controllers and “end effectors” therefor]. An example of a component not meeting the peculiarly responsible standard under paragraph (a)(1) is a component that as a result of “development” has properties that allow the component to conduct 2D image processing for use in a “robot.” This component is not “specially designed” for purposes of 2B007.a because the component even if used in a “robot” does not have properties peculiarly responsible for a “robot” achieving or exceeding the performance levels, functions or characteristics in 2B207.a. Conversely, another component that as a result of “development,” has properties that allow the component to perform in real time of full three-dimensional image processing for use in a “robot,” is an example of a component that is peculiarly responsible because as a result of “development” the component has a direct and proximate causal relationship in the “robot” that is central or special for achieving or exceeding the performance levels, functions or characteristics identified in 2B207.a.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b)(3):</HD>
              <P>Commodities in “production” that are subsequently subject to “development” activities, such as those pertaining to quality improvements, cost reductions, or feature enhancements, remain in “production.” However, any new models or versions of such commodities developed from such efforts that change the basic performance or capability of the commodity are in “development” until and unless they enter into “production.”</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b)(4) and (b)(5):</HD>

              <P>For a commodity not to be “specially designed” on the basis of paragraphs (b)(4)<E T="03">or</E>(b)(5), documents contemporaneous with its “development,” in their totality, must establish the elements of paragraphs (b)(4)<E T="03">or</E>(b)(5). Such documents may include concept design information, marketing plans, declarations in patent applications, or contracts. Absent such documents, the “commodity” may not be excluded from being “specially designed” by either paragraph (b)(4)<E T="03">or</E>(b)(5).</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b)(5):</HD>
              <P>If you have “knowledge” that the commodity was or is being developed for a particular application, you may not rely on paragraph (b)(5) to conclude that the commodity was or is not “specially designed.”</P>
            </NOTE>
            <STARS/>
          </SECTION>
        </PART>
        <PART>
          <HD SOURCE="HED">PART 774—[AMENDED]</HD>
          <P>3. The authority citation for 15 CFR part 774 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>50 U.S.C. app. 2401<E T="03">et seq.;</E>50 U.S.C. 1701<E T="03">et seq.;</E>10 U.S.C. 7420; 10 U.S.C. 7430(e); 22 U.S.C. 287c, 22 U.S.C. 3201<E T="03">et seq.,</E>22 U.S.C. 6004; 30 U.S.C. 185(s), 185(u); 42 U.S.C. 2139a; 42 U.S.C. 6212; 43 U.S.C. 1354; 15 U.S.C. 1824a; 50 U.S.C. app. 5; 22 U.S.C. 7201<E T="03">et seq.;</E>22 U.S.C. 7210; E.O. 13026, 61 FR 58767, 3 CFR, 1996 Comp., p. 228; E.O. 13222, 66 FR 44025, 3 CFR, 2001 Comp., p. 783; Notice of August 12, 2011, 76 FR 50661 (August 16, 2011).</P>
          </AUTH>
          <HD SOURCE="HD1">Supplement No. 1 to Part 774 [Amended]</HD>
          <P>4. In Supplement No. 1 to part 774 (the Commerce Control List) wherever the term “specially designed” occurs, add quotation marks around the term “specially designed.”</P>
          <SIG>
            <DATED>Dated: June 6, 2012.</DATED>
            <NAME>Kevin J. Wolf,</NAME>
            <TITLE>Assistant Secretary for Export Administration.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14475 Filed 6-15-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-33-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Bureau of Industry and Security</SUBAGY>
        <CFR>15 CFR Part 774</CFR>
        <DEPDOC>[Docket No. 120426028-1028-01]</DEPDOC>
        <RIN>RIN 0694-AF68</RIN>
        <SUBJECT>Feasibility of Enumerating “Specially Designed” Components</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Bureau of Industry and Security, Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Advanced notice of proposed rulemaking (ANPRM).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>As part of the President's Export Control Reform (ECR) Initiative, this ANPRM requests comments on the feasibility of positively identifying “specially designed” “components” on the Commerce Control List (CCL) so as to decrease the use of the term, which appears extensively throughout the CCL,<PRTPAGE P="36420"/>and thereby facilitate enhanced public compliance with the Export Administration Regulations. Specifically, the Bureau of Industry and Security (BIS) is evaluating whether it is feasible to create exhaustive lists of the “specially designed” “components” referred to in certain Export Control Classification Numbers on the CCL that currently use “specially designed” catch-all paragraphs, and seeks public input to assist in this evaluation. If BIS ultimately determines that such lists might be beneficial, it intends to submit these findings to the appropriate multilateral export control regimes in the normal course of list proposal changes. The request for comments in this ANPRM is part of Commerce's retrospective plan under EO 13563 completed in August 2011. Commerce's full plan can be accessed at:<E T="03">http://open.commerce.gov/news/2011/08/23/commerce-plan-retrospective-analysis-existing-rules.</E>
          </P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received by BIS no later than September 17, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Comments on this advanced notice of proposed rulemaking may be submitted to the Federal rulemaking portal (<E T="03">www.regulations.gov</E>). The regulations.gov ID for this rule is: BIS-2012-0022. Written comments on this advanced notice of proposed rulemaking may also be submitted via email to<E T="03">publiccomments@bis.doc.gov</E>or on paper to Regulatory Policy Division, Bureau of Industry and Security, Room 2099B, U.S. Department of Commerce, 14th St. and Pennsylvania Ave. NW., Washington, DC 20230. Please refer to RIN 0694-AF68 in all comments and in the subject line of email comments. All comments must be in writing. All comments (including any personal identifiable information) will be available for public inspection and copying. Those wishing to comment anonymously may do so by submitting their comment via regulations.gov and leaving the fields for identifying information blank.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Timothy Mooney, Regulatory Policy Division, Bureau of Industry and Security, Department of Commerce, Phone: (202) 482-2440, Fax: (202) 482-3355, Email:<E T="03">timothy.mooney@bis.doc.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION</HD>
        <HD SOURCE="HD1">Background</HD>
        <P>This ANPRM requests comments on a longer-term project involving minimizing the use of the term “specially designed” on the current Commerce Control List (CCL) by specifically identifying “components.” Specifically listing “components,” with multilateral agreement where appropriate, would make the CCL a more positive list.</P>
        <P>As part of the implementation of the Export Control Reform (ECR) Initiative, the Departments of Commerce and State published rules that proposed, as much as possible, a common definition of the term “specially designed.” A common definition of “specially designed” would protect and enhance U.S. national security interests because the term “specially designed” would be used in the “600 series” that would be created to control United States Munitions List (USML) items moved to the CCL. In addition, the term “specially designed” is used widely on the current CCL.</P>

        <P>The request for comments in this ANPRM is part of Commerce's retrospective plan under EO 13563 completed in August 2011. Commerce's full plan can be accessed at:<E T="03">http://open.commerce.gov/news/2011/08/23/commerce-plan-retrospective-analysis-existing-rules.</E>
        </P>
        <HD SOURCE="HD1">Request for Comments on the Feasibility of Enumerating “Specially Designed” “Components”</HD>
        <P>This ANPRM requests comments on the use of the term “specially designed” when applied to “components” outside of the “600 series” on the CCL. Specifically, the Bureau of Industry and Security is evaluating whether it is feasible to create exhaustive lists of the “specially designed” “components” in certain Export Control Classification Numbers on the CCL that currently use “specially designed” catch-all paragraphs. BIS does not believe a similar approach is needed for “parts” controlled on the CCL, but BIS also requests public comments regarding whether a similar approach should also be evaluated for “parts” controlled on the CCL.</P>
        <P>Ultimately, any changes to multilaterally-controlled CCL entries would be made in cooperation with the multilateral export control regimes. This longer-term project may result eventually in a reduction in the use of the term “specially designed” outside of the “600 series” on the CCL if exhaustive lists of such “components” can be identified and specified. To assist the public, BIS has identified the set of ECCN entries that are the best candidates for taking this approach.</P>

        <P>Most of the public comments and concerns about the July 15 proposed “specially designed” definition included in the rule,<E T="03">Proposed Revisions to the Export Administration Regulations (EAR): Control of Items the President Determines No Longer Warrant Control Under the United States Munitions List (USML)</E>(76 FR 41958) revolved around references in the application of the definition to existing CCL controls on “components” “specially designed” for a particular “end item” or purpose. Minimizing use of the term “specially designed” by specifically listing controlled “components” may address some of these concerns.</P>
        <P>As described below, BIS parsed the CCL and removed all text that does not directly describe controls on “components” “specially designed” for an end item or purpose. To make the analysis easier and more relevant to the proposed definition of “specially designed,” BIS has not included in this ANPRM references to such controls in ECCNs that are controlled for only anti-terrorism reasons, because the number of circumstances where a licensing determination would be affected by whether a component is EAR99 or AT-only controlled is relatively small.</P>
        <P>BIS has also not included in this ANPRM the ECCNs where a component is solely or primarily controlled for Missile Technology (MT) reasons or where the MT controls overlap other controls, such as National Security (NS) controls. Because the EAR has adopted the Missile Technology Control Regime's definition of the term for such controls, BIS needs to further evaluate whether those ECCNs controlled for MT reasons would also be good candidates for specifically identifying “components.” In responding to this ANPRM, the public may also submit comments regarding whether they believe a similar approach would also be feasible for items controlled for MT reasons, which BIS will factor into the evaluation for the scope of this review project going forward.</P>

        <P>Unlike the USML, the CCL does not contain a broad catch-all control on essentially all “components” “specially designed” for any other item identified on the CCL. You must carefully read each heading and each subparagraph. Some catch-all controls are in the heading and apply by reference to all items described in the subparagraphs, such as in ECCN 3B001. Other headings merely refer to the fact that some of the subparagraphs contain catch-all controls “as follows,” such as ECCN 2B001 where only its subparagraph “f” contains controls on “specially designed” “components.” (The fact that a “specially designed” “component” control exists in some of an ECCN's subparagraphs means, by negative implication, that such controls do not exist in the other subparagraphs in the<PRTPAGE P="36421"/>same ECCN.) Some ECCN headings do not refer to catch-all controls but individual subparagraphs do, such as in ECCN 8A002.a. Some ECCNs refer to specific types of “components” “specially designed” for other items in that ECCN, such as 2B005, which limits its “component” controls to “specially designed automated handling, positioning, manipulation and control components.”</P>
        <P>Finally, a few ECCNs, such as 3A292, contain a specific, positive list of the types of components that are within the scope of that ECCN's controls on “specially designed” “components.” Specifically, 3A292 contains a “note” stating that “[s]pecially designed components controlled by this item are the following, for analog oscilloscopes: 1. Plug-in units; 2. External amplifiers; 3. Pre-amplifiers; 4. Sampling devices; 5. Cathode ray tubes.” Thus, only those particularly identified components are controlled in that ECCN. Another example is ECCN 6A002. ECCN 6A002.a.2 controls “components” “specially designed” for “image intensifier tubes” described in ECCN 6A002.a.2.a. These components are described in three subparagraphs that specify the specially designed components under paragraph a.2.b, as follows: 1. Microchannel plates having a hole pitch (center-to-center spacing) of 12 µm or less; 2. GaAs or GaInAs photocathodes; and 3. Other III-V compound semiconductor photocathodes. To further refine what are considered specially designed components, a “note” specifies that “6A002.a.2.b.3 does not control compound semiconductor photocathodes with a maximum radiant sensitivity of 10 mA/W or less.”</P>
        <HD SOURCE="HD1">Request for Comments</HD>
        <P>BIS seeks the advice and suggestions of the public regarding whether identifying the specific types of “components” controlled by the ECCNs identified below would be of assistance to exporters. If so, BIS requests public comment regarding the “components” that should be identified in a positive list within the scope of the “specially designed” controls of the ECCNs identified below. In addition to the ECCNs identified below, the public may also submit public comments on other “specially designed” “component” references on the CCL where the public believes a similar approach of identifying the specific types of “components” would be feasible. If a list of such components could be created, the United States could consider developing proposals for the relevant multilateral export control regimes to control only those “components” within the scope of the relevant ECCNs. BIS does not believe a similar approach is needed for “parts” controlled on the CCL, but BIS also requests public comments regarding whether a similar approach should also be evaluated for “parts” controlled on the CCL.</P>
        <P>BIS is particularly interested in comments from those with technical expertise related to or experience with classifying items identified below to provide advice on those items. The identified “components” should be those that have specific performance parameters or functions which make them particularly suitable for use in the controlled items. They should also include those “components” that are the essence of the controlled end item.</P>
        <HD SOURCE="HD1">CCL Entries Where the U.S. Government Is Evaluating the Feasibility of Enumerating “Specially Designed” “Components”</HD>
        <P>In the following list, BIS identifies ECCNs containing a control on a generic “component” “specially designed” for another item. The list does not include any references to any explanatory notes that may be germane to classifying an item against the ECCN. Thus, when preparing your suggested positive list of components for BIS to consider inserting into the ECCN, please read the whole ECCN for context.</P>

        <P>For purposes of this ANPRM, BIS is using the definition of “<E T="03">component</E>” from the July 15 proposed rule, as follows:</P>
        <P>“<E T="03">Component.</E>” This is an item that is useful only when used in conjunction with an “<E T="03">end item.</E>” Components are also commonly referred to as assemblies. For purposes of this definition an assembly and a component are the same. There are two types of “<E T="03">components</E>”: “<E T="03">Major components</E>” and “<E T="03">minor components.</E>” A “<E T="03">major component</E>” includes any assembled element which forms a portion of an “<E T="03">end item</E>” without which the end item is inoperable. For example, for an automobile, components will include the engine, transmission, and battery. If you do not have all those items, the automobile will not function, or function as effectively. A “<E T="03">minor component</E>” includes any assembled element of a “<E T="03">major component.</E>” “<E T="03">Components</E>” consist of<E T="03">`parts.</E>' ” References in the CCL to “<E T="03">components</E>” include both “<E T="03">major components</E>” and “<E T="03">minor components.</E>”</P>
        <HD SOURCE="HD2">List of ECCN “Specially Designed” Paragraphs</HD>
        <P>1. ECCN 1A004.a controls “components” “specially designed” for “gas masks, filter canisters and decontamination equipment therefor, designed or modified for defense against” (1) “biological agents `adapted for use in war;' ” (2) “radioactive materials `adapted for use in war;' ” (3) “chemical warfare (CW) agents;” or (4) specific “riot control agents” listed in ECCN 1A004.a.4.</P>
        <P>2. ECCN 1A004.c controls “components” “specially designed” for “[d]etection systems, specially designed or modified for detection or identification of” (1) “[b]iological agents `adapted for use in war;' ” (2) “[r]adioactive materials `adapted for use in war;' ” or (3) “[c]hemical warfare (CW) agents.”</P>
        <P>3. ECCN 1A006 controls “components” “specially designed” for “remotely operated vehicles” and “disruptors” “specially designed or modified for the disposal of improvised explosive devices.”</P>
        <P>4. ECCN 1A008.b controls “components” “specially designed” for “linear shaped cutting charges” that have “an explosive load greater than 40 g/m” and “a width of 10 mm or more.”</P>
        <P>5. ECCN 1B001.e controls “components” “specially designed” for “[e]quipment for producing prepregs controlled by 1C010.e by the hot melt method.”</P>
        <P>6. ECCN 1B001.f controls “components” “specially designed” for “[n]on-destructive inspection equipment specially designed for `composite' materials” as described in ECCN 1B001.f.1 and f.2.</P>
        <P>7. ECCN 1B003.c controls “components” “specially designed” for “[t]ools, dies, molds or fixtures, for `superplastic forming' or `diffusion bonding' titanium, aluminum or their alloys, specially designed for the manufacture of” “airframe or aerospace structures” or “aerospace engines.”</P>

        <P>8. ECCN 2B003 controls “components” “specially designed” for ‘ “[n]umerically controlled' or manual machine tools * * * specially designed for the shaving, finishing, grinding or honing of hardened (R<E T="52">c</E>= 40 or more) spur, helical and double-helical gears with a pitch diameter exceeding 1,250 mm and a face width of 15% of pitch diameter or larger finished to a quality of AGMA 14 or better (equivalent to ISO 1328 class 3).”</P>

        <P>9. ECCN 3A001.c controls “components” “specially designed” for “[a]coustic wave devices” that have any of the characteristics described in 3A001.c.1.a., c.1.b., c.1.c, c.2 or c.3.<PRTPAGE P="36422"/>
        </P>
        <P>10. ECCN 3A003 controls “components” “specially designed” for “[s]pray cooling thermal management systems employing closed loop fluid handling and reconditioning equipment in a sealed enclosure where a dielectric fluid is sprayed onto electronic components using specially designed spray nozzles that are designed to maintain electronic components within their operating temperature range.”</P>
        <P>11. ECCN 3A292.d controls “components” “specially designed” for “[d]igital oscilloscopes and transient recorders, using analog-to-digital conversion techniques, capable of storing transients by sequentially sampling single-shot inputs at successive intervals of less than 1 ns (greater than 1 giga-sample per second), digitizing to 8 bits or greater resolution and storing 256 or more samples.”</P>
        <P>12. ECCN 3B001.a controls “components” “specially designed” for “equipment designed for epitaxial growth as follows:” (1) “[e]quipment capable of producing a layer of any material other than silicon with a thickness uniform to less than ±2.5% across a distance of 75 mm or more;” (2) “Metal Organic Chemical Vapor Deposition (MOCVD) reactors specially designed for compound semiconductor crystal growth by the chemical reaction between materials controlled by 3C003 or 3C004;” or (3) “[m]olecular beam epitaxial growth equipment using gas or solid sources.”</P>
        <P>13. ECCN 3B001.b. controls “components” “specially designed” for “[e]quipment designed for ion implantation and having any of the following:” (1) “[a] beam energy (accelerating voltage) exceeding 1MeV;” (2) “[b]eing specially designed and optimized to operate at a beam energy (accelerating voltage) of less than 2 keV;” (3) “[d]irect write capability;” or (4) “beam energy of 65 keV or more and a beam current of 45 mA or more for high energy oxygen implant into a heated semiconductor material `substrate.' ”</P>
        <P>14. ECCN 3B001.c. controls “components” “specially designed” for “[a]nisotropic plasma dry etching equipment” having all the following: (1) “[d]esigned or optimized to produce critical dimensions of 65 nm or less;” and (2) “[w]ithin wafer non-uniformity equal to or less than 10% 3σ measured with an edge exclusion of 2 mm or less.”</P>
        <P>15. ECCN 3B001.e controls “components” “specially designed” for “[a]utomatic loading multi-chamber central wafer handling systems” having (1) “[i]nterfaces for wafer input and output, to which more than two functionally different `semiconductor process tools' controlled by 3B001.a, 3B001.b, 3B001.c or 3B001.d are designed to be connected;” and (2) “[d]esigned to form an integrated system in a vacuum environment for `sequential multiple wafer processing.' ”</P>
        <P>16. ECCN 3B001.f.1 controls “components” “specially designed” for “[l]ithography equipment” that “[a]lign[s] and expose[s] step and repeat (direct step on wafer) or step and scan (scanner) equipment for wafer processing using photo-optical or X-ray methods and having” any of the following (a) “light source wavelength shorter than 245 nm;” or (b) “[c]apable of producing a pattern with a `Minimum Resolvable Feature size' (MRF) of 95 nm or less.”</P>
        <P>17. ECCN 3B001.f.2 controls “components” “specially designed” for “[i]mprint lithography equipment capable of production features of 95 nm or less” described in ECCN 3B001.f.2.</P>
        <P>18. ECCN 3B001.f.3 controls “components” “specially designed” for “[e]quipment specially designed for mask making or semiconductor device processing using direct writing methods, having” all the characteristics described in ECCN 3B001.f.3.a. and any of the characteristics described in .b.</P>
        <P>19. ECCN 3B002 controls “components” “specially designed” for “[t]est equipment specially designed for testing finished or unfinished semiconductor devices as follows * * *” (1) “[f]or testing S-parameters of transistor devices at frequencies exceeding 31.8 GHz;” or (2) “[f]or testing microwave integrated circuits controlled by 3A001.b.2.”</P>
        <P>20. ECCN 4A003.c controls “ `[e]lectronic assemblies' specially designed or modified to be capable of enhancing performance by aggregation of processors so that the `APP' of the aggregation exceeds the limit in 4A003.b.”</P>
        <P>21. ECCN 4A003.e controls “components” “specially designed” for “[e]quipment performing analog-to-digital conversions exceeding the limits in 3A001.a.5.”</P>
        <P>22. ECCN 4A003.g controls “components” “specially designed” for “[e]quipment specially designed for aggregating the performance of `digital computers' by providing external interconnections which allow communications at unidirectonal data rates exceeding 2.0 Gbyte/s per link.”</P>
        <P>23. ECCN 4A004 controls “components” “specially designed” for (a) “[s]ystolic array computers;” (b) “[n]eural computers;” and (c) “[o]ptical computers.”</P>
        <P>24. ECCN 5A001.b controls “components” “specially designed” for “telecommunication systems and equipment, having any of “characteristics, functions or features” described in ECCN 5A001.b.1, b.2, b.3, b.4, b.5, or b.6.</P>
        <P>25. ECCN 5A001.e controls “components” “specially designed” for radio direction finding equipment operating at frequencies above 30 MHz and having (1) “ `instantaneous bandwidth' of 10 MHz or more;” and (2) “capable of finding a Line Of Bearing (LOB) to non-cooperating radio transmitters with a signal duration of less than 1 ms.”</P>
        <P>26. ECCN 5A001.f controls “components” “specially designed” for “[j]amming equipment specially designed or modified to intentionally and selectively interfere with, deny, inhibit, degrade or seduce mobile telecommunication services and” (1) “simulate the functions of Radio Access Network (RAN) equipment;” (2) “detect and exploit specific characteristics of the mobile telecommunications protocol employed (e.g., GSM);” or (3) “exploit specific characteristics of the mobile telecommunications protocol employed (e.g., GSM).”</P>
        <P>27. ECCN 5B001.a controls “components” “specially designed” for “equipment * * * specially designed for the `development', `production' or `use' of equipment, functions or features, controlled by 5A001.”</P>
        <P>28. ECCN 5B001.b controls “components” “specially designed” for “equipment * * * specially designed for the `development' of any of the following telecommunication transmission or switching equipment” “employing a ‘laser' ” and (a) having “a transmission wavelength exceeding 1750 nm;” (b) “performing `optical amplification' using Praseodymium-Doped Fluoride Fiber Amplifiers (PDFFA);” (c) “employing coherent optical transmission or coherent optical detection techniques (also called optical heterodyne or homodyne techniques);” or (d) “employing analog techniques and having a bandwidth exceeding 2.5 GHz.”</P>

        <P>29. ECCN 5B001.b also controls “components” “specially designed” for “equipment * * * specially designed for the `development' of any of the following telecommunication transmission or switching equipment” (a) “radio equipment employing Quadrature-Amplitude-Modulation (QAM) techniques above level 256;” or (b) “equipment employing ‘common channel signaling’ operating in non-associated mode of operation.”<PRTPAGE P="36423"/>
        </P>
        <P>30. ECCN 5A002.a controls “components” “specially designed” for “systems, equipment, application specific `electronic assemblies', modules and integrated circuits for `information security' ” if they were also “specially designed for `information security.' ”</P>
        <P>31. ECCN 6A001.a.1 controls “components” “specially designed” for “marine acoustic systems” that are within the scope of ECCN 6A001.a.1.a, a.1.b, a.1.c., a.1.d, or a.1.e.</P>
        <P>32. ECCN 6A001.a.2 controls “components” “specially designed” for “passive systems” described in 6A001.a.2.a, a.2.b, a.2.c., a.2.d, a.2.e, or a.2.f.</P>
        <P>33. ECCN 6A004.a.1 controls “components” “ `specially designed' for `deformable mirrors' having either continuous or multi-element surfaces * * * capable of dynamically repositioning portions of the surface of the mirror at rates exceeding 100 Hz.”</P>
        <P>34. ECCN 6A005.e.2. controls “components” (optical mirrors, transmissive or partially transmissive optical or electro-optical components) “specially designed” for use with controlled lasers.</P>
        <P>35. ECCN 6A203.a controls “components” “specially designed” for “mechanical rotating mirror cameras” that are (1) “framing cameras with recording rates greater than 225,000 frames per second;” or (2) “streak cameras with writing speeds greater than 0.5 mm per microsecond.”</P>
        <P>36. ECCN 6A998.a controls “components” “specially designed” for “airborne radar equipment, n.e.s.”</P>
        <P>37. ECCN 6A998.b controls “components” “specially designed for “ `space-qualified' `laser' radar or Light Detection and Ranging (LIDAR) equipment specially designed for surveying or for meteorological observation.”</P>
        <P>38. ECCN 7A008 controls “components” “specially designed” for “underwater sonar navigation systems using Doppler velocity or correlation velocity logs integrated with a heading source and having a positioning accuracy of equal to or less (better) than 3% of distance traveled `Circular Error Probable' (`CEP').”</P>
        <P>39. ECCN 8A002.a controls “components” “specially designed” for “submersible vehicles and designed to operate at depths exceeding 1,000 m” that have (1) “pressure housings or pressure hulls with a maximum inside chamber diameter exceeding 1.5 m,” (2) “direct current propulsion motors or thrusters,” (3) “umbilical cables, and connectors therefor, using optical fiber and having synthetic strength members,” and (4) “components manufactured from material specified by ECCN 8C001.”</P>
        <P>40. ECCN 9A002 controls “components” “specially designed” for “ `marine gas turbine engines' with an ISO standard continuous power rating of 24,245 kW or more and a specific fuel consumption not exceeding 0.219 kg/kWh in the power range from 35 to 100%.”</P>
        <P>41. ECCN 9A003.a controls “components” and “assemblies” that “incorporat[e] any of the `technologies' controlled by 9E003.a, 9E003.h or 9E003.i” and were “specially designed” for gas turbine engines “controlled by ECCN 9A001.”</P>
        <P>42. ECCN 9A003.b controls “components” and “assemblies” that “incorporat[e] any of the `technologies' controlled by 9E003.a, 9E003.h or 9E003.i” and “whose design or production origins are either countries in Country Group D:1 or unknown to the manufacturer.”</P>
        <P>Comments should be submitted to BIS as described in the<E T="02">ADDRESSES</E>section of this notice by September 17, 2012.</P>
        <SIG>
          <DATED>Dated: June 6, 2012.</DATED>
          <NAME>Kevin J. Wolf,</NAME>
          <TITLE>Assistant Secretary for Export Administration.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14473 Filed 6-15-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-33-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">FEDERAL TRADE COMMISSION</AGENCY>
        <CFR>16 CFR Part 309</CFR>
        <SUBJECT>Labeling Requirements for Alternative Fuels and Alternative Fueled Vehicles</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Trade Commission (FTC or Commission).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of proposed rulemaking; request for public comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Commission seeks public comment on two amendments to its “Labeling Requirements for Alternative Fuels and Alternative Fueled Vehicles” (“Alternative Fuels Rule” or “Rule”). Specifically, the proposed amendments consolidate the FTC's alternative fueled vehicle (AFV) labels with new fuel economy labels required by the Environmental Protection Agency (EPA) and the National Highway Traffic Safety Administration (NHTSA) and eliminate FTC requirements for used AFV labels.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments must be received on or before August 17, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Interested parties are invited to submit written comments electronically or in paper form by following the instructions in section V of the<E T="02">SUPPLEMENTARY INFORMATION</E>section below. Comments in electronic form should be submitted using the following weblink<E T="03">https://ftcpublic.commentworks.com/ftc/atlfuelslabelingnprm</E>(and following the instructions on the web-based form). Comments filed in paper form should be mailed or delivered to the following address: Federal Trade Commission, Office of the Secretary, Room H-113 (Annex N), 600 Pennsylvania Avenue NW., Washington, DC 20580, in the manner detailed in the<E T="02">SUPPLEMENTARY INFORMATION</E>section below.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Hampton Newsome, (202) 326-2889, Attorney, Division of Enforcement, Bureau of Consumer Protection, Federal Trade Commission, 600 Pennsylvania Avenue NW., Washington, DC 20580.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Background</HD>
        <P>The Energy Policy Act of 1992 (“EPAct 92” or “Act”)<SU>1</SU>
          <FTREF/>established federal programs that encourage the development of alternative fuels and alternative fueled vehicles (AFVs). Section 406(a) of the Act directed the Commission to establish uniform labeling requirements for alternative fuels and AFVs. Under the Act, such labels must provide “appropriate information with respect to costs and benefits [of alternative fuels and AFVs], so as to reasonably enable the consumer to make choices and comparisons.” In addition, the required labels must be “simple and, where appropriate, consolidated with other labels providing information to the consumer.”<SU>2</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>Public Law 102-486, 106 Stat. 2776 (1992).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>2</SU>42 U.S.C. 13232(a).</P>
        </FTNT>
        <P>In response to EPAct 92, the Commission published the Alternative Fuels Rule in 1995.<SU>3</SU>

          <FTREF/>The Rule requires labels on new and used AFVs that run on liquid and non-liquid fuels, such as ethanol and other alcohols including E85 ethanol-gasoline mixtures, natural gas, liquefied petroleum gas, hydrogen, coal-derived liquid fuels, fuels derived from biological materials (<E T="03">e.g.,</E>100% biodiesel), and electricity. The labels for new AFVs disclose the vehicle's estimated cruising range (<E T="03">i.e.,</E>the travel distance on a single charge or tank of fuel), general factors consumers should consider before buying an AFV, and toll free telephone numbers and Web sites for additional information from the Department of Energy (DOE) and NHTSA.<SU>4</SU>
          <FTREF/>Labels for used AFVs contain<PRTPAGE P="36424"/>only the general buying factors and DOE/NHTSA contact information.<SU>5</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>3</SU>60 FR 26926 (May 19, 1995).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>The Rule requires manufacturers to have a reasonable basis for the vehicle cruising range, and, for certain AFVs, specifies the test method for calculating that range. 16 CFR 309.22.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>5</SU>The general factors listed on the current label include fuel type, operating costs, fuel availability, performance, convenience, energy security, energy renewability, and emissions.<E T="03">See</E>16 CFR part 309, Appendix A.</P>
        </FTNT>
        <P>The Rule also requires labels on fuel dispensers for<E T="03">non-liquid</E>alternative fuels, such as electricity, compressed natural gas, and hydrogen.<SU>6</SU>
          <FTREF/>The labels for electricity provide the dispensing system's kilowatt capacity, voltage, and other related information. The labels for other non-liquid fuels disclose the fuel's commonly used name and principal component (expressed as a percentage).<SU>7</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>6</SU>The Commission's Fuel Labeling Rule, 16 CFR Part 306, addresses labeling for<E T="03">liquid</E>alternative fuels, such as ethanol and liquefied natural gas.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>7</SU>The Rule requires fuel importers, producers, and distributors to have a reasonable basis for the information disclosed on the label, maintain records, and provide certifications when transferring fuel. 16 CFR 309.11-14.</P>
        </FTNT>
        <HD SOURCE="HD1">II. Regulatory Review</HD>
        <P>In a June 1, 2011, Advance Notice of Proposed Rulemaking (ANPR),<SU>8</SU>
          <FTREF/>the Commission initiated its regulatory review of the Rule to ensure that FTC-required vehicle labels and EPA fuel economy labeling requirements are consistent.<SU>9</SU>
          <FTREF/>In doing so, the Commission sought comment about the Rule's costs, benefits, and regulatory impact. In addition, the Commission raised three specific issues for comment: (1) The consolidation of the FTC label with EPA's fuel economy label; (2) the inclusion of new definitions for AFVs contained in recent legislation; and (3) the retention of labeling requirements for used AFVs.</P>
        <FTNT>
          <P>
            <SU>8</SU>76 FR 31513.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>9</SU>At the same time, the Commission also announced postponement of amendments to its “Guide Concerning Fuel Economy Advertising for New Automobiles” (“Fuel Economy Guide”) (16 CFR Part 259) pending completion of EPA's fuel economy labeling requirements and the Commission's review of the Alternative Fuels Rule. 76 FR 31467 (June 1, 2011). Once the Commission completes the Alternative Fuels Rule review, it will decide how to proceed with amendments to the Fuel Economy Guide.</P>
        </FTNT>
        <P>The Commission received nine comments.<SU>10</SU>
          <FTREF/>Seven urged the Commission to consolidate its AFV labeling requirements with EPA's fuel economy labels (including those for newly defined AFVs).<SU>11</SU>
          <FTREF/>No comments opposed consolidation. In addition, three comments supported elimination of FTC labels for used AFVs while one supported their continuation.<SU>12</SU>
          <FTREF/>Two comments also recommended that the Commission retain existing FTC requirements for labeling non-liquid alternative fuels.<SU>13</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>10</SU>The comments are available at<E T="03">http://www.ftc.gov/os/comments/alternativefuelsanpr/index.shtm.</E>The comments include the Alliance of Automobile Manufacturers (Alliance) (# 00008), Association of Global Automakers (Global Automakers) (# 00006), Clean Energy Fuels (# 00010), Denney (# 00003), Edison Electric Institute (EEI) (# 00005), General Motors Company (GM) (# 00012), Gibbs (# 00004), Growth Energy (# 00007), and National Automobile Dealers Association (NADA) (# 00011).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>11</SU>
            <E T="03">See</E>the Alliance, Global Automakers, Denney, EEI, GM, Growth Energy, and NADA.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>12</SU>The Alliance, NADA, and GM (supported elimination); and EEI (supported continuation).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>13</SU>NADA and EEI.</P>
        </FTNT>
        <P>In response, the Commission proposes to consolidate FTC labels with EPA fuel economy labels for all AFVs, including those identified in recent legislation, and eliminate FTC labeling requirements for used AFVs. However, the Commission does not propose changes to existing alternative fuel rating requirements. For each of these issues, the following sections provide background on alternative fuel requirements, discuss the comments received, and explain the proposed amendments.</P>
        <HD SOURCE="HD2">A. EPA and NHTSA Fuel Economy Labels</HD>
        <P>
          <E T="03">Background:</E>The Commission requested comment on whether it should consolidate its AFV labels with fuel economy labels recently issued by EPA to provide a uniform label for consumers.<SU>14</SU>
          <FTREF/>The new EPA labels apply to both conventional vehicles and AFVs, including AFVs subject to the FTC's labeling requirements.<SU>15</SU>

          <FTREF/>The EPA label differs depending on the type of AFV. For electric and compressed natural gas vehicles, the labels disclose information about fuel economy, greenhouse gases (and other emissions), cruising (driving) range, and estimated annual fuel cost. For ethanol-fueled vehicles, including flexible fuel vehicles (FFVs) (<E T="03">i.e.,</E>dual fueled vehicles) that operate on a combination of gasoline and ethanol, the labels disclose the fuel economy, fuel cost, and emissions based on gasoline operation and allow, but do not require, a driving range for gasoline or alternative fuel operation. All the EPA labels reference<E T="03">www.fueleconomy.gov,</E>which provides comprehensive consumer information about fuel economy and alternative fuels. Given this content, the ANPR requested comment on whether the EPA label accomplishes the EPAct 92's goal of providing “appropriate information with respect to costs and benefits [of alternative fuels and AFVs], so as to reasonably enable the consumer to make choices and comparisons.”<SU>16</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>14</SU>
            <E T="03">See</E>76 FR 39478 (July 6, 2011).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>15</SU>
            <E T="03">See</E>EPA sample label at<E T="03">http://www.epa.gov/otaq/carlabel/fealllabels.pdf.</E>Although EPA regulations (40 CFR Part 600) require labeling for all vehicles covered under the Alternative Fuels Rule, EPA did not propose a specific label for several vehicle types not generally available to individual consumers such as those fueled by liquefied petroleum gas, coal-derived liquid fuels, or fuels (other than alcohol) derived from biological materials.<E T="03">See</E>76 FR 39478. However, EPA has authority to require labels for such vehicles.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>16</SU>42 U.S.C. 13232(a).</P>
        </FTNT>
        <P>The ANPR also sought comment on whether to allow the use of the EPA label, in lieu of the FTC label, on three categories of vehicles (hydrogen fuel cell, advanced lean burn, and hybrid motor vehicles) that were added to the definition of “alternative fuel vehicle” by the National Defense Authorization Act for Fiscal Year 2008.<SU>17</SU>
          <FTREF/>The Commission noted that, because these vehicles are already covered under existing labeling programs, additional labeling requirements appear unnecessary.<SU>18</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>17</SU>42 U.S.C. 13211(3)(B). According to the legislative history, the purpose of these amendments is to “allow additional types of vehicles to be used to meet minimum” requirements for vehicle and fuel use by Federal agencies (<E T="03">i.e.,</E>“Federal fleet requirements”). 153 CONG. REC. 147 (2007).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>18</SU>76 FR at 31516.</P>
        </FTNT>
        <P>
          <E T="03">Comments:</E>Seven comments supported consolidating the FTC and new fuel economy labels explaining that a single label would reduce consumer confusion and industry burden.<SU>19</SU>
          <FTREF/>No comments opposed such a change.<SU>20</SU>
          <FTREF/>These comments noted that the EPA fuel economy labels offer as much or more information than the FTC labels with one exception. Finally, they noted that EPA labels cover the three vehicle types added by recent legislation.</P>
        <FTNT>
          <P>
            <SU>19</SU>
            <E T="03">See, e.g.,</E>the Alliance, EEI, Denney, GM, Global Automakers, Growth Energy, and NADA.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>20</SU>Clean Energy Fuels offered suggestions for new label content, including “fuel displacement” of foreign oil, a full life cycle assessment of greenhouse gas emissions and both fossil-based and biological-based natural gas values for natural gas vehicles. However, the comment did not specify how such information should be derived or whether consumers would understand such information. Given the Commission's proposal to eliminate the FTC label, such suggestions are best directed to EPA for consideration in future development of their fuel economy label.</P>
        </FTNT>
        <P>Commenters explained that the FTC labeling requirements duplicate the new fuel economy labels mandated by the EPA and NHTSA, create potential confusion, and provide little, if any, benefit for consumers.<SU>21</SU>

          <FTREF/>For instance, the Alliance of Automobile Manufacturers (Alliance) argued such duplication creates potential consumer confusion by presenting the same or similar information on differently formatted labels and imposes costs on manufacturers with no significant consumer benefit. General Motors (GM) also explained that the overlapping<PRTPAGE P="36425"/>labels have led to inconsistencies between the driving range numbers on FTC and EPA labels.<SU>22</SU>
          <FTREF/>The Alliance and the Association of Global Automakers (Global Automakers) noted that, over the past several years, industry members have urged state and federal agencies to develop a single national vehicle label.<SU>23</SU>
          <FTREF/>No commenters disagreed with these views.</P>
        <FTNT>
          <P>
            <SU>21</SU>
            <E T="03">See, e.g.,</E>the Alliance, EEI, Denney, GM, Global Automakers, Growth Energy, and NADA.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>22</SU>
            <E T="03">See</E>GM. For example, consolidation would eliminate current inconsistencies between cruising range values on FTC and EPA electric vehicle labels. To address electric vehicles introduced pending completion of this rulemaking, the Commission issued a policy stating that it will not enforce current FTC labeling requirements for any electric vehicle bearing an EPA-mandated fuel economy label and will encourage vehicle manufacturers to use the EPA label in lieu of the FTC label.<E T="03">See</E>FTC enforcement policy on driving range numbers for electric vehicles at<E T="03">http://www.ftc.gov/opa/2011/05/afr.shtm.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>

            <SU>23</SU>Working toward that goal, EPA has coordinated with California to incorporate the state's labeling information into the national fuel economy label.<E T="03">See</E>the Alliance and Global Automakers. Global Automakers urged the Commission to work with EPA and NHTSA to resolve any deficiencies the Commission finds with the fuel economy label.</P>
        </FTNT>
        <P>Five comments suggested that elimination of the FTC labels would not harm consumers because the EPA fuel economy labels provide more vehicle-specific information than the FTC label.<SU>24</SU>

          <FTREF/>Specifically, Global Automakers explained the EPA labeling program provides comprehensive fuel economy information by requiring labels that disclose the most important vehicle information and offers a Web site,<E T="03">www.fueleconomy.gov,</E>with more detailed information, including data on older vehicles.<SU>25</SU>
          <FTREF/>According to the Alliance, the new EPA fuel economy label, like the current FTC label, requires driving range information for most AFVs, including electric vehicles (EVs), plug-in hybrid electric vehicles (PHEVs), hydrogen fuel cell vehicles (FCVs), and compressed natural gas (CNG-fueled) vehicles. At the same time, the EPA label provides additional information not found on the FTC label including fuel costs, smog ratings, and greenhouse gas information.<SU>26</SU>

          <FTREF/>Two comments, GM and the Alliance, noted that, unlike the FTC label for FFVs, the EPA rules do not require driving range information but instead provide manufacturers the option to include the range for gasoline and alternative fuel (<E T="03">e.g.,</E>E85) operation. The Alliance recommended that the FTC provide the same flexibility. No comments identified harm to consumers from consolidation.</P>
        <FTNT>
          <P>
            <SU>24</SU>Global Automakers, the Alliance, Growth Energy, NADA, and GM.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>25</SU>According to the Alliance, many consumers conduct Internet research to make basic vehicle purchasing decisions before ever visiting a dealership.<E T="03">See also,</E>Global Automakers, Denney, and NADA.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>26</SU>
            <E T="03">See</E>Growth Energy and NADA.</P>
        </FTNT>

        <P>Finally, three comments recommended that the FTC allow manufacturers to use the EPA fuel economy label for vehicle categories added to the definition of AFV by recent legislation (<E T="03">i.e.,</E>lean burn, hybrid, and fuel cell vehicles). No comments opposed this approach. Edison Electric Institute (EEI) argued that the federal requirements should be the same for all types of vehicles to minimize industry costs and ensure consumers can make “apples to apples” vehicle comparisons. The Alliance agreed, noting that EPA labeling rules already cover these vehicles. GM also explained that FTC labels for these vehicles would not provide any significant additional consumer benefit and could increase the opportunity for errors.</P>
        <P>
          <E T="03">Discussion:</E>Consistent with the comments, the Commission proposes to require manufacturers to use EPA's fuel economy label for alternative fuel vehicles, including the vehicle categories added by recent legislation, in lieu of existing FTC requirements.<SU>27</SU>
          <FTREF/>The Commission agrees with commenters that consolidating the FTC and EPA labels will benefit consumers and industry by eliminating potential confusion caused by overlapping or inconsistent labels, and by reducing the burden on manufacturers to create and post two labels.<SU>28</SU>

          <FTREF/>Generally, the EPA labels are likely to be more helpful to consumers in making choices and comparisons because they contain more vehicle-specific information than the current FTC labels. The fuel economy labels also link consumers to<E T="03">www.fueleconomy.gov,</E>which provides comprehensive comparative information for conventional vehicles and AFVs.<SU>29</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>27</SU>The proposed amendments add the statutory definitions for lean burn, hybrid, and fuel cell vehicles to the Rule.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>28</SU>In addition to concerns about electric vehicle labels discussed above, the EPA and FTC labels disclose driving range for E85 dual-fueled vehicles in different ways. The FTC label requires a lower range number based on city fuel economy and an upper range number based on highway fuel economy (<E T="03">e.g.,</E>246-378 on one tank). Conversely, the EPA label presents a single number (<E T="03">e.g.,</E>300 miles on one tank) based on the vehicle's combined city-highway fuel economy. 40 CFR 600.311-12(j)(1). Although the resulting numbers are similar and based on the same test procedures, the differences in presentation have the potential to confuse consumers.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>29</SU>The proposed amendments are consistent with the EPAct 92, which gives the Commission discretion to consolidate its requirements “with other labels providing information to the consumer.” 42 U.S.C. 13232(a). In addition, the Energy and Policy Conservation Act, 42 U.S.C. 32908(e)(2), authorizes the FTC to enforce the EPA automobile label requirements issued pursuant to 49 U.S.C. 32908(b).</P>
        </FTNT>
        <P>Unlike the FTC labels, the EPA labels for FFVs allow, but do not require, driving range disclosures. In support of making driving range disclosures optional, EPA has indicated that nearly all FFV owners (99%) use only regular gasoline, limiting the practical value of driving range disclosures.<SU>30</SU>
          <FTREF/>EPA's conventional gasoline label does not disclose driving range. Also, the inclusion of driving range on the FFV label alters the location of the “gallons per 100 miles” disclosure.<SU>31</SU>
          <FTREF/>Other factors, however, may support a mandatory driving range disclosure for these vehicles. First, the difference between driving range performance for alternative fuel and conventional gasoline operation can be significant.<SU>32</SU>
          <FTREF/>Second, the use of alternative fuels may increase in the future. Therefore, to ensure the label provides vehicle buyers with comparative driving range performance for both alternative fuel and conventional gasoline, the Commission proposes to require use of the EPA FFV label that contains the vehicle's alternative fuel and gasoline driving range. This proposal would effectively eliminate use of the EPA FFV label that does not disclose driving range.</P>
        <FTNT>
          <P>
            <SU>30</SU>76 FR at 39485.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>31</SU>
            <E T="03">See</E>EPA sample labels at<E T="03">http://www.epa.gov/otaq/carlabel/fealllabels.pdf.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>

            <SU>32</SU>For example, EPA's sample fuel economy label FFV's displays a 390 mile driving range for gasoline and a 270 mile range for E85 operation.<E T="03">See</E>76 FR at 39584 (Figure 5).</P>
        </FTNT>
        <P>The Commission seeks comment on all aspects of this proposal. In particular, comments should indicate whether driving range information on FFV labels is necessary given the few consumers that appear to use alternative fuel in such vehicles. Comments should also address whether the elimination of FFV label that does not disclose driving range would have any negative impacts on consumers' efforts to compare vehicles. The Commission also seeks comment on whether there are any types of AFVs on the market that are not covered by the EPA label, and, if so, whether the Commission should retain its current labeling requirements for such vehicles.</P>
        <HD SOURCE="HD2">B. Labels for Used AFVs</HD>
        <P>
          <E T="03">Background:</E>In the ANPR, the Commission sought comment on whether to change the Rule's labeling requirements for used AFVs.<SU>33</SU>
          <FTREF/>Under<PRTPAGE P="36426"/>the current Rule, used AFV dealers must post labels with general tips and references to government telephone numbers and Web sites that provide additional information.<SU>34</SU>
          <FTREF/>However, these labels do not contain vehicle-specific information, such as cruising range. Because these labels provide limited information and are likely to impose increasing burdens on used car dealers as the AFV market expands, the Commission asked whether it should retain the requirement and, if so, whether to change the label's content.</P>
        <FTNT>
          <P>

            <SU>33</SU>16 CFR 309.21. The Act contains no specific requirement for used AFV labels nor does it specifically exclude used vehicles from its coverage.<E T="03">See</E>42 U.S.C. 13211 and 13232(a). In promulgating the original Rule in 1995, the Commission determined that used AFV labeling<PRTPAGE/>was “appropriate” because Aconsumers would likely have the same need for information, and would consider the same factors, whether they were contemplating a new or used “FV acquisition.” 60 FR at 26941.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>34</SU>The Commission's Used Car Rule (16 CFR Part 455) also requires used car dealers to affix on the vehicle the FTC's Buyers Guide, which contains warranty information about the vehicle.<E T="03">See</E>16 CFR part 455.</P>
        </FTNT>
        <P>
          <E T="03">Comments:</E>Three comments urged the Commission to eliminate the FTC labeling requirement for used vehicles, while two suggested alternative approaches to the existing label. The Alliance, the National Automobile Dealers Association (NADA), and GM recommended elimination because the used vehicle label does not provide consumers with significant benefit and places unnecessary burden on used automobile dealers. NADA also argued that the rule, which does not apply to private used vehicle sellers, poses unfair burdens on dealers who account for only about half of all used vehicle transactions. In lieu of the current label which only provides general tips, these three comments suggested that consumers use<E T="03">www.fueleconomy.gov</E>to locate specific vehicle information.</P>

        <P>Although NADA recommended elimination of the used label altogether, it also suggested alternatively that the Commission insert an AFV disclosure into the FTC's current used vehicle Buyers Guide (16 CFR Part 455). NADA suggested that the FTC used vehicle Buyers Guide could state: “For more information on the fuel economy and fuel type for this vehicle, consult<E T="03">www.fueleconomy.gov.</E>”<SU>35</SU>

          <FTREF/>In addition, EEI, the only comment that supported keeping the used vehicle label, urged the Commission to simplify the requirements by only requiring a link to the<E T="03">www.fueleconomy.gov</E>Web site on the existing label.</P>
        <FTNT>
          <P>
            <SU>35</SU>Use of the FTC's used vehicle Buyers Guide would be consistent with Congress' directive to “consolidate” the AFV information with other labels where appropriate. 42 U.S.C. 13232(a).</P>
        </FTNT>
        <P>
          <E T="03">Discussion:</E>The Commission proposes to eliminate the requirement for a separate AFV label for used vehicles. Unlike in 1995, when the Commission originally issued its Alternative Fuels Rule, consumers can now access detailed used AFV information online at<E T="03">www.fueleconomy.gov,</E>including vehicle-specific fuel economy, energy consumption, and environmental impact data. Given the extensive information at<E T="03">www.fueleconomy.gov,</E>the benefits of a separate used vehicle label that contains only generic tips for consumers seem small compared to the costs of posting such labels. Accordingly, the used label does not appear necessary to “reasonably enable the consumer to make choices and comparisons” as contemplated by the statute.<SU>36</SU>

          <FTREF/>The Commission seeks comment on this proposal, including whether the Commission should consider including a link to<E T="03">www.fueleconomy.gov</E>on the FTC's used vehicle Buyers Guide.</P>
        <FTNT>
          <P>
            <SU>36</SU>42 U.S.C. 13232(a).</P>
        </FTNT>
        <HD SOURCE="HD2">C. Alternative Fuel Labeling</HD>
        <P>The Commission proposes no change to non-liquid alternative fuel requirements because two comments indicated that existing alternative fuel labeling helps consumers and no comment proposed changes.<SU>37</SU>
          <FTREF/>EEI, for example, urged the Commission to retain existing requirements because fuel dispenser labels help ensure consumers choose fuels that match the needs of their vehicle's energy system.<SU>38</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>37</SU>NADA and EEI. No comments opposed existing requirements. NADA suggested that the Commission consider transferring the alternative fuel provisions from 16 CFR Part 309 to Part 306 (<E T="03">i.e.,</E>the Fuel Rating Rule) to create a single rule governing motor vehicle fuel ratings and simplify compliance for the regulated community. Given that the Commission recently completed a review of Part 306, the Commission is not implementing NADA's suggestion at this time. In addition, aside from NADA's comment, the Commission has no evidence that the location of Part 309 has caused significant confusion for industry members. In the future, the Commission may consider consolidating the fuel information from Part 309 into Part 306.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>38</SU>Another comment (Gibbs) listed various benefits provided by alternative fuels but did not specifically address the FTC's labeling requirements.</P>
        </FTNT>
        <HD SOURCE="HD1">III. Paperwork Reduction Act</HD>
        <P>The current Rule contains recordkeeping, disclosure, testing, and reporting requirements that constitute “information collection requirements” as defined by 5 CFR 1320.3(c) under the OMB regulations that implement the Paperwork Reduction Act (PRA).<SU>39</SU>
          <FTREF/>OMB has approved the Rule's existing information collection requirements through April 30, 2013 (OMB Control No. 3084-0094). The proposed amendments would reduce the burdens associated with the Rule by eliminating FTC labeling requirements for vehicles subject to EPA's fuel economy labeling requirements.</P>
        <FTNT>
          <P>
            <SU>39</SU>44 U.S.C. 3501-3521.</P>
        </FTNT>
        <P>In past PRA analyses, FTC staff has estimated the Rule applies to 1,121,153 alternative fuel vehicles, which mostly include flex-fuel vehicles. The staff estimated a two-minute average time to comply with the posting requirements for each of the approximately 1,121,153 new and used AFVs manufactured each year, for a total of 37,371 hours.<SU>40</SU>
          <FTREF/>The staff also estimated that the Rule's vehicle labeling requirements apply to an estimated 1,121,153 new and used AFVs each year at 38 cents (per industry sources) for each label, the annual AFV labeling cost is estimated to be $426,038 ($0.38 × 1,121,153). The Commission believes that the proposed rule would eliminate the Rule's burden for all these vehicles. Accordingly, FTC staff is submitting a related clearance request to OMB to adjust these previously submitted burden totals.</P>
        <FTNT>
          <P>
            <SU>40</SU>75 FR 366, 367 (Jan. 5, 2010); 75 FR 12750, 12751 (Mar. 17, 2010).</P>
        </FTNT>
        <P>The Commission invites comments on: (1) Whether the proposed modifications to the current labeling requirements are necessary and/or will be practically useful; (2) the accuracy of the associated burden estimates; (3) how to improve the quality, utility, and clarity of the labels; and (4) how to minimize further the burden of the collections of information.</P>
        <P>Your responses to the points above additionally should be sent to OMB. If sent by U.S. mail, they should be addressed to Office of Information and Regulatory Affairs, Office of Management and Budget, Attention: Desk Officer for the Federal Trade Commission, New Executive Office Building, Docket Library, Room 10102, 725 17th Street NW., Washington, DC 20503. Comments sent to OMB by U.S. postal mail, however, are subject to delays due to heightened security precautions. Thus, comments should instead be sent by facsimile to (202) 395-5167.</P>
        <HD SOURCE="HD1">IV. Regulatory Flexibility Act</HD>
        <P>The Regulatory Flexibility Act (RFA), 5 U.S.C. 601-612, requires that the Commission provide an Initial Regulatory Flexibility Analysis (IRFA) with a Proposed Rule and a Final Regulatory Flexibility Analysis (FRFA), with the final Rule, if any, unless the Commission certifies that the Rule will not have a significant economic impact on a substantial number of small entities.<SU>41</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>41</SU>5 U.S.C. 603-605.</P>
        </FTNT>

        <P>The Commission does not anticipate that the Proposed Rule will have a<PRTPAGE P="36427"/>significant economic impact on a substantial number of small entities. The Commission recognizes that some affected entities may qualify as small businesses under the relevant thresholds. Because the Proposed Rule would reduce burdens, however, the Commission does not expect that the economic impact of the Rule will be significant.</P>
        <P>Accordingly, this document serves as notice to the Small Business Administration of the FTC's certification of no effect. To ensure the accuracy of this certification, however, the Commission requests comment on whether the Proposed Rule will have a significant impact on a substantial number of small entities, including specific information on the number of entities that would be covered by the Proposed Rule, the number of these companies that are “small entities,” and the average annual burden for each entity. Although the Commission certifies under the RFA that the Rule proposed in this Notice would not, if promulgated, have a significant impact on a substantial number of small entities, the Commission has determined, nonetheless, that it is appropriate to publish an IRFA in order to inquire into the impact of the Proposed Rule on small entities. Therefore, the Commission has prepared the following analysis:</P>
        <HD SOURCE="HD2">A. Description of the Reasons That Action by the Agency Is Being Considered</HD>
        <P>To provide clear disclosures to consumers and reduce labeling burden, the Commission proposes to direct manufacturers to use EPA fuel economy labels in lieu of the existing FTC label.</P>
        <HD SOURCE="HD2">B. Statement of the Objectives of, and Legal Basis for, the Proposed Rule</HD>
        <P>Section 406(a) of EPAct 92 directed the Commission to establish uniform labeling requirements, to the greatest extent practicable, for alternative fuels and AFVs.<SU>42</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>42</SU>42 U.S.C. 13232(a). EPAct 92 did not specify what information should be displayed on these labels. Instead, it provided generally that the Commission's rule must require disclosure of “appropriate,” “useful,” and “timely” cost and benefit information on “simple” labels.</P>
        </FTNT>
        <HD SOURCE="HD2">C. Small Entities to Which the Proposed Rule Will Apply</HD>
        <P>Under the Small Business Size Standards issued by the Small Business Administration, automobile manufacturers qualify as small businesses if they have fewer than 1,000 employees. The Commission estimates that approximately six vehicle manufacturers or commercial importers subject to the Proposed Rule qualify as small businesses. The Commission seeks comment and information with regard to the estimated number and nature of small business entities for which the Proposed Rule would have a significant economic impact.</P>
        <HD SOURCE="HD2">D. Projected Reporting, Recordkeeping, and Other Compliance Requirements</HD>
        <P>The Proposed Rule does not impose any additional reporting, recordkeeping, or compliance requirements. Rather, the Proposed Rule would eliminate FTC labeling requirements for certain vehicles. The classes of small entities affected by the Rule include fuel distributors, vehicle manufacturers, and fuel retailers.</P>
        <HD SOURCE="HD2">E. Duplicative, Overlapping, or Conflicting Federal Rules</HD>
        <P>The Commission has not identified any other federal statutes, rules, or policies that would duplicate, overlap, or conflict with the Proposed Rule. Indeed, the Proposed Rule would harmonize labeling requirements for new AFVs by consolidating the FTC's AFV labels with fuel economy labels required by EPA and NHTSA. The Commission invites comment and information on this issue.</P>
        <HD SOURCE="HD2">F. Significant Alternatives to the Proposed Rule</HD>
        <P>The Commission seeks comment and information on the need, if any, for alternative compliance methods that would reduce the economic impact of the Rule on such small entities. If the comments filed in response to this Notice identify small entities that would be affected by the Rule, as well as alternative methods of compliance that would reduce the economic impact of the Rule on such entities, the Commission will consider the feasibility of such alternatives and determine whether they should be incorporated into the final rule.</P>
        <HD SOURCE="HD1">V. Request for Comment</HD>
        <P>The Commission invites affected industries, consumer organizations, federal and state agencies, and other interested persons to submit written comments on any issue of fact, law, or policy that may bear upon the proposals under consideration. Please include explanations for any answers provided, as well as supporting evidence where appropriate. After examining the comments, the Commission will determine whether to issue specific amendments.</P>

        <P>You can file a comment online or on paper. For the Commission to consider your comment, we must receive it on or before August 17, 2012. Write “Alternative Fuels Labeling (16 CFR Part 309) (Matter No. R311002)” on your comment. Your comment—including your name and your state—will be placed on the public record of this proceeding, including, to the extent practicable, on the public Commission Web site, at<E T="03">http://www.ftc.gov/os/publiccomments.shtm.</E>As a matter of discretion, the Commission tries to remove individuals' home contact information from comments before placing them on the Commission Web site.</P>
        <P>Because your comment will be made public, you are solely responsible for making sure that your comment does not include any sensitive personal information, such as anyone's Social Security number, date of birth, driver's license number or other state identification number or foreign country equivalent, passport number, financial account number, or credit or debit card number. You are also solely responsible for making sure that your comment does not include any sensitive health information, like medical records or other individually identifiable health information. In addition, do not include any “[t]rade secret or any commercial or financial information which is obtained from any person and which is privileged or confidential * * *,” as provided in Section 6(f) of the FTC Act, 15 U.S.C. 46(f), and FTC Rule 4.10(a)(2), 16 CFR 4.10(a)(2). If you want the Commission to give your comment confidential treatment, you must file it in paper form, with a request for confidential treatment, and you have to follow the procedure explained in FTC Rule 4.9(c), 16 CFR 4.9(c).<SU>43</SU>
          <FTREF/>Your comment will be kept confidential only if the FTC General Counsel, in his or her sole discretion, grants your request in accordance with the law and the public interest.</P>
        <FTNT>
          <P>

            <SU>43</SU>In particular, the written request for confidential treatment that accompanies the comment must include the factual and legal basis for the request, and must identify the specific portions of the comment to be withheld from the public record.<E T="03">See</E>FTC Rule 4.9(c), 16 CFR 4.9(c).</P>
        </FTNT>

        <P>Postal mail addressed to the Commission is subject to delay due to heightened security screening. As a result, we encourage you to submit your comments online, or to send them to the Commission by courier or overnight service. To make sure that the Commission considers your online comment, you must file it at<E T="03">https://ftcpublic.commentworks.com/ftc/altfuelslabelingnprm</E>by following the instructions on the web-based form. If this Notice appears at<E T="03">http://<PRTPAGE P="36428"/>www.regulations.gov/#!home,</E>you also may file a comment through that Web site.</P>
        <P>If you file your comment on paper, write “Proposed Amendments to the Alternative Fuels Rule, (16 CFR part 309) (Matter No. R311002)” on your comment and on the envelope, and mail or deliver it to the following address: Federal Trade Commission, Office of the Secretary, Room H-113 (Annex N), 600 Pennsylvania Avenue NW., Washington, DC 20580. If possible, submit your paper comment to the Commission by courier or overnight service.</P>
        <P>Visit the Commission Web site at<E T="03">http://www.ftc.gov</E>to read this Notice and the news release describing it. The FTC Act and other laws that the Commission administers permit the collection of public comments to consider and use in this proceeding as appropriate. The Commission will consider all timely and responsive public comments that it receives on or before August 17, 2012. You can find more information, including routine uses permitted by the Privacy Act, in the Commission's privacy policy, at<E T="03">http://www.ftc.gov/ftc/privacy.htm.</E>
        </P>
        <HD SOURCE="HD1">VI. Proposed Rule</HD>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 16 CFR Part 309</HD>
          <P>Alternative fuel, Alternative fueled vehicle, Energy conservation, Labeling, Reporting and recordkeeping, Trade practices.</P>
        </LSTSUB>
        
        <P>The Commission proposes to amend 16 CFR part 309 as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 309—LABELING REQUIREMENTS FOR ALTERNATIVE FUELS AND ALTERNATIVE FUELED VEHICLES</HD>
          <P>1. The authority citation for part 309 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 13232(a).</P>
          </AUTH>
          
          <P>2. In § 309.1 add new paragraph (f)(3) to read as follows:</P>
          <SECTION>
            <SECTNO>§ 309.1</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <STARS/>
            <P>(f) * * *</P>
            <P>(3) Any vehicle that is—</P>
            <P>(i) A new qualified fuel cell motor vehicle (as defined in 26 U.S.C. 30B(b)(3));</P>
            <P>(ii) A new advanced lean burn technology motor vehicle (as defined in 26 U.S.C. 30B(c)(3));</P>
            <P>(iii) A new qualified hybrid motor vehicle (as defined in 26 U.S.C. 30B(d)(3)); or</P>
            <P>(iv) Any other type of vehicle that the Administrator of the Environmental Protection Agency demonstrates to the Secretary would achieve a significant reduction in petroleum consumption.</P>
            <STARS/>
            <P>3. In § 309.1, remove paragraphs (dd), (ee), and (ff) and redesignate (gg) as (dd).</P>
            <P>4. Revise § 309.20 to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>309.20</SECTNO>
            <SUBJECT>Labeling requirements for new covered vehicles.</SUBJECT>
            <P>(a) Before offering a new covered vehicle for acquisition to consumers, manufacturers shall affix or cause to be affixed, and new vehicle dealers shall maintain or cause to be maintained, fuel economy labels as required by under 40 CFR part 600. For dual fueled vehicles, such labels must include driving range information for alternative fuel and gasoline operation and be otherwise consistent with provisions in 40 CFR part 600.</P>
            <P>(b) If an aftermarket conversion system is installed on a vehicle by a person other than the manufacturer prior to such vehicle's being acquired by a consumer, the manufacturer shall provide that person with the vehicle's fuel economy label prepared pursuant to 40 CFR part 600 and ensure that new fuel economy vehicle labels are affixed to such vehicles as required by paragraph (a) of this section.</P>
            <P>5. Remove §§ 309.21 and 309.22.</P>
            <P>6. Redesignate § 309.23 as 309.21.</P>
            <P>7. In Appendix A to part 309, remove figures 4, 5, 5.1, and 6.</P>
          </SECTION>
          <SIG>
            <P>By direction of the Commission.</P>
            <NAME>Donald S. Clark,</NAME>
            <TITLE>Secretary.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14828 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6750-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF STATE</AGENCY>
        <CFR>22 CFR Part 120</CFR>
        <RIN>RIN 1400-AD22</RIN>
        <DEPDOC>[Public Notice 7921]</DEPDOC>
        <SUBJECT>Amendment to the International Traffic in Arms Regulations: Definition for “Specially Designed”</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of State.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>As part of the President's Export Control Reform (ECR) Initiative, the Directorate of Defense Trade Controls (DDTC) seeks public comment on the proposed definition of “specially designed” to be adopted in the International Traffic in Arms Regulations (ITAR). This proposed rule is published concurrently with the Department of Commerce's proposed revision to the definition of “specially designed” in the Export Administration Regulations (EAR). The revisions contained in this rule are part of the Department of State's retrospective plan under E.O. 13563 completed on August 17, 2011. The Department of State's full plan can be accessed at<E T="03">http://www.state.gov/documents/organization/181028.pdf.</E>
          </P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>The Department of State will accept comments on this proposed rule until August 3, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Interested parties may submit comments within 45 days of the date of publication by one of the following methods:</P>
          <P>•<E T="03">Email: DDTCResponseTeam@state.gov</E>with the subject line, “Specially Designed Definition.”</P>
          <P>•<E T="03">Internet:</E>At<E T="03">www.regulations.gov,</E>search for this notice by using this notice's RIN (1400-AD22).</P>

          <P>Comments received after that date will be considered if feasible, but consideration cannot be assured. Those submitting comments should not include any personally identifying information they do not desire to be made public or information for which a claim of confidentiality is asserted because those comments and/or transmittal emails will be made available for public inspection and copying after the close of the comment period via the Directorate of Defense Trade Controls Web site at<E T="03">www.pmddtc.state.gov.</E>Parties who wish to comment anonymously may do so by submitting their comments via<E T="03">www.regulations.gov,</E>leaving the fields that would identify the commenter blank and including no identifying information in the comment itself. Comments submitted via<E T="03">www.regulations.gov</E>are immediately available for public inspection.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Candace M. J. Goforth, Director, Office of Defense Trade Controls Policy, U.S. Department of State, telephone (202) 663-2792, or email<E T="03">DDTCResponseTeam@state.gov.</E>ATTN: Specially Designed Definition.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The Directorate of Defense Trade Controls (DDTC), U.S. Department of State, administers the International Traffic in Arms Regulations (ITAR) (22 CFR parts 120-130). The items subject to the jurisdiction of the ITAR,<E T="03">i.e.,</E>“defense articles,” are identified on the ITAR's U.S. Munitions List (USML) (22 CFR 121.1). With few exceptions, items not subject to the export control jurisdiction of the ITAR are subject to the jurisdiction of the Export Administration Regulations (“EAR,” 15 CFR parts 730-774, which includes the<PRTPAGE P="36429"/>Commerce Control List (CCL) in Supplement No. 1 to Part 774), administered by the Bureau of Industry and Security (BIS), U.S. Department of Commerce. Both the ITAR and the EAR impose license requirements on exports and reexports. Items not subject to the ITAR or to the exclusive licensing jurisdiction of any other set of regulations are subject to the EAR.</P>
        <HD SOURCE="HD1">Export Control Reform Update</HD>

        <P>The Departments of State and Commerce described in their respective Advanced Notices of Proposed Rulemaking (ANPRM) in December 2010 the Administration's plan to make the USML and the CCL positive, tiered, and aligned so that eventually they can be combined into a single control list (<E T="03">see</E>“Commerce Control List: Revising Descriptions of Items and Foreign Availability,” 75 FR 76664 (December 9, 2010) and “Revisions to the United States Munitions List,” 75 FR 76935 (December 10, 2010)). The notices also called for the establishment of a “bright line” between the USML and the CCL to reduce government and industry uncertainty regarding export jurisdiction by clarifying whether particular items are subject to the jurisdiction of the ITAR or the EAR. While these remain the Administration's ultimate Export Control Reform objectives, their concurrent implementation would be problematic in the near term. In order to more quickly reach the national security objectives of greater interoperability with U.S. allies, enhancing the defense industrial base, and permitting the U.S. Government to focus its resources on controlling and monitoring the export and reexport of more significant items to destinations, end-uses, and end-users of greater concern than NATO allies and other multi-regime partners, the Administration has decided, as an interim step, to propose and implement revisions to both the USML and the CCL that are more positive, but not yet tiered.</P>
        <P>Specifically, based in part on a review of the comments received in response to the December 2010 notices, the Administration has determined that fundamentally altering the structure of the USML by tiering and aligning it on a category-by-category basis would significantly disrupt the export control compliance systems and procedures of exporters and reexporters. For example, until the entire USML was revised and became final, some USML categories would follow the legacy numbering and control structures while the newly revised categories would follow a completely different numbering structure. In order to allow for the national security benefits to flow from re-aligning the jurisdictional status of defense articles that no longer warrant control on the USML on a category-by-category basis while minimizing the impact on exporters' internal control and jurisdictional and classification marking systems, the Administration plans to proceed with building positive lists now and afterward return to structural changes.</P>
        <HD SOURCE="HD1">Definition for “Specially Designed”</HD>
        <P>Although one of the goals of the ECR Initiative is to describe USML controls without using design intent criteria, a few of the controls in the proposed revision nonetheless use the term “specially designed.” It is, therefore, necessary for the Department to define the term. Two proposed definitions have been published to date.</P>

        <P>The Department first provided a draft definition for “specially designed” in the December 2010 ANPRM (75 FR 76935) and noted the term would be used minimally in the USML, and then only to remain consistent with the Wassenaar Arrangement or other multilateral regime obligations or when no other reasonable option exists to describe the control without using the term. The definition provided at that time is as follows: “For the purposes of this Subchapter, the term `specially designed' means that the end-item, equipment, accessory, attachment, system, component, or part (<E T="03">see</E>ITAR § 121.8) has properties that (i) distinguish it for certain predetermined purposes, (ii) are directly related to the functioning of a defense article, and (iii) are used exclusively or predominantly in or with a defense article identified on the USML.”</P>

        <P>The Department of Commerce subsequently published on July 15, 2011, for public comment, (<E T="03">see</E>“Proposed Revisions to the Export Administration Regulations (EAR): Control of Items the President Determines No Longer Warrant Control under the United States Munitions List (USML),” 76 FR 41958), the Administration's proposed definition of “specially designed” that would be common to the CCL and the USML. The public provided more than 40 comments on that proposed definition on or before the September 13, 2011, submission deadline. The Departments of State, Commerce, and Defense have reviewed those comments and related issues. The Department of State's Defense Trade Advisory Group and the Department of Commerce's Technical Advisory Committees participated in the review. The revised definition provided in this proposed rule is, but for a few modifications, identical to the definition published separately by the Department of Commerce (<E T="03">see</E>elsewhere in this issue of the<E T="04">Federal Register</E>). The overall goal of the definition is to differentiate between those articles “enumerated” on the USML and those articles not enumerated but captured in “catch-all” paragraphs.</P>
        <P>The July 15 rule referenced above identified nine objectives for the revised “specially designed” definition. These objectives have not changed and the U.S. Government is committed to adopting a “specially designed” definition under the ITAR and EAR that would achieve these nine objectives. The nine objectives are to:</P>
        <P>(1) Preclude multiple or overlapping controls of similar items within and across the two control lists;</P>

        <P>(2) Be easily understood and applied by exporters, prosecutors, juries, and the U.S. Government—<E T="03">e.g.,</E>by using objective, knowable, and clear requirements that do not rely upon a need to investigate and divine the intentions of the original designer of a part or the predominant market applications for such items;</P>
        <P>(3) Be consistent with definitions used by the international export control regimes;</P>
        <P>(4) Not include any item specifically enumerated on either the USML or the CCL and, in order to avoid a definitional loop, do not use “specially designed” as a control criterion;</P>
        <P>(5) Be capable of excluding from control simple or multi-use parts such as springs, bolts, and rivets, and other types of items the U.S. Government determines do not warrant significant export controls;</P>

        <P>(6) Apply to both descriptions of end items that are “specially designed” to have particular characteristics<E T="03">and</E>to parts and components that were “specially designed” for particular end items;</P>
        <P>(7) Apply to materials and software because they are “specially designed” to have a particular characteristic or for a particular type of end item;</P>

        <P>(8) Not increase the current control level to “600 series” control or other higher end controls of items (<E T="03">i.e.,</E>not moving items currently subject to a lower control status to a higher level control status), particularly current EAR99 items, that are now controlled at lower levels;<E T="03">and</E>
        </P>
        <P>(9) Not, merely as a result of the definition, cause historically EAR controlled items to become ITAR controlled.</P>

        <P>The revised “specially designed” definition provided in this notice<PRTPAGE P="36430"/>proposes a simplified two paragraph structure. Paragraph (a) is to identify what commodities, as a result of development, are “specially designed,” and paragraph (b) is to identify what parts, components, accessories, and attachments are excluded from “specially designed.”</P>
        <P>Paragraph (a) begins with the phrase, “Except for commodities described in (b), a commodity is `specially designed' if, as a result of development, it [is within the scope of any one of three subparagraphs discussed below].” It is the beginning of the “catch” in the “catch and release” structure of the definition. For U.S. Munitions List paragraphs containing the term “specially designed,” a defense article is “caught”—it is “specially designed”—if any of the three elements of paragraph (a) apply and none of the elements of paragraph (b) apply.</P>
        <P>Paragraph (a) is limited by the phrase, “if, as a result of development.” The definition would also include a note to paragraph (b)(3) that contains the following definition of development for purposes of the proposed “specially designed” definition: “`Development' is related to all stages prior to serial production, such as: design, design research, design analyses, design concepts, assembly and testing of prototypes, pilot production schemes, design data, process of transforming design data into a product, configuration design, integration design, layouts.” Thus, a defense article is caught by the threshold requirement of paragraph (a) only if someone is engaged in any of these “development” activities with respect to the article at issue. Three questions one may ask to determine if a defense article is within the scope of paragraph (a) are as follows: (1) Does the commodity, as a result of development, have properties peculiarly responsible for achieving or exceeding the controlled performance levels, characteristics, or functions described in the relevant USML paragraph?; (2) Is the part or component, as a result of development, necessary for an enumerated defense article to function as designed?; and (3) Is the accessory or attachment, as a result of development, used with an enumerated defense article to enhance its usefulness or effectiveness? If the answer to all three questions is “no,” then the commodity is not “specially designed” and further analysis pursuant to paragraph (b) is not necessary. If the answer to any one of the questions is “yes,” then the exporter or reexporter must determine whether any one of the five parts of paragraph (b) of the definition applies. If any one of the five paragraph (b) exclusions apply, then the commodity is not “specially designed.” If none do, then the commodity is “specially designed.”</P>
        <P>Paragraph (a)(1) would capture a commodity if it, as a result of “development,” “has properties peculiarly responsible for achieving or exceeding the controlled performance levels, characteristics, or functions described in the relevant U.S. Munitions List paragraph.” This criterion is essentially the same as was proposed in the July 15 proposed definition. Based on the comments, the public found this part of the definition clear. As an example, even if a commodity is capable of use with a controlled defense article, it is not captured by this part of paragraph (a) unless someone did something during the commodity's development so that it would achieve or exceed the performance levels, characteristics, or functions described in a referenced USML paragraph.</P>
        <P>Paragraph (a)(2) would capture a part or component if it, as a result of “development,” “is necessary for an enumerated defense article to function as designed.” The Department realizes that this element is similar to paragraph (a)(1), but believes that it needs to be listed separately because not all descriptions of parts and components on the USML include performance levels, characteristics, or functions as a basis for control. Paragraph (a)(2) thus will capture parts and components that are necessary for another article on the USML to function “as designed.” If an article will function “as designed” without the part or component at issue, then that part or component is not captured by paragraph (a)(2).</P>
        <P>Paragraph (a)(3) would capture an accessory or attachment if it, as a result of “development,” “is used with an enumerated defense article to enhance its usefulness or effectiveness.” This phrase is from the ITAR's current and the EAR's proposed definitions of “accessory,” “attachment,” and “equipment.”</P>

        <P>The July 15 proposed “specially designed” definition included two exclusion paragraphs (paragraphs (c) and (d)) that identified what items would not be “specially designed.” Many commenting parties requested the July 15 definition be simplified and shortened, including the exclusion paragraphs. The Department has addressed these concerns by adopting a simplified structure for the exclusion paragraph (b) included in this proposed rule. Specifically, any part, component, accessory, or attachment that is described in an exclusion paragraph under (b)(1), (b)(2), (b)(3), (b)(4), or (b)(5), would<E T="03">not</E>be controlled by a USML “catch-all” paragraph.</P>
        <P>These five exclusions under paragraph (b) would play an important role in this proposed “specially designed” definition. Paragraphs (a)(2) and (a)(3) are broad enough to capture all the defense articles that would be potentially “specially designed,” but in practice would capture a larger set of parts, components, accessories, and attachments than is intended. Paragraph (b) would work to release from inclusion under “specially designed” specific and non-specific parts, components, accessories, and attachments, consistent with existing U.S. export control and international commitments. The exclusions under paragraph (b) as proposed in this rule would refine the set of parts, components, accessories, and attachments that would be subject to the “catch-all” controls on the USML. In this way, paragraphs (a) and (b) are inextricably linked and are intended to work together to identify the parts, components, accessories, and attachments that need to be treated as “specially designed” for purposes of the “catch-all” provisions on the USML.</P>
        <P>Paragraph (b) codifies the principle in ITAR § 120.3 that, in general, a commodity should not be ITAR controlled if has a predominant civil application or has performance equivalent (defined by form, fit, and function) to a commodity used for civil applications. If such a commodity warrants control under the ITAR because it provides the United States with a critical military or intelligence advantage or for another reason, then it is or should be enumerated on the USML, as described in the “bright line,” “positive list” objectives in the December 2010 ANPRM (75 FR 76935).</P>

        <P>An example of an article that would not be “specially designed” as a result of proposed paragraph (b)(4) is one that was or is being developed to be interchangeable between an aircraft enumerated in USML Category VIII<E T="03">and</E>also an aircraft controlled by ECCN 9A610.a. Such a conclusion for a particular article does not necessarily mean that the article is not subject to export controls. The article may, for example, be enumerated on the USML and, thus, ITAR controlled. In addition, if it is not enumerated on the USML, it might fall with the scope of the controls at ECCN 9A610.x. The jurisdiction of an article must be determined on a case-by-case basis. Proposed paragraph (b)(4) merely states that such an article would not be within the scope of a “catch-all” paragraph of the USML in light of its<PRTPAGE P="36431"/>commonality with non-ITAR controlled articles.</P>

        <P>Paragraph (a) would create more objective tests for what defense articles, as a result of development, would be “specially designed” based on the criteria identified in (a)(1), (a)(2),<E T="03">or</E>(a)(3). Paragraph (b) would create more objective tests for what parts, components, accessories, and attachments are excluded from “specially designed” under the exclusion criteria identified in (b)(1), (b)(2), (b)(3)<E T="03">,</E>(b)(4)<E T="03">or</E>(b)(5). The objective criteria identified in paragraph (a) working with the objective exclusion criteria identified in paragraph (b) would allow this proposed “specially designed” definition to achieve the nine stated objectives identified above for the definition.</P>
        <HD SOURCE="HD1">Request for Comments</HD>
        <P>As the U.S. Government works through the proposed revisions to the USML, some solutions have been adopted that were determined to be the best of available options. With the thought that multiple perspectives would be beneficial to the USML revision process, the Department welcomes the assistance of users of the lists and requests input on the following:</P>
        <P>(1) The key goal of this rulemaking is to establish a definition of “specially designed” that provides a “bright line” between the commodities controlled by the USML and the CCL. The public is asked to provide comment on the clarity and understanding of the proposed definition.</P>
        <P>(2) The key goal of this rulemaking is to establish a definition of “specially designed” that is applicable to all USML categories. The public is asked to provide comments on the use of “specially designed” in proposed rules for USML revision where the comment period has already closed, as well those proposed rules with open comment periods.</P>
        <HD SOURCE="HD1">Regulatory Analysis and Notices</HD>
        <HD SOURCE="HD2">Administrative Procedure Act</HD>
        <P>The Department of State is of the opinion that controlling the import and export of defense articles and services is a foreign affairs function of the United States Government and that rules implementing this function are exempt from sections 553 (Rulemaking) and 554 (Adjudications) of the Administrative Procedure Act (APA). Although the Department is of the opinion that this rule is exempt from the rulemaking provisions of the APA, the Department is publishing this rule with a 45-day provision for public comment and without prejudice to its determination that controlling the import and export of defense services is a foreign affairs function. As noted above, and also without prejudice to the Department position that this proposed rulemaking is not subject to the APA, the Department previously published a related Advance Notice of Proposed Rulemaking (RIN 1400-AC78) on December 10, 2010 (75 FR 76935), and accepted comments for 60 days.</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act</HD>
        <P>Since the Department is of the opinion that this proposed rule is exempt from the rulemaking provisions of 5 U.S.C. 553, it does not require analysis under the Regulatory Flexibility Act.</P>
        <HD SOURCE="HD2">Unfunded Mandates Reform Act of 1995</HD>
        <P>This proposed amendment does not involve a mandate that will result in the expenditure by State, local, and tribal governments, in the aggregate, or by the private sector, of $100 million or more in any year and it will not significantly or uniquely affect small governments. Therefore, no actions were deemed necessary under the provisions of the Unfunded Mandates Reform Act of 1995.</P>
        <HD SOURCE="HD2">Small Business Regulatory Enforcement Fairness Act of 1996</HD>
        <P>This proposed amendment has been found not to be a major rule within the meaning of the Small Business Regulatory Enforcement Fairness Act of 1996.</P>
        <HD SOURCE="HD2">Executive Orders 12372 and 13132</HD>
        <P>This proposed amendment will 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. Therefore, in accordance with Executive Order 13132, it is determined that this proposed amendment does not have sufficient federalism implications to require consultations or warrant the preparation of a federalism summary impact statement. The regulations implementing Executive Order 12372 regarding intergovernmental consultation on Federal programs and activities do not apply to this proposed amendment.</P>
        <HD SOURCE="HD2">Executive Orders 12866 and 13563</HD>
        <P>Executive Orders 13563 and 12866 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, distributed 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. This 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 (OMB).</P>
        <HD SOURCE="HD2">Executive Order 12988</HD>
        <P>The Department of State has reviewed the proposed amendment in light of sections 3(a) and 3(b)(2) of Executive Order 12988 to eliminate ambiguity, minimize litigation, establish clear legal standards, and reduce burden.</P>
        <HD SOURCE="HD2">Executive Order 13175</HD>
        <P>The Department of State has determined that this rulemaking will not have tribal implications, will not impose substantial direct compliance costs on Indian tribal governments, and will not preempt tribal law. Accordingly, Executive Order 13175 does not apply to this rulemaking.</P>
        <HD SOURCE="HD2">Paperwork Reduction Act</HD>

        <P>Notwithstanding any other provision of law, no person is required to respond to, nor is subject to a penalty for failure to comply with, a collection of information, subject to the requirements of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>) (PRA), unless that collection of information displays a currently valid OMB control number. This proposed rule would affect the following approved collections: (1) Statement of Registration, DS-2032, OMB No. 1405-0002; (2) Application/License for Permanent Export of Unclassified Defense Articles and Related Unclassified Technical Data, DSP-5, OMB No. 1405-0003; (3) Application/License for Temporary Import of Unclassified Defense Articles, DSP-61, OMB No. 1405-0013; (4) Nontransfer and Use Certificate, DSP-83, OMB No. 1405-0021; (5) Application/License for Permanent/Temporary Export or Temporary Import of Classified Defense Articles and Classified Technical Data, DSP-85, OMB No. 1405-0022; (6) Application/License for Temporary Export of Unclassified Defense Articles, DSP-73, OMB No. 1405-0023; (7) Statement of Political Contributions, Fees, or Commissions in Connection with the Sale of Defense Articles or Services,<PRTPAGE P="36432"/>OMB No. 1405-0025; (8) Authority to Export Defense Articles and Services Sold Under the Foreign Military Sales (FMS) Program, DSP-94, OMB No. 1405-0051; (9) Application for Amendment to License for Export or Import of Classified or Unclassified Defense Articles and Related Technical Data, DSP-6, -62, -74, -119, OMB No. 1405-0092; (10) Request for Approval of Manufacturing License Agreements, Technical Assistance Agreements, and Other Agreements, DSP-5, OMB No. 1405-0093; (11) Maintenance of Records by Registrants, OMB No. 1405-0111; (12) Annual Brokering Report, DS-4142, OMB No. 1405-0141; (13) Brokering Prior Approval (License), DS-4143, OMB No. 1405-0142; (14) Projected Sale of Major Weapons in Support of Section 25(a)(1) of the Arms Export Control Act, DS-4048, OMB No. 1405-0156; (15) Export Declaration of Defense Technical Data or Services, DS-4071, OMB No. 1405-0157; (16) Request for Commodity Jurisdiction Determination, DS-4076, OMB No. 1405-0163; (17) Request to Change End-User, End-Use, and/or Destination of Hardware, DS-6004, OMB No. 1405-0173; (18) Request for Advisory Opinion, DS-6001, OMB No. 1405-0174; (19) Voluntary Disclosure, OMB No. 1405-0179; and (20) Technology Security/Clearance Plans, Screening Records, and Non-Disclosure Agreements Pursuant to 22 CFR 126.18, OMB No. 1405-0195. The Department of State believes there will be minimal changes to these collections. The Department of State believes the combined effect of all rules to be published moving commodities from the USML to the EAR as part of the Administration's Export Control Reform would decrease the number of license applications by approximately 30,000 annually. The Department of State is looking for comments on the potential reduction in burden.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 22 CFR Part 120</HD>
          <P>Arms and munitions, Exports.</P>
        </LSTSUB>
        
        <P>Accordingly, for the reasons set forth above, Title 22, Chapter I, Subchapter M, part 120 is proposed to be amended as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 120—PURPOSE AND DEFINITIONS</HD>
          <P>1. The authority citation for part 120 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Sections 2, 38, and 71, Pub. L. 90-629, 90 Stat. 744 (22 U.S.C. 2752, 2778, 2797); 22 U.S.C. 2794; E.O. 11958, 42 FR 4311, E.O. 13284, 68 CFR 4075, 3 CFR, 1977 Comp. p. 79; 22 U.S.C. 2658; Pub. L. 105-261, 112 Stat. 1920.</P>
          </AUTH>
          
          <P>2. Add § 120.41 to read as follows:</P>
          <SECTION>
            <SECTNO>§ 120.41</SECTNO>
            <SUBJECT>Specially designed.</SUBJECT>

            <P>When applying this definition, follow this sequential analysis: Begin with paragraph (a)(1) of this section and proceed through each subsequent paragraph. If a commodity would not be controlled as a result of the application of the standards in paragraph (a) of this section, then it is not necessary to work through paragraph (b) of this section. If a commodity would be controlled as a result of paragraph (a), then it is necessary to work through each of the elements of paragraph (b). Commodities described in any of paragraphs (b)(1) through (5) of this section are not “specially designed” commodities controlled on the U.S. Munitions List but may be subject to the jurisdiction of another U.S. Government regulatory agency (<E T="03">see</E>§ 120.5 of this subchapter).</P>
            <P>(a) Except for commodities described in (b) of this section, a commodity is “specially designed” if, as a result of development, it:</P>
            <P>(1) Has properties peculiarly responsible for achieving or exceeding the controlled performance levels, characteristics, or functions described in the relevant U.S. Munitions List paragraph;</P>
            <P>(2) Is a part (<E T="03">see</E>§ 121.8(d) of this subchapter) or component (<E T="03">see</E>§ 121.8(b) of this subchapter) necessary for an enumerated defense article to function as designed; or</P>
            <P>(3) Is an accessory or attachment (<E T="03">see</E>§ 121.8(c) of this subchapter) used with an enumerated defense article to enhance its usefulness or effectiveness.</P>
            <P>(b) A part, component, accessory, or attachment is not controlled by a U.S. Munitions List “catch-all” paragraph if it:</P>
            <P>(1) Is enumerated in a U.S. Munitions List paragraph;</P>

            <P>(2) Is a single unassembled part that is of a type commonly used in multiple types of commodities not enumerated on the U.S. Munitions List or the Commerce Control List, such as threaded fasteners (<E T="03">e.g.,</E>screws, bolts, nuts, nut plates, studs, inserts), other fasteners (<E T="03">e.g.,</E>clips, rivets, pins), basic hardware (<E T="03">e.g.,</E>washers, spacers, insulators, grommets, bushings, springs), wire, and solder;</P>
            <P>(3) Has the same form, fit, and performance capabilities as a part, component, accessory, or attachment used in or with a commodity that:</P>
            <P>(i) Is or was in production (<E T="03">i.e.,</E>not in development); and</P>
            <P>(ii) Is not enumerated on the U.S. Munitions List;</P>

            <P>(4) Was or is being developed with a reasonable expectation of use in or with defense articles enumerated on the U.S. Munitions List and<E T="03"/>commodities not on the U.S. Munitions List; or</P>
            <P>(5) Was or is being developed with no reasonable expectation of use for a particular application.</P>
            <NOTE>
              <HD SOURCE="HED">Note 1:</HD>
              <P>The term “enumerated” refers to any article which is identified on the U.S. Munitions List or the Commerce Control List.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note 2:</HD>
              <P>The term “commodity” refers to any article, material, or supply, except technology/technical data or software.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (a)(1):</HD>
              <P>An example of a commodity that, as a result of development has properties peculiarly responsible for achieving or exceeding the controlled performance levels, functions, or characteristics in a U.S. Munitions List category would be a swimmer delivery vehicle “specially designed” to dock with a submarine to provide submerged transport for swimmers or divers from submarines.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b):</HD>
              <P>A “catch-all” paragraph is one that does not refer to specific types of parts, components, accessories, or attachments, but rather controls parts, components, accessories, or attachments if they were “specially designed” for an enumerated item. For the purposes of the U.S. Munitions List, a “catch-all” paragraph is delineated by the phrases “and `specially designed' parts and components therefor,” or “parts, components, accessories, attachments, and associated equipment `specially designed' for.”</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note 1 to paragraph (b)(3):</HD>

              <P>For the purposes of this definition, “production” means all production stages, such as product engineering, manufacture, integration, assembly (mounting), inspection, testing, and quality assurance. This includes “serial production” where commodities have passed production readiness testing (<E T="03">i.e.,</E>an approved, standardized design ready for large scale production) and have been or are capable of being produced on an assembly line using the approved, standardized design.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note 2 to paragraph (b)(3):</HD>
              <P>For the purposes of this definition, “development” is related to all stages prior to serial production, such as: Design, design research, design analyses, design concepts, assembly and testing of prototypes, pilot production schemes, design data, process of transforming design data into a product, configuration design, integration design, layouts.</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note 3 to paragraph (b)(3):</HD>
              <P>Commodities in “production” that are subsequently subject to “development” activities, such as those pertaining to quality improvements, cost reductions, or feature enhancements, remain in “production.” However, any new models or versions of such commodities developed from such efforts that change the basic performance or capability of the commodity are in “development” until and unless they enter into “production.”</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraphs (b)(4) and (b)(5):</HD>

              <P>For a defense article not to be “specially designed”<PRTPAGE P="36433"/>on the basis of (b)(4) or (b)(5), documents contemporaneous with its development, in their totality, must establish the elements of paragraph (b)(4)<E T="03">or</E>(b)(5). Such documents may include concept design information, marketing plans, declarations in patent applications, or contracts. Absent such documents, the commodity may not to be excluded from being “specially designed” by either paragraph (b)(4) or (b)(5).</P>
            </NOTE>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b)(5):</HD>
              <P>If you have knowledge that the commodity was or is being developed for a particular application, you may not rely on paragraph (b)(5) to conclude that the commodity was or is not “specially designed.”</P>
            </NOTE>
          </SECTION>
          <SIG>
            <DATED>Dated: June 7, 2012.</DATED>
            <NAME>Rose E. Gottemoeller,</NAME>
            <TITLE>Acting Under Secretary, Arms Control and International Security,  Department of State.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14471 Filed 6-15-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 4710-25-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF THE TREASURY</AGENCY>
        <SUBAGY>Alcohol and Tobacco Tax and Trade Bureau</SUBAGY>
        <CFR>27 CFR Part 9</CFR>
        <DEPDOC>[Docket No. TTB-2012-0005; Notice No. 130]</DEPDOC>
        <RIN>RIN 1513-AB88</RIN>
        <SUBJECT>Proposed Establishment of the Elkton Oregon Viticultural Area</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Alcohol and Tobacco Tax and Trade Bureau, Treasury.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of proposed rulemaking.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Alcohol and Tobacco Tax and Trade Bureau (TTB) proposes to establish the approximately 74,900-acre “Elkton Oregon” viticultural area in Douglas County, Oregon. The proposed viticultural area lies totally within the Umpqua Valley viticultural area and the multi-county Southern Oregon viticultural area. TTB designates viticultural areas to allow vintners to better describe the origin of their wines and to allow consumers to better identify wines they may purchase. TTB invites comments on this proposed addition to its regulations.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before August 20, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Please send your comments on this notice to one of the following addresses:</P>
          <P>•<E T="03">http://www.regulations.gov</E>(via the online comment form for this notice as posted within Docket No. TTB-2012-0005 at “Regulations.gov,” the Federal e-rulemaking portal);</P>
          <P>•<E T="03">U.S. mail:</E>Director, Regulations and Rulings Division, Alcohol and Tobacco Tax and Trade Bureau, P.O. Box 14412, Washington, DC 20044-4412; or</P>
          <P>•<E T="03">Hand delivery/courier in lieu of mail:</E>Alcohol and Tobacco Tax and Trade Bureau, 1310 G Street NW., Suite 200-E, Washington, DC 20005.</P>
          <P>See the Public Participation section of this notice for specific instructions and requirements for submitting comments, and for information on how to request a public hearing.</P>

          <P>You may view copies of this notice, selected supporting materials, and any comments TTB receives about this proposal at<E T="03">http://www.regulations.gov</E>within Docket No. TTB-2012-0005. A link to that docket is posted on the TTB Web site at<E T="03">http://www.ttb.gov/wine/wine_rulemaking.shtml</E>under Notice No. 130. You also may view copies of this notice, all related petitions, maps or other supporting materials, and any comments TTB receives about this proposal by appointment at the TTB Information Resource Center, 1310 G Street NW., Washington, DC 20220. Please call 202-453-2270 to make an appointment.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Karen A. Thornton, Regulations and Rulings Division, Alcohol and Tobacco Tax and Trade Bureau, 1310 G Street NW., Box 12, Washington, DC 20005; telephone 202-453-1039, ext. 175.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background on Viticultural Areas</HD>
        <HD SOURCE="HD2">TTB Authority</HD>
        <P>Section 105(e) of the Federal Alcohol Administration Act (FAA Act), 27 U.S.C. 205(e), authorizes the Secretary of the Treasury to prescribe regulations for the labeling of wine, distilled spirits, and malt beverages. The FAA Act provides that these regulations should, among other things, prohibit consumer deception and the use of misleading statements on labels, and ensure that labels provide the consumer with adequate information as to the identity and quality of the product. The Alcohol and Tobacco Tax and Trade Bureau (TTB) administers the FAA Act pursuant to section 1111(d) of the Homeland Security Act of 2002, codified at 6 U.S.C. 531(d). The Secretary has delegated various authorities through Treasury Department Order 120-01 (Revised), dated January 21, 2003, to the TTB Administrator to perform the functions and duties in the administration and enforcement of this law.</P>
        <P>Part 4 of the TTB regulations (27 CFR part 4) allows the establishment of definitive viticultural areas and the use of their names as appellations of origin on wine labels and in wine advertisements. Part 9 of the TTB regulations (27 CFR part 9) contains the list of approved American viticultural areas.</P>
        <HD SOURCE="HD2">Definition</HD>
        <P>Section 4.25(e)(1)(i) of the TTB regulations (27 CFR 4.25(e)(1)(i)) defines a viticultural area for American wine as a delimited grape-growing region having distinguishing features as described in part 9 of the regulations and a name and a delineated boundary as established in part 9 of the regulations. These designations allow vintners and consumers to attribute a given quality, reputation, or other characteristic of a wine made from grapes grown in an area to its geographic origin. The establishment of viticultural areas allows vintners to describe more accurately the origin of their wines to consumers and helps consumers to identify wines they may purchase. Establishment of a viticultural area is neither an approval nor an endorsement by TTB of the wine produced in that area.</P>
        <HD SOURCE="HD2">Requirements</HD>
        <P>Section 4.25(e)(2) of the TTB regulations outlines the procedure for proposing an American viticultural area and provides that any interested party may petition TTB to establish a grape-growing region as a viticultural area. Section 9.12 of the TTB regulations (27 CFR 9.12) prescribes standards for petitions for the establishment or modification of American viticultural areas. Such petitions must include the following—</P>
        <P>• Evidence that the area within the proposed viticultural area boundary is locally or nationally known by the viticultural area name specified in the petition;</P>
        <P>• An explanation of the basis for defining the boundary of the proposed viticultural area;</P>
        <P>• A narrative description of the features of the proposed viticultural area that affect viticulture, such as climate, geology, soil, physical features, and elevation, that make the proposed viticultural area distinctive and distinguish it from adjacent areas outside the proposed viticultural area boundary;</P>
        <P>• A copy of the appropriate United States Geological Survey (USGS) map(s) showing the location of the proposed viticultural area, with the boundary of the proposed viticultural area clearly drawn thereon; and</P>

        <P>• A detailed narrative description of the proposed viticultural area boundary based on USGS map markings.<PRTPAGE P="36434"/>
        </P>
        <HD SOURCE="HD1">Elkton Oregon Petition</HD>
        <P>TTB received a petition from Michael Landt, on behalf of himself and the owners of seven other Elkton area vineyards, proposing the establishment of the “Elkton Oregon” American viticultural area in Douglas County in southwestern Oregon. The proposed viticultural area encompasses approximately 74,900 acres, with 12 commercially-producing vineyards covering 96.5 acres, according to the petition. The petition also included a map indicating that the vineyards are disbursed throughout the proposed viticultural area.</P>
        <P>The proposed Elkton Oregon viticultural area is located entirely within the larger Umpqua Valley viticultural area (27 CFR 9.89), which, in turn, is located entirely within the Southern Oregon viticultural area (27 CFR 9.179). The proposed viticultural area covers approximately 11 percent of the 689,904-acre Umpqua Valley viticultural area and 0.04 percent of the much larger 1,977,298-acre Southern Oregon viticultural area. The proposed Elkton Oregon viticultural area lies to the northwest of, but does not share any boundary with, the Red Hills Douglas County viticultural area (27 CFR 9.190), which also is entirely within the Umpqua Valley viticultural area, and it is southwest of the Willamette Valley viticultural area (27 CFR 9.90). The petition states that the marine influence from the Pacific Ocean distinguishes the proposed viticultural area from the larger Umpqua Valley.</P>
        <P>TTB notes that the boundaries and name usage of the Umpqua Valley and Southern Oregon viticultural areas would not be affected by the establishment of the proposed Elkton Oregon viticultural area. TTB also notes that, except for its location within the existing Umpqua Valley and Southern Oregon viticultural areas, the proposed viticultural area does not overlap any other existing or proposed viticultural areas. Unless otherwise noted, all information and data contained in the below sections are from the petition for the proposed viticultural area and its supporting exhibits.</P>
        <HD SOURCE="HD2">Name Evidence</HD>

        <P>The proposed Elkton Oregon viticultural area surrounds the small, incorporated town of Elkton, Oregon, which is located at the confluence of Elk Creek and the Umpqua River in northern Douglas County. The town is shown on the USGS topographical “Elkton Oregon” quadrangle map, and it is listed as a populated place in the USGS's Geographical Names Information System (GNIS;<E T="03">http://geonames.usgs.gov/index.html</E>). A search of GNIS shows the name “Elkton” used 11 times for places, sites, or buildings in Oregon, all of which are in Douglas County, with 9 of those names appearing on the Elkton quadrangle map and the remaining 2 names appearing on maps of adjoining quadrangles.</P>
        <P>The town of Elkton also is shown on commercially-produced road maps. For example, the American Automobile Association (AAA) map, Oregon Washington State series, published February, 2008, shows the town of Elkton in western Oregon on State Route 38 between Interstate 5 and the Pacific Ocean.</P>
        <P>The City of Elkton Web site (<E T="03">http://www.elkton-oregon.com</E>) lists information about the city and its elected officials. The Elkton School District Web site (<E T="03">http://www.elkton.k12.or.us/</E>) includes information on the Elkton Grade School and Elkton High School. Other places located within the proposed viticultural area include the Elkton Baptist Church, Elkton Christian Church, Elkton Lions Club, Elkton RV Park, Elkton Cash Market, and Elkton Bait and Tackle, according to the Elkton Business Directory Web page (<E T="03">http://www.elkton-oregon.com/businessdirectory</E>).</P>
        <P>According to a search of the GNIS system, the Elkton name is also used for at least 123 towns and sites in 16 States. Given that the name “Elkton” is used for various locations throughout the United States, the petitioners included “Oregon” as part of the proposed viticultural area name to more specifically describe the location of the proposed viticultural area.</P>
        <HD SOURCE="HD2">Boundary Evidence</HD>
        <P>The proposed Elkton Oregon viticultural area is nestled in the northwest portion of the Umpqua Valley viticultural area, which is, in turn, within the larger, multi-county Southern Oregon viticultural area. The northern portion of the boundary line and part of the western portion of the boundary line for the proposed Elkton Oregon viticultural area coincides with portions of the boundary line for the Umpqua Valley and Southern Oregon viticultural areas. The proposed viticultural area does not include the northwestern-most part of the Umpqua and Southern Oregon viticultural areas because of that area's more extreme marine influence, which is inconsistent with the distinguishing features of the proposed viticultural area.</P>
        <P>The northern portion of the boundary line for the proposed Elkton Oregon viticultural area follows the 1,000-foot elevation line that separates the higher, more rugged mountain terrain outside the proposed viticultural area from the lower elevations within the proposed viticultural area that descend to the Umpqua River.</P>
        <P>The proposed eastern portion of the boundary line incorporates 1,000-foot elevation lines, several connecting straight lines between marked points on USGS maps, and a portion of Elk Creek to separate the lower elevated foothills and river bottom within the proposed viticultural area from the higher mountain elevations to the east.</P>
        <P>The proposed southern portion of the boundary line follows a 1,000-foot elevation line and then a straight line to the southwest corner of the proposed viticultural area, separating the lower elevated wide terraces along the Umpqua River from the higher elevated rugged mountain terrain to the south.</P>
        <P>The proposed southwestern and western portions of the boundary line are connected straight lines between marked points on USGS maps that are based on the western extent of viticulture in the Elkton area, separating the proposed viticultural area from heavily timbered and remote areas to the west. The southwestern and western portions of the proposed Elkton Oregon viticultural area boundary line also coincide with the northwest portion of the boundary lines for both the Southern Oregon and Umpqua Valley viticultural areas.</P>
        <HD SOURCE="HD2">Distinguishing Features</HD>
        <P>The distinguishing features of the proposed Elkton Oregon viticultural area include climate and topography.</P>
        <HD SOURCE="HD3">Climate</HD>

        <P>The marine influence from the Pacific Ocean moderates temperatures and creates a unique micro-climate within the proposed Elkton Oregon viticultural area. The proximity to the Pacific Ocean, geographical location along the Umpqua River, and low elevation combine to influence the Elkton area growing season climate. The coastal marine influence brings cooling breezes, fog, and moist air inland from the Pacific coastline along the Umpqua River and into the proposed viticultural area, resulting in a milder and longer growing season with more rainfall than in the surrounding areas. The cooler temperatures make the proposed viticultural area suitable for growing cool climate varieties of grapes, such as pinot noir, that do not grow and mature as reliably in the warmer climates of the region farther to the south within the<PRTPAGE P="36435"/>Umpqua Valley and Southern Oregon viticultural areas.</P>
        <P>Climate data from within the proposed Elkton Oregon viticultural area and from areas to the east and south was obtained from the Western Regional Climate Center (WRCC) Web site, which collects data from various federal, state, and local agencies. All data is from the 1971-2000 climate normals for each station and is summarized in the table below. The five weather stations from which the data was collected are located in Elkton and in Drain, Riddle, Roseburg, and Winchester, four communities within the larger Umpqua Valley and Southern Oregon viticultural areas.<SU>1</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>Due to the lack of weather stations in the areas to the west and north of the proposed Elkton Oregon viticultural area, data was not available for those areas.</P>
        </FTNT>
        <GPOTABLE CDEF="s50,r50,r50,14,14,14" COLS="6" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Location<LI>(direction from the proposed viticultural area)</LI>
            </CHED>
            <CHED H="1">Median date of last spring frost</CHED>
            <CHED H="1">Median date of first fall frost</CHED>
            <CHED H="1">Frost-free period<LI>(days)</LI>
            </CHED>
            <CHED H="1">Average growing degree day units<LI>(Winkler)<SU>2</SU>
              </LI>
            </CHED>
            <CHED H="1">Average annual precipitation<LI>(inches)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Elkton</ENT>
            <ENT>April 2</ENT>
            <ENT>November 9</ENT>
            <ENT>220</ENT>
            <ENT>2,346</ENT>
            <ENT>52.5</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Drain (East)</ENT>
            <ENT>April 24</ENT>
            <ENT>October 26</ENT>
            <ENT>193</ENT>
            <ENT>2,268</ENT>
            <ENT>47.9</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Riddle (South)</ENT>
            <ENT>April 22</ENT>
            <ENT>October 31</ENT>
            <ENT>191</ENT>
            <ENT>2,436</ENT>
            <ENT>31.6</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Roseburg (South)</ENT>
            <ENT>April 7</ENT>
            <ENT>November 8</ENT>
            <ENT>215</ENT>
            <ENT>2,683</ENT>
            <ENT>33.7</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Winchester (South)</ENT>
            <ENT>March 28</ENT>
            <ENT>November 5</ENT>
            <ENT>222</ENT>
            <ENT>2,426</ENT>
            <ENT>35.7</ENT>
          </ROW>
        </GPOTABLE>
        <P>The table<FTREF/>shows that the climates of the areas to the east and south differ from the climate within the Elkton Oregon proposed viticultural area. The community to the east of the proposed viticultural area (Drain) receives less precipitation and has cooler temperatures, as shown by the shorter frost-free period and fewer growing degree day (GDD) units. Drain also has a shorter growing season than the proposed viticultural area, as indicated by a later date of last spring frost and earlier date of first fall frost.</P>
        <FTNT>
          <P>

            <SU>2</SU>In the Winkler climatic classification system, annual heat accumulation during the growing season, measured in annual GDD, defines climatic regions. One GDD accumulates for each degree Fahrenheit that a day's mean temperature is above 50 degrees, the minimum temperature required for grapevine growth (“General Viticulture,” by Albert J. Winkler, University of California Press, 1974, pages 61-64). Climatic region I has less than 2,500 GDD units per year; region II, 2,501 to 3,000; region III, 3,001 to 3,500; region IV, 3,501 to 4,000; and region V, 4,001 or more (<E T="03">ibid.</E>).</P>
        </FTNT>
        <P>The communities located in the region to the south of the proposed viticultural area (Riddle, Roseburg, and Winchester) are generally warmer and drier than the proposed viticultural area. The three communities all receive significantly less precipitation, with annual totals of between 31 and 35 inches. All three communities also have higher totals of GDD units, indicating a warmer climate than within the proposed viticultural area. The warmer temperatures allow grapes to ripen earlier and harvest to take place in September, whereas grapes within the cooler proposed viticultural area are frequently not ripe enough to harvest until October, according to the petitioner.</P>
        <P>The petitioner attributes the cooler climate of the proposed Elkton Oregon viticultural area to its proximity to the Pacific Ocean. During the summer, frequent breezes travel inland from the Pacific Ocean along the Umpqua River and into the proposed viticultural area. The breezes begin in the late afternoon and contribute to lower nighttime temperatures. To offset the cooling effect of the breezes and ensure the greatest chance for grapes to ripen fully, most vineyards within the proposed viticultural area are planted at lower elevations, where temperatures are warmer than on the higher slopes. The cool nighttime temperatures resulting from the breezes also promote morning fog. Because the fog persists until late morning, vineyards do not receive much sunlight until the afternoon. As a result, vineyards within the proposed viticultural area are commonly planted on the west side of slopes, where they can benefit most from the afternoon sun. The cool, moist air from the Pacific diminishes as it travels south along the Umpqua River, resulting in little fog and few cool breezes reaching the communities south of the proposed viticultural area.</P>

        <P>The marine influence of the Pacific Ocean also contributes to the high precipitation levels within the proposed viticultural area. Moist air traveling east from the Pacific Ocean is blocked by the mountains to the west of the proposed viticultural area and the Umpqua Valley and Southern Oregon viticultural areas and only enters these areas through gaps in the mountains created by creeks and rivers, particularly the Umpqua River. The proposed viticultural area receives more of this moist air than other regions within the larger Umpqua Valley viticultural area because the Pacific air diminishes the farther it travels from the ocean and has less moisture by the time it reaches the communities farther upstream. The amount of annual rainfall within the proposed viticultural area makes irrigation unnecessary, unlike in the areas farther to the east and south within the Umpqua Valley (“Explore Wine Regions in Oregon: Umpqua Valley,” from the Oregon Wine Board Web site,<E T="03">www.oregonwine.org</E>).</P>
        <HD SOURCE="HD3">Topography</HD>
        <P>TTB notes that the proposed Elkton Oregon viticultural area can be described as a steep-sided basin, consisting of low-lying, relatively flat river bottom lands that quickly rise to steep slopes. The Umpqua River enters from the south, through a gap in the mountain range near the town of Kellogg, and exits through a similar gap in the northwest corner of the proposed viticultural area. The terrain of the proposed viticultural area is most notably marked by the broad turns of the Umpqua River. Along these river bends are river terraces and foothills with lower elevations and gentle slopes with grades of 2 to 12 percent, in addition to wide swaths of relatively flat river bottom land. Elk Creek, which is also bordered by river terraces and river bottom land, flows from east to west through the northeastern portion of the proposed viticultural area, joining with the Umpqua River near the town of Elkton.</P>

        <P>The flat river bottom land and gentle river terraces of the Umpqua River and Elk Creek form the bottom of the basin. Above the river terraces and river bottom lands, the terrain quickly rises to steep, rugged hills with higher elevations, forming the sides of the basin, with the 1,000-foot elevation contour forming the rim. The 1,000-foot elevation contour was chosen to form most of the boundary line for the proposed viticultural area because above 1,000 feet the land becomes too steep and rugged for vineyards. Elevations within the proposed Elkton Oregon viticultural area vary from approximately 122 feet in elevation along the Umpqua River to a peak at the 1,754-foot elevation in the southwestern<PRTPAGE P="36436"/>portion of the proposed viticultural area near Heddin Creek.</P>
        <P>The basin-like shape of the proposed viticultural area, along with the Umpqua River, contributes to the distinctive climate of the proposed viticultural area. Cool, moist air travels east from the Pacific Ocean along the Umpqua River and into the Elkton area, bringing mild growing season temperatures, summer breezes, and rain. The steep slopes to the north, east, and south of the proposed Elkton Oregon viticultural area trap most of the cool air and precipitation within the lower elevations of the basin, preventing much of the marine influence from travelling farther into the Umpqua Valley viticultural area. As a result, the remainder of the Umpqua Valley viticultural area is warmer and drier than the proposed Elkton viticultural area.</P>
        <P>All of the vineyards within the proposed Elkton Oregon viticultural area are located on the gentle river terraces and foothills along the Umpqua River and Elk Creek, at elevations of 140 to 1,000 feet. In discussions with TTB, the petitioner stated that river terraces and foothills are preferable to river bottom lands because the river bottom lands have thick layers of topsoil which allows vines to grow too vigorously, requiring special cultivation techniques in order to create a favorable foliage-to-fruit ratio. The terraces and foothills, by contrast, are less fertile, with a thinner layer of topsoil over gravel. As a result, the vines require less extensive pruning to produce the desired foliage-to-fruit ratio.</P>
        <P>The area to the west of the proposed Elkton Oregon viticultural area is desolate, heavily forested, and rugged. In this region, the Umpqua River is closely bound by the rugged terrain, with little to none of the open river bottom land or gentle river terraces and foothills found within the proposed viticultural area, until the river reaches the ocean, according to USGS maps. Elevations to the west rise to 1,410 feet along ridge lines and dip to 40 feet along the Umpqua River as it flows toward the Pacific Ocean.</P>
        <P>To the north of the proposed viticultural area, the elevation rises rapidly to 1,871 feet at Devil Peak in the region marked on USGS maps as Devils Graveyard. TTB notes that the only lower elevation areas in this area are along the small canyon creeks that feed into the Umpqua River and Elk Creek. However, according to the USGS maps, even these small creeks are closely bound by steep hillsides and lack the gently-sloped river terraces and foothills suitable for viticulture, which are characteristic of the proposed viticultural area.</P>
        <P>Elevations east of the proposed viticultural area range from 200 feet along Elk Creek and Big Tom Folley Creek to the 2,456-foot peak of Yellow Butte. There is very little open land east of the proposed viticultural area until Putnam Valley near the town of Drain, 14 miles from Elkton. Although numerous creeks flow through the region to the east of the proposed viticultural area, they are closely bound by steep hillsides and lack gentle slopes suitable for viticulture.</P>
        <P>To the immediate south of the proposed viticultural area, the Umpqua River flows along a more constricted course, with sharper turns, narrower river bottom lands, and steeper slopes along its banks. Elevations are generally similar to those found within the proposed viticultural area, but the lack of open terrain and gentle slopes, particularly along the Umpqua River, distinguishes this region from the proposed viticultural area. Farther south, near the town of Roseburg (approximately 35 miles away from the proposed viticultural area), the land along the Umpqua River opens and becomes suitable for viticulture. However, in discussions with TTB, the petitioner noted that the majority of vineyards in the southern region of the Umpqua Valley viticultural area are located on river bottom land due to the steeply graded slopes and higher elevations beyond the river bottom land. By comparison, all of the vineyards within the proposed Elkton Oregon viticultural area are planted on the gentle slopes of the river terraces and foothills.</P>
        <HD SOURCE="HD2">Comparisons of the Proposed Elkton Oregon Viticultural Area to the Existing Umpqua Valley and Southern Oregon Viticultural Areas</HD>
        <HD SOURCE="HD3">Umpqua Valley Viticultural Area</HD>

        <P>The Umpqua Valley viticultural area was established by T.D. ATF-170, which published in the<E T="04">Federal Register</E>on March 29, 1984 (49 FR 12246).</P>
        <P>According to T.D. ATF-170, the Umpqua Valley viticultural area is a lowland section of the Umpqua basin bounded on the west and north by the Coast Range, to the south by the Klamath Mountains, and on the east by the Cascade Range. The terrain of the surrounding area is generally steep and rugged. The 1,000-foot elevation line is the basic boundary line and a reliable indicator of suitability for cultivation in the region. Above the 1,000-foot elevation line, the terrain becomes steep and less hospitable to agriculture, and noticeable differences occur in climate, soils, topography, and vegetation.</P>
        <P>The proposed Elkton Oregon viticultural area, similar to the Umpqua Valley viticultural area, also has low elevations with a boundary line that rises to 1,000 feet in elevation to exclude areas without viticultural potential. However, due to its smaller size, the proposed Elkton Oregon viticultural area has a less varied topography that consists primarily of river bottom lands and gently-sloping river terraces at lower elevations than much of the rest of the Umpqua Valley.</P>
        <P>The Umpqua Valley viticultural area has cool winters and warm summers. The Coast Range Mountains to the west block most of the marine influence moving inland from the Pacific Ocean, making this viticultural area warmer and less foggy than the coastal region. The cool marine air that does enter along the Umpqua River diminishes the farther upstream it travels, so that very little reaches the southernmost portion of this viticultural area.</P>
        <P>The Coast Range Mountains also shield the proposed Elkton Oregon viticultural area and make the proposed viticultural area warmer and drier than the region along the Pacific coast. However, because of its downstream location along the Umpqua River, the proposed viticultural area receives more cool breezes and moisture from the Pacific Ocean than areas farther upstream. As a result, the proposed viticultural area has lower temperatures and more fog than locations farther south within the Umpqua Valley viticultural area.</P>
        <P>The Umpqua Valley viticultural area is also described as having high annual rainfall amounts, but also a notable lack of rainfall during the summer months. By contrast, annual rainfall amounts are higher within the proposed Elkton Oregon viticultural area due to moist air from the Pacific Ocean. Rainfall also occurs more frequently during the growing season within the proposed Elkton Oregon viticultural area than in the Umpqua Valley viticultural area, making vineyard irrigation unnecessary.</P>
        <HD SOURCE="HD3">Southern Oregon Viticultural Area</HD>

        <P>The large 1,977,298-acre Southern Oregon viticultural area was established by T.D. TTB-19, which published in the<E T="04">Federal Register</E>on December 8, 2004 (69 FR 70889). The Southern Oregon viticultural area boundary encompasses the established Umpqua Valley and Rogue Valley viticultural areas, as well as the Applegate Valley viticultural area, which is totally within the larger Rogue Valley viticultural area. Between the Rogue Valley and Umpqua Valley<PRTPAGE P="36437"/>viticultural areas is a connecting valley corridor with viticultural potential that is part of the Southern Oregon viticultural area.</P>
        <P>T.D. TTB-19 describes the Southern Oregon viticultural area as a series of high intermountain valleys that share a warm, sunny, arid climate and contain old, complex soils derived from bedrock. To the west, the Coast Range casts a rain shadow on the south and east parts of the Southern Oregon viticultural area that reduces precipitation and buffers the cooling marine air from moving inland to the grape-growing regions. As a result, the Southern Oregon viticultural area has the warmest grape-growing conditions in Oregon and moderated precipitation.</P>
        <P>Vineyards in the Southern Oregon viticultural area are typically situated in high mountain valleys. Vineyard elevations range from below 1,000 feet along the Umpqua River, in the northern portion of the Southern Oregon viticultural area, to 2,000 feet in the Rogue Valley viticultural area at the southern end of the Southern Oregon viticultural area. Both warm and cool wine grape varieties grow successfully in different parts of the Southern Oregon viticultural area.</P>
        <P>The proposed Elkton Oregon viticultural area is one of the high mountain valleys within the Southern Oregon viticultural area. The proposed viticultural area, as with the Umpqua Valley viticultural area in which it would be located, broadly shares some characteristics of the larger Southern Oregon viticultural area, such as vineyards below the 2,000-foot elevation line and lower precipitation and warmer temperatures than the coastal regions to the west. However, the proposed Elkton Oregon viticultural area has a distinctive microclimate due to its proximity to both the Pacific Ocean and the Umpqua River. The marine influence from the ocean brings cooling breezes and moist air up the Umpqua River and into the proposed viticultural area, resulting in high annual precipitation amounts and a mild growing season climate. As a result of the mild climate, the proposed viticultural area produces cooler climate varieties of grapes almost exclusively because they mature more reliably than warmer varieties of grapes.</P>
        <HD SOURCE="HD1">TTB Determination</HD>
        <P>TTB concludes that the petition to establish the 74,900-acre Elkton Oregon viticultural area merits consideration and public comment, as invited in this notice.</P>
        <P>TTB notes that the name “Elkton OR” is an equivalent form of the petitioned-for name “Elkton Oregon.” Although the original petition only proposed the name “Elkton Oregon” in reference to the proposed viticultural area, TTB believes that also allowing the abbreviated “Elkton OR” as an alternative name is appropriate. TTB does not believe allowing the abbreviated form as an alternative viticultural area name would cause consumer confusion. Therefore, the part 9 regulatory text set forth in this proposed rule specifies both “Elkton Oregon” and “Elkton OR” as names for this proposed viticultural area.</P>
        <HD SOURCE="HD2">Boundary Description</HD>
        <P>See the narrative boundary description of the petitioned-for viticultural area in the proposed regulatory text published at the end of this notice.</P>
        <HD SOURCE="HD2">Maps</HD>
        <P>The petitioner provided the required maps, and they are listed below in the proposed regulatory text.</P>
        <HD SOURCE="HD1">Impact on Current Wine Labels</HD>
        <P>Part 4 of the TTB regulations prohibits any reference on a wine label that indicates or implies an origin other than the wine's true place of origin. If TTB establishes this proposed viticultural area, its name, “Elkton Oregon,” and the alternative name “Elkton OR,” will both be recognized as terms of viticultural significance under 27 CFR 4.39(i)(3). The text of the proposed regulation clarifies this point.</P>
        <P>On the other hand, TTB does not believe that any single part of the proposed viticultural area name standing alone, that is, “Elkton” or “Oregon,” would have viticultural significance in relation to this proposed viticultural area. The GNIS shows the name “Elkton” used in reference to 132 locations, including populated places in 16 states, so TTB believes that “Elkton,” standing alone, would not necessarily imply that a wine originated within the proposed viticultural area. Additionally, “Oregon,” standing alone, is locally and nationally known as referring to the State of Oregon, which is already a term of viticultural significance as a state-wide appellation of origin under 27 CFR 4.25(a)(1)(ii), and under 27 CFR 4.39(i)(3), which states that a term has viticultural significance when it is the name of a State. Therefore, the part 9 regulatory text set forth in this proposed rule specifies only “Elkton Oregon” and “Elkton OR” as terms of viticultural significance for purposes of part 4 of the TTB regulations.</P>
        <P>If this proposed regulatory text is adopted as a final rule, wine bottlers using “Elkton Oregon” or “Elkton OR” in a brand name, including a trademark, or in another label reference as to the origin of the wine, would have to ensure that the product is eligible to use the viticultural area's full name or the alternative name of “Elkton OR” as an appellation of origin. The approval of the proposed Elkton Oregon viticultural area would not affect any existing viticultural area, and any bottlers using “Umpqua Valley” or “Southern Oregon” as an appellation of origin or in a brand name for wines made from grapes grown within the Umpqua Valley or Southern Oregon viticultural areas would not be affected by the establishment of this new viticultural area. The establishment of the Elkton Oregon viticultural area would allow vintners to use “Elkton Oregon,” “Elkton OR,” “Umpqua Valley,” and “Southern Oregon” as appellations of origin for wines made from grapes grown within the Elkton Oregon viticultural area if the wines meet the eligibility requirements for the appellation.</P>
        <P>For a wine to be labeled with a viticultural area name or with a brand name that includes a viticultural area name or other term identified as being viticulturally significant in part 9 of the TTB regulations, at least 85 percent of the wine must be derived from grapes grown within the area represented by that name or other term, and the wine must meet the other conditions listed in 27 CFR 4.25(e)(3). If the wine is not eligible for labeling with the viticultural area name or other viticulturally significant term and that name or term appears in the brand name, then the label is not in compliance and the bottler must change the brand name and obtain approval of a new label. Similarly, if the viticultural area name or other viticulturally significant term appears in another reference on the label in a misleading manner, the bottler would have to obtain approval of a new label.</P>
        <P>Different rules apply if a wine has a brand name containing a viticultural area name or other viticulturally significant term that was used as a brand name on a label approved before July 7, 1986. See 27 CFR 4.39(i)(2) for details.</P>
        <HD SOURCE="HD1">Public Participation</HD>
        <HD SOURCE="HD2">Comments Invited</HD>

        <P>TTB invites comments from interested members of the public on whether the agency should establish the proposed Elkton Oregon viticultural area. TTB is interested in receiving comments on the sufficiency and accuracy of the name,<PRTPAGE P="36438"/>boundary, climate, soils, and other required information submitted in support of the petition. Please provide any available specific information in support of your comment. In addition, given the proposed Elkton Oregon viticultural area's location within both the existing Umpqua Valley and Southern Oregon viticultural areas, TTB is interested in comments on whether the evidence submitted in the petition regarding the distinguishing features of the proposed viticultural area sufficiently differentiates it from the existing Umpqua Valley and Southern Oregon viticultural areas. TTB is also interested in comments on whether the geographic features of the proposed viticultural area are so distinguishable from the surrounding Umpqua Valley and Southern Oregon viticultural areas that the proposed Elkton Oregon viticultural area should no longer be part of those viticultural areas. Please provide any available specific information in support of your comments.</P>
        <P>Because of the potential impact of the establishment of the proposed Elkton Oregon viticultural area on wine labels that include the terms “Elkton Oregon” or “Elkton OR” as discussed above under Impact on Current Wine Labels, TTB is also interested in comments regarding whether there will be a conflict between the proposed area name and currently used brand names. If a commenter believes that a conflict will arise, the comment should describe the nature of that conflict, including any anticipated negative economic impact that approval of the proposed viticultural area will have on an existing viticultural enterprise. TTB is also interested in receiving suggestions for ways to avoid conflicts, for example, by adopting a modified or different name for the viticultural area.</P>
        <HD SOURCE="HD2">Submitting Comments</HD>
        <P>You may submit comments on this notice by using one of the following three methods:</P>
        <P>•<E T="03">Federal e-Rulemaking Portal:</E>You may send comments via the online comment form posted with this notice within Docket No. TTB-2012-0005 on “Regulations.gov,” the Federal e-rulemaking portal, at<E T="03">http://www.regulations.gov.</E>A direct link to that docket is available under Notice No. 130 on the TTB Web site at<E T="03">http://www.ttb.gov/wine/wine_rulemaking.shtml.</E>Supplemental files may be attached to comments submitted via Regulations.gov. For complete instructions on how to use Regulations.gov, visit the site and click on the site's “Help” tab.</P>
        <P>•<E T="03">U.S. Mail:</E>You may send comments via postal mail to the Director, Regulations and Rulings Division, Alcohol and Tobacco Tax and Trade Bureau, P.O. Box 14412, Washington, DC 20044-4412.</P>
        <P>•<E T="03">Hand Delivery/Courier:</E>You may hand-carry your comments or have them hand-carried to the Alcohol and Tobacco Tax and Trade Bureau, 1310 G Street NW., Suite 200-E, Washington, DC 20005.</P>
        <P>Please submit your comments by the closing date shown above in this notice. Your comments must reference Notice No. 130 and include your name and mailing address. Your comments also must be made in English, be legible, and be written in language acceptable for public disclosure. TTB does not acknowledge receipt of comments, and considers all comments as originals.</P>

        <P>In your comment, please indicate if you are speaking on your own behalf or on behalf of an association, business, or other entity. If you are speaking on behalf of an entity, your comment must include the entity's name as well as your name and position title. If you comment via<E T="03">http://www.regulations.gov,</E>please also enter the entity's name in the “Organization” blank of the online comment form. If you comment via postal mail or hand delivery/courier, please submit your entity's comment on letterhead.</P>
        <P>You may also write to the Administrator before the comment closing date to ask for a public hearing. The Administrator reserves the right to determine whether to hold a public hearing.</P>
        <HD SOURCE="HD2">Confidentiality</HD>
        <P>All submitted comments and attachments are part of the public record and subject to disclosure. Do not include, attach, or enclose any material in or with your comments that you consider to be confidential or inappropriate for public disclosure.</P>
        <HD SOURCE="HD2">
          <E T="03">Public Disclosure</E>
        </HD>

        <P>On the Federal e-rulemaking portal, Regulations.gov, TTB will post, and you may view, copies of this notice, selected supporting materials, and any online or mailed comments TTB receives about this. A direct link to the Regulations.gov docket containing this notice and the posted comments received on it is available on the TTB Web site at<E T="03">http://www.ttb.gov/wine/wine-rulemaking.shtml</E>under Notice No. 130. You may also reach the docket containing this notice and the posted comments received on it through the Regulations.gov search page at<E T="03">http://www.regulations.gov.</E>For instructions on how to use Regulations.gov, visit the site and click on “User Guide” under “How to Use this Site.”</P>
        <P>All posted comments will display the commenter's name, organization (if any), city, and State, and, in the case of mailed comments, all address information, including email addresses. TTB may omit voluminous attachments or material that TTB considers unsuitable for posting.</P>
        <P>You may view copies of this notice, all related petitions, maps and other supporting materials, and any electronic or mailed comments TTB receives about this proposal by appointment at the TTB Information Resource Center, 1310 G Street NW., Washington, DC 20220. You may also obtain copies at 20 cents per 8.5- x 11-inch page. Contact the information specialist at the above address or by telephone at 202-453-2270 to schedule an appointment or to request copies of comments or other materials.</P>
        <HD SOURCE="HD1">Regulatory Flexibility Act</HD>
        <P>TTB certifies that this proposed regulation, if adopted, would not have a significant economic impact on a substantial number of small entities. The proposed regulation imposes no new reporting, recordkeeping, or other administrative requirement. Any benefit derived from the use of a viticultural area name would be the result of a proprietor's efforts and consumer acceptance of wines from that area. Therefore, no regulatory flexibility analysis is required.</P>
        <HD SOURCE="HD1">Executive Order 12866</HD>
        <P>This proposed rule is not a significant regulatory action as defined by Executive Order 12866. Therefore, it requires no regulatory assessment.</P>
        <HD SOURCE="HD1">Drafting Information</HD>
        <P>Karen A. Thornton of the Regulations and Rulings Division drafted this notice.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 27 CFR Part 9</HD>
          <P>Wine.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Proposed Regulatory Amendment</HD>
        <P>For the reasons discussed in the preamble, TTB proposes to amend title 27, chapter I, part 9, Code of Federal Regulations, as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 9—AMERICAN VITICULTURAL AREAS</HD>
          <P>1. The authority citation for part 9 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>27 U.S.C. 205.</P>
          </AUTH>
          <SUBPART>
            <PRTPAGE P="36439"/>
            <HD SOURCE="HED">Subpart C—Approved American Viticultural Areas</HD>
          </SUBPART>
          <P>2. Subpart C is amended by adding § 9._ to read as follows:</P>
          <SECTION>
            <SECTNO>§ 9._</SECTNO>
            <SUBJECT>Elkton Oregon.</SUBJECT>
            <P>(a)<E T="03">Name.</E>The name of the viticultural area described in this section is “Elkton Oregon”. “Elkton OR” may also be used as the name of the viticultural area described in this section. For purposes of part 4 of this chapter, “Elkton Oregon” and “Elkton OR” are terms of viticultural significance.</P>
            <P>(b)<E T="03">Approved maps.</E>The five United States Geological Survey (USGS) 1:24,000 scale topographic maps used to determine the boundary of the Elkton Oregon viticultural area are titled:</P>
            <P>(1) Kellogg Quadrangle, Oregon-Douglas Co., Provisional Edition 1990;</P>
            <P>(2) Old Blue Quadrangle, Oregon-Douglas Co., Provisional Edition 1990;</P>
            <P>(3) Devils Graveyard Quadrangle, Oregon-Douglas Co., Provisional Edition 1990;</P>
            <P>(4) Elkton Quadrangle, Oregon-Douglas Co., Provisional Edition 1990; and</P>
            <P>(5) Yellow Butte, Oregon-Douglas Co., Provisional Edition 1987.</P>
            <P>(c)<E T="03">Boundary.</E>The Elkton Oregon viticultural area is located in Douglas County, Oregon. The boundary of the Elkton Oregon viticultural area is as described below:</P>
            <P>(1) The beginning point is on the Kellogg map at the intersection of the T23S/T24S and R7W/R8W common lines. From the beginning point, proceed northwest in a straight line, crossing onto the Old Blue map, to the eastern-most intersection of the T22S/T23S and R8W/R9W common lines; then</P>
            <P>(2) Proceed north along the R8W/R9W common line onto the Devils Graveyard map, across the Umpqua River, to the intersection of the R8W/R9W common line with the 1,000-foot elevation line along the western boundary of section 30, T21S/R8W; then</P>
            <P>(3) Proceed generally east along the meandering 1,000-elevation line that crosses over Patterson Creek, Weatherly Creek headwaters, Cedar Creek, and House Creek; continue following the 1,000-foot elevation line onto the Elkton map, back to the Devils Graveyard map, returning to the Elkton map, and then continuing generally east and southeast across Paradise Creek and Little Tom Folley Creek, to the intersection of the 1,000-foot elevation line with an unnamed, improved road in the southeast quadrant of section 4, T22S/R7W; then</P>
            <P>(4) Proceed south-southwest along the unnamed, improved road to the intersection of that road with an unimproved logging road, approximately 1.65 miles due north of the Mile 5 marker on Elk Creek, section 9, T22S/R7W; then</P>
            <P>(5) Proceed southeast in a straight line, passing through the southeast corner of section 9, T22S/R7W, to Elk Creek, section 15, T22S/R7W; then</P>
            <P>(6) Proceed generally southeast (downstream) along Elk Creek to the State Route 38 bridge at BM 172, section 15, T22S/R7W; then</P>
            <P>(7) Proceed south in a straight line to the intersection of the 1,000-foot elevation line and the section 22 south boundary line, T22S/R7W; then</P>
            <P>(8) Proceed generally south, west, and then north along the meandering 1,000-foot elevation line crossing back and forth between the Kellogg map and the Yellow Butte map, returning to the Yellow Butte map to the intersection of the 1,000-foot elevation line with the R7W/R6W common line on Bell Ridge, along the section 1 east boundary line, T23S/R7W; then</P>
            <P>(9) Proceed southeast in a straight line to the intersection of the line with the 1,000-foot elevation line and an unnamed, unimproved road, section 7, T23S/R6W; then</P>
            <P>(10) Proceed south and west along the meandering 1,000-foot elevation, crossing back and forth between the Kellogg and Yellow Butte maps, and finally returning to the Kellogg map, to the intersection of the 1,000-foot elevation line with the T23S/T24S common line along the section 3 north boundary line, T24S/R7W; and then</P>
            <P>(11) Proceed west along the T23S/T24S common line to the beginning point.</P>
          </SECTION>
          <SIG>
            <DATED>Signed: June 11, 2012.</DATED>
            <NAME>John J. Manfreda,</NAME>
            <TITLE>Administrator.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14920 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4810-31-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 165</CFR>
        <DEPDOC>[Docket Number USCG-2012-0441]</DEPDOC>
        <RIN>RIN 1625-AA00</RIN>
        <SUBJECT>Safety Zone; Bullhead City Regatta; Bullhead City, AZ</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of proposed rulemaking.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Coast Guard is proposing a temporary safety zone on the navigable waters of the Colorado River in Bullhead City, Arizona for the Bullhead City Regatta on August 11, 2012. This temporary 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 would be 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>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments and related material must be received by the Coast Guard on or before July 19, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments identified by docket number using any one of the following methods:</P>
          <P>(1)<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>
          </P>
          <P>(2)<E T="03">Fax:</E>202-493-2251.</P>
          <P>(3)<E T="03">Mail or Delivery:</E>Docket Management Facility (M-30), U.S. Department of Transportation, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE., Washington, DC 20590-0001. Deliveries accepted between 9 a.m. and 5 p.m., Monday through Friday, except federal holidays. The telephone number is 202-366-9329.</P>

          <P>See the “Public Participation and Request for Comments” portion of the<E T="02">SUPPLEMENTARY INFORMATION</E>section below for further instructions on submitting comments. To avoid duplication, please use only one of these three methods.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>If you have questions on this rule, call or email Petty Officer Deborah Metzger, Waterways Management, U.S. Coast Guard Sector San Diego; telephone (619) 278-7656, email<E T="03">d11marineeventssd@uscg.mil.</E>If you have questions on viewing or submitting material to 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">Table of Acronyms</HD>
        <EXTRACT>
          <FP SOURCE="FP-1">DHSDepartment of Homeland Security</FP>
          <FP SOURCE="FP-1">FR<E T="04">Federal Register</E>
          </FP>
          <FP SOURCE="FP-1">NPRMNotice of Proposed Rulemaking</FP>
        </EXTRACT>
        <HD SOURCE="HD1">A. Public Participation and Request for Comments</HD>

        <P>We encourage you to participate in this rulemaking by submitting comments and related materials. All comments received will be posted without change to<E T="03">http://www.regulations.gov</E>and will include any personal information you have provided.<PRTPAGE P="36440"/>
        </P>
        <HD SOURCE="HD2">1. Submitting Comments</HD>

        <P>If you submit a comment, please include the docket number for this rulemaking, indicate the specific section of this document to which each comment applies, and provide a reason for each suggestion or recommendation. You may submit your comments and material online at<E T="03">http://www.regulations.gov</E>, or by fax, mail, or hand delivery, but please use only one of these means. If you submit a comment online, it will be considered received by the Coast Guard when you successfully transmit the comment. If you fax, hand deliver, or mail your comment, it will be considered as having been received by the Coast Guard when it is received at the Docket Management Facility. We recommend that you include your name and a mailing address, an email address, or a telephone number in the body of your document so that we can contact you if we have questions regarding your submission.</P>
        <P>To submit your comment online, go to<E T="03">http://www.regulations.gov</E>, type the docket number USCG-2012-0441 in the “SEARCH” box and click “SEARCH.” Click on “Submit a Comment” on the line associated with this rulemaking.</P>
        <P>If you submit your comments by mail or hand delivery, submit them in an unbound format, no larger than 8<FR>1/2</FR>by 11 inches, suitable for copying and electronic filing. If you submit comments by mail and would like to know that they reached the Facility, please enclose a stamped, self-addressed postcard or envelope. We will consider all comments and material received during the comment period and may change the rule based on your comments.</P>
        <HD SOURCE="HD2">2. Viewing Comments and Documents</HD>

        <P>To view comments, as well as documents mentioned in this preamble as being available in the docket, go to<E T="03">http://www.regulations.gov</E>, type the docket number USCG-2012-0441 in the “SEARCH” box and click “SEARCH.” Click on Open Docket Folder on the line associated with this rulemaking. You may also visit the Docket Management Facility in Room W12-140 on the ground floor of the Department of Transportation West Building, 1200 New Jersey Avenue SE., Washington, DC 20590, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
        <HD SOURCE="HD2">3. Privacy Act</HD>

        <P>Anyone can search the electronic form of comments received into any of our dockets by the name of the individual submitting the comment (or signing the comment, if submitted on behalf of an association, business, labor union, etc.). You may review a Privacy Act notice regarding our public dockets in the January 17, 2008, issue of the<E T="04">Federal Register</E>(73 FR 3316).</P>
        <HD SOURCE="HD2">4. Public Meeting</HD>

        <P>We do not plan to hold a public meeting. But you may submit a request for one using one of the methods specified under<E T="02">ADDRESSES</E>. Please explain why you believe a public meeting would be beneficial. If we determine that one would aid this rulemaking, we will hold one at a time and place announced by a later notice in the<E T="04">Federal Register</E>.</P>
        <HD SOURCE="HD1">B. Basis and Purpose</HD>
        <P>The City of Bullhead is sponsoring the Bullhead City Regatta, which is held on the navigable waters of the Colorado River in Bullhead City, AZ. The proposed temporary safety zone is necessary to provide for the safety of the participants, crew, spectators, sponsor vessels, and other vessels and users of the waterway. This event involves people floating down the river on inflatable rafts, inner tubes and floating platforms. The size of vessels used would vary in length from 3 feet to 100 feet. Approximately 30,000 to 40,000 people would be participating in this event. The sponsor would provide 50 patrol and rescue boats to help facilitate the event and ensure public safety.</P>
        <HD SOURCE="HD1">D. Discussion of Proposed Rule</HD>
        <P>The Coast Guard is proposing a temporary safety zone that would be enforced from 6 a.m. to 6 p.m. on August 11, 2012. This safety zone is necessary to provide for the safety of the crews, spectators, participants, and other vessels and users of the waterway. Persons and vessels would be prohibited from entering into, transiting through, or anchoring within this safety zone unless authorized by the Captain of the Port, or his designated representative. The proposed temporary safety zone would include the waters of the Colorado River between Davis Camp and Rotary Park in Bullhead City, AZ. Before the effective period, the Coast Guard will publish a Local Notice to Mariners (LNM).</P>
        <HD SOURCE="HD1">E. Regulatory Analyses</HD>
        <P>We developed this proposed rule after considering numerous statutes and executive orders related to rulemaking. Below we summarize our analyses based on a number of these statutes or executive orders.</P>
        <HD SOURCE="HD2">1. Regulatory Planning and Review</HD>
        <P>This proposed rule is not a significant regulatory action under section 3(f) of Executive Order 12866, Regulatory Planning and Review, as supplemented by Executive Order 13563, Improving Regulation and Regulatory Review, and does not require an assessment of potential costs and benefits under section 6(a)(3) of Executive Order 12866 or under section 1 of Executive Order 13563. The Office of Management and Budget has not reviewed it under those Orders. This determination is based on the size and location of the safety zone. Although the safety zone would apply to the entire width of the river, traffic would be allowed to pass through the zone with the permission of the Captain of the Port. Additionally, before the effective period, the Coast Guard will publish a Local Notice to Mariners (LNM).</P>
        <HD SOURCE="HD2">2. Impact on Small Entities</HD>
        <P>Under the Regulatory Flexibility Act (5 U.S.C. 601-612), we have considered the impact of this proposed rule on small entities. The Coast Guard certifies under 5 U.S.C. 605(b) that this proposed rule will not have a significant economic impact on a substantial number of small entities. This proposed rule will affect the following entities, some of which might be small entities: the owners or operators of vessels intending to transit or anchor in a portion of the waters of the Colorado River between Davis Camp to Rotary Park in Bullhead City, AZ from 6 a.m. to 6 p.m. on August 11, 2012.</P>
        <P>This safety zone will not have a significant economic impact on a substantial number of small entities for the following reasons. Although the safety zone would apply to the entire width of the river, traffic would be allowed to pass through the zone with the permission of the Coast Guard patrol commander. Before the effective period, the Coast Guard will publish a Local Notice to Mariners (LNM).</P>

        <P>If you think that your business, organization, or governmental jurisdiction qualifies as a small entity and that this rule would have a significant economic impact on it, please submit a comment (see<E T="02">ADDRESSES</E>) explaining why you think it qualifies and how and to what degree this rule would economically affect it.</P>
        <HD SOURCE="HD2">3. 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 want to assist small entities in understanding this proposed rule. If the<PRTPAGE P="36441"/>rule would affect your small business, organization, or governmental jurisdiction and you have questions concerning its provisions or options for compliance, please contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>, above. The Coast Guard will not retaliate against small entities that question or complain about this proposed rule or any policy or action of the Coast Guard.</P>
        <HD SOURCE="HD2">4. Collection of Information</HD>
        <P>This proposed rule will not call for a new collection of information under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520).</P>
        <HD SOURCE="HD2">5. Federalism</HD>
        <P>A rule has implications for federalism under Executive Order 13132, Federalism, if it has 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. We have analyzed this proposed rule under that Order and determined that this rule does not have implications for federalism.</P>
        <HD SOURCE="HD2">6. Protest Activities</HD>
        <P>The Coast Guard respects the First Amendment rights of protesters. Protesters are asked to contact the person listed in the “For Further Information Contact” section to coordinate protest activities so that your message can be received without jeopardizing the safety or security of people, places, or vessels.</P>
        <HD SOURCE="HD2">7. 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 (adjusted for inflation) or more in any one year. Though this proposed rule would not result in such an expenditure, we do discuss the effects of this rule elsewhere in this preamble.</P>
        <HD SOURCE="HD2">8. Taking of Private Property</HD>
        <P>This proposed rule would 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="HD2">9. Civil Justice Reform</HD>
        <P>This proposed 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="HD2">10. Protection of Children From Environmental Health Risks</HD>
        <P>We have analyzed this proposed rule under Executive Order 13045, Protection of Children from Environmental Health Risks and Safety Risks. This rule is not an economically significant rule and would not create an environmental risk to health or risk to safety that might disproportionately affect children.</P>
        <HD SOURCE="HD2">11. Indian Tribal Governments</HD>
        <P>This proposed rule does not have tribal implications under Executive Order 13175, Consultation and Coordination with Indian Tribal Governments, because it would 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="HD2">12. Energy Effects</HD>
        <P>This proposed rule is not a “significant energy action” under Executive Order 13211, Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use 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="HD2">13. Technical Standards</HD>
        <P>This proposed rule does not use technical standards. Therefore, we did not consider the use of voluntary consensus standards.</P>
        <HD SOURCE="HD2">14. Environment</HD>

        <P>We have analyzed this proposed 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 made a preliminary determination that this action is one of a category of actions that do not individually or cumulatively have a significant effect on the human environment. This proposed rule involves establishing a temporary safety zone. This rule is categorically excluded from further review under paragraph 34(g) of Figure 2-1 of the Commandant Instruction. A preliminary environmental analysis checklist supporting this determination and a Categorical Exclusion Determination are available in the docket where indicated under<E T="02">ADDRESSES</E>. We seek any comments or information that may lead to the discovery of a significant environmental impact from this proposed rule.</P>
        <LSTSUB>
          <HD SOURCE="HED">F. 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 proposes to amend 33 CFR part 165 as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 165—REGULATED NAVIGATION AREAS AND LIMITED ACCESS AREAS</HD>
          <P>1. The authority citation for part 165 continues to read as follows:</P>
          <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; Public Law 107-295, 116 Stat. 2064; Department of Homeland Security Delegation No. 0170.1.</P>
          </AUTH>
          
          <P>2. Add § 165.T11-496 to read as follows:</P>
          <SECTION>
            <SECTNO>§ 165.T11-496</SECTNO>
            <SUBJECT>Safety zone; Bullhead City Regatta; Bullhead City, AZ.</SUBJECT>
            <P>(a)<E T="03">Location.</E>This temporary safety zone includes the waters of the Colorado River between Davis Camp and Rotary Park in Bullhead City, AZ.</P>
            <P>(b)<E T="03">Enforcement Period.</E>This section will be enforced from 6 a.m. to 6 p.m. on August 11, 2012. Before the effective period, the Coast Guard will publish a Local Notice to Mariners (LNM). 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, 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) 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.<PRTPAGE P="36442"/>
            </P>
            <P>(2) Mariners can request permission to transit through the safety zone from the Patrol Commander. The Patrol Commander can be contacted on VHF-FM channels 16 and 23.</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>
          <SIG>
            <DATED>Dated: May 30, 2012.</DATED>
            <NAME>S.M. Mahoney,</NAME>
            <TITLE>Captain, U.S. Coast Guard, Captain of the Port San Diego.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14845 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R05-OAR-2011-0826; FRL-9689-7]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Air Quality Implementation Plans; Michigan; PSD Regulations</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to approve revisions to the Prevention of Significant Deterioration (PSD) construction permit program of State of Michigan's State Implementation Plan (SIP) to meet the Clean Air Act (CAA) requirements for PSD in Class I Areas attaining the National Ambient Air Quality Standards.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before July 19, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID No. EPA-R05-OAR-2011-0826, by one of the following methods:</P>
          <P>1.<E T="03">www.regulations.gov:</E>Follow the on-line instructions for submitting comments.</P>
          <P>2.<E T="03">Email: damico.genevieve@epa.gov.</E>
          </P>
          <P>3.<E T="03">Fax:</E>(312) 385-5501.</P>
          <P>4.<E T="03">Mail:</E>Genevieve Damico, Chief, Air Permits Section, Air Programs Branch (AR-18J), U.S. Environmental Protection Agency, 77 West Jackson Boulevard, Chicago, Illinois 60604.</P>
          <P>5.<E T="03">Hand Delivery:</E>Genevieve Damico, Chief, Air Permits Section, Air Programs Branch (AR-18J), U.S. Environmental Protection Agency, 77 West Jackson Boulevard, Chicago, Illinois 60604. Such deliveries are only accepted during the Regional Office normal hours of operation, and special arrangements should be made for deliveries of boxed information. The Regional Office official hours of business are Monday through Friday, 8:30 a.m. to 4:30 p.m., excluding Federal holidays.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to Docket ID No. EPA-R05-OAR-2011-0826. EPA's policy is that all comments received will be included in the public docket without change and may be made available online at<E T="03">www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through<E T="03">www.regulations.gov</E>or email. The<E T="03">www.regulations.gov</E>Web site is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an email comment directly to EPA without going through<E T="03">www.regulations.gov</E>your email address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses. For additional instructions on submitting comments, go to Section I of the<E T="02">SUPPLEMENTARY INFORMATION</E>section of this document.</P>
          <P>
            <E T="03">Docket:</E>All documents in the docket are listed in the<E T="03">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 the Environmental Protection Agency, Region 5, Air and Radiation Division, 77 West Jackson Boulevard, Chicago, Illinois 60604. This facility is open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding Federal holidays. We recommend that you telephone Constantine Blathras, Environmental Engineer, at (312) 886-0671 before visiting the Region 5 office.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Constantine Blathras, Environmental Engineer, Air Permits Section, Air Programs Branch (AR-18J), Environmental Protection Agency, Region 5, 77 West Jackson Boulevard, Chicago, Illinois 60604, (312) 886-0671,<E T="03">Blathras.Constantine@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Throughout this document, whenever “we,” “us,” or “our” is used, we mean EPA. This supplementary information section is arranged as follows:</P>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. What should I consider as I prepare my comments for EPA?</FP>
          <FP SOURCE="FP-2">II. What revisions are included in the proposed approval?</FP>
          <FP SOURCE="FP-2">III. What action is EPA taking?</FP>
          <FP SOURCE="FP-2">IV. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. What should I consider as I prepare my comments for EPA?</HD>
        <P>When submitting comments, remember to:</P>

        <P>1. Identify the rulemaking by docket number and other identifying information (subject heading,<E T="04">Federal Register</E>date and page number).</P>
        <P>2. Follow directions—EPA may ask you to respond to specific questions or organize comments by referencing a Code of Federal Regulations (CFR) part or section number.</P>
        <P>3. Explain why you agree or disagree; suggest alternatives and substitute language for your requested changes.</P>
        <P>4. Describe any assumptions and provide any technical information and/or data that you used.</P>
        <P>5. If you estimate potential costs or burdens, explain how you arrived at your estimate in sufficient detail to allow for it to be reproduced.</P>
        <P>6. Provide specific examples to illustrate your concerns, and suggest alternatives.</P>
        <P>7. Explain your views as clearly as possible, avoiding the use of profanity or personal threats.</P>
        <P>8. Make sure to submit your comments by the comment period deadline identified.</P>
        <HD SOURCE="HD1">II. What revisions are included in the proposed approval?</HD>

        <P>On September 2, 2011, the Michigan Department of Environmental Quality (MDEQ) submitted to EPA for approval a revision to the Michigan SIP consisting of amendments to Michigan Air Pollution Control Rules, Part 18, PSD, and Part 19, PSD for major sources. Specifically, Michigan submitted a revision to modify Michigan Air Pollution Control Rule R. 336.2816 to<PRTPAGE P="36443"/>make it consistent with the Federal requirements for PSD in Class I Areas. Additionally, Michigan submitted amendments to modify Michigan's Air Pollution Control Rules R. 336.2801 and R. 336.2910 to add a significance threshold of 10 tons per year for particulate matter less than 2.5 microns in size (PM<E T="52">2.5</E>). However, EPA is not proposing action on the particulate matter amendments in this rulemaking action; we will propose action at a later date, when Michigan submits additional rules pertaining to its definitions for PM<E T="52">2.5</E>.</P>
        <HD SOURCE="HD1">III. What action is EPA taking?</HD>
        <P>EPA is proposing to approve Michigan's request to revise its SIP to add rule R. 336.2816 to be consistent with Federal PSD regulations in 40 CFR 51.166(p), that require state PSD programs to have a mechanism in place to coordinate and consult with Federal land managers of Class I PSD Areas. On September 16, 2008, EPA proposed to disapprove R 336.2816 from Michigan's SIP submittal because it did not provide for such a mechanism. Michigan has now revised R. 336.2816 to be consistent with the Federal requirement. With this change, EPA is proposing to fully approve the revised R. 336.2816 for its PSD program. On March 25, 2010, EPA published a direct final approval to convert a conditional approval of the Michigan PSD SIP to full approval under section 110 of the CAA. In that notice, EPA stated that we would be taking a separate action on rule R. 336.2816(2) through (4)(requirements relating to Class I Areas).</P>

        <P>EPA is not proposing to approve Michigan's request to revise its SIP by adding requirements for a significance level for PM<E T="52">2.5</E>. EPA has established a significance threshold to limit the applicability of PSD regulations to sources with emissions above the significance level. To be consistent with the Federal requirements, Michigan amended R. 336.2801 and R. 336.2901 to add the significance threshold for PM<E T="52">2.5</E>. Because Michigan is planning to submit additional state rules as revisions to its SIP for precursors of PM<E T="52">2.5</E>, EPA will defer action on this matter.</P>
        <P>EPA is also proposing to approve the removal of R. 336.2830 and R. 336.2910 from the Michigan SIP. Appeals of state permit actions will be handled through the state's appeal process.</P>
        <HD SOURCE="HD1">IV. Statutory and Executive Order Reviews</HD>
        <P>Under the CAA, the Administrator is required to approve a SIP submission that complies with the provisions of the CAA and applicable Federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in reviewing SIP submissions, EPA's role is to approve state choices, provided that they meet the criteria of the CAA. 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 Clean Air Act; and</P>
        <P>• Does not provide EPA with the discretionary authority to address, as appropriate, disproportionate human health or environmental effects, using practicable and legally permissible methods, under Executive Order 12898 (59 FR 7629, February 16, 1994).</P>
        <P>In addition, this rule does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the SIP is not approved to apply in Indian country located in the state, and EPA notes that it will not impose substantial direct costs on tribal governments or preempt tribal law.</P>
        <P>In May 2011, EPA issued its policy on consultation and coordination with Indian tribes. EPA explained that its policy is to consult on a government to government basis with Federally recognized tribal governments when EPA actions and decisions may affect tribal interests. Accordingly, EPA sent an invitation to consult with potentially interested tribes, and subsequently engaged in consultation with representatives of the Forest County Potawatomi Community regarding the Michigan proposed SIP revisions.</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>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>42 U.S.C. 7401<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: June 11, 2012.</DATED>
          <NAME>Susan Hedman,</NAME>
          <TITLE>Regional Administrator, Region 5.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14937 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R08-OAR-2007-1034; FRL-9689-1]</DEPDOC>
        <SUBJECT>Disapproval and Promulgation of Air Quality Implementation Plans; State of Utah; Revisions To Open Burning Regulations</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to disapprove a State Implementation Plan (SIP) revision submitted by the State of Utah on December 10, 1999. This revision to R307-202 Emission Standards: General Burning authorizes the State to extend the time period for open burning. EPA is proposing to disapprove the submitted revision because it does not meet the requirements of section 110(l) of the Clean Air Act (CAA). This action is being taken under section 110 of the CAA.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID No. EPA-R08-OAR-2007-1034, by one of the following methods:</P>
          <P>•<E T="03">http://www.regulations.gov.</E>Follow the on-line instructions for submitting comments.</P>
          <P>•<E T="03">Email: freeman.crystal@epa.gov.</E>
          </P>
          <P>•<E T="03">Fax:</E>(303) 312-6064 (please alert the individual listed in the<E T="02">FOR FURTHER<PRTPAGE P="36444"/>INFORMATION CONTACT</E>if you are faxing comments).</P>
          <P>•<E T="03">Mail:</E>Carl Daly, Director, Air Program, U.S. Environmental Protection Agency (EPA), Region 8, Mailcode 8P-AR, 1595 Wynkoop Street, Denver, Colorado 80202-1129.</P>
          <P>•<E T="03">Hand Delivery:</E>Carl Daly, Director, Air Program, U.S. Environmental Protection Agency (EPA), Region 8, Mailcode 8P-AR, 1595 Wynkoop, Denver, Colorado 80202-1129. Such deliveries are only accepted Monday through Friday, 8:00 a.m. to 4:30 p.m., excluding Federal holidays. 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-R08-OAR-2007-1034. 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 email. 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 email comment directly to EPA, without going through<E T="03">http://www.regulations.gov,</E>your email address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses. For additional instructions on submitting comments, go to Section I. General Information of the<E T="02">SUPPLEMENTARY INFORMATION</E>section of this document.</P>
          <P>
            <E T="03">Docket:</E>All documents in the docket are listed in the<E T="03">http://www.regulations.gov</E>index. Although listed in the index, some information is not publicly available, e.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">http://www.regulations.gov</E>or in hard copy at the Air Program, U.S. Environmental Protection Agency (EPA), Region 8, Mailcode 8P-AR, 1595 Wynkoop, Denver, Colorado 80202-1129. EPA requests that if at all possible, you contact the individual listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section to view the hard copy of the docket. You may view the hard copy of the docket Monday through Friday, 8:00 a.m. to 4:00 p.m., excluding Federal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Crystal Freeman, Air Program, U.S. Environmental Protection Agency, Region 8, Mailcode 8P-AR, 1595 Wynkoop, Denver, Colorado 80202-1129, (303) 312-6602,<E T="03">freeman.crystal@epa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Definitions</HD>
        <P>For the purpose of this document, we are giving meaning to certain words or initials as follows:</P>
        <P>(i) The initials<E T="03">AQS</E>mean or refer to Air Quality System.</P>
        <P>(ii) The words or initials<E T="03">Act</E>or<E T="03">CAA</E>mean or refer to the Clean Air Act, unless the context indicates otherwise.</P>
        <P>(iii) The words<E T="03">EPA, we,</E>
          <E T="03">us</E>or<E T="03">our</E>mean or refer to the United States Environmental Protection Agency.</P>
        <P>(iv) The initials<E T="03">NAAQS</E>mean or refer to the National Ambient Air Quality Standards.</P>
        <P>(v) The initials<E T="03">NO</E>
          <E T="54">X</E>mean or refer to nitrogen oxides.</P>
        <P>(vi) The initials<E T="03">PM</E>
          <E T="54">2.5</E>mean or refer to particulate matter with an aerodynamic diameter of less than 2.5 micrometers (fine particulate matter).</P>
        <P>(vii) The initials<E T="03">PSD</E>mean or refer to prevention of significant deterioration.</P>
        <P>(viii) The initials<E T="03">SIP</E>mean or refer to State Implementation Plan.</P>
        <P>(ix) The words<E T="03">Utah</E>or<E T="03">State</E>mean the State of Utah.</P>
        <HD SOURCE="HD1">Table of Contents</HD>
        <EXTRACT>
          <FP SOURCE="FP-2">I. General Information</FP>
          <FP SOURCE="FP-2">II. Background</FP>
          <FP SOURCE="FP-2">III. What is the State process to submit these materials to EPA?</FP>
          <FP SOURCE="FP-2">IV. EPA's Review and Technical Information</FP>
          <FP SOURCE="FP-2">V. Proposed Action</FP>
          <FP SOURCE="FP-2">VI. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. General Information</HD>
        <P>1.<E T="03">Submitting CBI.</E>Do not submit CBI to EPA through<E T="03">http://www.regulations.gov</E>or email. Clearly mark the part or all of the information that you claim to be CBI. For CBI information in a disk or CD-ROM that you mail to EPA, mark the outside of the disk or CD-ROM as CBI and then identify electronically within the disk or CD-ROM the specific information that is claimed as CBI. In addition to one complete version of the comment that includes information claimed as CBI, a copy of the comment that does not contain the information claimed as CBI must be submitted for inclusion in the public docket. Information so marked will not be disclosed except in accordance with procedures set forth in 40 CFR part 2.</P>
        <P>2.<E T="03">Tips for Preparing Your Comments.</E>When submitting comments, remember to:</P>

        <P>a. Identify the rulemaking by docket number and other identifying information (subject heading,<E T="04">Federal Register</E>date and page number).</P>
        <P>b. Follow directions—The agency may ask you to respond to specific questions or organize comments by referencing a Code of Federal Regulations (CFR) part or section number.</P>
        <P>c. Explain why you agree or disagree; suggest alternatives and substitute language for your requested changes.</P>
        <P>d. Describe any assumptions and provide any technical information and/or data that you used.</P>
        <P>e. 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>f. Provide specific examples to illustrate your concerns, and suggest alternatives.</P>
        <P>g. Explain your views as clearly as possible, avoiding the use of profanity or personal threats.</P>
        <P>h. Make sure to submit your comments by the comment period deadline identified.</P>
        <HD SOURCE="HD1">II. Background</HD>
        <P>On December 10, 1999, the State of Utah submitted a SIP revision to Rule R307-202 Emission Standards: General Burning. This rule contains the following provisions: definitions and exclusions, community waste disposal, general prohibitions, permissible burning—without permit, permissible burning with permit, and special conditions.</P>

        <P>The proposed revision is found within the `permissible burning with permit' in section R307-202-5(3)(e)(i). The revision extends the time period during which open burning could be authorized. The current burning period in the rule is from March 30 to May 30, the revision would extend the beginning of the burning period to March 1. This would allow an additional 30 days to the open burning period. The revision to<PRTPAGE P="36445"/>the rule is based on a request from the Washington County Mayors Association to change the beginning date to accommodate areas of the State that were dry enough to burn earlier in the year.</P>
        <HD SOURCE="HD1">III. What is the State process to submit these materials to EPA?</HD>
        <P>Section 110(k) of the CAA addresses EPA's rulemaking action on SIP submissions by states. The CAA requires states to observe certain procedural requirements in developing SIP revisions for submittal to EPA. Section 110(a)(2) of the CAA requires that each SIP revision be adopted after reasonable notice and public hearing. This must occur prior to the revision being submitted by a state to EPA.</P>
        <P>The State of Utah's Department of Environmental Quality, Air Quality Board held public hearings to amend Rule R307-202 Emission Standards: General Burning on June 3, 1999, and also on June 30, 1999, when the revision was adopted. On December 10, 1999, Utah submitted a SIP revision to R307-202-5 to extend the burning period.</P>
        <P>EPA has reviewed the submittal from the State of Utah and has determined that the State met the requirements for reasonable notice and public hearing under section 110(a)(2) of the CAA. The SIP submittal from Utah became complete by operation of law six months after the submission date.</P>
        <HD SOURCE="HD1">IV. EPA's Review and Technical Information</HD>
        <P>EPA is proposing to disapprove Utah's SIP revision submitted on December 10, 1999. Any submittal for a SIP revision must meet section 110(l) of the CAA. Section 110(l) of the Act states that EPA shall not approve a revision of a plan if the revision would interfere with any applicable requirement concerning attainment and reasonable further progress (as defined in Section 171 of the CAA), or any other applicable requirement of the Act. An analysis should have been conducted by the State and included in the submittal showing what effect the relaxation would have on emissions of criteria pollutants. Since Utah did not provide a section 110(l) analysis, EPA lacks sufficient information to determine whether the proposed SIP relaxation would not interfere with any applicable requirement concerning attainment and maintenance of the National Ambient Air Quality Standards (NAAQS), Prevention of Significant Deterioration (PSD) increment, or any other requirement of the Act.</P>

        <P>EPA reviewed data from the Air Quality System (AQS) Raw Data Reports for PM<E T="52">2.5</E>violations in the entire State of Utah for the month of March from 1999 to present. These reports can be found in the docket as supporting and related materials. The PM<E T="52">2.5</E>24-hour NAAQS is 35 μg/m<SU>3</SU>for which the counties of Salt Lake, Utah, Davis and parts of Box Elder, Weber, Tooele and Cache are designated nonattainment (74 FR 58688, November 13, 2009). Based on our review, Cache County, specifically the City of Logan, showed a total of fifteen violations of the PM<E T="52">2.5</E>standard over the years: 2001, 2004, 2005, and 2007. The AQS site ID that showed the violations in the years above was 49-005-0004. For the year 2001, the PM<E T="52">2.5</E>violation was recorded on March 2 with a concentration of 37.5 μg/m<SU>3</SU>. In 2004 there were five violations on March 8, 9, 10, 12, and 13, with concentrations of 35.5 μg/m<SU>3</SU>, 53.4 μg/m<SU>3</SU>, 52.9 μg/m<SU>3</SU>, 41.9 μg/m<SU>3</SU>, and 52.3 μg/m<SU>3</SU>, respectively. For the following year of 2005, there were seven violations on the dates of March 1, 2, 4, 7, 8, 10, and 11, with concentrations of 54.5 μg/m<SU>3</SU>, 36.6 μg/m<SU>3</SU>, 68.4 μg/m<SU>3</SU>, 49.6 μg/m<SU>3</SU>, 71.0 μg/m<SU>3</SU>, 62.0 μg/m<SU>3</SU>, and 44.6 μg/m<SU>3</SU>, respectively. The last year that this monitor showed violations was in 2007, on March 6 and 7, with concentrations of 46 μg/m<SU>3</SU>and 43 μg/m<SU>3</SU>, respectively. In Salt Lake County, the North Salt Lake City monitor also showed an exceedance in 2007, on March 6, with a concentration of 38 μg/m<SU>3</SU>. On March 30, 2010, there were ten exceedances that occurred in four counties: Davis, Salt Lake, Utah, and Tooele, which the State has flagged as exceptional events. The Bountiful monitor in Davis County and the Tooele City monitor in Tooele County recorded a concentration of 42 μg/m<SU>3</SU>and 57 μg/m<SU>3</SU>, respectively. Four monitors in Salt Lake County: Cottonwood, Magna, Hawthorne, and Rose Park, showed concentrations of: 56 μg/m<SU>3</SU>, 67 μg/m<SU>3</SU>, 50 μg/m<SU>3</SU>, and 65 μg/m<SU>3</SU>, respectively. Additionally, four monitors in Utah County: North Provo, Lindon, Highland, and Spanish Fork, showed concentrations of 53 μg/m<SU>3</SU>, 56 μg/m<SU>3</SU>, 61 μg/m<SU>3</SU>, and 48 μg/m<SU>3</SU>, respectively.</P>

        <P>Based on our analysis of the AQS data above, EPA finds that the relaxation of the open burning rule could contribute to further degradation of air quality within the State of Utah and especially in the PM<E T="52">2.5</E>nonattainment areas because violations of the PM<E T="52">2.5</E>standard have been recorded during periods covered by the proposed extension of the open burning period. In the absence of a section 110(l) analysis or demonstration by the State of Utah showing that extending the burning period would not cause a PM<E T="52">2.5</E>violation, EPA cannot determine that this revision would not interfere with attainment and maintenance of the NAAQS. Therefore, EPA is proposing to disapprove this revision to R307-202 Emission Standards: General Burning.</P>
        <HD SOURCE="HD1">V. Proposed Action</HD>

        <P>EPA is proposing to disapprove the SIP revision to R307-202 Emission Standards: General Burning submitted by the State on December 10, 1999. Without a section 110(l) analysis or demonstration, EPA finds that the revision relaxes the control on open burning and could potentially interfere with the attainment and maintenance of the NAAQS. EPA's review of the AQS data for Cache, Salt Lake, Davis, Utah, and Tooele Counties have shown violations of the PM<E T="52">2.5</E>standard during the proposed extension of the open burning period.</P>
        <HD SOURCE="HD1">VI. Statutory and Executive Order Reviews</HD>
        <P>Under the Clean Air Act, the Administrator is required to approve a SIP submission that complies with the provisions of the Act and applicable Federal regulations 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in reviewing SIP submissions, EPA's role is to approve or disapprove state choices, depending on whether they meet the criteria of the Clean Air Act. With this proposed action EPA is merely disapproving a state law as not meeting Federal requirements, and is not imposing additional requirements beyond those imposed by state law.</P>
        <HD SOURCE="HD2">A. Executive Order 12866: Regulatory Planning and Review</HD>
        <P>Because the proposed disapproval only applies to a date change for Utah's General Burning window, this proposed action is not a “significant regulatory action” under the terms of Executive Order 12866 (58 FR 51735, October 4, 1993) and is therefore not subject to review under Executive Orders 12866 and 13563 (76 FR 3821, January 21, 2011).</P>
        <HD SOURCE="HD2">B. Paperwork Reduction Act</HD>

        <P>This proposed action 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>Burden is defined at 5 CFR 1320.3(b). The proposed disapproval only applies to a date change for Utah's General Burning window.</P>
        <HD SOURCE="HD2">C. Regulatory Flexibility Act</HD>

        <P>The Regulatory Flexibility Act (RFA) generally requires an agency to prepare<PRTPAGE P="36446"/>a regulatory flexibility analysis of any rule subject to notice and comment rulemaking requirements under the Administrative Procedure Act or any other statute unless the agency certifies that the rule will not have a significant economic impact on a substantial number of small entities. Small entities include small businesses, small organizations, and small governmental jurisdictions.</P>
        <P>For purposes of assessing the impacts of today's proposed rule on small entities, small entity is defined as: (1) A small business as defined by the Small Business Administration's (SBA) regulations at 13 CFR 121.201; (2) a small governmental jurisdiction that is a government of a city, county, town, school district or special district with a population of less than 50,000; and (3) a small organization that is any not-for-profit enterprise which is independently owned and operated and is not dominant in its field.</P>

        <P>After considering the economic impacts of today's proposed rule on small entities, I certify that this action will not have a significant economic impact on a substantial number of small entities. In determining whether a rule has a significant economic impact on a substantial number of small entities, the impact of concern is any significant<E T="03">adverse</E>economic impact on small entities, since the primary purpose of the regulatory flexibility analyses is to identify and address regulatory alternatives “which minimize any significant economic impact of the rule on small entities.” 5 U.S.C. 603 and 604. Thus, an agency may certify that a rule will not have a significant economic impact on a substantial number of small entities if the rule relieves regulatory burden, or otherwise has a positive economic effect on all of the small entities subject to the rule.</P>
        <P>EPA's proposal consists of a proposed disapproval of Utah's General Burning rule submission. The revision would extend the General Burning window an extra month, which requires a CAA section 110(l) analysis to show no relaxation of the rule. Since Utah did not submit a section 110(l) analysis for this revision EPA is proposing disapproval. The proposed disapproval of the SIP, if finalized, merely disapproves the state law as not meeting federal requirements and does not impose any additional requirements.</P>
        <HD SOURCE="HD2">D. Unfunded Mandates Reform Act (UMRA)</HD>
        <P>This action 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>Under Title II of UMRA, EPA has determined that this proposed rule does not contain a federal mandate that may result in expenditures that exceed the inflation-adjusted UMRA threshold of $100 million by State, local, or Tribal governments or the private sector in any one year. In addition, this proposed rule does not contain a significant federal intergovernmental mandate as described by section 203 of UMRA nor does it contain any regulatory requirements that might significantly or uniquely affect small governments.</P>
        <HD SOURCE="HD2">E. Executive Order 13132: Federalism</HD>
        <P>
          <E T="03">Federalism</E>(64 FR 43255, August 10, 1999) revokes and replaces Executive Orders 12612 (Federalism) and 12875 (Enhancing the Intergovernmental Partnership). Executive Order 13132 requires EPA to develop an accountable process to ensure “meaningful and timely input by State and local officials in the development of regulatory policies that have federalism implications.” “Policies that have federalism implications” is defined in the Executive Order to include regulations that 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.” Under Executive Order 13132, EPA may not issue a regulation that has federalism implications, that imposes substantial direct compliance costs, and that is not required by statute, unless the federal government provides the funds necessary to pay the direct compliance costs incurred by State and local governments, or EPA consults with State and local officials early in the process of developing the proposed regulation. EPA also may not issue a regulation that has federalism implications and that preempts State law unless the Agency consults with State and local officials early in the process of developing the proposed regulation.</P>
        <P>This rule will not have substantial direct effects on the State, on the relationship between the national government and the State, or on the distribution of power and responsibilities among the various levels of government, as specified in Executive Order 13132, because it merely addresses the State not fully meeting its obligation under section 110(l) of the CAA. Thus, Executive Order 13132 does not apply to this action. In the spirit of Executive Order 13132, and consistent with EPA policy to promote communications between EPA and State and local governments, EPA specifically solicits comment on this proposed rule from State and local officials.</P>
        <HD SOURCE="HD2">F. Executive Order 13175: Consultation and Coordination With Indian Tribal Governments</HD>
        <P>Executive Order 13175, entitled<E T="03">Consultation and Coordination with Indian Tribal Governments</E>(65 FR 67249, November 9, 2000), requires EPA to develop an accountable process to ensure “meaningful and timely input by tribal officials in the development of regulatory policies that have tribal implications.” This proposed rule does not have tribal implications, as specified in Executive Order 13175. It will not have substantial direct effects on tribal governments. Thus, Executive Order 13175 does not apply to this rule.</P>
        <HD SOURCE="HD2">G. Executive Order 13045: Protection of Children From Environmental Health Risks and Safety Risks</HD>
        <P>Executive Order 13045:<E T="03">Protection of Children from Environmental Health Risks and Safety Risks</E>(62 FR 19885, April 23, 1997), applies to any rule that: (1) is determined to be economically significant as defined under Executive Order 12866; and (2) concerns an environmental health or safety risk that we have reason to believe may have a disproportionate effect on children. EPA interprets EO 13045 as applying only to those regulatory actions that concern health or safety risks, such that the analysis required under section 5-501 of the EO has the potential to influence the regulation. This action is not subject to EO 13045 because it implements specific standards established by Congress in statutes. However, to the extent this proposed rule is disapproving a possible relaxation to Utah's General Burning rule, it will have a beneficial effect on children's health by not allowing additional air pollution.</P>
        <HD SOURCE="HD2">H. Executive Order 13211: Actions Concerning Regulations That Significantly Affect Energy Supply, Distribution, or Use</HD>
        <P>This action is not subject to Executive Order 13211 (66 FR 28355 (May 22, 2001)), because it is not a significant regulatory action under Executive Order 12866.</P>
        <HD SOURCE="HD2">I. National Technology Transfer and Advancement Act</HD>

        <P>Section 12 of the National Technology Transfer and Advancement Act (NTTAA) of 1995 requires federal agencies to evaluate existing technical standards when developing a new<PRTPAGE P="36447"/>regulation. To comply with NTTAA, EPA must consider and use “voluntary consensus standards” (VCS) if available and applicable when developing programs and policies unless doing so would be inconsistent with applicable law or otherwise impractical.</P>
        <P>The EPA believes that VCS are inapplicable to this action. Today's action does not require the public to perform activities conducive to the use of VCS.</P>
        <HD SOURCE="HD2">J. Executive Order 12898: Federal Actions To Address Environmental Justice in Minority Populations and Low-Income Populations</HD>
        <P>Executive Order 12898 (59 FR 7629, February 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>We have determined that this proposed rule, if finalized, will not have disproportionately high and adverse human health or environmental effects on minority or low-income populations because it disapproves a possible relaxation of Utah's rule where increases in emissions are possible.</P>
        <P>In addition, this proposed action does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the SIP being disapproved would not apply in Indian country located in the state, and it would not impose substantial direct costs on tribal governments or preempt tribal law.</P>
        <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 Clean Air Act, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by August 20, 2012. 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 may not be challenged later in proceedings to enforce its requirements. (See section 307(b)(2) of the CAA.)</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 52</HD>
          <P>Environmental protection, Air pollution control, Carbon monoxide, Intergovernmental relations, Nitrogen dioxide, Ozone, Particulate matter, Reporting and recordkeeping requirements, Sulfur oxides, Volatile organic compounds.</P>
        </LSTSUB>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>42 U.S.C. 7401<E T="03">et seq.</E>
          </P>
        </AUTH>
        <SIG>
          <DATED>Dated: June 6, 2012.</DATED>
          <NAME>James B. Martin,</NAME>
          <TITLE>Regional Administrator, Region 8.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14943 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 261</CFR>
        <DEPDOC>[EPA-R06-RCRA-2012-0138; FRL-9685-6]</DEPDOC>
        <SUBJECT>Hazardous Waste Management System; Identification and Listing of Hazardous Waste</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to grant a petition submitted by ExxonMobil Refining and Supply Company (ExxonMobil) Baytown Refinery (BTRF) to exclude (or delist) the underflow water generated at the North Landfarm (NLF) in Baytown, Texas from the lists of hazardous wastes. EPA used the Delisting Risk Assessment Software (DRAS) Version 3.0 in the evaluation of the impact of the petitioned waste on human health and the environment.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>We will accept comments until July 19, 2012. Your requests for a hearing must reach EPA by July 5, 2012. See the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section for details.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID No. EPA-R06-RCRA-2012-0138 by one of the following methods:</P>
          <P>1.<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>Follow the on-line instructions for submitting comments.</P>
          <P>2.<E T="03">Email: jacques.wendy@epa.gov.</E>
          </P>
          <P>3.<E T="03">Mail:</E>Wendy Jacques, Environmental Protection Agency, Multimedia Planning and Permitting Division, RCRA Branch, Mail Code: 6PD-F, 1445 Ross Avenue, Dallas, TX 75202.</P>
          <P>4.<E T="03">Hand Delivery or Courier</E>: Deliver your comments to: Wendy Jacques, Environmental Protection Agency, Multimedia Planning and Permitting Division, RCRA Branch, Mail Code: 6PD-F, 1445 Ross Avenue, Dallas, TX 75202.</P>
          <P>
            <E T="03">Instructions</E>: Direct your comments to Docket ID No. EPA-R06-RCRA-2012-0138. 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 email. 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 email comment directly to EPA without going through<E T="03">www.regulations.gov</E>, your email address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses.</P>
          <P>
            <E T="03">Docket</E>: All documents in the electronic docket are listed in the<E T="03">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<PRTPAGE P="36448"/>available docket materials may be available either electronically in<E T="03">http://www.regulations.gov</E>or in electronic or hard copy at the Environmental Protection Agency, RCRA Branch, 1445 Ross Avenue, Dallas, TX 75202. The hard copy RCRA regulatory docket for this proposed rule, EPA-R06-RCRA-2012-0138, is available for viewing from 8 a.m. to 5 p.m., Monday through Friday, excluding Federal holidays. The public may copy material from any regulatory docket at no cost for the first 100 pages, and at fifteen cents per page for additional copies. EPA requests that you contact the person listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section to schedule your inspection. The interested persons wanting to examine these documents should make an appointment with the office at least 24 hours in advance.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>For technical information regarding the ExxonMobil Baytown Refinery petition, contact Wendy Jacques at 214-665-7395 or by email at<E T="03">jacques.wendy@epa.gov.</E>
          </P>
          <P>Comments are due by the date specified in the<E T="02">DATES</E>section. We will stamp comments received after the close of the comment period as late. These comments may or may not be considered in formulating a final decision. Your requests for a hearing must reach EPA by July 5, 2012. The request must contain the information described in 40 CFR 260.20(d).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>ExxonMobil submitted a petition under 40 CFR 260.20 and 260.22(a). Section 260.20 allows any person to petition the EPA Administrator to modify or revoke any provision of parts 260 through 266, 268 and 273. Section 260.22(a) specifically provides generators the opportunity to petition the Administrator to exclude a waste on a “generator specific” basis from the hazardous waste lists.</P>
        <P>EPA bases its proposed decision to grant the petition on an evaluation of waste-specific information provided by the petitioner. This decision, if finalized, would conditionally exclude the petitioned waste from the requirements of hazardous waste regulations under the Resource Conservation and Recovery Act (RCRA).</P>
        <P>If finalized, EPA would conclude that ExxonMobil's petitioned waste is non-hazardous with respect to the original listing criteria. EPA would also conclude that ExxonMobil's process minimizes short-term and long-term threats from the petitioned waste to human health and the environment.</P>
        <HD SOURCE="HD1">Table of Contents</HD>
        <P>The information in this section is organized as follows:</P>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. Overview Information</FP>
          <FP SOURCE="FP1-2">A. What action is EPA proposing?</FP>
          <FP SOURCE="FP1-2">B. Why is EPA proposing to approve this delisting?</FP>
          <FP SOURCE="FP1-2">C. How will ExxonMobil manage the waste, if it is delisted?</FP>
          <FP SOURCE="FP1-2">D. When would the proposed delisting exclusion be finalized?</FP>
          <FP SOURCE="FP1-2">E. How would this action affect states?</FP>
          <FP SOURCE="FP-2">II. Background</FP>
          <FP SOURCE="FP1-2">A. What is the history of the delisting program?</FP>
          <FP SOURCE="FP1-2">B. What is a delisting petition, and what does it require of a petitioner?</FP>
          <FP SOURCE="FP1-2">C. What factors must EPA consider in deciding whether to grant a delisting petition?</FP>
          <FP SOURCE="FP-2">III. EPA's Evaluation of the Waste Information and Data</FP>
          <FP SOURCE="FP1-2">A. What wastes did ExxonMobil petition EPA to delist?</FP>
          <FP SOURCE="FP1-2">B. Who is ExxonMobil and what process does it use to generate the petitioned waste?</FP>
          <FP SOURCE="FP1-2">C. How did ExxonMobil sample and analyze the data in this petition?</FP>
          <FP SOURCE="FP1-2">D. What were the results of ExxonMobil's sample analysis?</FP>
          <FP SOURCE="FP1-2">E. How did EPA evaluate the risk of delisting this waste?</FP>
          <FP SOURCE="FP1-2">F. What did EPA conclude about ExxonMobil's analysis?</FP>
          <FP SOURCE="FP1-2">G. What other factors did EPA consider in its evaluation?</FP>
          <FP SOURCE="FP1-2">H. What is EPA's evaluation of this delisting petition?</FP>
          <FP SOURCE="FP-2">IV. Next Steps</FP>
          <FP SOURCE="FP1-2">A. With what conditions must the petitioner comply?</FP>
          <FP SOURCE="FP1-2">B. What happens if ExxonMobil violates the terms and conditions?</FP>
          <FP SOURCE="FP-2">V. Public Comments</FP>
          <FP SOURCE="FP1-2">A. How may I as an interested party submit comments?</FP>
          <FP SOURCE="FP1-2">B. How may I review the docket or obtain copies of the proposed exclusions?</FP>
          <FP SOURCE="FP-2">VI. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. Overview Information</HD>
        <HD SOURCE="HD2">A. What action is EPA proposing?</HD>
        <P>EPA is proposing to approve the delisting petition submitted by ExxonMobil to have the underflow water excluded, or delisted from the definition of a hazardous waste upon issuance of notification to the Texas Commission of Environmental Quality (TCEQ) that ExxonMobil will initiate closure activities of the North Landfarm. The underflow water is an aqueous solution which seeps through the treatment zone (soils) of the North Landfarm, making it an F039 waste.</P>
        <HD SOURCE="HD2">B. Why is EPA proposing to approve this delisting?</HD>
        <P>ExxonMobil's petition requests an exclusion from the F039 waste listings pursuant to 40 CFR 260.20 and 260.22. ExxonMobil does not believe that the petitioned waste meets the criteria for which EPA listed it. ExxonMobil also believes no additional constituents or factors could cause the waste to be hazardous. EPA's review of this petition included consideration of the original listing criteria and the additional factors required by the Hazardous and Solid Waste Amendments of 1984 (HSWA). See section 3001(f) of RCRA, 42 U.S.C. 6921(f), and 40 CFR 260.22 (d)(1)-(4) (hereinafter all sectional references are to 40 CFR unless otherwise indicated). In making the initial delisting determination, EPA evaluated the petitioned waste against the listing criteria and factors cited in §§ 261.11(a)(2) and (a)(3). Based on this review, EPA agrees with the petitioner that the waste is non-hazardous with respect to the original listing criteria. If EPA had found, based on this review, that the waste remained hazardous based on the factors for which the waste was originally listed, EPA would have proposed to deny the petition. EPA evaluated the waste with respect to other factors or criteria to assess whether there is a reasonable basis to believe that such additional factors could cause the waste to be hazardous. EPA considered whether the waste is acutely toxic, the concentration of the constituents in the waste, their tendency to migrate and to bioaccumulate, their persistence in the environment once released from the waste, plausible and specific types of management of the petitioned waste, the quantities of waste generated, and waste variability. EPA believes that the petitioned waste does not meet the listing criteria and thus should not be a listed waste. EPA's proposed decision to delist waste from ExxonMobil is based on the information submitted in support of this rule, including descriptions of the wastes and analytical data from the Baytown, Texas facility.</P>
        <HD SOURCE="HD2">C. How will Exxonmobil manage the waste, if it is delisted?</HD>

        <P>If the underflow water is delisted, ExxonMobil will either: (1) Continue to accumulate the underflow water in a holding tank, sample the water once each calendar year, analyze the annual sample for target constituents and submit the results to the EPA for review; or (2) route the underflow to the underflow collection system and then to the series of ditches to the underground Baytown Refinery East sewer. In the latter case, samples of the underflow water would be collected from the underflow sump once each calendar year, analyzed for target constituents and the results submitted to the EPA for<PRTPAGE P="36449"/>review. Ultimately, the underflow will enter the waste water treatment system where it is commingled with other wastewaters from the Baytown Chemical Plant and Baytown Olefins Plant.</P>
        <HD SOURCE="HD2">D. When would the proposed delisting exclusion be finalized?</HD>
        <P>RCRA section 3001(f) specifically requires EPA to provide a notice and an opportunity for comment before granting or denying a final exclusion. Thus, EPA will not grant the exclusion until it addresses all timely public comments (including those at public hearings, if any) on this proposal.</P>
        <P>RCRA section 3010(b)(1) at 42 U.S.C. 6930(b)(1), allows rules to become effective in less than six months when the regulated facility does not need the six-month period to come into compliance. That is the case here, because this rule, if finalized, would reduce the existing requirements for persons generating hazardous wastes.</P>
        <P>EPA believes that this exclusion should be effective immediately upon final publication because a six-month deadline is not necessary to achieve the purpose of section 3010(b), and a later effective date would impose unnecessary hardship and expense on this petitioner. These reasons also provide good cause for making this rule effective immediately, upon final publication, under the Administrative Procedure Act, 5 U.S.C. 553(d).</P>
        <HD SOURCE="HD2">E. How would this action affect the states?</HD>
        <P>Because EPA is issuing this exclusion under the Federal RCRA delisting program, only states subject to Federal RCRA delisting provisions would be affected. This would exclude states which have received authorization from EPA to make their own delisting decisions.</P>
        <P>EPA allows states to impose their own non-RCRA regulatory requirements that are more stringent than EPA's, under section 3009 of RCRA, 42 U.S.C. 6929. These more stringent requirements may include a provision that prohibits a Federally issued exclusion from taking effect in the state. Because a dual system (that is, both Federal (RCRA) and state (non-RCRA) programs) may regulate a petitioner's waste, EPA urges petitioners to contact the state regulatory authority to establish the status of their wastes under the state law.</P>
        <P>EPA has also authorized some states (for example, Louisiana, Oklahoma, Georgia, Illinois) to administer a RCRA delisting program in place of the Federal program, that is, to make state delisting decisions. Therefore, this exclusion does not apply in those authorized states unless that state makes the rule part of its authorized program. If ExxonMobil transports the petitioned waste to or manages the waste in any state with delisting authorization, ExxonMobil must obtain delisting authorization from that state before it can manage the waste as non-hazardous in the state.</P>
        <HD SOURCE="HD1">II. Background</HD>
        <HD SOURCE="HD2">A. What is the history of the delisting program?</HD>
        <P>EPA published an amended list of hazardous wastes from non-specific and specific sources on January 16, 1981, as part of its final and interim final regulations implementing section 3001 of RCRA. EPA has amended this list several times and published it in 40 CFR 261.31 and 261.32.</P>
        <P>EPA lists these wastes as hazardous because: (1) The wastes typically and frequently exhibit one or more of the characteristics of hazardous wastes identified in Subpart C of Part 261 (that is, ignitability, corrosivity, reactivity, and toxicity), (2) the wastes meet the criteria for listing contained in § 261.11(a)(2) or (a)(3), or (3) the wastes are mixed with or derived from the treatment, storage or disposal of such characteristic and listed wastes and which therefore become hazardous under § 261.3(a)(2)(iv) or (c)(2)(i), known as the “mixture” or “derived-from” rules, respectively.</P>
        <P>Individual waste streams may vary, however, depending on raw materials, industrial processes, and other factors. Thus, while a waste described in these regulations or resulting from the operation of the mixture or derived-from rules generally is hazardous, a specific waste from an individual facility may not be hazardous.</P>
        <P>For this reason, 40 CFR 260.20 and 260.22 provide an exclusion procedure, called delisting, which allows persons to prove that EPA should not regulate a specific waste from a particular generating facility as a hazardous waste.</P>
        <HD SOURCE="HD2">B. What is a delisting petition, and what does it require of a petitioner?</HD>
        <P>A delisting petition is a request from a facility to EPA or an authorized state to exclude wastes from the list of hazardous wastes. The facility petitions EPA because it does not consider the wastes hazardous under RCRA regulations.</P>
        <P>In a delisting petition, the petitioner must show that wastes generated at a particular facility do not meet any of the criteria for which the waste was listed. The criteria for which EPA lists a waste are in part 261 and further explained in the background documents for the listed waste.</P>
        <P>In addition, under 40 CFR 260.22, a petitioner must prove that the waste does not exhibit any of the hazardous waste characteristics (that is, ignitability, reactivity, corrosivity, and toxicity) and present sufficient information for EPA to decide whether factors other than those for which the waste was listed warrant retaining it as a hazardous waste. (See part 261 and the background documents for the listed waste.)</P>
        <P>Generators remain obligated under RCRA to confirm whether their waste remains non-hazardous based on the hazardous waste characteristics even if EPA has “delisted” the waste.</P>
        <HD SOURCE="HD2">C. What factors must EPA consider in deciding whether to grant a delisting petition?</HD>
        <P>Besides considering the criteria in 40 CFR 260.22(a) and § 3001(f) of RCRA, 42 U.S.C. 6921(f), and in the background documents for the listed wastes, EPA must consider any factors (including additional constituents) other than those for which EPA listed the waste, if a reasonable basis exists that these additional factors could cause the waste to be hazardous.</P>
        <P>EPA must also consider as hazardous waste mixtures containing listed hazardous wastes and wastes derived from treating, storing, or disposing of listed hazardous waste. See § 261.3(a)(2)(iii and iv) and (c)(2)(i), called the “mixture” and “derived-from” rules, respectively. These wastes are also eligible for exclusion and remain hazardous wastes until excluded. See 66 FR 27266 (May 16, 2001).</P>
        <HD SOURCE="HD1">III. EPA's Evaluation of the Waste Information and Data</HD>
        <HD SOURCE="HD2">A. What waste did ExxonMobil petition EPA to delist?</HD>

        <P>In August 2010, ExxonMobil petitioned EPA to exclude from the lists of hazardous wastes contained in §§ 261.31 and 261.32, underflow water (F039) generated from its facility located in Baytown, Texas. The waste falls under the classification of listed waste pursuant to §§ 261.31 and 261.32. Specifically, in its petition, ExxonMobil requested that EPA grant a standard exclusion for 7,427 cubic yards (1,500,000 gallons) per year of the underflow water.<PRTPAGE P="36450"/>
        </P>
        <HD SOURCE="HD2">B. Who is ExxonMobil and what process does it use to generate the petitioned waste?</HD>
        <P>ExxonMobil Baytown Refinery processes crude oil in the production of a number of petroleum products, including fuels, solvents and chemical feedstocks. The petitioned waste is generated by downward vertical migration of liquid through the North Landfarm. The North Landfarm does not prepare or process materials. The underflow is transported by the collection system to the North Landfarm underflow sump which is the point of waste generation.</P>
        <HD SOURCE="HD2">C. How did ExxonMobil sample and analyze the data in this petition?</HD>
        <P>To support its petition, ExxonMobil submitted:</P>
        <P>(1) Historical information on waste generation and management practices; and</P>
        <P>(2) analytical results from five samples for total concentrations of compounds of concern (COC)s;</P>
        <HD SOURCE="HD2">D. What were the results of ExxonMobil's analyses?</HD>
        <P>EPA believes that the descriptions of the ExxonMobil analytical characterization provide a reasonable basis to grant ExxonMobil's petition for an exclusion of the North Landfarm underflow water. EPA believes the data submitted in support of the petition show the North Landfarm underflow water is non-hazardous. Analytical data for the North Landfarm underflow water samples were used in the DRAS to develop delisting levels. The data summaries for COCs are presented in Table I. EPA has reviewed the sampling procedures used by ExxonMobil and has determined that it satisfies EPA criteria for collecting representative samples of the variations in constituent concentrations in the landfill underflow water. In addition, the data submitted in support of the petition show that constituents in ExxonMobil's waste are presently below health-based levels used in the delisting decision-making. EPA believes that ExxonMobil has successfully demonstrated that the landfill underflow water is non-hazardous.</P>
        <GPOTABLE CDEF="s50,xs60,xs60" COLS="3" OPTS="L2,i1">
          <TTITLE>Table 1—Analytical Results/Maximum Allowable Delisting Concentration</TTITLE>
          <TDESC>[North Landfarm Underflow Water ExxonMobil Baytown Refinery, Baytown, Texas]</TDESC>
          <BOXHD>
            <CHED H="1">Constituent</CHED>
            <CHED H="1">Maximum total concentration<LI>(mg/L)</LI>
            </CHED>
            <CHED H="1">Maximum allowable TCLP delisting level<LI>(mg/L)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Arsenic</ENT>
            <ENT>ND</ENT>
            <ENT>1.64E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Barium</ENT>
            <ENT>2.99E-02</ENT>
            <ENT>1.00E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Benzene</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Benzo(a)anthracene</ENT>
            <ENT>ND</ENT>
            <ENT>1.36E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Benzo(b)fluoranthene</ENT>
            <ENT>ND</ENT>
            <ENT>1.03E+03</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Benzo(k)fluoranthene</ENT>
            <ENT>ND</ENT>
            <ENT>1.22E+04</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Benzo(a)pyrene</ENT>
            <ENT>ND</ENT>
            <ENT>1.03E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Cadmium</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Carbon tetrachloride</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Chlorobenzene</ENT>
            <ENT>ND</ENT>
            <ENT>2.94E+01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Chloroform</ENT>
            <ENT>ND</ENT>
            <ENT>1.56E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Chromium</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Chrysene</ENT>
            <ENT>ND</ENT>
            <ENT>1.36E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Cobalt</ENT>
            <ENT>9.53E-04</ENT>
            <ENT>4.05E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Copper</ENT>
            <ENT>2.23E-03</ENT>
            <ENT>4.60E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">o-Cresol</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">m-Cresol</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">p-Cresol</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">1,2-Dichloroethane</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">1,1-Dichloroethylene</ENT>
            <ENT>ND</ENT>
            <ENT>7.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2,4-Dinitrotoluene</ENT>
            <ENT>ND</ENT>
            <ENT>1.30E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Fluoride</ENT>
            <ENT>7.20E-01</ENT>
            <ENT>7.65E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Hexachlorobenzene</ENT>
            <ENT>ND</ENT>
            <ENT>1.30E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Hexachloroethane</ENT>
            <ENT>ND</ENT>
            <ENT>3.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Lead</ENT>
            <ENT>9.47E-04</ENT>
            <ENT>1.04E+01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Manganese</ENT>
            <ENT>6.66E-01</ENT>
            <ENT>3.11E+02</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Mercury</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Methyl ethyl ketone</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Molybdenum</ENT>
            <ENT>1.66E-02</ENT>
            <ENT>6.38E+01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Nitrobenzene</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Pentachlorophenol</ENT>
            <ENT>ND</ENT>
            <ENT>3.03E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Pyridine</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Selenium</ENT>
            <ENT>5.16E-03</ENT>
            <ENT>1.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Silver</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Total-TCDD</ENT>
            <ENT>2.14E-09</ENT>
            <ENT>3.74E-05</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Tetrachloroethylene</ENT>
            <ENT>ND</ENT>
            <ENT>3.98E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Trichloroethylene</ENT>
            <ENT>ND</ENT>
            <ENT>5.00E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2,4,6-Trichlorophenol</ENT>
            <ENT>ND</ENT>
            <ENT>2.00E+00</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Vinyl chloride</ENT>
            <ENT>ND</ENT>
            <ENT>1.56E-01</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Zinc</ENT>
            <ENT>6.05E-02</ENT>
            <ENT>3.93E+03</ENT>
          </ROW>
          <TNOTE>
            <E T="02">Notes:</E>These levels represent the highest constituent concentration found in any one sample and does not necessarily represent the specific level found in one sample.</TNOTE>
          <TNOTE>ND—Constituent was not detected in any of the delisting samples collected for the petition but was in waste(s) historically applied to the North Landfarm and could reasonably be expected to be present in underflow water.</TNOTE>
        </GPOTABLE>
        <PRTPAGE P="36451"/>
        <HD SOURCE="HD2">E. How did EPA evaluate the risk of delisting the waste?</HD>

        <P>For this delisting determination, EPA used such information gathered to identify plausible exposure routes (i.e., groundwater, surface water, air) for hazardous constituents present in the petitioned waste. EPA determined that disposal in a surface impoundment is the most reasonable, worst-case disposal scenario for ExxonMobil's petitioned waste. EPA applied the Delisting Risk Assessment Software (DRAS) described in 65 FR 58015 (September 27, 2000) and 65 FR 75637 (December 4, 2000), to predict the maximum allowable concentrations of hazardous constituents that may be released from the petitioned waste after disposal and determined the potential impact of the disposal of ExxonMobil's petitioned waste on human health and the environment. A copy of this software can be found on the world wide web at<E T="03">http://www.epa.gov/reg5rcra/wptdiv/hazardous/delisting/dras-software.html.</E>In assessing potential risks to groundwater, EPA used the maximum waste volumes and the maximum reported extract concentrations as inputs to the DRAS program to estimate the constituent concentrations in the groundwater at a hypothetical receptor well down gradient from the disposal site. Using the risk level (carcinogenic risk of 10<E T="51">−5</E>and non-cancer hazard index of 1.0), the DRAS program can back-calculate the acceptable receptor well concentrations (referred to as compliance-point concentrations) using standard risk assessment algorithms and EPA health-based numbers. Using the maximum compliance-point concentrations and EPA's Composite Model for Underflow water Migration with Transformation Products (EPACMTP) fate and transport modeling factors, the DRAS further back-calculates the maximum permissible waste constituent concentrations not expected to exceed the compliance-point concentrations in groundwater.</P>
        <P>EPA believes that the EPACMTP fate and transport model represents a reasonable worst-case scenario for possible groundwater contamination resulting from disposal of the petitioned waste in a surface impoundment, and that a reasonable worst-case scenario is appropriate when evaluating whether a waste should be relieved of the protective management constraints of RCRA Subtitle C. The use of some reasonable worst-case scenarios resulted in conservative values for the compliance-point concentrations and ensures that the waste, once removed from hazardous waste regulation, will not pose a significant threat to human health or the environment.</P>
        <P>The DRAS also uses the maximum estimated waste volumes and the maximum reported total concentrations to predict possible risks associated with releases of waste constituents through surface pathways (e.g., volatilization from the impoundment). As in the above groundwater analyses, the DRAS uses the risk level, the health-based data and standard risk assessment and exposure algorithms to predict maximum compliance-point concentrations of waste constituents at a hypothetical point of exposure. Using fate and transport equations, the DRAS uses the maximum compliance-point concentrations and back-calculates the maximum allowable waste constituent concentrations (or “delisting levels”).</P>
        <P>In most cases, because a delisted waste is no longer subject to hazardous waste control, EPA is generally unable to predict, and does not presently control, how a petitioner will manage a waste after delisting. Therefore, EPA currently believes that it is inappropriate to consider extensive site-specific factors when applying the fate and transport model. EPA does control the type of unit where the waste is disposed. The waste must be disposed in the type of unit the fate and transport model evaluates.</P>
        <P>The DRAS results which calculate the maximum allowable concentration of chemical constituents in the waste are presented in Table I. Based on the comparison of the DRAS and TCLP Analyses results found in Table I, the petitioned waste should be delisted because no constituents of concern tested are likely to be present or formed as reaction products or by-products in ExxonMobil waste.</P>
        <HD SOURCE="HD2">F. What did EPA conclude about ExxonMobil's waste analysis?</HD>
        <P>EPA concluded, after reviewing ExxonMobil's processes that no other hazardous constituents of concern, other than those for which tested, are likely to be present or formed as reaction products or by-products in the waste. In addition, on the basis of explanations and analytical data provided by ExxonMobil, pursuant to § 260.22, EPA concludes that the petitioned waste do not exhibit any of the characteristics of ignitability, corrosivity, reactivity or toxicity. See §§ 261.21, 261.22 and 261.23, respectively.</P>
        <HD SOURCE="HD2">G. What other factors did EPA consider in its evaluation?</HD>
        <P>During the evaluation of ExxonMobil's petition, EPA also considered the potential impact of the petitioned waste via non-groundwater routes (i.e., air emission and surface runoff). With regard to airborne dispersion in particular, EPA believes that exposure to airborne contaminants from ExxonMobil's petitioned waste is unlikely. Therefore, no appreciable air releases are likely from ExxonMobil's waste under any likely disposal conditions. EPA evaluated the potential hazards resulting from the unlikely scenario of airborne exposure to hazardous constituents released from ExxonMobil's waste in an open impoundment. The results of this worst-case analysis indicated that there is no substantial present or potential hazard to human health and the environment from airborne exposure to constituents from ExxonMobil's North Landfarm underflow water.</P>
        <HD SOURCE="HD2">H. What is EPA's evaluation of this delisting petition?</HD>
        <P>The descriptions of ExxonMobil's hazardous waste process and analytical characterization provide a reasonable basis for EPA to grant the exclusion. The data submitted in support of the petition show that constituents in the waste are below the leachable concentrations (see Table I). EPA believes that ExxonMobil's North Landfarm underflow water will not impose any threat to human health and the environment.</P>
        <P>Thus, EPA believes ExxonMobil should be granted an exclusion for the North Landfarm underflow water. EPA believes the data submitted in support of the petition show ExxonMobil's North Landfarm underflow water is non-hazardous. The data submitted in support of the petition show that constituents in ExxonMobil's waste are presently below the compliance point concentrations used in the delisting decision and would not pose a substantial hazard to the environment. EPA believes that ExxonMobil has successfully demonstrated that the North Landfarm underflow water is non-hazardous.</P>
        <P>EPA therefore, proposes to grant an exclusion to ExxonMobil in Baytown, Texas, for the North Landfarm underflow water described in its petition. EPA's decision to exclude this waste is based on descriptions of the treatment activities associated with the petitioned waste and characterization of the North Landfarm underflow water.</P>

        <P>If EPA finalizes the proposed rule, EPA will no longer regulate the petitioned waste under Parts 262 through 268 and the permitting standards of Part 270.<PRTPAGE P="36452"/>
        </P>
        <HD SOURCE="HD1">IV. Next Steps</HD>
        <HD SOURCE="HD2">A. With what conditions must the petitioner comply?</HD>
        <P>The petitioner, ExxonMobil, must comply with the requirements in 40 CFR Part 261, Appendix IX, Table 1. The text below gives the rationale and details of those requirements.</P>
        <HD SOURCE="HD3">(1) Delisting Levels</HD>
        <P>This paragraph provides the levels of constituents for which ExxonMobil must test the North Landfarm underflow water, below which these wastes would be considered non-hazardous. EPA selected the set of inorganic and organic constituents specified in paragraph (1) of 40 CFR Part 261, Appendix IX, Table 1, (the exclusion language) based on information in the petition. EPA compiled the inorganic and organic constituents list from the composition of the waste, descriptions of ExxonMobil's treatment process, previous test data provided for the waste, and the respective health-based levels used in delisting decision-making. These delisting levels correspond to the allowable levels measured in the TCLP concentrations.</P>
        <HD SOURCE="HD3">(2) Waste Holding and Handling</HD>

        <P>The purpose of this paragraph is to ensure that ExxonMobil manages and disposes of any North Landfarm underflow water that contains hazardous levels of inorganic and organic constituents according to Subtitle C of RCRA. Managing the North Landfarm underflow water as a hazardous waste until initial verification testing is performed will protect against improper handling of hazardous material. If EPA determines that the data collected under this paragraph do not support the data provided for in the petition, the exclusion will not cover the petitioned waste. The exclusion is effective upon publication in the<E T="04">Federal Register</E>but the disposal as non-hazardous cannot begin until the verification sampling is completed.</P>
        <HD SOURCE="HD3">(3) Verification Testing Requirements</HD>
        <P>ExxonMobil must complete a rigorous verification testing program on the North Landfarm underflow water to assure that the water does not exceed the maximum levels specified in paragraph (1) of the exclusion language. This verification program operates on two levels. The first part of the verification testing program consists of testing the North Landfarm underflow water for specified indicator parameters as per paragraph (1) of the exclusion language. ExxonMobil will test underflow water within the first 30 days after notifying the TCEQ of its intention to initiate closure activities for the North Landfarm. Once ExxonMobil notifies TCEQ that it will begin closure activities, wastes (including underflow water) will no longer be applied to the North Landfarm.</P>
        <P>If EPA determines that the data collected under this paragraph do not support the data provided for the petition, the exclusion will not cover the generated wastes. If the data from the initial verification testing program demonstrate that the North Landfarm underflow water meets the delisting levels, ExxonMobil may commence verification testing. EPA will notify ExxonMobil in writing, if and when it may replace the testing conditions in paragraph (3)(A) with the testing conditions in (3)(B) of the exclusion language.</P>
        <P>The second part of the verification testing program is the testing of representative samples of North Landfarm underflow water for all constituents specified in paragraph (1) of the exclusion language. EPA believes that the concentrations of the constituents of concern in the North Landfarm underflow water may vary over time. Consequently, this program will ensure that the North Landfarm underflow water is evaluated in terms of variation in constituent concentrations in the waste over time.</P>
        <P>The proposed subsequent testing would verify that the constituent concentrations of the North Landfarm underflow water do not exhibit unacceptable temporal and spatial levels of toxic constituents. EPA is proposing to require ExxonMobil to analyze representative samples of the North Landfarm underflow water twice during the first six months of waste generation. ExxonMobil would begin sampling after confirmation that the results from the initial verification sampling are less than the Maximum Allowable Delisting Concentrations for the indicator parameters included in paragraph (1) of the exclusion language as described in paragraph (3)(A) of the exclusion language.</P>
        <P>EPA, per paragraph 3(B) of the exclusion language, is proposing to end the subsequent testing conditions after the first six months, if ExxonMobil has demonstrated that the waste consistently meets the delisting levels. To confirm that the characteristics of the waste do not change significantly over time, ExxonMobil must continue to analyze a representative sample of the waste on an annual basis. Annual testing requires analyzing the full list of components in paragraph (1) of the exclusion language. If operating conditions change as described in paragraph (4) of the exclusion language; ExxonMobil must reinstate all testing in paragraph (1) of the exclusion language.</P>
        <P>ExxonMobil must prove through a new demonstration that their waste meets the conditions of the exclusion. If the annual testing of the waste does not meet the delisting requirements in paragraph (1), ExxonMobil must notify EPA according to the requirements in paragraph (6) of the exclusion language. The facility must provide sampling results that support the rationale that the delisting exclusion should not be withdrawn.</P>
        <HD SOURCE="HD3">(4) Changes in Operating Conditions</HD>
        <P>Paragraph (4) of the exclusion language would allow ExxonMobil the flexibility of modifying its processes (for example, changes in equipment or change in operating conditions). However, ExxonMobil must prove the effectiveness of the modified process and request approval from EPA. ExxonMobil must manage wastes generated during the new process demonstration as hazardous waste until it has obtained written approval and paragraph (3) of the exclusion language is satisfied.</P>
        <HD SOURCE="HD3">(5) Data Submittals</HD>
        <P>To provide appropriate documentation that ExxonMobil's North Landfarm underflow water is meeting the delisting levels, ExxonMobil must compile, summarize, and keep delisting records on-site for a minimum of five years. It should keep all analytical data obtained through paragraph (3) of the exclusion language including quality control information for five years. Paragraph (5) of the exclusion language requires that ExxonMobil furnish these data upon request for inspection by any employee or representative of EPA or the State of Texas.</P>
        <P>If the proposed exclusion is made final, it will apply only to 7,427 cubic yards per year of North Landfarm underflow water generated at the ExxonMobil Baytown Refinery after successful verification testing. EPA would require ExxonMobil to file a new delisting petition under any of the following circumstances and treat the underflow water as hazardous waste:</P>
        <P>(a) If it significantly alters the process or treatment system except as described in paragraph (4) of the exclusion language;</P>

        <P>(b) If it significantly changes from the current process(es) described in their petition; or<PRTPAGE P="36453"/>
        </P>
        <P>(c) If it makes any changes that could affect the composition or type of waste generated.</P>
        <P>ExxonMobil must manage waste volumes greater than 7,427 cubic yards per year of North Landfarm underflow water as hazardous until EPA grants a new exclusion.</P>
        <P>When this exclusion becomes final, ExxonMobil's management of the wastes covered by this petition would be relieved from Subtitle C jurisdiction, the North Landfarm underflow water from ExxonMobil will be treated and discharged to the Houston Ship Channel.</P>
        <HD SOURCE="HD3">(6) Reopener</HD>
        <P>The purpose of paragraph (6) of the exclusion language is to require ExxonMobil to disclose new or different information related to a condition at the facility or disposal of the waste, if it is pertinent to the delisting. ExxonMobil must also use this procedure, if the waste sample in the annual testing fails to meet the levels found in paragraph (1). This provision will allow EPA to reevaluate the exclusion, if a source provides new or additional information to EPA. EPA will evaluate the information on which EPA based the decision to see if it is still correct, or if circumstances have changed so that the information is no longer correct or would cause EPA to deny the petition, if presented. This provision expressly requires ExxonMobil to report differing site conditions or assumptions used in the petition in addition to failure to meet the annual testing conditions within 10 days of discovery. If EPA discovers such information itself or from a third party, it can act on it as appropriate. The language being proposed is similar to those provisions found in RCRA regulations governing no-migration petitions at § 268.6.</P>

        <P>EPA believes that it has the authority under RCRA and the Administrative Procedures Act (APA), 5 U.S.C. 551 (1978)<E T="03">et seq.,</E>to reopen a delisting decision. EPA may reopen a delisting decision when it receives new information that calls into question the assumptions underlying the delisting.</P>

        <P>EPA believes a clear statement of its authority in delistings is merited in light of EPA's experience. See Reynolds Metals Company at 62 FR 37694 (July 14, 1997) and 62 FR 63458 (December 1, 1997) where the delisted waste leached at greater concentrations in the environment than the concentrations predicted when conducting the TCLP, thus leading EPA to repeal the delisting. If an immediate threat to human health and the environment presents itself, EPA will continue to address these situations on a case-by-case basis. Where necessary, EPA will make a good cause finding to justify emergency rulemaking.<E T="03">See</E>APA § 553 (b).</P>
        <HD SOURCE="HD3">(7) Notification Requirements</HD>
        <P>In order to adequately track wastes that have been delisted, EPA is requiring that ExxonMobil provide a one-time notification to any state regulatory agency through which or to which the delisted waste is being carried. ExxonMobil must provide this notification 60 days before commencing this activity.</P>
        <HD SOURCE="HD2">B. What happens if ExxonMobil violates the terms and conditions?</HD>
        <P>If ExxonMobil violates the terms and conditions established in the exclusion, EPA will start procedures to withdraw the exclusion. Where there is an immediate threat to human health and the environment, EPA will evaluate the need for enforcement activities on a case-by-case basis. EPA expects ExxonMobil to conduct the appropriate waste analysis and comply with the criteria explained above in paragraph (1) of the exclusion.</P>
        <HD SOURCE="HD1">V. Public Comments</HD>
        <HD SOURCE="HD2">A. How can I as an interested party submit comments?</HD>

        <P>EPA is requesting public comments on this proposed decision. Please send three copies of your comments. Send two copies to Section Chief of the Corrective Action and Waste Minimization Section (6PD-C), Multimedia Planning and Permitting Division, Environmental Protection Agency (EPA), 1445 Ross Avenue, Dallas, Texas 75202. Identify your comments at the top with this regulatory docket number: “EPA-R6-RCRA-2012-0138 ExxonMobil Baytown Refinery, North Landfarm underflow water delisting.” You may submit your comments electronically to Wendy Jacques at<E T="03">jacques.wendy@epa.gov.</E>
        </P>
        <P>You should submit requests for a hearing to Section Chief of the Corrective Action and Waste Minimization Section (6PD-C), Multimedia Planning and Permitting Division, U.S. Environmental Protection Agency, 1445 Ross Avenue, Dallas, Texas 75202.</P>
        <HD SOURCE="HD2">B. How may I review the docket or obtain copies of the proposed exclusion?</HD>

        <P>You may review the RCRA regulatory docket for this proposed rule at the Environmental Protection Agency Region 6, 1445 Ross Avenue, Dallas, Texas 75202. It is available for viewing in EPA Freedom of Information Act Review Room from 9:00 a.m. to 4:00 p.m., Monday through Friday, excluding Federal holidays. Call (214) 665-6444 for appointments. The public may copy material from any regulatory docket at no cost for the first 100 pages, and at fifteen cents per page for additional copies. Docket materials may be available both electronically in<E T="03">http://www.regulations.gov</E>and you may also request the electronic files of the docket which do not appear on regulations.gov.</P>
        <HD SOURCE="HD1">VI. Statutory and Executive Order Reviews</HD>
        <P>Under Executive Order 12866, “Regulatory Planning and Review” (58 FR 51735, October 4, 1993), this rule is not of general applicability and therefore is not a regulatory action subject to review by the Office of Management and Budget (OMB). This rule does not impose an information collection burden under the provisions of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501 et seq.) because it applies to a particular facility only.</P>

        <P>Because this rule is of particular applicability relating to a particular facility, 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, 204, and 205 of the Unfunded Mandates Reform Act of 1995 (UMRA) (Pub. L. 104-4). Because this rule will affect only a particular facility, it will not significantly or uniquely affect small governments, as specified in section 203 of UMRA.</P>
        <P>Because this rule will affect only a particular facility, this proposed rule does not have federalism implications. It will 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, “Federalism,” (64 FR 43255, August 10, 1999). Thus, Executive Order 13132 does not apply to this rule.</P>
        <P>Similarly, because this rule will affect only a particular facility, this proposed rule does not have tribal implications, as specified in Executive Order 13175, “Consultation and Coordination with Indian Tribal Governments” (65 FR 67249, November 9, 2000). Thus, Executive Order 13175 does not apply to this rule.</P>

        <P>This rule also is not subject to Executive Order 13045, “Protection of Children from Environmental Health Risks and Safety Risks” (62 FR 19885, April 23, 1997), because it is not economically significant as defined in Executive Order 12866, and because the Agency does not have reason to believe<PRTPAGE P="36454"/>the environmental health or safety risks addressed by this action present a disproportionate risk to children. The basis for this belief is that the Agency used the DRAS program, which considers health and safety risks to infants and children, to calculate the maximum allowable concentrations for this rule.</P>
        <P>This rule 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.</P>
        <P>This rule 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.</P>
        <P>As required by section 3 of Executive Order 12988, “Civil Justice Reform,” (61 FR 4729, February 7, 1996), in issuing this rule, EPA has taken the necessary steps to eliminate drafting errors and ambiguity, minimize potential litigation, and provide a clear legal standard for affected conduct.</P>
        <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 804 exempts from section 801 the following types of rules (1) rules of particular applicability; (2) rules relating to agency management or personnel; and (3) rules of agency organization, procedure, or practice that do not substantially affect the rights or obligations of non-agency parties 5 U.S.C. 804(3). EPA is not required to submit a rule report regarding this action under section 801 because this is a rule of particular applicability.</P>
        <LSTSUB>
          <HD SOURCE="HED">Lists of Subjects in 40 CFR Part 261</HD>
          <P>Environmental protection, Hazardous Waste, Recycling, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>Sec. 3001(f) RCRA, 42 U.S.C. 6921(f)</P>
        </AUTH>
        <SIG>
          <DATED>Dated: May 24, 2012.</DATED>
          <NAME>Carl E. Edlund,</NAME>
          <TITLE>Director Multimedia Planning and Permitting Division, Region 6.</TITLE>
        </SIG>
        <P>For the reasons set out in the preamble, 40 CFR part 261 is proposed to be amended as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 261—IDENTIFICATION AND LISTING OF HAZARDOUS WASTE</HD>
          <P>1. The authority citation for part 261 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 6905, 6912(a), 6921, 6922, 6924(y) and 6938.</P>
          </AUTH>
          
          <P>2. In Tables 1 and 2 of Appendix IX to Part 261 add the following entries in alphabetical order by facility to read as follows:</P>
          <APPENDIX>
            <HD SOURCE="HED">Appendix IX to Part 261—Waste Excluded Under §§ 260.20 and 260.22</HD>
            <GPOTABLE CDEF="xs70,xs70,r50" COLS="3" OPTS="L1,i1">
              <TTITLE>Table 1—Waste Excluded From Non-Specific Sources</TTITLE>
              <BOXHD>
                <CHED H="1">Facility</CHED>
                <CHED H="1">Address</CHED>
                <CHED H="1">Waste description</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ExxonMobil North Landfarm</ENT>
                <ENT>Baytown, TX</ENT>
                <ENT>North Landfarm underflow water (EPA Hazardous Waste Numbers F039 generated at a maximum rate of 1,500,000 gallons (7,427 cubic yards) per calendar year after issuing notice that ExxonMobil will initiate closure of the North Landfarm.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>For the exclusion to be valid, ExxonMobil must implement a verification testing program for each of the waste streams that meets the following Paragraphs:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(1) Delisting Levels: All concentrations for those constituents must not exceed the maximum allowable concentrations in mg/l specified in this paragraph.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>North Landfarm underflow water. Leachable Concentrations (mg/l): Arsenic—0.164; Barium—100; Benzene—0.5; Benzo(a)anthracene—1.36; Benzo(b)fluoranthene—1030; Benzo(k)fluoranthene—12200; Benzo(a)pyrene—103; Cadmium—5; Carbon tetrachloride—0.50; Chlorobenzene—29.4; Chloroform—1.56; Chromium—5; Chrysene—136; Cobalt—4.05; Copper—460; o-Cresol—200; m-Cresol—200; p-Cresol—200; 1,2-Dichloroethane—0.50; 1,1-Dichloroethylene—0.7; 2,4-Dinitrotoluene—0.13; Fluoride—765; Hexachlorobenzene—0.13; Hexachloroethane—3; Lead—10.4; Manganese—311; Mercury—0.2; Methyl ethyl ketone—2; Molybdenum—63.8; Nitrobenzene—2; Pentachlorophenol—0.303; Pyridine—5; Selenium—1; Silver—5; Total-TCDD—.0000374; Tetrachloroethylene—0.398; Trichloroethylene—0.5; 2,4,6-Trichlorophenol—2; Vinyl Chloride—0.156; Zinc-3930.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(2) Waste Holding and Handling:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(A) Waste classification as non-hazardous can not begin until compliance with the limits set in paragraph (1) for the North Landfarm underflow water has occurred for two consecutive sampling events.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(B) If constituent levels in any annual sample and retest sample taken by ExxonMobil exceed any of the delisting levels set in paragraph (1) for the North Landfarm underflow water, ExxonMobil must do the following:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(i) notify EPA in accordance with paragraph (6) and</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(ii) manage and dispose the North Landfarm underflow water as hazardous waste generated under Subtitle C of RCRA.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(3) Testing Requirements:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>Upon notification that it will initiate closure of the North Landfarm, ExxonMobil must perform analytical testing by sampling and analyzing the North Landfarm underflow water as follows:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(A) Initial Verification Testing:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(i) Collect one representative sample of the North Landfarm underflow water for analysis of all constituents listed in paragraph (1) within the first 30 days after notifying the TCEQ of the intention to initiate closure activities for the North Landfarm. Sampling must be performed in accordance with the sampling plan approved by EPA in support of the exclusion.</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="36455"/>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(ii) If the data from the initial verification testing program demonstrate that the North Landfarm underflow water meets the Maximum Allowable Delisting Concentrations for the indicator parameters included in paragraph (1), collect two representative samples of the North Landfarm underflow water twice during the first six months of waste generation. Analyze the samples for all constituents listed in paragraph (1). Any representative sample taken that exceeds the delisting levels listed in paragraph (1) indicates that the North Landfarm underflow water must continue to be disposed as hazardous waste in accordance with the applicable hazardous waste requirements until such time that two consecutive representative samples indicate compliance with delisting levels listed in paragraph (1).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(iii) Within sixty (60) days after taking its last representative sample, ExxonMobil will report its analytical test data to EPA. If levels of constituents measured in the samples of the North Landfarm underflow water do not exceed the levels set forth in paragraph (1) of this exclusion for six consecutive months, ExxonMobil can manage and dispose the non-hazardous North Landfarm underflow water according to all applicable solid waste regulations.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(B) Annual Testing:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(i) If ExxonMobil completes the testing specified in paragraph (3) above and no sample contains a constituent at a level which exceeds the limits set forth in paragraph (1), ExxonMobil must begin annual testing as follows: ExxonMobil must test a representative grab sample of the North Landfarm underflow water for all constituents listed in paragraph (1) at least once per calendar year. If any measured constituent concentration exceeds the delisting levels set forth in paragraph (1), ExxonMobil must collect an additional representative sample within 10 days of being made aware of the exceedence and test it expeditiously for the constituent(s) which exceeded delisting levels in the original annual sample.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(ii) The samples for the annual testing shall be a representative grab sample according to appropriate methods. As applicable to the method-defined parameters of concern, analyses requiring the use of SW-846 methods incorporated by reference in 40 CFR 260.11 must be used without substitution. As applicable, the SW-846 methods might include Methods 0010, 0011, 0020, 0023A, 0030, 0031, 0040, 0050, 0051, 0060, 0061, 1010A, 1020B,1110A, 1310B, 1311, 1312, 1320, 1330A, 9010C, 9012B, 9040C, 9045D, 9060A, 9070A (uses EPA Method 1664, Rev. A), 9071B, and 9095B. Methods must meet Performance Based Measurement System Criteria in which the Data Quality Objectives are to demonstrate that samples of the ExxonMobil North Landfarm underflow water are representative for all constituents listed in paragraph (1).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(iii) The samples for the annual testing taken for the second and subsequent annual testing events shall be taken within the same calendar month as the first annual sample taken.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(iv) The annual testing report should include the total amount of delisted waste in cubic yards disposed during the calendar year.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(4) Changes in Operating Conditions: If ExxonMobil significantly changes the process described in its petition or starts any processes that generate(s) the waste that may or could affect the composition or type of waste generated (by illustration, but not limitation, changes in equipment or operating conditions of the treatment process), it must notify EPA in writing and it may no longer handle the waste generated from the new process as non-hazardous until the waste meet the delisting levels set in paragraph (1) and it has received written approval to do so from EPA.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>ExxonMobil must submit a modification to the petition complete with full sampling and analysis for circumstances where the waste volume changes and/or additional waste codes are added to the waste stream.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(5) Data Submittals:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>ExxonMobil must submit the information described below. If ExxonMobil fails to submit the required data within the specified time or maintain the required records on-site for the specified time, EPA, at its discretion, will consider this sufficient basis to reopen the exclusion as described in paragraph(6). ExxonMobil must:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(A) Submit the data obtained through paragraph 3 to the Chief, Corrective Action and Waste Minimization Section, Multimedia Planning and Permitting Division, U. S. Environmental Protection Agency Region 6, 1445 Ross Ave., Dallas, Texas 75202, within the time specified. All supporting data can be submitted on CD-ROM or comparable electronic media.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(B) Compile records of analytical data from paragraph (3), summarized, and maintained on-site for a minimum of five years.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(C) Furnish these records and data when either EPA or the State of Texas requests them for inspection.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(D) Send along with all data a signed copy of the following certification statement, to attest to the truth and accuracy of the data submitted:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>“Under civil and criminal penalty of law for the making or submission of false or fraudulent statements or representations (pursuant to the applicable provisions of the Federal Code, which include, but may not be limited to, 18 U.S.C. § 1001 and 42 U.S.C. § 6928), I certify that the information contained in or accompanying this document is true, accurate and complete.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>As to the (those) identified section(s) of this document for which I cannot personally verify its (their) truth and accuracy, I certify as the company official having supervisory responsibility for the persons who, acting under my direct instructions, made the verification that this information is true, accurate and complete.</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="36456"/>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>If any of this information is determined by EPA in its sole discretion to be false, inaccurate or incomplete, and upon conveyance of this fact to the company, I recognize and agree that this exclusion of waste will be void as if it never had effect or to the extent directed by EPA and that the company will be liable for any actions taken in contravention of the company's RCRA and CERCLA obligations premised upon the company's reliance on the void exclusion.”</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(6) Reopener</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(A) If, anytime after disposal of the delisted waste ExxonMobil possesses or is otherwise made aware of any environmental data (including but not limited to underflow water data or ground water monitoring data) or any other data relevant to the delisted waste indicating that any constituent identified for the delisting verification testing is at a level higher than the delisting level allowed by the Division Director in granting the petition, then the facility must report the data, in writing, to the Division Director within 10 days of first possessing or being made aware of that data.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(B) If either the annual testing (and retest, if applicable) of the waste does not meet the delisting requirements in paragraph 1, ExxonMobil must report the data, in writing, to the Division Director within 10 days of first possessing or being made aware of that data.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(C) If ExxonMobil fails to submit the information described in paragraphs (5), (6)(A) or (6)(B) or if any other information is received from any source, the Division Director will make a preliminary determination as to whether the reported information requires EPA action to protect human health and/or the environment. Further action may include suspending, or revoking the exclusion, or other appropriate response necessary to protect human health and the environment.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(D) If the Division Director determines that the reported information requires action by EPA, the Division Director will notify the facility in writing of the actions the Division Director believes are necessary to protect human health and the environment. The notice shall include a statement of the proposed action and a statement providing the facility with an opportunity to present information as to why the proposed EPA action is not necessary. The facility shall have 10 days from receipt of the Division Director's notice to present such information.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(E) Following the receipt of information from the facility described in paragraph (6)(D) or (if no information is presented under paragraph (6)(D)) the initial receipt of information described in paragraphs (5), (6)(A) or (6)(B), the Division Director will issue a final written determination describing EPA actions that are necessary to protect human health and/or the environment. Any required action described in the Division Director's determination shall become effective immediately, unless the Division Director provides otherwise.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(7) Notification Requirements:</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>ExxonMobil must do the following before transporting the delisted waste. Failure to provide this notification will result in a violation of the delisting petition and a possible revocation of the decision.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(A) Provide a one-time written notification to any state Regulatory Agency to which or through which it will transport the delisted waste described above for disposal, 60 days before beginning such activities.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(B) For onsite disposal a notice should be submitted to the State to notify the State that disposal of the delisted materials has begun.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(C) Update one-time written notification, if it ships the delisted waste into a different disposal facility.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>(D) Failure to provide this notification will result in a violation of the delisting exclusion and a possible revocation of the decision.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
            <GPOTABLE CDEF="xs70,xs70,r50" COLS="3" OPTS="L1,i1">
              <TTITLE>Table 2—Waste Excluded From Specific Sources</TTITLE>
              <BOXHD>
                <CHED H="1">Facility</CHED>
                <CHED H="1">Address</CHED>
                <CHED H="1">Waste description</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">ExxonMobil North Landfarm</ENT>
                <ENT>Baytown, TX</ENT>
                <ENT>North Landfarm underflow water (EPA Hazardous Waste Numbers F039 generated at a maximum rate of 1,500,000 gallons (7,427 cubic yards) per calendar year after notification that ExxonMobil will initiate closure of the North Landfarm.</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
          </APPENDIX>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14780 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </PRORULE>
    
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="36457"/>
        <AGENCY TYPE="N">DEPARTMENT OF THE INTERIOR</AGENCY>
        <SUBAGY>Fish and Wildlife Service</SUBAGY>
        <CFR>50 CFR Part 17</CFR>
        <DEPDOC>[Docket No. FWS-R4-ES-2009-0022; 4500030114]</DEPDOC>
        <RIN>RIN 1018-AX68</RIN>
        <SUBJECT>Endangered and Threatened Wildlife and Plants; Designation of Critical Habitat for the Coquí Llanero</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Fish and Wildlife Service, Interior.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule; reopening of comment period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>We, the U.S. Fish and Wildlife Service, announce the reopening of the public comment period on the October 12, 2011, proposed designation of critical habitat for the coquí llanero (<E T="03">Eleutherodactylus juanariveroi</E>) (a tree frog) under the Endangered Species Act of 1973, as amended (Act). We are reopening the comment period to allow all interested parties an opportunity to comment on the proposed rule, our evaluation of the potential economic impacts of the proposed designation, and the amended required determinations section. Comments previously submitted need not be resubmitted, as they will be fully considered in preparation of the final rule.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>The comment period for the proposed rule that published on October 12, 2011, at 76 FR 63420, is reopened. We will consider comments received on or before July 19, 2012. Comments must be received by 11:59 p.m. Eastern Time on the closing date. Any comments that we receive after the closing date may not be considered in the final decision on this action.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit written comments by one of the following methods:</P>
          <P>(1)<E T="03">Electronically:</E>Go to the Federal eRulemaking Portal:<E T="03">http://www.regulations.gov.</E>Search for Docket No. FWS-R4-ES-2009-0022, which is the docket number for this rulemaking.</P>
          <P>(2)<E T="03">By hard copy:</E>Submit by U.S. mail or hand-delivery to: Public Comments Processing, Attn: FWS-R4-ES-2009-0022; Division of Policy and Directives Management, U.S. Fish and Wildlife Service, 4401 N. Fairfax Drive, MS 2042-PDM, Arlington, VA 22203.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Marelisa Rivera, Deputy Field Supervisor, Caribbean Ecological Services Field Office, P.O. Box 491, Road 301 Km 5.1, Boquerón, Puerto Rico 00622, by telephone 787-851-7297, extension 206, or by facsimile 787-851-7440. Persons who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 800-877-8339.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Public Comments</HD>

        <P>We will accept written comments and information during this reopened comment period on our proposed designation of critical habitat for the coquí llanero (an endemic Puerto Rican tree frog) that was published in the<E T="04">Federal Register</E>on October 12, 2011 (76 FR 63420), our evaluation of potential economic impacts of the proposed designation, and the amended required determinations provided in this document. We will consider information and recommendations from all interested parties. We are particularly interested in comments concerning:</P>
        <P>(1) Additional information concerning the historical and current status, range, distribution, and population size of this species, including the locations of any additional populations of this species.</P>
        <P>(2) Any information on the biological or ecological requirements of the species and ongoing conservation measures for the species and its habitat.</P>
        <P>(3) Biological, commercial trade, or other relevant data concerning any threats (or lack thereof) to this species and regulations that may be addressing those threats.</P>
        <P>(4) Current or planned activities in the areas occupied by the species and possible impacts of these activities on this species.</P>

        <P>(5) The reasons why areas should or should not be designated as critical habitat as provided by section 4 of the Act (16 U.S.C. 1531<E T="03">et seq.</E>), including the possible risks or benefits of designating critical habitat, including risks associated with publication of maps designating any area on which this species may be located, now or in the future, as critical habitat.</P>
        <P>(6) Specific information on:</P>
        <P>(a) The amount and distribution of habitat for the coquí llanero;</P>
        <P>(b) What areas, which were occupied at the time of listing (or are currently occupied) and that contain the physical and biological features essential to the conservation of this species, should be included in a critical habitat designation and why;</P>
        <P>(c) Special management considerations or protection that may be needed for the essential features in critical habitat areas, including managing for the potential effects of climate change; and</P>
        <P>(d) What areas not occupied at the time of listing are essential for the conservation of this species and why.</P>
        <P>(7) Information on the projected and reasonably likely impacts of changing environmental conditions resulting from climate change on the species and its habitat.</P>
        <P>(8) Any probable economic, national security, or other relevant impacts of designating any area that may be included in the final designation; in particular, any impacts on small entities or families, and the benefits of including or excluding areas that exhibit these impacts.</P>
        <P>(9) Information on the extent to which the description of probable economic impacts of the proposed critical habitat designation is complete and accurate.</P>
        <P>(10) Information on whether the benefits of an exclusion of any particular area may outweigh the benefits of its inclusion under section 4(b)(2) of the Act.</P>
        <P>(11) Whether our approach to designating critical habitat could be improved or modified in any way to provide for greater public participation and understanding, or to assist us in accommodating public concerns and comments.</P>
        <P>If you submitted comments or information on the proposed rule (76 FR 63420) during the initial comment period from October 12, 2011, to December 12, 2011, please do not resubmit them. We have incorporated them into the public record, and we will fully consider them in the preparation of our final determination, which will take into consideration all written comments and any additional information we receive during both comment periods. On the basis of public comments, we may, during the development of our final determination, find that areas proposed are not essential, are appropriate for exclusion under section 4(b)(2) of the Act, or are not appropriate for exclusion.</P>

        <P>You may submit your comments and materials by one of the methods listed in the<E T="02">ADDRESSES</E>section. We request that you send comments only by the methods described in the<E T="02">ADDRESSES</E>section.</P>
        <P>If you submit a comment via<E T="03">http://www.regulations.gov,</E>your entire comment—including any personal identifying information—will be posted on the Web site. We will post all hardcopy comments on<E T="03">http://www.regulations.gov</E>as well. If you submit a hardcopy comment that includes personal identifying information, you may request at the top of your document that we withhold this information from public review.<PRTPAGE P="36458"/>However, we cannot guarantee that we will be able to do so.</P>

        <P>Comments and materials we receive, as well as supporting documentation we used in preparing the proposed rule and our evaluation of probable economic impacts of the proposed designation, will be available for public inspection on<E T="03">http://www.regulations.gov</E>at Docket No. FWS-R4-ES-2009-0022, or by appointment, during normal business hours, at the U.S. Fish and Wildlife Service, Caribbean Ecological Services Field Office (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <HD SOURCE="HD1">Background</HD>

        <P>It is our intent to discuss only those topics directly relevant to the designation of critical habitat for the coquí llanero in this document. For more information on previous Federal actions concerning the coquí llanero, refer to the joint 12-month petition finding, proposed listing of the species as endangered, and the proposed designation of critical habitat published in the<E T="04">Federal Register</E>on October 12, 2011 (76 FR 63420, which is available online at<E T="03">http://www.regulations.gov</E>at Docket Number FWS-R4-ES-2009-0022) or from the Caribbean Ecological Services Field Office (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <HD SOURCE="HD2">Previous Federal Actions</HD>

        <P>On October 12, 2011, we published a proposed rule to list the coquí llanero as endangered and to designate critical habitat (76 FR 63420). We proposed to designate approximately 615 acres (ac) (249 hectares (ha)) in one unit located in Sabana Seca Ward, Toa Baja, Puerto Rico, as critical habitat. That proposal had a 60-day comment period, ending December 12, 2011. We will submit for publication in the<E T="04">Federal Register</E>a final critical habitat designation for the coquí llanero on or before October 12, 2012. We received no requests for a public hearing, and, therefore, we will not hold any public hearings as part of this rulemaking.</P>
        <HD SOURCE="HD2">Critical Habitat</HD>
        <P>Section 3 of the Act defines critical habitat as the specific areas within the geographical area occupied by a species, at the time it is listed in accordance with the Act, on which are found those physical or biological features essential to the conservation of the species and that may require special management considerations or protection, and specific areas outside the geographical area occupied by a species at the time it is listed, upon a determination that such areas are essential for the conservation of the species. If the proposed rule is made final, section 7 of the Act will prohibit destruction or adverse modification of critical habitat by any activity funded, authorized, or carried out by any Federal agency. Federal agencies proposing actions affecting critical habitat must consult with us on the effects of their proposed actions, under section 7(a)(2) of the Act.</P>
        <HD SOURCE="HD1">Consideration of Impacts Under Section 4(b)(2) of the Act</HD>
        <P>Section 4(b)(2) of the Act requires that we designate or revise critical habitat based upon the best scientific data available, after taking into consideration the economic impact, impact on national security, or any other relevant impact of specifying any particular area as critical habitat. We may exclude an area from critical habitat if we determine that the benefits of excluding the area outweigh the benefits of including the area as critical habitat, provided such exclusion will not result in the extinction of the species.</P>
        <P>When considering the benefits of inclusion for an area, we consider the additional regulatory benefits that area would receive from the protection from adverse modification or destruction of critical habitat as a result of actions with a Federal nexus (activities conducted, funded, permitted, or authorized by Federal agencies), the educational benefits of mapping areas containing essential features that aid in the recovery of the listed species, and any benefits that may result from designation due to State or Federal laws that may apply to critical habitat.</P>
        <P>When considering the benefits of exclusion, we consider, among other things, whether exclusion of a specific area is likely to result in conservation; the continuation, strengthening, or encouragement of partnerships; or implementation of a management plan. In the case of the coquí llanero, the benefits of critical habitat include public awareness of the presence of the coquí llanero and the importance of habitat protection, and, where a Federal nexus exists, increased habitat protection for the coquí llanero due to protection from adverse modification or destruction of critical habitat. In practice, situations with a Federal nexus exist primarily on Federal lands or for projects undertaken by Federal agencies.</P>
        <P>We have not proposed to exclude any areas from critical habitat. However, the final decision on whether to exclude any areas will be based on the best scientific data available at the time of the final designation, including information obtained during the comment period and information about the potential economic impact of designation. Accordingly, we have evaluated the potential economic impact of the proposed critical habitat designation. A discussion of the potential economic impacts follows.</P>
        <HD SOURCE="HD2">Evaluation of Potential Economic Impacts</HD>
        <P>Section 4(b)(2) of the Act and its implementing regulations require that we evaluate the probable economic impacts that may result from a designation of critical habitat, and to take into consideration these impacts when evaluating whether to exclude any particular area from a final critical habitat designation. To assess the potential economic impacts of a designation, we must first evaluate the impacts of restricting or modifying specific land uses or activities for the benefit of the species and its habitat within the proposed critical habitat area. We then identify which conservation efforts may be the result of the species being listed under the Act versus those attributed solely to the designation of critical habitat. The economic impact of a proposed critical habitat designation is analyzed by comparing scenarios both “with critical habitat” and “without critical habitat.” The “without critical habitat” scenario represents the baseline for the analysis, considering protections already in place for the species (e.g., under the Federal listing as well as other Federal, State, and local regulations). The baseline, therefore, represents the costs of all efforts to conserve the species and its habitat incurred regardless of whether critical habitat is designated. The “with critical habitat” scenario describes the incremental impacts associated specifically with the designation of critical habitat for the species. The incremental conservation efforts and associated impacts are those not expected to occur absent the designation of critical habitat for the species. In other words, the incremental costs are those attributable solely to the designation of critical habitat, above and beyond the baseline costs; these are the costs we may consider in the final designation of critical habitat when evaluating the benefits of excluding particular areas under section 4(b)(2) of the Act.</P>
        <P>In our evaluation of the potential economic impacts that may result from the proposed designation of critical habitat for the coquí llanero, first we identified, in an Incremental Effects Memorandum dated October 12, 2011, potential incremental costs associated with the following categories of activity:</P>

        <P>(1) Species and habitat management; (2) residential, commercial, or industrial<PRTPAGE P="36459"/>development; (3) agriculture; (4) construction of new, or maintenance of, roads and highways; (5) maintenance (including vegetation removal or alteration) of drainage ditches; (6) construction or maintenance of recreational facilities; (7) construction and maintenance of telecommunication towers; (8) renewable wind power energy; (9) gas pipeline; (10) closure of landfill; and (11) transfer of Federal lands (Navy).</P>
        <P>In this memorandum, the Service attempted to clarify the difference between the jeopardy and adverse modification standards for the coquí llanero critical habitat. Because the designation of critical habitat for coquí llanero is being proposed concurrently with the listing, it is more difficult to discern which conservation efforts are attributable to the species being listed and those which will result solely from the designation of critical habitat. However, the following specific circumstances in this case help to inform our evaluation: (1) The essential physical and biological features identified for critical habitat are the same features essential for the life requisites of the species, (2) the current range of the coquí llanero is limited to the specific area identified as critical habitat, and (3) any actions that may affect the species or its habitat would also affect designated critical habitat. The Incremental Effects Memorandum outlines our rationale concerning this limited distinction between baseline conservation efforts and incremental impacts of the designation of critical habitat for this species. This evaluation of the incremental effects has been used as the basis to evaluate the potential incremental economic impacts of this proposed designation of critical habitat.</P>
        <P>On the basis of our evaluation of the potential incremental effects, we have determined that almost all conservation-related efforts and activities will result from the protections afforded the species through State and Federal law once the species is federally listed. In other words, specific actions or efforts, or project modifications that may be recommended to conserve the species or its habitat, would be recommended because the species is protected under both State and Federal law. While it has been suggested (Vermont Law School, 2012) that the proposed Via Verde pipeline would adversely affect the coquí llanero and its proposed critical habitat, at this time the proposed alignment is not anticipated to cross or affect the habitat of the coquí llanero. Only in those cases where an action may affect the designated critical habitat and there is a Federal nexus (i.e., a Federal agency that is authorizing, funding, or permitting the action) would there be the additional requirement that the Federal action agency evaluate whether the action may adversely modify the designated critical habitat. This additional analysis by the Federal action agency is considered to be an incremental effect of the designation. While this additional analysis will require time and resources by both the Federal action agency and the Service, it is believed that, in most circumstances, these costs would predominantly be administrative in nature and also would not be significant. Because, in this circumstance, we believe that the incremental impacts of the designation, and therefore the potential economic impacts, would be limited to these administrative actions, we have determined that this rule will not result in a significant economic impact in any given year or result in a disproportionate economic impact to any particular sector.</P>
        <HD SOURCE="HD1">Required Determinations—Amended</HD>

        <P>In our October 12, 2011, proposed rule (76 FR 63420), we indicated that we would defer our determination of compliance with several statutes and executive orders until we had evaluated the potential economic impacts of the designation and potential effects on landowners and stakeholders. Following our evaluation of the potential incremental economic impacts resulting from the designation of critical habitat for the coquí llanero, we have amended or affirmed our determinations below. Specifically, we affirm the information in our proposed rule concerning Executive Order (E.O.) 12866 (Regulatory Planning and Review), E.O. 13132 (Federalism), E.O. 12988 (Civil Justice Reform), E.O. 13211 (Energy, Supply, Distribution, and Use), the Unfunded Mandates Reform Act (2 U.S.C. 1501<E T="03">et seq.</E>), the Paperwork Reduction Act of 1995 (44 U.S.C. 3501<E T="03">et seq.</E>), the National Environmental Policy Act (42 U.S.C. 4321<E T="03">et seq.</E>), and the President's memorandum of April 29, 1994, “Government-to-Government Relations with Native American Tribal Governments” (59 FR 22951). However, based on our evaluation of the potential economic impacts of the proposed designation of critical habitat for coquí llanero, we are amending our required determination concerning the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>).</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act (5 U.S.C. 601 et seq.)</HD>
        <P>Under the Regulatory Flexibility Act (RFA; 5 U.S.C. 601<E T="03">et seq.</E>), as amended by the Small Business Regulatory Enforcement Fairness Act of 1996 (SBREFA; 5 U.S.C. 801<E T="03">et seq.</E>), whenever an agency is required to publish a notice of rulemaking for any proposed or final rule, it must prepare and make available for public comment a regulatory flexibility analysis that describes the effects of the rule on small entities (i.e., small businesses, small organizations, and small government jurisdictions). However, no regulatory flexibility analysis is required if the head of the agency certifies the rule will not have a significant economic impact on a substantial number of small entities. The SBREFA amended the RFA to require Federal agencies to provide a certification statement of the factual basis for certifying that the rule will not have a significant economic impact on a substantial number of small entities.</P>
        <P>When evaluating the potential effects of a proposed rulemaking on small entities, the RFA only requires that the agency analyze the potential impacts to directly affected entities. However, where practicable, the RFA recommends also evaluating the potential impacts to indirectly affected entities as well. To determine if the proposed designation of critical habitat for the coquí llanero would affect a substantial number of small entities, we must first evaluate whether any small entities may be directly affected by the designation.</P>
        <P>The designation of critical habitat for an endangered or threatened species only has a regulatory effect under section 7 of the Act where a Federal action agency is involved in a particular action that may affect the designated critical habitat. Under these circumstances, only the Federal action agency is directly affected by the designation, and, therefore, the requirements of the RFA allow for the Service to limit its evaluation of the potential impacts to only the Federal action agencies. There is no further requirement under the RFA to evaluate the potential impacts to indirectly affected entities, such as small businesses, organizations, or governments. As a consequence, we have determined that the proposed designation of critical habitat for the coquí llanero would not directly affect small entities.</P>

        <P>Based on this determination, we certify that, if promulgated, the proposed critical habitat designation would not have a significant economic impact on a substantial number of small<PRTPAGE P="36460"/>business entities. Therefore, an initial regulatory flexibility analysis is not required.</P>
        <HD SOURCE="HD1">Authors</HD>
        <P>The primary authors of this notice are the staff members of the Caribbean Ecological Services Field Office, Southeast Region, U.S. Fish and Wildlife Service.</P>
        <HD SOURCE="HD1">Authority</HD>

        <P>The authority for this action is the Endangered Species Act of 1973, as amended (16 U.S.C. 1531<E T="03">et seq.</E>).</P>
        <SIG>
          <DATED>Dated: June 6, 2012.</DATED>
          <NAME>Eileen Sobeck,</NAME>
          <TITLE>Acting Assistant Secretary for Fish and Wildlife and Parks.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14733 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4310-55-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF THE INTERIOR</AGENCY>
        <SUBAGY>Fish and Wildlife Service</SUBAGY>
        <CFR>50 CFR Part 17</CFR>
        <DEPDOC>[Docket No. FWS-R4-ES-2012-0002; FXES11130900000C6-123-FF09E30000]</DEPDOC>
        <RIN>RIN 1018-AX59</RIN>
        <SUBJECT>Endangered and Threatened Wildlife and Plants; Removing the Magazine Mountain Shagreen From the Federal List of Endangered and Threatened Wildlife</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Fish and Wildlife Service, Interior.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule; availability of draft post-delisting monitoring plan.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>We, the U.S. Fish and Wildlife Service (Service or USFWS), propose to remove the terrestrial snail Magazine Mountain shagreen (<E T="03">Inflectarius magazinensis;</E>formerly<E T="03">Mesodon magazinensis</E>) from the Federal List of Endangered and Threatened Wildlife. This proposed action is based on a thorough review of the best available scientific and commercial data, which indicate that this species has recovered and no longer meets the definition of threatened under the Endangered Species Act of 1973, as amended (Act). Our review of the status of this species shows that all of the threats to the species have been eliminated or reduced, adequate regulatory mechanisms exist, and populations are stable so that the species is not currently, and is not likely to again become, a threatened species within the foreseeable future in all or a significant portion of its range. We seek information, data, and comments from the public regarding this proposal to delist Magazine Mountain shagreen and on the draft post-delisting monitoring plan.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>We will accept comments received or postmarked on or before August 20, 2012. Please note that if you are using the Federal eRulemaking Portal (see<E T="02">ADDRESSES</E>), the deadline for submitting an electronic comment is 11:59 p.m. Eastern Time on this date. We must receive requests for public hearings, in writing, at the address shown in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section by August 3, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments by one of the following methods:</P>
          <P>
            <E T="03">Electronically:</E>Go to the Federal eRulemaking Portal:<E T="03">http://www.regulations.gov.</E>Search for Docket No. FWS-R4-ES-2012-0002, which is the docket number for this rulemaking. After you have located the correct docket, you may submit a comment by clicking on “Submit a Comment.”</P>
          <P>
            <E T="03">By hard copy:</E>Submit by U.S. mail or hand-delivery to: Public Comments Processing, Attn: FWS-R4-ES-2012-0002; Division of Policy and Directives Management; U.S. Fish and Wildlife Service; 4401 N. Fairfax Drive, MS 2042-PDM; Arlington, VA 22203.</P>
          <P>
            <E T="03">Copies of Documents:</E>The proposed rule and draft post-delisting monitoring plan are available on<E T="03">http://www.regulations.gov.</E>In addition, the supporting file for this proposed rule will be available for public inspection, by appointment, during normal business hours, at the Arkansas Ecological Services Field Office, 110 South Amity Road, Suite 300, Conway, AR 72032; telephone 501-513-4470. Persons who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Services (FIRS) at 800-877-8339.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Jim Boggs, Field Supervisor, U.S. Fish and Wildlife Service, Arkansas Ecological Services Field Office, 110 South Amity Road, Suite 300, Conway, AR 72032; telephone 501-513-4470. Individuals who are hearing-impaired or speech-impaired may call the Federal Information Relay Service (FIRS) at 800-877-8339 for TTY assistance 24 hours a day, 7 days a week.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Public Comments</HD>
        <P>We intend that any final action resulting from this proposal will be based on the best available scientific and commercial data and will be as accurate and as effective as possible. Therefore, we request data, comments, and new information from other concerned governmental agencies, the scientific community, Tribes, industry, or other interested parties concerning this proposed rule. The comments that will be most useful and likely to influence our decisions are those that are supported by data or peer-reviewed studies and those that include citations to, and analyses of, applicable laws and regulations. Please make your comments as specific as possible and explain the basis for them. In addition, please include sufficient information with your comments to allow us to authenticate any scientific or commercial data you reference or provide. In particular we seek comments concerning the following:</P>
        <P>(1) Biological data regarding Magazine Mountain shagreen.</P>
        <P>(2) Relevant data concerning any threats (or lack thereof) to Magazine Mountain shagreen, including but not limited to:</P>
        <P>(a) Whether or not climate change is a threat to the species;</P>
        <P>(b) What regional climate change models are available, and whether they are reliable and credible to use as step-down models for assessing the effect of climate change on the species and its habitat; and</P>
        <P>(c) The extent of Federal and State protection and management that would be provided to Magazine Mountain shagreen as a delisted species.</P>
        <P>(3) Additional information concerning the range, distribution, population size, and trends of Magazine Mountain shagreen, including the locations of any additional populations of this species.</P>
        <P>(4) Current or planned activities within the geographic range of Magazine Mountain shagreen that may affect or benefit the species.</P>
        <P>(5) The draft post-delisting monitoring plan.</P>

        <P>Please note that submissions merely stating support for or opposition to the action under consideration without providing supporting information, although noted, will not be considered in making a determination, as section 4(b)(1)(A) of the Act (16 U.S.C. 1531<E T="03">et seq.</E>) directs that a determination as to whether any species is an endangered or threatened species must be made “solely on the basis of the best scientific and commercial data available.”</P>

        <P>Prior to issuing a final rule on this proposed action, we will take into consideration all comments and any additional information we receive. Such information may lead to a final rule that differs from this proposal. All comments and recommendations, including names and addresses, will become part of the administrative record.<PRTPAGE P="36461"/>
        </P>

        <P>You may submit your comments and materials concerning the proposed rule by one of the methods listed in the<E T="02">ADDRESSES</E>section. Comments must be submitted to<E T="03">http://www.regulations.gov</E>before 11:59 p.m. (Eastern Time) on the date specified in the<E T="02">DATES</E>section. We may not consider hand-delivered comments that we do not receive, or mailed comments that are not postmarked, by the date specified in the<E T="02">DATES</E>section.</P>

        <P>We will post your entire comment—including your personal identifying information—on<E T="03">http://www.regulations.gov</E>. If you provide personal identifying information in your comment, you may request at the top of your document that we withhold this information from public review. However, we cannot guarantee that we will be able to do so.</P>

        <P>Comments and materials we receive, as well as supporting documentation we used in preparing this proposed rule, will be available for public inspection on<E T="03">http://www.regulations.gov,</E>or by appointment, during normal business hours at the U.S. Fish and Wildlife Service, Arkansas Ecological Services Field Office (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <HD SOURCE="HD1">Public Hearing</HD>

        <P>Section 4(b)(5)(E) of the Act provides for one or more public hearings on this proposal, if requested. We must receive requests for public hearings, in writing, at the address shown in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section within 45 days after the date of this<E T="04">Federal Register</E>publication (see<E T="02">DATES</E>). We will schedule public hearings on this proposal, if any are requested, and announce the dates, times, and places of those hearings, as well as how to obtain reasonable accommodations, in the<E T="04">Federal Register</E>at least 15 days before the first hearing.</P>
        <HD SOURCE="HD1">Previous Federal Actions</HD>
        <P>On April 28, 1976, we published a proposed rule in the<E T="04">Federal Register</E>(41 FR 17742) to list 32 snail species, including Magazine Mountain shagreen, as endangered or threatened under section 4 of the Act. However, the proposal was withdrawn in 1979 (44 FR 70796, December 10, 1979) for administrative reasons stemming from the new listing requirements of the 1978 amendments to the Act. On July 5, 1988, we published a second proposed rule in the<E T="04">Federal Register</E>(53 FR 25179) to list Magazine Mountain shagreen as threatened. On April 17, 1989, we published a final rule in the<E T="04">Federal Register</E>(54 FR 15206) listing Magazine Mountain shagreen as threatened. The final rule identified the following threats to Magazine Mountain shagreen: Loss of habitat due to a military proposal to conduct troop and heavy equipment movements and artillery operations on Magazine Mountain; loss of habitat due to development of a new State park on Magazine Mountain that would include construction of new buildings, roads, and trails; increased recreational use due to development of the State park; U.S. Department of Agriculture Forest Service (USFS) use of the land; and increased vulnerability to collecting and adverse habitat modification due to the species' restricted range. On February 1, 1994, we approved the Magazine Mountain Shagreen Recovery Plan (Service 1994, 12 pp.). On July 6, 2009, we initiated a 5-year status review of this species (74 FR 31972). This rule, if finalized, would complete the status review. For additional details on previous Federal actions, see discussion under the Recovery section below.</P>
        <HD SOURCE="HD1">Species Information</HD>
        <P>Magazine Mountain shagreen (<E T="03">Inflectarius magazinensis</E>) is a medium-sized, dusky brown or buff-colored snail, measuring approximately 0.5 inches (in.; 13 millimeters (mm)) wide and 0.3 in. (7 mm) high. Magazine Mountain shagreen was originally described as a subspecies of<E T="03">Polygyra edentatus</E>(Pilsbry and Ferriss 1907, p. 545). In 1940, Pilsbry (1940 in Service 1994, p. 1) placed the snail into the genus<E T="03">Mesodon</E>and elevated it to the status of a species based on genitalia. In 1991, Emberton (1991, p. 90) showed there were internal genitalic differences among<E T="03">Mesodon</E>species and placed Magazine Mountain shagreen in the genus<E T="03">Inflectarius,</E>thereby removing it from<E T="03">Mesodon</E>. The morphology of Magazine Mountain shagreen has been summarized by Caldwell<E T="03">et al.</E>(2009, p. 2). While the taxonomic name has changed since it was listed in 1989, Magazine Mountain shagreen has not been split from or combined with any other land snail species or subspecies. The entity that is now called<E T="03">Inflectarius magazinensis</E>is the same entity that was known as<E T="03">Mesodon magazinensis</E>.</P>

        <P>Magazine Mountain shagreen is historically known from only the north slope of Magazine Mountain, Logan County, Arkansas (Pilsbry and Ferriss 1907, p. 545; Caldwell<E T="03">et al.</E>2009, p. 4). The south slopes of Magazine Mountain were surveyed extensively by Caldwell (1986 in Service 1994, p. 3) and Caldwell<E T="03">et al.</E>(2009, p. 4), but they did not find Magazine Mountain shagreen on the south slopes. Populations occur in the portion of talus (a sloping mass of loose rocks) covered by vegetation or leaf litter at an elevation of 2,200 feet (ft) (670.6 meters (m)) to 2,600 ft (792.5 m) in the Savanna Sandstone formation calved (broken off or splintered into pieces) due to weathering and erosion of interbedded shales (Caldwell<E T="03">et al.</E>2009, p. 4; Service 1994, p. 3). The majority of talus is above 2,200 ft (670.6 m) elevation on the north and west slopes, with Magazine Mountain shagreen populations occurring between 2,400 ft (731.5 m) and 2,600 ft (792.5 m). In the north slope of Bear Hollow, the talus begins at approximately 2,200 ft (670.6 m) and in some calved areas extends to near 2,265 ft (690.4 m) elevation. In Bear Hollow, Magazine Mountain shagreen is restricted to the upper vegetated elevation end of this talus range (Caldwell<E T="03">et al.</E>2009, pp. 4-5).</P>

        <P>The rocky slopes formed by the removal of softer, more easily eroded shale on the steep slopes cause the more resistant sandstone capping Magazine Mountain to break off and accumulate along the flanks. This provides the ideal habitat for Magazine Mountain shagreen (Cohoon and Vere 1988 in Caldwell<E T="03">et al.</E>2009, p. 6). The total amount of available habitat for Magazine Mountain shagreen consists of approximately 21.6 acres (ac; 8.75 hectares (ha)) at 27 talus habitats on Magazine Mountain's west and north slopes (Caldwell<E T="03">et al.</E>2009, pp. 4-5).</P>

        <P>The geology and forest community of Magazine Mountain were summarized by Caldwell<E T="03">et al.</E>(2009, pp. 4-12). The average annual temperature is 5.9 degrees Fahrenheit (°F; 3.3 degrees Celsius (°C)) cooler on the summit than surrounding areas, and mid-summer temperatures are frequently 10 to 25 °F (5.6 to 13.9 °C) cooler. The mean annual precipitation at the summit of Magazine Mountain is 55 in. (139.7 centimeters (cm)), approximately 5 in. (12.7 cm) greater than the lower elevations. The USFS and Arkansas Department of Parks and Tourism (ADPT) own all lands on Magazine Mountain (Service 1994, p. 3).</P>

        <P>Little information is available on land snail associations (<E T="03">e.g.,</E>presence/absence of other land snails to predict habitat quality or occurrence of Magazine Mountain shagreen). Caldwell<E T="03">et al.</E>(2009, pp. 13-14) determined the relative abundance (number of a particular species as a percentage of the total population of a given area) of species found with Magazine Mountain shagreen. Land snails such as the blade vertigo (<E T="03">Vertigo milium</E>) and pale glyph (<E T="03">Glyphyalinia lewisiana</E>) were found only on the south slope talus, while the oakwood liptooth (<E T="03">Millerelix<PRTPAGE P="36462"/>dorfeuilliana</E>) and immature Succineidae species were found on the north slope talus. Thus, presence of oakwood liptooth and immature Succineidae in habitats suitable for Magazine Mountain shagreen may predict its occurrence despite negative survey results.</P>
        <P>Caldwell<E T="03">et al.</E>(2009, pp. 15-16) presented the only information on life history and reproductive biology for Magazine Mountain shagreen (see Recovery section below). They also presented the first report on food habits for Magazine Mountain shagreen (Caldwell<E T="03">et al.</E>2009, p. 16). Magazine Mountain shagreen was found during night feeding on oak catkins (flowers), algae-covered rocks, and decaying white oak (<E T="03">Quercus alba</E>) leaves. It has generalist feeding habits (able to utilize many food sources) similar to other land snails in the taxonomic family Polygyridae (Blinn 1963, pp. 501-502; Foster 1936, pp. 26-31; Dourson 2008, pp. 155-156; Caldwell<E T="03">et al.</E>2009, p. 16). Thus, food source probably is not a limiting factor for Magazine Mountain shagreen (Caldwell<E T="03">et al.</E>2009, p. 16).</P>
        <P>Caldwell<E T="03">et al.</E>(2009, p. 15) found no significant differences for ground, atmospheric, and rock crevice maximum temperatures between south and north slopes. They did, however, find significant differences for minimum temperatures. Ground, atmospheric, and rock crevice minimum temperatures were 5.6, 5.2, and 3.6 °F (3.1, 2.9 and 2.0 °C) cooler, respectively, on the north slopes than on the south slopes. Prolonged drought or concomitant warming of temperatures could adversely affect this species by compromising nesting sites, egg masses, and surface feeding (Caldwell<E T="03">et al.</E>2009, p. 15). However, there is no data to establish that such effects are reasonably certain to occur.</P>
        <HD SOURCE="HD1">Recovery</HD>
        <P>Section 4(f) of the Act directs us to develop and implement recovery plans for the conservation and survival of endangered and threatened species unless we determine that such a plan will not promote the conservation of the species.</P>
        <P>Recovery plans are not regulatory documents and are instead intended to establish goals for long-term conservation of listed species, define criteria that are designed to indicate when the threats facing a species have been removed or reduced to such an extent that the species may no longer need the protections of the Act, and provide guidance to our Federal, State, other governmental and non-governmental partners on methods to minimize threats to listed species. There are many paths to accomplishing recovery of a species, and recovery may be achieved without all criteria being fully met. For example, one or more criteria may be exceeded while other criteria may not yet be accomplished. In that instance, we may determine that the threats are minimized sufficiently and the species is robust enough to delist. In other cases, recovery opportunities may be discovered that were not known when the recovery plan was finalized. These opportunities may be used instead of methods identified in the recovery plan. Likewise, information on the species may be learned that was not known at the time the recovery plan was finalized. The new information may change the extent that criteria need to be met for recognizing recovery of the species. Recovery of a species is a dynamic process requiring adaptive management that may, or may not, fully follow the guidance provided in a recovery plan.</P>
        <P>The Magazine Mountain Shagreen Recovery Plan was approved by the Service on February 1, 1994 (Service 1994, 12 pp.). The recovery plan includes the following delisting criteria:</P>
        <P>• Magazine Mountain shagreen will be considered recovered when long-term protection of its habitat is achieved; and</P>
        <P>• It is determined from 10 years of data that the snail population is stable or increasing.</P>
        <P>Long-term protection of habitat will be achieved when a memorandum of understanding (MOU) between the USFS and the Service is developed and implemented. The MOU must delineate measures protecting the species and its habitat, must be continuous in effect, and must require a minimum 2-year written notification prior to cancellation by either party. Criteria for determining what constitutes a stable population were to be determined through implementation of recovery actions (Service 1994, p. 6). Through implementation of these actions, the criteria chosen as the most appropriate for determining a stable population were persistence over time (shown by the number of Magazine Mountain shagreen individuals collected annually), annual catch per unit effort, and size, quality, and stability of habitat.</P>
        <P>The recovery plan outlines six primary recovery actions to meet the recovery criteria described above and therefore address threats to the species. The six recovery actions for delisting Magazine Mountain shagreen have been met, as described below. Additionally, the level of protection currently afforded to the species and its habitat and the current status of threats are outlined in the Summary of Factors Affecting the Species section below.</P>
        <HD SOURCE="HD2">Recovery Action 1: Provide Long-Term Protection for Magazine Mountain Shagreen Through a Memorandum of Understanding (MOU) Between the USFS and the Service To Protect Habitat</HD>
        <P>To meet the recovery criterion to provide long-term habitat protection for Magazine Mountain shagreen, in 2005, the Service, USFS Ozark-St. Francis National Forest, and ADPT entered into a MOU that provides for long-term cooperation in the management and protection of the species and its habitat on Magazine Mountain. The MOU is a continuing agreement without a designated termination date. Additionally, the USFS designated Magazine Mountain as a Special Interest Area in the 2005 Revised Land Resource Management Plan (USFS 2005, p. 2-43). The Special Interest Area designation prohibits timber harvest, prescribed burning from leaf fall until the end of Magazine Mountain shagreen's reproductive period, application of aerial fire retardant, road construction, and recreational development on talus slopes. Therefore, through development and implementation of the MOU and Special Interest Area, we consider this action complete.</P>
        <HD SOURCE="HD2">Recovery Action 2: Determine and Monitor Population Parameters, Including Mapping and Monitoring the Distribution of Magazine Mountain Shagreen and Its Habitat and Designing and Implementing a Standard Survey Procedure</HD>
        <P>
          <E T="03">Surveys:</E>In developing the monitor strategy for Magazine Mountain shagreen, 10 specific sampling stations were established in 1996; these sampling stations later served as the long-term monitoring locations for the USFS. Each station was marked with permanent markers so that later annual monitoring effort could be repeated at the exact location (Robison 1996, p. 6). The survey protocol uses visual encounter searches (VES) to determine, map, and monitor Magazine Mountain shagreen population parameters and habitat (Robison 1996, pp. 7-24). VES involves field personnel walking through an area or habitat for a prescribed time period systematically searching for animals and has been used effectively with amphibians in habitats that are widely spaced, such as the talus slopes that Magazine Mountain shagreen inhabits (Crump and Scott 1994 in Robison 1996, pp. 8-9). The assumption of VES is that the shorter<PRTPAGE P="36463"/>duration in time to encounter an animal, the more common and abundant the animal is at any particular site (Robison 1997, p. 7).</P>
        <P>Historic surveys for Magazine Mountain shagreen prior to development of the 1994 Recovery Plan were limited to two surveys: (1) A 1903 collection of 114 live specimens and one dead specimen from the north and south slopes of Magazine Mountain (Pilsbry and Ferriss 1906, p. 545), and (2) a comprehensive status review by Caldwell (1986). The specimen collected in 1903 on the south slope has never been verified as Magazine Mountain shagreen by other researchers (Robison 1996, p. 3). Neither survey reported population estimates nor catch per unit effort. Therefore, it is not possible to make a comparative analysis of these collections to subsequent collections that reported number of live and dead snails per search time (see discussion below).</P>
        <P>In 1996, two surveys were conducted for Magazine Mountain shagreen at each of the 10 sampling stations (Table 1; Robison 1996, pp. 17-20). Using VES, live Magazine Mountain shagreen were found at four sampling stations on May 24-27, 1996, and four stations on June 6-8, 1996 (Table 1; Robison 1996, p. 19). At all sites, dead Magazine Mountain shagreen shells were encountered before live individuals were discovered (Table 1). Magazine Mountain shagreen shell size was comparable between 1986 and 1996: Mean height/width ratio was 0.55 (range 0.52-0.59, N = 18; Caldwell 1986) and 0.56 (range 0.50-0.61, N = 25; Robison 1996, p. 38), respectively.</P>
        <BILCOD>BILLING CODE 4310-55-P</BILCOD>
        <GPH DEEP="640" SPAN="3">
          <PRTPAGE P="36464"/>
          <GID>EP19JN12.075</GID>
        </GPH>
        
        <PRTPAGE P="36465"/>
        <P>A third survey was conducted by Robison in May 1997 (Table 1; Robison 1997, pp. 16-17). Live individuals and dead shells were found at four and five sampling stations, respectively (Table 1). Magazine Mountain shagreen shell size (height/width ratio) in 1997 was within the range of shell size measurements collected during the 1986 (Caldwell 1986) and 1996 (Robison 1996, p. 38) surveys.</P>
        <P>The USFS conducted Magazine Mountain shagreen population monitoring from 1998 through 2011 using the same sampling protocols and 10 stations established by Robison (1996). Station 10 was dropped from surveys in 2002, with Service approval, as no live or dead Magazine Mountain shagreen had been collected at this station during any previous surveys. One person hour (60 minutes) per station was spent searching for Magazine Mountain shagreen for all survey years (1998-2011, except during 2000, when no surveys were conducted, and during 2007, when three stations were not sampled). The number of live and dead Magazine Mountain shagreen collected at each station from 1998-2011 are shown in Table 2. The amount of time (minutes) that elapsed until the first encounter of live and dead Magazine Mountain shagreen at each station from 1998-2011 are shown in Table 3.</P>
        <GPH DEEP="640" SPAN="3">
          <PRTPAGE P="36466"/>
          <GID>EP19JN12.076</GID>
        </GPH>
        <GPH DEEP="640" SPAN="3">
          <PRTPAGE P="36467"/>
          <GID>EP19JN12.077</GID>
        </GPH>
        <GPH DEEP="640" SPAN="3">
          <PRTPAGE P="36468"/>
          <GID>EP19JN12.078</GID>
        </GPH>
        <GPH DEEP="640" SPAN="3">
          <PRTPAGE P="36469"/>
          <GID>EP19JN12.079</GID>
        </GPH>
        <BILCOD>BILLING CODE 4310-55-C</BILCOD>
        
        <PRTPAGE P="36470"/>
        <P>Overall, the number of live Magazine Mountain shagreens collected annually from 1996-2011 indicates the species is persisting over time. Annual fluctuation in numbers of live Magazine Mountain shagreens collected is likely attributable to climatic or temporal conditions or both (Tables 1, 2, and 3). For example, monitoring conducted in mid-June 2009 yielded zero live Magazine Mountain shagreen. However, June 2009 was considerably drier than May 2009 (95 mm versus 301 mm monthly rainfall, respectively; 5 versus 13 days with rainfall, respectively) and likely explains the lack of live specimens observed during the survey, because the snails are more active during times of high humidity and cooler temperatures (USFS 2009, pp. 1, 4-5).</P>

        <P>The number of dead Magazine Mountain shagreens collected annually from 1996-2011 has shown greater annual fluctuation than the number of live individuals (Tables 1, 2, and 3). A closely related species, shagreen (<E T="03">Inflectarius inflectus</E>), is slightly smaller than Magazine Mountain shagreen with a “greater diameter” ranging from 0.37 (9.5 mm) to 0.44 in. (11.3 mm) (mean = 0.43 in. (10.9 mm)) compared to 0.50 (12.7 mm) to 0.55 in. (14.0 mm) (mean = 0.52 in. (13.3 mm)) for Magazine Mountain shagreen (Caldwell<E T="03">et al.</E>2009, p. 2). However, individuals of shagreen (<E T="03">Inflectarius inflectus</E>), on which aperture (the main opening of the snail's shell) teeth are reduced, look very similar to Magazine Mountain shagreen. Therefore, accurate identification of dead Magazine Mountain shagreen, and to a much lesser extent live individuals, may be easily confused with the more common and abundant shagreen depending on surveyor experience, which has been variable during the 16-year monitoring period.</P>

        <P>There are numerous problems with sampling populations of terrestrial snails, including their rupicolous nature (living or growing on or among rocks), which makes it difficult to locate individuals during surveys; effects of climate variables (<E T="03">e.g.,</E>temperature and humidity) on snail activity; and practicality of surveys for nocturnal species such as Magazine Mountain shagreen (Newell 1971 and Bishop 1977 in Robison 1996, p. 7). Surveys are optimally conducted at night in late April to early May, dependent upon the onset of spring (moister conditions at the surface, emergence of oak catkins, temperature) (Caldwell<E T="03">et al.</E>2009, p. 17). A rise in relative humidity and drop in temperature usually causes land snails to become more active (Burch and Pearce 1990 in Robinson 1996, p. 7). Therefore, climatic and temporal variation may explain variation in number of live specimens collected from one survey to the next.</P>

        <P>Population size, density, and age structure cannot be reliably estimated for a rupicolous species that spends most of the year deep within the talus slopes of Magazine Mountain (Caldwell<E T="03">et al.</E>2009, p. 4). Therefore, these population parameters were not estimated.</P>
        <P>
          <E T="03">Habitat mapping:</E>All talus habitats inhabited by Magazine Mountain shagreen were assessed and spatially mapped in 2007-2008 (see Species Information; Caldwell<E T="03">et al.</E>2009, pp. 23-31). According to that assessment, the total amount of available habitat for Magazine Mountain shagreen consists of approximately 21.6 ac (8.75 ha) at 27 talus habitats on Magazine Mountain's west and north slopes (Caldwell<E T="03">et al.</E>2009, pp. 4-5). The only other habitat assessment for Magazine Mountain shagreen was conducted in 1986, during a comprehensive status review (Caldwell 1986). In 1986, total habitat available to the species was estimated at 540 ac (218.5 ha). No habitat loss has occurred since 1986, but rather more advanced technology using global positioning satellite mapping of talus habitat and detailed analysis of vegetative communities and climatic variables provided a more accurate assessment of the species' habitat.</P>
        <P>
          <E T="03">Summary of Recovery Action 2:</E>As specified in the recovery plan and discussed above, Robison (1996) developed a standardized monitoring strategy for the USFS, and using that strategy, Magazine Mountain shagreen populations have been monitored annually since 1996. Despite variable climatic and temporal conditions preceding annual population monitoring, 16 years of monitoring data appear to indicate a stable Magazine Mountain shagreen population (Tables 1, 2, and 3), as shown by the species' persistence over time and stability of habitat. Surveys conducted by Caldwell<E T="03">et al.</E>(2009) from 2007-2008 reaffirmed USFS monitoring results. In addition, as discussed above, all talus habitats inhabited by Magazine Mountain shagreen were mapped. Therefore, we consider this recovery action complete.</P>
        <HD SOURCE="HD2">Recovery Action 3: Develop Life-History and Habitat Parameters</HD>

        <P>The first life-history and ecology information for Magazine Mountain shagreen, including information on habitat (geology and forest community), associations with other land snails, food habits, activity periods, breeding, egg deposition and hatching times, growth rates, and limiting factors, was provided in 2009 as a result of surveys conducted by Caldwell<E T="03">et al.</E>(2009).</P>

        <P>Magazine Mountain shagreen prefers moist woods with some noteworthy differences in the tree and shrub communities present on the north and south slopes of Magazine Mountain (Caldwell<E T="03">et al.</E>2009). Trees such as American linden (<E T="03">Tilia americana</E>), sugar maple (<E T="03">Acer sacccharum</E>), white ash (<E T="03">Fraxinus americana</E>), and prickly gooseberry (<E T="03">Ribes cynosbati</E>) were found only on the north slopes of Magazine Mountain (Caldwell<E T="03">et al.</E>2009, pp. 6-11). Similar associations with land snails are discussed in the Species Information section.</P>

        <P>In 1986, Caldwell (1986) failed to find Magazine Mountain shagreen egg masses, but he suspected that eggs were laid deep within the talus (Service 1994, p. 3). Caldwell<E T="03">et al.</E>(2009, p. 15-16) located Magazine Mountain shagreen egg masses the second week of May 2007 concurrent with spring rain. The egg masses were not laid deep within the talus as previously hypothesized but were found in the leaf litter covering the talus. Temperatures of the substrate and rock were 63.7 and 64.2 °F (17.6 and 17.9 °C), respectively.</P>
        <P>Caldwell<E T="03">et al.</E>(2009, p. 15) collected one egg mass containing 13 eggs (diameter 0.1 in. or 2.7 mm) and successfully hatched and reared Magazine Mountain shagreen juveniles in a terrarium at room temperature (73 °F or 23 °C). Ten of 13 eggs hatched after a 5-week incubation period. Magazine Mountain shagreen young hatched at a size of 0.1 in. (3.5 mm).</P>

        <P>No live Magazine Mountain shagreen individuals or egg masses were located from June through March during the 2-year survey. Therefore, Caldwell<E T="03">et al.</E>(2009, p. 16) suspected that Magazine Mountain shagreen lay eggs only during early spring (late April to early May) and that egg-laying is triggered by spring rains. They noted that the first onset of oak catkins (flowers) concurrent with rain events serves as a visual cue to locate live individuals and egg masses.</P>
        <P>As discussed above, Caldwell<E T="03">et al.</E>(2009) provide the first life-history and ecology information for Magazine Mountain shagreen. Therefore, we consider this action complete.</P>
        <HD SOURCE="HD2">Recovery Action 4: Determine the Parameters of a Stable Population</HD>

        <P>Due to the rupicolous nature (living or growing on or among rocks) of Magazine Mountain shagreen, it is not possible to estimate population size or age structure. The size and quality of habitat available to Magazine Mountain shagreen was defined by Caldwell<E T="03">et al.</E>
          <PRTPAGE P="36471"/>(2009, p. 4) (see Species Information). While this estimate is substantially less than that estimated by Caldwell (1986; see Species Information), it represents a much more rigorous analysis of available habitat using geospatial mapping software to map habitat based on geology, forest community, and species survey data. It is our opinion based on the Caldwell<E T="03">et al.</E>(2009) data and protections afforded Magazine Mountain from the USFS and ADPT that habitat quantity and quality have remained stable since listing in 1989, and threats to habitat identified at listing (see Previous Federal Actions) are no longer threats. In addition, monitoring data collected since 1996 by Robison (1996, 1997), USFS (1998-2011), and Caldwell<E T="03">et al.</E>(2009) show that the species is persisting over time despite low numbers of live/dead Magazine Mountain shagreen observed annually (see Tables 1, 2, and 3). Finally, permanent protection and management of habitat supporting Magazine Mountain shagreen on Magazine Mountain indicate that populations are secure and should remain self-sustaining for the foreseeable future. Therefore, we consider this action complete.</P>
        <HD SOURCE="HD2">Recovery Action 5: Conduct Surveys of Potential Habitat in the Vicinity of Magazine Mountain</HD>

        <P>Magazine Mountain shagreen surveys have been conducted in similar talus habitats near Magazine Mountain (Caldwell<E T="03">et al.</E>2009, pp. 2-6). These surveys were conducted in the Arkansas River Valley and areas north of the Arkansas River. Mount Nebo and Petit Jean Mountain were chosen for more intensive surveys in 2007 and 2008. Maximum elevation of Petit Jean Mountain (1,180 ft or 359.7 m) and Mount Nebo (1,755 ft or 534.9 m) is less than the minimum elevation (2,200 ft or 670.6 m) of talus habitat occupied by Magazine Mountain shagreen at Magazine Mountain. Mean average rainfall at the summit of Magazine Mountain is 55 in. (139.7 cm), approximately 5 in. (12.7 cm) greater than lower elevations (Service 1994, p. 3). Forest communities of Mount Nebo more closely resemble the south slope of Magazine Mountain, which is not inhabited by Magazine Mountain shagreen. Therefore, the unique combination of biotic and abiotic differences between Magazine Mountain's north and west slopes and other mountains in the Arkansas River Valley (Mount Nebo and Petit Jean Mountain) provide a unique habitat for the endemic Magazine Mountain shagreen (Caldwell<E T="03">et al.</E>2009, pp. 4-6).</P>
        <P>Because surveys of potential habitat near Magazine Mountain have been conducted, we consider this action complete.</P>
        <HD SOURCE="HD2">Recovery Action 6: Develop a Monitoring Plan to Ensure Recovery Has Been Achieved</HD>

        <P>In conjunction with this proposed rule, we have developed a draft post-delisting monitoring plan (see Post-Delisting Monitoring section below) that includes information on distribution, habitat requirements, and life history of Magazine Mountain shagreen and a monitoring protocol provided by Caldwell<E T="03">et al.</E>(2009, pp. 17-18). Therefore, we consider this action complete.</P>
        <HD SOURCE="HD1">Summary of Factors Affecting the Species</HD>
        <P>Section 4 of the Act and its implementing regulations (50 CFR part 424) set forth the procedures for listing, reclassifying, or removing species from the Federal Lists of Endangered and Threatened Wildlife and Plants. “Species” is defined by the Act as including any species or subspecies of fish or wildlife or plants, and any distinct vertebrate population segment of fish or wildlife that interbreeds when mature (16 U.S.C. 1532(16)). Once the “species” is determined, we then evaluate whether that species may be endangered or threatened because of one or more of the five factors described in section 4(a)(1) of the Act. We must consider these same five factors in reclassifying or delisting a species. We may delist a species according to 50 CFR 424.11(d) if the best available scientific and commercial information indicates that the species is neither endangered nor threatened for the following reasons: (1) The species is extinct; (2) the species has recovered and is no longer endangered or threatened; and/or (3) the original scientific data used at the time the species was classified were in error.</P>
        <P>Under section 3 of the Act, a species is “endangered” if it is in danger of extinction throughout all or a “significant portion of its range” and is “threatened” if it is likely to become endangered within the foreseeable future throughout all or a “significant portion of its range.” The word “range” refers to the range in which the species currently exists, and the word “significant” refers to the value of that portion of the range being considered to the conservation of the species. The “foreseeable future” is the period of time over which events or effects reasonably can or should be anticipated, or trends extrapolated. A recovered species is one that no longer meets the Act's definition of endangered or threatened. Determining whether or not a species is recovered requires consideration of the same five categories of threats specified in section 4(a)(1) of the Act. For species that are already listed as endangered or threatened, the analysis for a delisting due to recovery must include an evaluation of the threats that existed at the time of listing, the threats currently facing the species, and the threats that are reasonably likely to affect the species in the foreseeable future following the downlisting or delisting and the removal of the Act's protections.</P>

        <P>The following analysis examines all five factors currently affecting or that are likely to affect Magazine Mountain shagreen  within the foreseeable future. In making this final determination, we have considered all scientific and commercial information available, which includes monitoring data collected from 1996 to 2011 (Robison 1996, USFS 2009) and life-history and habitat information (Caldwell<E T="03">et al.</E>2009).</P>
        <HD SOURCE="HD2">Factor A. The Present or Threatened Destruction, Modification, or Curtailment of Its Habitat or Range</HD>
        <P>The 1989 final rule to list Magazine Mountain shagreen as threatened (54 FR 15206) identified the following habitat threats: Possible negative effects from USFS use of the land, a military proposal that would bring troop training exercises and heavy equipment into the species' habitat, and the development of a new State park and lodge on Magazine Mountain.</P>

        <P>The 1989 final listing rule cited the species' restricted range as its greatest vulnerability to land use change or activity that would modify the talus slopes inhabited by the species. A request from the ADPT for a special use permit from the USFS to develop a State park and the associated construction of buildings, roads, trails, pipelines, and recreational activities had the potential to adversely affect Magazine Mountain shagreen and its habitat if talus slopes were disturbed. In 1993, several agencies, including the Service, contributed to an environmental impact statement (EIS) for the development and construction of a State park on the summit of Magazine Mountain (Service 1994, p. 5). Of the five assessed alternatives, the selected alternative included construction of facilities on the south slopes, improvement of existing camping and picnic facilities on the north slopes, additional hiking trails, and a reconstructed homestead. However, it was determined that, with<PRTPAGE P="36472"/>appropriate management, the selected alternative would not adversely affect Magazine Mountain shagreen. Furthermore, mitigation measures completed as part of the park development and maintenance that helped minimize potential adverse effects to Magazine Mountain shagreen and its habitat included development of a revegetation/erosion/sediment control plan, monitoring of sensitive species habitats, and reduction of foot traffic along bluff lines and rock outcrops. Therefore, development of the State park and its associated recreational and maintenance activities no longer poses a threat to the survival of Magazine Mountain shagreen.</P>
        <P>Since the final listing rule was published, the USFS Ozark-St. Francis National Forests have designated the north and west slopes of Magazine Mountain above the 1,600 ft (487.7 m) contour interval as a Special Interest Area. This designation encompasses all of the known range of Magazine Mountain shagreen plus a 600-ft (182.9-m) contour interval buffer. The Special Interest Area designation also protects the area from land management practices that might be detrimental to Magazine Mountain shagreen and its habitat. We expect that the delisting of Magazine Mountain shagreen would not weaken USFS's commitment to the conservation of the Special Interest Area. In 2005, the Service, USFS Ozark-St. Francis National Forests, and ADPT entered into a MOU that provides for long-term cooperation in the management and protection of Magazine Mountain shagreen and its habitat on Magazine Mountain. The MOU is a continuing agreement without a designated termination date. Therefore, USFS land use activities no longer pose a threat to the survival of Magazine Mountain shagreen.</P>

        <P>Wildfires have been cited as the single greatest threat to Magazine Mountain shagreen (Caldwell<E T="03">et al.</E>2009, p. 18). The USFS's prescribed fire program and its associated timing and frequency will reduce the likelihood of catastrophic wild fires. The prescribed fire program also provides a buffer around Magazine Mountain shagreen habitat. The ADPT restricts campfires and open flame cooking to designated areas to minimize the potential for wild fires that may potentially threaten Magazine Mountain shagreen and its habitat, as well as State park buildings and structures.</P>
        <P>The U.S. Army is no longer considering the use of Magazine Mountain for military training exercises, an activity that was considered an imminent threat to Magazine Mountain shagreen when it was listed. The U.S. Army has no plans to conduct military training exercises on Magazine Mountain in the foreseeable future and withdrew its previous consideration after Magazine Mountain shagreen was listed as threatened in 1989 (Service 1994, p. 5). Therefore, potential U.S. Army military training operations no longer pose a threat to the survival of Magazine Mountain shagreen.</P>
        <P>
          <E T="03">Summary of Factor A:</E>Through management agreements and special designations, habitat supporting Magazine Mountain shagreen on Magazine Mountain is secure, and self-sustaining populations will remain permanently protected and managed to maintain talus habitat. Therefore, we find that the present or threatened destruction, modification, or curtailment of its habitat or range is no longer a threat to Magazine Mountain shagreen.</P>
        <HD SOURCE="HD2">Factor B. Overutilization for Commercial, Recreational, Scientific, or Educational Purposes</HD>

        <P>The final rule to list Magazine Mountain shagreen identified overutilization as a potential threat. A knowledgeable collector could adversely affect the population by removing large numbers of individuals. However, to the Service's knowledge, no Magazine Mountain shagreen individuals have been removed from the population for commercial, recreational, scientific, or educational purposes since the species was listed in 1989, except by Caldwell<E T="03">et al.</E>(2009), who were permitted through a section 10(a)(1)(A) research permit to remove an egg mass from the wild to learn more about the life history of Magazine Mountain shagreen. The Arkansas Game and Fish Commission (AGFC) requires a permit for collection of individuals for scientific and educational purposes. Recreational collection is not permitted. Likewise, ADPT requires a permit for collection of plants and animals within State park boundaries. The boundary of Magazine Mountain State Park encompasses the top of Magazine Mountain and includes a small portion of the upper talus inhabited by Magazine Mountain shagreen. The State park is managed by ADPT under a special use agreement from, and in concert with, the USFS Ozark National Forest, and the park conserves 2,234 ac (904 ha) of Magazine Mountain's oak-hickory and pine-covered, plateau-like summit. There is no commercial market for Magazine Mountain shagreen, nor is there likely to be a commercial market in the foreseeable future. It is the Service's opinion that, due to the species' restricted range, the AGFC's and ADPT's permitting requirements and restrictions will provide sufficient protection to Magazine Mountain shagreen following delisting. Therefore, overutilization for commercial, recreational, scientific, and educational purposes no longer poses a threat to Magazine Mountain shagreen.</P>
        <P>
          <E T="03">Summary of Factor B:</E>Magazine Mountain shagreen is not sought after for commercial purposes, and recreational collection of animals and plants within Magazine Mountain State Park is prohibited. The AGFC requires a scientific collection permit for scientific, recreational, and educational purposes, and it is the Service's opinion that it is very unlikely that AGFC would permit any activity that would result in overutilization of Magazine Mountain shagreen. Therefore, we find that overutilization for commercial, recreational, scientific, or educational purposes is no longer a threat to Magazine Mountain shagreen and will not become a threat in the foreseeable future.</P>
        <HD SOURCE="HD2">Factor C. Disease or Predation</HD>
        <P>The 1989 listing rule for Magazine Mountain shagreen (54 FR 15206) did not list any threats to the species from disease or predation. The best available science does not provide any evidence that either of these factors has become a threat to this species since it was listed in 1989, nor will either become a threat in the foreseeable future. Therefore, we find that disease and predation are not threats to Magazine Mountain shagreen.</P>
        <HD SOURCE="HD2">Factor D. The Inadequacy of Existing Regulatory Mechanisms</HD>
        <P>The 1989 final rule to list Magazine Mountain shagreen (54 FR 15206) indicated that no protections other than the USFS Special Interest Area existed to protect Magazine Mountain shagreen and its habitat. The entire range of Magazine Mountain shagreen is now on USFS or ADPT property. Collection of animals is prohibited in the State park, and there is no indication that this prohibition is not effective in preventing collection of this species. In 2005, the Service, USFS Ozark-St. Francis National Forest, and ADPT entered into a MOU that provides for long-term cooperation in the management and protection of Magazine Mountain shagreen and its habitat on Magazine Mountain. The MOU is a continuing agreement without a designated termination date.</P>
        <P>
          <E T="03">Summary of Factor D:</E>We believe that the protected status of the lands where Magazine Mountain shagreen currently exists will continue to provide adequate<PRTPAGE P="36473"/>regulatory protection for this species. Therefore, we find that lack of regulatory protection is no longer a threat to Magazine Mountain shagreen.</P>
        <HD SOURCE="HD2">Factor E. Other Natural or Manmade Factors Affecting Its Continued Existence</HD>
        <P>The 1989 final listing rule for Magazine Mountain shagreen (54 FR 15206) identified the restricted range (Magazine Mountain), temperature, and moisture as potential stressors to Magazine Mountain shagreen. Magazine Mountain shagreen inhabits 27 talus habitats on the north and west slopes of Magazine Mountain, Logan County, Arkansas. Populations occur in the vegetated and leaf litter covered portion of talus rock between 2,200 ft (670.6 m) and 2,600 ft (792.5 m). However, as a result of habitat protection provided by the USFS and ADPT (see analysis under Factors A and D above), vulnerability associated with restricted range is no longer a threat.</P>
        <P>The Intergovernmental Panel on Climate Change (IPCC) concluded that evidence of warming of the climate system is unequivocal (IPCC 2007a, p. 30). Numerous long-term climate changes have been observed, including changes in arctic temperatures and ice, widespread changes in precipitation amounts, ocean salinity, wind patterns and aspects of extreme weather including droughts, heavy precipitation, heat waves, and the intensity of tropical cyclones (IPCC 2007b, p. 7). While continued change is certain, the magnitude and rate of change is unknown in many cases. Species that are dependent on specialized habitat types, limited in distribution, or that have become restricted to the extreme periphery of their range will be most susceptible to the effects of climate change.</P>

        <P>Estimates of the effects of climate change using available climate models lack the geographic precision needed to predict the magnitude of effects at a scale small enough to discretely apply to the range of Magazine Mountain shagreen. However, data on recent trends and predicted changes for the Southeast United States (Karl<E T="03">et al.</E>2009, pp. 111-116) provide some insight for evaluating the potential threat of climate change to Magazine Mountain shagreen. Since 1970, the average annual temperature of the region has increased by about 2 °F (1.1 °C), with the greatest increases occurring during winter months. The geographic extent of areas in the Southeast region affected by moderate to severe spring and summer drought has increased over the past three decades by 12 and 14 percent, respectively (Karl<E T="03">et al.</E>2009, p. 111). These trends are expected to increase.</P>

        <P>Rates of warming are predicted to more than double in comparison to what the Southeast has experienced since 1975, with the greatest increases projected for summer months. Depending on the emissions scenario used for modeling change, average temperatures are expected to increase by 4.5 °F to 9 °F (2.5 °C to 5 °C) by the 2080s (Karl<E T="03">et al.</E>2009, pp. 111). While there is considerable variability in rainfall predictions throughout the region, increases in evaporation of moisture from soils and loss of water by plants in response to warmer temperatures are expected to contribute to the effect of these droughts (Karl<E T="03">et al.</E>2009, pp. 112).</P>

        <P>Since Magazine Mountain shagreen prefers cool, moist microhabitats, prolonged drought and concomitant warming of temperatures could adversely affect the species. In particular, nesting sites and egg masses may be affected (Caldwell<E T="03">et al.</E>2009, p. 15). However, there are no data to establish that such effects are reasonably certain to occur. In addition, the species possesses biological traits that may provide resilience to this potential threat. For example, Magazine Mountain shagreen tends to retreat into the talus slopes during dry periods. Egg masses were discovered in 2007 in the leaf litter covering the talus (Caldwell<E T="03">et al.</E>2009, p. 15-16); this tendency for Magazine Mountain shagreen to lay eggs in the leaf litter likely helps protect egg masses from desiccation.</P>
        <P>We are not aware of any climate change information specific to the habits or habitat (i.e., talus slopes) of the Magazine Mountain shagreen that would indicate what potential effects climate change and increasing temperatures may have on this species. Therefore, based on the best available information, we do not have any evidence to determine or conclude that climate change is a threat to Magazine Mountain shagreen now or within the foreseeable future.</P>
        <P>
          <E T="03">Summary of Factor E:</E>At this time, we do not have sufficient information to document that climate changes observed to date have had or will have any adverse effect on Magazine Mountain shagreen or its habitat. Vulnerability associated with restricted range is no longer a threat because the entirety of the species' habitat is protected by the USFS and ADPT. Therefore, we find that the other natural or manmade factors considered here do not pose a threat to Magazine Mountain shagreen, nor are they likely to be threats in the foreseeable future. Post delisting monitoring will also afford an opportunity to monitor the status of the species and the impacts of any natural events that may occur for five years.</P>
        <HD SOURCE="HD1">Conclusion of the 5-Factor Analysis</HD>
        <P>Under section 3 of the Act, a species is endangered if it is “in danger of extinction in a significant portion of its range” and threatened if it is “likely to become endangered in the foreseeable future throughout all or a significant portion of its range.” We have carefully assessed the best scientific and commercial information available regarding the threats faced by Magazine Mountain shagreen in developing this proposed rule. Based on the analysis above and given the reduction in threats, Magazine Mountain shagreen does not currently meet the Act's definition of endangered in that it is not in danger of extinction throughout all of its range, or the definition of threatened in that it is not likely to become endangered in the foreseeable future throughout all of its range.</P>
        <HD SOURCE="HD1">Significant Portion of the Range Analysis</HD>
        <P>Having determined that Magazine Mountain shagreen no longer meets the definition of endangered or threatened throughout its range, we must next consider whether there are any significant portions of its range that remain in danger of extinction or likely to become endangered. The Act defines “endangered species” as any species which is “in danger of extinction throughout all or a significant portion of its range,” and “threatened species” as any species which is “likely to become an endangered species within the foreseeable future throughout all or a significant portion of its range.” The definition of “species” is also relevant to this discussion. The Act defines the term “species” as follows: “The term `species' includes any subspecies of fish or wildlife or plants, and any distinct population segment [DPS] of any species of vertebrate fish or wildlife which interbreeds when mature.” The phrase “significant portion of its range” (SPR) is not defined by the statute, and we have never addressed in our regulations: (1) The consequences of a determination that a species is either endangered or likely to become so throughout a significant portion of its range, but not throughout all of its range; or (2) what qualifies a portion of a range as “significant.”</P>

        <P>Two recent district court decisions have addressed whether the SPR language allows the Service to list or protect less than all members of a<PRTPAGE P="36474"/>defined “species”:<E T="03">Defenders of Wildlife</E>v.<E T="03">Salazar,</E>729 F. Supp. 2d 1207 (D. Mont. 2010), concerning the Service's delisting of the Northern Rocky Mountain gray wolf (74 FR 15123, April 2, 2009); and<E T="03">WildEarth Guardians</E>v.<E T="03">Salazar,</E>2010 U.S. Dist. LEXIS 105253 (D. Ariz. Sept. 30, 2010), concerning the Service's 2008 finding on a petition to list the Gunnison's prairie dog (73 FR 6660, February 5, 2008). The Service had asserted in both of these determinations that it had authority, in effect, to protect only some members of a “species,” as defined by the Act (i.e., species, subspecies, or DPS), under the Act. Both courts ruled that the determinations were arbitrary and capricious on the grounds that this approach violated the plain and unambiguous language of the Act. The courts concluded that reading the SPR language to allow protecting only a portion of a species' range is inconsistent with the Act's definition of “species.” The courts concluded that once a determination is made that a species (i.e., species, subspecies, or DPS) meets the definition of “endangered species” or “threatened species,” it must be placed on the list in its entirety and the Act's protections applied consistently to all members of that species (subject to modification of protections through special rules under sections 4(d) and 10(j) of the Act).</P>
        <P>Consistent with that interpretation, and for the purposes of this rule, we interpret the phrase “significant portion of its range” in the Act's definitions of “endangered species” and “threatened species” to provide an independent basis for listing; thus there are two situations (or factual bases) under which a species would qualify for listing a species in its entirety: A species may be endangered or threatened throughout all of its range; or a species may be endangered or threatened in only a significant portion of its range. If a species is in danger of extinction throughout an SPR, it, the species, is an “endangered species.” The same analysis applies to “threatened species.” Therefore, the consequence of finding that a species is endangered or threatened in only a significant portion of its range is that the entire species will be listed as endangered or threatened, respectively, and the Act's protections will be applied across the species' entire range.</P>
        <P>We conclude, for the purposes of this rule, that interpreting the SPR phrase as providing an independent basis for listing or for changes in listing status is the best interpretation of the Act because it is consistent with the purposes and the plain meaning of the key definitions of the Act; it does not conflict with established past agency practice (i.e., prior to the 2007 Solicitor's Opinion), as no consistent, long-term agency practice has been established; and it is consistent with the judicial opinions that have most closely examined this issue. Having concluded that the phrase “significant portion of its range” provides an independent basis for listing and protecting the entire species, we next turn to the meaning of “significant” to determine the threshold for when such an independent basis for listing exists.</P>
        <P>Although there are potentially many ways to determine whether a portion of a species' range is “significant,” we conclude, for the purposes of this rule, that the significance of the portion of the range should be determined based on its biological contribution to the conservation of the species. For this reason, we describe the threshold for “significant” in terms of an increase in the risk of extinction for the species. We conclude that a biologically based definition of “significant” best conforms to the purposes of the Act, is consistent with judicial interpretations, and best ensures species' conservation. Thus, for the purposes of this proposed rule and finding, a portion of the range of a species is “significant” if its contribution to the viability of the species is so important that, without that portion, the species would be in danger of extinction.</P>

        <P>We evaluate biological significance based on the principles of conservation biology using the concepts of redundancy, resiliency, and representation.<E T="03">Resiliency</E>describes the characteristics of a species that allow it to recover from periodic disturbance.<E T="03">Redundancy</E>(having multiple populations distributed across the landscape) may be needed to provide a margin of safety for the species to withstand catastrophic events.<E T="03">Representation</E>(the range of variation found in a species) ensures that the species' adaptive capabilities are conserved. Redundancy, resiliency, and representation are not independent of each other, and some characteristic of a species or area may contribute to all three. For example, distribution across a wide variety of habitats is an indicator of representation, but it may also indicate a broad geographic distribution contributing to redundancy (decreasing the chance that any one event affects the entire species), and the likelihood that some habitat types are less susceptible to certain threats, contributing to resiliency (the ability of the species to recover from disturbance). None of these concepts is intended to be mutually exclusive, and a portion of a species' range may be determined to be “significant” due to its contributions under any one of these concepts.</P>

        <P>For the purposes of this rule, we determine if a portion's biological contribution is so important that the portion qualifies as “significant” by asking whether,<E T="03">without that portion,</E>the representation, redundancy, or resiliency of the species would be so impaired that the species would have an increased vulnerability to threats to the point that the overall species would be in danger of extinction (i.e., would be “endangered”). Conversely, we would not consider the portion of the range at issue to be “significant” if there is sufficient resiliency, redundancy, and representation elsewhere in the species' range that the species would not be in danger of extinction throughout its range if the population in that portion of the range in question became extirpated (extinct locally).</P>

        <P>We recognize that this definition of “significant” establishes a threshold that is relatively high. On the one hand, given that the consequences of finding a species to be endangered or threatened in an SPR would be listing the species throughout its entire range, it is important to use a threshold for “significant” that is robust. It would not be meaningful or appropriate to establish a very low threshold whereby a portion of the range can be considered “significant” even if only a negligible increase in extinction risk would result from its loss. Because nearly any portion of a species' range can be said to contribute some increment to a species' viability, use of such a low threshold would require us to impose restrictions and expend conservation resources disproportionately to conservation benefit: Listing would be rangewide, even if only a portion of the range of minor conservation importance to the species is imperiled. On the other hand, it would be inappropriate to establish a threshold for “significant” that is too high. This would be the case if the standard were, for example, that a portion of the range can be considered “significant” only if threats in that portion result in the entire species' being currently endangered or threatened. Such a high bar would not give the SPR phrase independent meaning, as the Ninth Circuit held in<E T="03">Defenders of Wildlife</E>v.<E T="03">Norton,</E>258 F.3d 1136 (9th Cir. 2001).</P>

        <P>The definition of “significant” used in this rule carefully balances these concerns. By setting a relatively high threshold, we minimize the degree to which restrictions will be imposed or resources expended that do not<PRTPAGE P="36475"/>contribute substantially to species conservation. But we have not set the threshold so high that the phrase “in a significant portion of its range” loses independent meaning. Specifically, we have not set the threshold as high as it was under the interpretation presented by the Service in the<E T="03">Defenders</E>litigation. Under that interpretation, the portion of the range would have to be so important that current imperilment there would mean that the species would be<E T="03">currently</E>imperiled everywhere. Under the definition of “significant” used in this finding, the portion of the range need not rise to such an exceptionally high level of biological significance. (We recognize that if the species is imperiled in a portion that rises to that level of biological significance, then we should conclude that the species is in fact imperiled throughout all of its range, and that we would not need to rely on the SPR language for such a rule making.) Rather, under this interpretation we ask whether the species would be endangered everywhere without that portion,<E T="03">i.e.,</E>if that portion were completely extirpated. In other words, the portion of the range need not be so important that even being in danger of extinction in that portion would be sufficient to cause the remainder of the range to be endangered; rather, the<E T="03">complete extirpation</E>(in a hypothetical future) of the species in that portion would be required to cause the remainder of the range to be endangered.</P>

        <P>The range of a species can theoretically be divided into portions in an infinite number of ways. However, there is no purpose to analyzing portions of the range that have no reasonable potential to be significant<E T="03">and</E>threatened or endangered. To identify only those portions that warrant further consideration, we determine whether there is substantial information indicating that: (1) The portions may be “significant,” and (2) the species may be in danger of extinction there or likely to become so within the foreseeable future. Depending on the biology of the species, its range, and the threats it faces, it might be more efficient for us to address the significance question first or the status question first. Thus, if we determine that a portion of the range is not “significant,” we do not need to determine whether the species is endangered or threatened there; if we determine that the species is not endangered or threatened in a portion of its range, we do not need to determine if that portion is “significant.” In practice, a key part of the portion status analysis is whether the threats are geographically concentrated in some way. If the threats to the species are essentially uniform throughout its range, no portion is likely to warrant further consideration. Moreover, if any concentration of threats applies only to portions of the species' range that clearly would not meet the biologically based definition of “significant”, such portions will not warrant further consideration.</P>

        <P>Applying the process described above in considering delisting this snail, we evaluated the range of Magazine Mountain shagreen<E T="03"/>to determine if any areas could be considered a significant portion of its range. As discussed above, a portion of a species' range is significant if it is part of the current range of the species and is important to the conservation of the species because it contributes meaningfully to the representation, resiliency, or redundancy of the species. The contribution must be at a level such that its loss would result in a decrease in the ability to conserve the species. There is no significant variability in the habitats across the range occupied by Magazine Mountain shagreen, which encompasses approximately 8.75 ha (21.6 ac) at 27 talus habitats on Magazine Mountain's west and north slopes in Logan County, Arkansas. The basic ecological components required for the species to complete its life cycle are present throughout the habitats occupied by Magazine Mountain shagreen. No specific location within the current range of the species provides a unique or biologically significant function that is not found in other portions of the range. Furthermore, the threats discussed during the five-factor analysis above are uniform throughout the range of the species.</P>
        <P>In conclusion we have determined that none of the existing or potential threats, either alone or in combination with others, are likely to cause Magazine Mountain shagreen to become endangered or threatened now or within the foreseeable future throughout a significant portion of its range.</P>
        <P>On the basis of this evaluation, we believe Magazine Mountain shagreen no longer requires the protection of the Act, and we propose to remove Magazine Mountain shagreen from the Federal List of Endangered and Threatened Wildlife (50 CFR 17.11(h)).</P>
        <HD SOURCE="HD1">Effects of This Proposed Rule</HD>
        <P>This rule, if finalized, would revise 50 CFR 17.11(h) to remove Magazine Mountain shagreen from the List of Endangered and Threatened Wildlife. Because no critical habitat was ever designated for this species, this rule would not affect 50 CFR 17.95.</P>
        <P>The Act and its implementing regulations set forth a series of general prohibitions and exceptions that apply to all endangered wildlife. The prohibitions under section 9(a)(1) of the Act make it illegal for any person subject to the jurisdiction of the United States to import or export; transport in interstate or foreign commerce in the course of a commercial activity; sell or offer for sale in interstate or foreign commerce; or take, possess, sell, deliver, carry, transport, or ship Magazine Mountain shagreen. Section 7 of the Act requires that Federal agencies consult with us to ensure that any action authorized, funded, or carried out by them is not likely to jeopardize the species' continued existence. If this proposed rule is finalized, it would revise 50 CFR 17.11(h) to remove (delist) Magazine Mountain shagreen from the Federal List of Endangered and Threatened Wildlife, and these prohibitions would no longer apply.</P>
        <HD SOURCE="HD1">Post-Delisting Monitoring</HD>
        <P>Section 4(g)(1) of the Act requires us to monitor for at least 5 years species that are delisted due to recovery. Post-delisting monitoring refers to activities undertaken to verify that a species delisted due to recovery remains secure from the risk of extinction after the protections of the Act no longer apply. The primary goal of post-delisting monitoring is to monitor the species so that its status does not deteriorate, and if a decline is detected, to take measures to halt the decline so that proposing it as endangered or threatened is not again needed. If, at any time during the monitoring period, data indicate that protective status under the Act should be reinstated, we may initiate listing procedures, including, if appropriate, emergency listing.</P>
        <P>Section 4(g) of the Act explicitly requires cooperation with the States in development and implementation of post-delisting monitoring programs, but we remain responsible for compliance with section 4(g) of the Act and, therefore, must remain actively engaged in all phases of post-delisting monitoring. We also seek active participation of other entities that are expected to assume responsibilities for the species' conservation after delisting. In June 2010, USFS, AGFC, and ADPT agreed to be cooperators in the post-delisting monitoring of Magazine Mountain shagreen.</P>

        <P>We have prepared a draft Post-Delisting Monitoring Plan for Magazine Mountain Shagreen (<E T="03">Inflectarius<PRTPAGE P="36476"/>magazinensis</E>) (Plan) (Service 2011). The draft plan:</P>
        <P>(1) Summarizes the species' status at the time of delisting;</P>
        <P>(2) Defines thresholds or triggers for potential monitoring outcomes and conclusions;</P>
        <P>(3) Lays out frequency and duration of monitoring;</P>
        <P>(4) Articulates monitoring methods, including sampling considerations;</P>
        <P>(5) Outlines data compilation and reporting procedures and responsibilities;</P>
        <P>(6) Indicates localities selected for post-delisting monitoring; and</P>
        <P>(7) Proposes a post-delisting monitoring implementation schedule, including timing and responsible parties.</P>

        <P>Concurrent with this proposed delisting rule, we announce the draft plan's availability for public review. The draft plan can be viewed in its entirety at:<E T="03">http://www.fws.gov/arkansas-es</E>or on the Federal eRulemaking Portal at<E T="03">http://www.regulations.gov.</E>Copies also can be obtained from the U.S. Fish and Wildlife Service, Arkansas Ecological Services Field Office, Conway, Arkansas (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>section). We seek information, data, and comments from the public regarding Magazine Mountain shagreen and the post-delisting monitoring strategy. We are also seeking peer review of this draft plan concurrently with the proposed rule's comment period. We anticipate finalizing this plan, considering all public and peer review comments, prior to making a final determination on the proposed delisting rule.</P>
        <HD SOURCE="HD1">Peer Review</HD>
        <P>In accordance with our policy published in the<E T="04">Federal Register</E>on July 1, 1994 (59 FR 34270), and the OMB's Final Information Quality Bulletin for Peer Review, dated December 16, 2004, we will solicit the expert opinions of at least three appropriate and independent specialists regarding the science in this proposed rule and the draft post-delisting monitoring plan. The purpose of such review is to ensure that we base our decisions on scientifically sound data, assumptions, and analyses. We will send peer reviewers copies of this proposed rule and the draft post-delisting monitoring plan immediately following publication in the<E T="04">Federal Register</E>. We will invite peer reviewers to comment, during the public comment period, on the specific assumptions and conclusions regarding the proposed delisting and draft post-delisting monitoring plan. We will summarize the opinions of these reviewers in the final decision documents, and we will consider their input and any additional information we receive as part of our process of making a final decision on the proposal and the draft post-delisting monitoring plan. Such communication may lead to a final decision that differs from this proposal.</P>
        <HD SOURCE="HD1">Required Determinations</HD>
        <HD SOURCE="HD2">Paperwork Reduction Act of 1995</HD>

        <P>OMB regulations at 5 CFR 1320, which implement provisions of the Paperwork Reduction Act (44 U.S.C. 3501<E T="03">et seq.</E>), require that Federal agencies obtain approval from OMB before collecting information from the public. The OMB regulations at 5 CFR 1320.3(c) define a collection of information as the obtaining of information by or for an agency by means of identical questions posed to, or identical reporting, recordkeeping, or disclosure requirements imposed on, 10 or more persons. Furthermore, 5 CFR 1320.3(c)(4) specifies that “ten or more persons” refers to the persons to whom a collection of information is addressed by the agency within any 12-month period. For purposes of this definition, employees of the Federal government are not included. This proposed rule and draft post-delisting monitoring plan do not contain any new collections of information that require approval by OMB under the Paperwork Reduction Act. This proposed rule will not impose recordkeeping or reporting requirements on State or local governments, individuals, businesses, or organizations. An agency may not conduct or sponsor, and a person is not required to respond to, a collection of information unless it displays a current valid OMB control number.</P>
        <HD SOURCE="HD2">National Environmental Policy Act</HD>

        <P>We have determined that we do not need to prepare an environmental assessment or environmental impact statement, as defined in the National Environmental Policy Act of 1969 (42 U.S.C. 4321<E T="03">et seq.</E>), in connection with regulations adopted pursuant to section 4(a) of the Endangered Species Act. We published a notice outlining our reasons for this determination in the<E T="04">Federal Register</E>on October 25, 1983 (48 FR 49244).</P>
        <HD SOURCE="HD2">Government-to-Government Relationship With Tribes</HD>
        <P>In accordance with the President's memorandum of April 29, 1994, “Government-to-Government Relations with Native American Tribal Governments” (59 FR 22951), Executive Order 13175, and the Department of Interior's manual at 512 DM 2, we readily acknowledge our responsibility to communicate meaningfully with recognized Federal Tribes on a government-to-government basis. We have determined that there are no tribal lands affected by this proposed rule.</P>
        <HD SOURCE="HD1">References Cited</HD>
        <P>A complete list of references cited is available on<E T="03">http://www.regulations.gov</E>under Docket Number FWS-R4-ES-2012-0002.</P>
        <HD SOURCE="HD1">Author</HD>

        <P>The primary author of this document is Chris Davidson, Arkansas Ecological Services Field Office (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 50 CFR Part 17</HD>
          <P>Endangered and threatened species, Exports, Imports, Reporting and recordkeeping requirements, Transportation.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Proposed Regulation Promulgation</HD>
        <P>Accordingly, we propose to amend part 17, subchapter B of chapter I, title 50 of the Code of Federal Regulations, as set forth below:</P>
        <PART>
          <HD SOURCE="HED">PART 17—[AMENDED]</HD>
          <P>1. The authority citation for part 17 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 1361-1407; 16 U.S.C. 1531-1544; 16 U.S.C. 4201-4245; Pub. L. 99-625, 100 Stat. 3500; unless otherwise noted.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 17.11</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
            <P>2. Amend § 17.11(h) by removing the entry for “<E T="03">Shagreen, Magazine Mountain”</E>under “SNAILS” from the List of Endangered and Threatened Wildlife.</P>
          </SECTION>
          <SIG>
            <DATED>Dated: May 30, 2012.</DATED>
            <NAME>Daniel M. Ashe,</NAME>
            <TITLE>Director, Fish and Wildlife Service.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14502 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4310-55-P</BILCOD>
    </PRORULE>
  </PRORULES>
  <VOL>77</VOL>
  <NO>118</NO>
  <DATE>Tuesday, June 19, 2012</DATE>
  <UNITNAME>Notices</UNITNAME>
  <NOTICES>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="36477"/>
        <AGENCY TYPE="F">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Agricultural Research Service</SUBAGY>
        <SUBJECT>Notice of Intent To Grant Exclusive License</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Agricultural Research Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of intent.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Notice is hereby given that the U.S. Department of Agriculture, Agricultural Research Service, intends to grant to US Agriseeds of San Luis Obispo, California, an exclusive license to the variety of pepper described in Plant Variety Protection Certificate Number 200700006, “TigerPaw-NR”, issued on August 20, 2009.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Send comments to: USDA, ARS, Office of Technology Transfer, 5601 Sunnyside Avenue, Rm. 4-1174, Beltsville, Maryland 20705-5131.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>June Blalock of the Office of Technology Transfer at the Beltsville address given above; telephone: 301-504-5989.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Federal Government's rights in this plant variety are assigned to the United States of America, as represented by the Secretary of Agriculture. It is in the public interest to so license this variety as US Agriseeds of San Luis Obispo, California has submitted a complete and sufficient application for a license. The prospective exclusive license will be royalty-bearing and will comply with the terms and conditions of 35 U.S.C. 209 and 37 CFR 404.7. The prospective exclusive license may be granted unless, within thirty (30) days from the date of this published Notice, the Agricultural Research Service receives written evidence and argument which establishes that the grant of the license would not be consistent with the requirements of 35 U.S.C. 209 and 37 CFR 404.7.</P>
        <SIG>
          <NAME>Richard J. Brenner,</NAME>
          <TITLE>Assistant Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14835 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-03-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Agricultural Research Service</SUBAGY>
        <SUBJECT>Notice of Intent To Grant Exclusive License</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Agricultural Research Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of intent.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Notice is hereby given that the U.S. Department of Agriculture, Agricultural Research Service, intends to grant to the University of Nebraska-Lincoln of Lincoln, Nebraska, an exclusive license to the wheat variety named “Mattern”.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Send comments to: USDA, ARS, Office of Technology Transfer, 5601 Sunnyside Avenue, Rm. 4-1174, Beltsville, Maryland 20705-5131.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>June Blalock of the Office of Technology Transfer at the Beltsville address given above; telephone: 301-504-5989.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Federal Government's rights in this plant variety are assigned to the United States of America, as represented by the Secretary of Agriculture. The prospective exclusive license will be royalty-bearing and will comply with the terms and conditions of 35 U.S.C. 209 and 37 CFR 404.7. The prospective exclusive license may be granted unless, within thirty (30) days from the date of this published Notice, the Agricultural Research Service receives written evidence and argument which establishes that the grant of the license would not be consistent with the requirements of 35 U.S.C. 209 and 37 CFR 404.7.</P>
        <SIG>
          <NAME>Richard J. Brenner,</NAME>
          <TITLE>Assistant Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14833 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-03-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Agricultural Research Service</SUBAGY>
        <SUBJECT>Notice of Intent To Grant Exclusive License</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Agricultural Research Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of intent.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Notice is hereby given that the U.S. Department of Agriculture, Agricultural Research Service, intends to grant to Oregon State University of Corvallis, Oregon, an exclusive license to the blueberry variety named “Perpetua.”</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Send comments to: USDA, ARS, Office of Technology Transfer, 5601 Sunnyside Avenue, Rm. 4-1174, Beltsville, Maryland 20705-5131.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>June Blalock of the Office of Technology Transfer at the Beltsville address given above; telephone: 301-504-5989.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>The Federal Government's rights in this plant variety are assigned to the United States of America, as represented by the Secretary of Agriculture. The prospective exclusive license will be royalty-bearing and will comply with the terms and conditions of 35 U.S.C. 209 and 37 CFR 404.7. The prospective exclusive license may be granted unless, within thirty (30) days from the date of this published Notice, the Agricultural Research Service receives written evidence and argument which establishes that the grant of the license would not be consistent with the requirements of 35 U.S.C. 209 and 37 CFR 404.7.</P>
        <SIG>
          <NAME>Richard J. Brenner,</NAME>
          <TITLE>Assistant Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14834 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-03-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>National Agricultural Statistics Service</SUBAGY>
        <SUBJECT>Notice of Intent To Revise and Extend a Currently Approved Information Collection</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Agricultural Statistics Service, USDA.</P>
        </AGY>
        <ACT>
          <PRTPAGE P="36478"/>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice and request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In accordance with the Paperwork Reduction Act of 1995 this notice announces the intention of the National Agricultural Statistics Service (NASS) to request revision and extension of a currently approved information collection, the Stocks Reports. Revision to burden hours will be needed due to changes in the size of the target population, sampling design, and/or questionnaire length.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments on this notice must be received by August 20, 2012 to be assured of consideration.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by docket number 0535-0007, by any of the following methods:</P>
          <P>•<E T="03">Email:</E>
            <E T="03">OMBofficer@nass.usda.gov.</E>Include docket number above in the subject line of the message.</P>
          <P>•<E T="03">Fax:</E>(202) 720-6396.</P>
          <P>•<E T="03">Mail:</E>Mail any paper, disk, or CD-ROM submissions to: David Hancock, NASS Clearance Officer, U.S. Department of Agriculture, Room 5336 South Building, 1400 Independence Avenue SW., Washington, DC 20250-2024.</P>
          <P>•<E T="03">Hand Delivery/Courier:</E>Hand deliver to: David Hancock, NASS Clearance Officer, U.S. Department of Agriculture, Room 5336 South Building, 1400 Independence Avenue SW., Washington, DC 20250-2024.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Joseph T. Reilly, Associate Administrator, National Agricultural Statistics Service, U.S. Department of Agriculture, (202) 720-4333.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P SOURCE="NPAR">
          <E T="03">Title:</E>Stocks Reports.</P>
        <P>
          <E T="03">OMB Control Number:</E>0535—0007.</P>
        <P>
          <E T="03">Expiration Date of Approval:</E>November 30, 2012.</P>
        <P>
          <E T="03">Type of Request:</E>Intent to Seek Approval to Revise and Extend an Information Collection for 3 years.</P>
        <P>
          <E T="03">Abstract:</E>The primary objective of the National Agricultural Statistics Service is to prepare and issue State and national estimates of crop and livestock production, stocks, disposition, and prices. The Stocks Report Surveys provide estimates of stocks of grains, hops, oilseeds, peanuts, potatoes, and rice that are stored off-farm. These off-farm stocks are combined with on-farm stocks to estimate stocks in all positions. Stocks statistics are used by the U.S. Department of Agriculture to help administer programs; by State agencies to develop, research, and promote the marketing of products; and by producers to find their best market opportunity(s). The current expiration date for this docket is November 30, 2012. NASS intends to request that the survey be approved for another 3 years.</P>
        <P>
          <E T="03">Authority:</E>These data will be collected under the authority of 7 U.S.C. 2204(a). Individually identifiable data collected under this authority are governed by Section 1770 of the Food Security Act of 1985 as amended, 7 U.S.C. 2276, which requires USDA to afford strict confidentiality to non-aggregated data provided by respondents. This Notice is submitted in accordance with the Paperwork Reduction Act of 1995, Public Law 104-13 (44 U.S.C. 3501, et seq.) and Office of Management and Budget regulations at 5 CFR part 1320.NASS also complies with OMB Implementation Guidance, “Implementation Guidance for Title V of the E-Government Act, Confidential Information Protection and Statistical Efficiency Act of 2002 (CIPSEA),”<E T="04">Federal Register</E>, Vol. 72, No. 115, June 15, 2007, p. 33362.</P>
        <P>
          <E T="03">Estimate of Burden:</E>This information collection comprises 11 individual surveys that are conducted 1, 2, 4, 5, or 12 times a year for an estimated total of 40,000 responses. Public reporting burden for this collection of information is estimated to average 15 minutes per response.</P>
        <P>
          <E T="03">Respondents:</E>Farms and businesses.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>8,500.</P>
        <P>
          <E T="03">Estimated Total Annual Burden on Respondents:</E>10,000 hours.</P>
        <P>Copies of this information collection and related instructions can be obtained without charge from David Hancock, NASS Clearance Officer, at (202) 690-2388.</P>
        <P>
          <E T="03">Comments:</E>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 will have practical utility; (b) 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; (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 those who are to respond, through the use of appropriate automated, electronic, mechanical, technological or other forms of information technology collection methods.</P>
        <P>All responses to this notice will become a matter of public record and be summarized in the request for OMB approval.</P>
        <SIG>
          <DATED>Signed at Washington, DC, May 30, 2012.</DATED>
          <NAME>Joseph T. Reilly,</NAME>
          <TITLE>Associate Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14824 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-20-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Rural Housing Service</SUBAGY>
        <SUBJECT>Notice of Request for Extension of a Currently Approved Information Collection</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Rural Housing Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed collection; comments requested.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In accordance with the Paperwork Reduction Act of 1995, this notice announces the Rural Housing Service's intention to request an extension for a currently approved information collection in support of the Single Family Housing Direct Loans and Grants programs. The collection involves the use of Form RD 410-8, “Applicant Reference Letter.” The Form will be used to obtain information about an applicant's credit history that might not appear on a credit report and to provide clarification on the promptness of applicant's payments on debts, which enables Rural Housing Service to make better creditworthiness decisions.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments on this notice must be received by August 20, 2012 to be assured of consideration.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Migdaliz Bernier, Finance and Loan Analyst, Single Family Housing, Rural Housing Service, U.S. Department of Agriculture, Mail STOP 0783, 1400 Independence Ave. SW., Washington, DC 20250-0783. Phone number 202-690-3833; fax number 202-720-2232. Office hours are from 8:00 a.m. to 4:30 p.m., Monday through Friday, except Federal holidays.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P SOURCE="NPAR">
          <E T="03">Title:</E>Form RD 410-8, “Applicant Reference Letter”.</P>
        <P>
          <E T="03">OMB Number:</E>0575-0091.</P>
        <P>
          <E T="03">Expiration Date of Approval:</E>November 30, 2012.</P>
        <P>
          <E T="03">Type of Request:</E>Extension of a currently approved information collection.</P>
        <P>
          <E T="03">Abstract:</E>The Rural Housing Service (RHS) must, by law, make available to the applicant, upon request, the source of information used to make an adverse decision. Individual references may be solicited with the clear understanding that if the information is used to deny credit the information will be made available to the applicant upon request. Without this information, the Agency is<PRTPAGE P="36479"/>unable to determine if a customer would qualify for services.</P>
        <P>
          <E T="03">Estimate of Burden:</E>Public reporting burden for this collection of information is estimated to average 6 minutes per response.</P>
        <P>
          <E T="03">Respondents:</E>Individuals and business already extending credit/financing to Section 502 and 504 applicants.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>25,155.</P>
        <P>
          <E T="03">Estimated Number of Responses per Respondent:</E>1.</P>
        <P>
          <E T="03">Estimated Number of Responses:</E>25,155.</P>
        <P>
          <E T="03">Estimated Total Annual Burden on Respondents:</E>2,516.</P>
        <P>Copies of this information collection can be obtained from Brigitte Sumter, Regulations and Paperwork Management Branch, at (202) 692-0042.</P>
        <HD SOURCE="HD1">Comments</HD>
        <P>
          <E T="03">Comments are invited on:</E>(a) Whether the proposed collection of information is necessary for the proper performance of the functions of Rural Housing Service, including whether the information will have practical utility; (b) the accuracy of Rural Housing Service's estimate of the burden of the proposed collection of information including the validity of the methodology and assumptions used; (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 those who are to respond, including through the use of appropriate automated, electronic, mechanical, or other technological collection techniques or other forms of information technology. Comments may be sent to Brigitte Sumter, Regulations and Paperwork Management Branch, U.S. Department of Agriculture, Rural Development, STOP 0742, 1400 Independence Ave. SW., Washington, DC 20250.</P>
        <P>All responses to this notice will be summarized and included in the request for OMB approval. All comments will also become a matter of public record.</P>
        <SIG>
          <DATED>Dated: June 11, 2012.</DATED>
          <NAME>Tammye Treviño,</NAME>
          <TITLE>Administrator, Rural Housing Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14910 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-XV-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">ARCHITECTURAL AND TRANSPORTATION BARRIERS COMPLIANCE BOARD</AGENCY>
        <SUBJECT>Meetings</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Architectural and Transportation Barriers Compliance Board.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of meetings.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Architectural and Transportation Barriers Compliance Board (Access Board) plans to hold its regular committee and Board meetings in Washington, DC, Tuesday and Wednesday, July 10-11, 2012 on the times and location listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The schedule of events is as follows:</P>
        </DATES>
        <HD SOURCE="HD1">Tuesday, July 10, 2012</HD>
        <FP SOURCE="FP-1">9:30-NoonTechnical Programs Committee</FP>
        <FP SOURCE="FP-1">1:30-2:00 p.m.Budget Committee</FP>
        <FP SOURCE="FP-1">2:00-2:30 p.m.Planning and Evaluation Committee</FP>
        <FP SOURCE="FP-1">2:45-4:30 p.m.Ad Hoc Committee Meetings: Closed to Public</FP>
        <HD SOURCE="HD1">Wednesday, July 11, 2012</HD>
        <FP SOURCE="FP-1">1:30-3:00 p.m.Board Meeting</FP>
        
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Meetings will be held at the Access Board Conference Room, 1331 F Street NW., Suite 800, Washington, DC 20004.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>For further information regarding the meetings, please contact David Capozzi, Executive Director, (202) 272-0010 (voice); (202) 272-0054 (TTY).</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The Board meeting scheduled on the afternoon of Wednesday, July 11, 2012 will be webcast live; visit the Access Board's main Web site at<E T="03">www.access-board.gov</E>for further details. For this meeting session, the Access Board will consider the following agenda items:</P>
        <P>• Approval of the draft March 14, 2012 meeting minutes (vote)</P>
        <P>• Technical Programs Committee Report</P>
        <P>• Budget Committee Report (vote)</P>
        <P>• Planning and Evaluation Committee Report (vote)</P>
        <P>• Ad Hoc Committee Reports</P>
        <P>○ Ad Hoc Committee on Passenger Vessels (vote)</P>
        <P>○ Ad Hoc Committee on Outdoor Developed Areas (vote)</P>
        <P>• Executive Director's Report</P>
        <P>• Public Comment, Open Topics</P>

        <P>All meetings are accessible to persons with disabilities. An assistive listening system, computer assisted real-time transcription (CART), and sign language interpreters will be available at the Board meeting and committee meetings. Persons attending Board meetings are requested to refrain from using perfume, cologne, and other fragrances for the comfort of other participants (see<E T="03">www.access-board.gov/about/policies/fragrance.htm</E>for more information).</P>
        <SIG>
          <NAME>David M. Capozzi,</NAME>
          <TITLE>Executive Director.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14914 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 8150-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>Bureau of Industry and Security</SUBAGY>
        <SUBJECT>Proposed Information Collection; Comment Request; License Transfer and Duplicate License Services</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Bureau of Industry and Security, 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.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments must be submitted on or before August 20, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Direct all written comments to Jennifer Jessup, 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">JJessup@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 and instructions should be directed to Larry Hall, BIS ICB Liaison, (202) 482-4895,<E T="03">Lawrence.Hall@bis.doc.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Abstract</HD>
        <P>This collection is needed by the Bureau of Industry and Security (BIS) to provide services to exporters who have either lost their original license and require a duplicate, or who wish to transfer their ownership of an approved license to another party.</P>

        <P>Section 750.9 of the Export Administration Regulations (EAR) outlines the process for obtaining a duplicate license when a license is lost or destroyed. Section 750.10 of the EAR explains the procedure for transfer of ownership of validated export licenses. Both activities are services provided<PRTPAGE P="36480"/>after the license approval process. Each action requires a letter to BIS which includes certain information or information and certification, as explained in the EAR.</P>
        <HD SOURCE="HD1">II. Method of Collection</HD>
        <P>Submitted in paper form.</P>
        <HD SOURCE="HD1">III. Data</HD>
        <P>
          <E T="03">OMB Control Number:</E>0694-0126.</P>
        <P>
          <E T="03">Form Number(s):</E>N/A.</P>
        <P>
          <E T="03">Type of Review:</E>Regular submission (extension of a currently approved information collection).</P>
        <P>
          <E T="03">Affected Public:</E>Business or other for-profit organizations.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>110.</P>
        <P>
          <E T="03">Estimated Time per Response:</E>16 minutes for a duplicate license; and 66 minutes for a transfer of license.</P>
        <P>
          <E T="03">Estimated Total Annual Burden Hours:</E>38.</P>
        <P>
          <E T="03">Estimated Total Annual Cost to Public: $</E>0.</P>
        <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: June 14, 2012.</DATED>
          <NAME>Gwellnar Banks,</NAME>
          <TITLE>Management Analyst, Office of the Chief Information Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14851 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-33-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>International Trade Administration</SUBAGY>
        <DEPDOC>[A-570-831]</DEPDOC>
        <SUBJECT>Fresh Garlic From the People's Republic of China: Partial Rescission of the 2010-2011 Antidumping Duty Administrative Review</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Import Administration, International Trade Administration, Department of Commerce.</P>
        </AGY>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>June 19, 2012.</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Lingjun Wang or David Lindgren, 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) 482-2316 or (202) 482-3870, respectively.</P>
          <HD SOURCE="HD1">Background</HD>

          <P>On November 1, 2011, the Department of Commerce (Department) published in the<E T="04">Federal Register</E>a notice of opportunity to request administrative review of,<E T="03">inter alia,</E>the antidumping duty order on fresh garlic from the People's Republic of China (PRC) covering the period November 1, 2010, through October 31, 2011.<SU>1</SU>
            <FTREF/>In November 2011, the Department received review requests from PRC producers/exporters of fresh garlic<SU>2</SU>
            <FTREF/>and the Fresh Garlic Producer Association (FGPA) and its individual members (collectively, Petitioners).<SU>3</SU>
            <FTREF/>On December 30, 2011, the Department initiated this review for 120 producers/exporters.<SU>4</SU>
            <FTREF/>Finally, on March 29, 2012, Petitioners timely withdrew their review requests for 100 producers/exporters listed as an attachment to this notice;<SU>5</SU>
            <FTREF/>one company, Zhengzhou Harmoni Spice Co., Ltd. also filed a timely withdrawal of its review request on the same date.</P>
          <FTNT>
            <P>
              <SU>1</SU>
              <E T="03">See Antidumping or Countervailing Duty Order, Finding, or Suspended Investigation; Opportunity To Request Administrative Review,</E>76 FR 67413 (November 1, 2011).</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>2</SU>They are Jinan Farmlady Trading Co., Ltd.; Qingdao Sea-Line International Trading Co., Ltd.; Shandong Jinxiang Zhengyang Import &amp; Export Co., Ltd.; Shenzhen Xinboda Industrial Co., Ltd.; Zhengzhou Harmoni Spice Co., Ltd.; Weifang Hongqiao International Logistic Co., Ltd.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>3</SU>The individual members of the FGPA are Christopher Ranch L.L.C., The Garlic Company, Valley Garlic, and Vessey and Company, Inc.</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>4</SU>
              <E T="03">See Initiation of Antidumping and Countervailing Duty Administrative Reviews and Request for Revocation in Part,</E>76 FR 82268 (December 30, 2011) (<E T="03">Initiation Notice</E>).</P>
          </FTNT>
          <FTNT>
            <P>
              <SU>5</SU>
              <E T="03">See</E>Attachment 1.</P>
          </FTNT>
          <HD SOURCE="HD1">Partial Rescission</HD>
          <P>Pursuant to 19 CFR 351.213(d)(1), the Secretary will rescind an administrative review, in whole or in part, if a party who requested the review withdraws the request within 90 days of the day of publication of notice of initiation of the requested review. The aforementioned requests for review were withdrawn within the 90-day period. Because the requests for review were timely withdrawn and because no other party requested a review of the aforementioned producers/exporters, in accordance with 19 CFR 351.213(d)(1), we are partially rescinding this review with respect to these producers/exporters.</P>
          <HD SOURCE="HD1">Assessment Rates</HD>
          <P>The Department will instruct U.S. Customs and Border Protection (CBP) to assess antidumping duties on all appropriate entries. For those producers/exporters for which this review has been rescinded and which have a separate rate from a prior segment of this proceeding, antidumping duties shall be assessed at rates equal to the cash deposit of estimated antidumping duties required at the time of entry, or withdrawal from warehouse, for consumption, in accordance with 19 CFR 351.212(c)(2). For those producers/exporters for which this review has been rescinded and which have not been assigned a separate rate from a prior segment of the proceeding, the Department has stated that they belong to the PRC-wide entity and that the administrative review will continue for these companies.<SU>6</SU>
            <FTREF/>In both cases, the Department intends to issue the appropriate liquidation instructions directly to CBP 15 days after publication of this notice.</P>
          <FTNT>
            <P>
              <SU>6</SU>
              <E T="03">See Initiation Notice.</E>
            </P>
          </FTNT>
          <HD SOURCE="HD1">Notification to Importers</HD>
          <P>This notice serves as a final reminder to importers for whom this review is being rescinded, as of the publication date of this notice, 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 Regarding Administrative Protective Order</HD>

          <P>This notice also serves as a reminder to parties subject to administrative protective order (APO) of their<PRTPAGE P="36481"/>responsibility concerning the return or destruction of proprietary information disclosed under APO in accordance with 19 CFR 351.305, 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>
          <P>This notice is issued and published in accordance with section 777(i)(1) of the Tariff Act of 1930, as amended, and 19 CFR 351.213(d)(4).</P>
          <SIG>
            <DATED>Dated: June 11, 2012.</DATED>
            <NAME>Christian Marsh,</NAME>
            <TITLE>Deputy Assistant Secretary for Antidumping and Countervailing Duty Operations.</TITLE>
          </SIG>
          <HD SOURCE="HD1">Attachment 1</HD>
          <FP SOURCE="FP-2">1. APM Global Logistics (Shanghai) Co., Ltd.</FP>
          <FP SOURCE="FP-2">2. APS Qingdao</FP>
          <FP SOURCE="FP-2">3. American Pioneer Shipping</FP>
          <FP SOURCE="FP-2">4. Anhui Dongqian Foods Ltd.</FP>
          <FP SOURCE="FP-2">5. Anqiu Friend Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">6. Anqiu Haoshun Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">7. Chiping Shengkang Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">8. CMEC Engineering Machinery Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">9. Dongying Shunyifa Chemical Co., Ltd.</FP>
          <FP SOURCE="FP-2">10. Dynalink Systems Logistics (Qingdao) Inc.</FP>
          <FP SOURCE="FP-2">11. Eimskip Logistics Inc.</FP>
          <FP SOURCE="FP-2">12. Feicheng Acid Chemicals Co., Ltd.</FP>
          <FP SOURCE="FP-2">13. Frog World Co., Ltd.</FP>
          <FP SOURCE="FP-2">14. Golden Bridge International, Inc.</FP>
          <FP SOURCE="FP-2">15. Hangzhou Guanyu Foods Co., Ltd.</FP>
          <FP SOURCE="FP-2">16. Heze Ever-Best International Trade Co., Ltd. (f/k/a Shandong Heze International Trade and Developing Company)</FP>
          <FP SOURCE="FP-2">17. Hongqiao International Logistics Co.</FP>
          <FP SOURCE="FP-2">18. Intecs Logistics Service Co., Ltd.</FP>
          <FP SOURCE="FP-2">19. IT Logistics Qingdao Branch</FP>
          <FP SOURCE="FP-2">20. Jinan Solar Summit International Co., Ltd.</FP>
          <FP SOURCE="FP-2">21. Jinan Yipin Corporation Ltd.</FP>
          <FP SOURCE="FP-2">22. Jining De-Rain Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">23. Jining Highton Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">24. Jining Jiulong International Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">25. Jining Tiankuang Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">26. Jining Trans-High Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">27. Jining Yifa Garlic Produce Co., Ltd.</FP>
          <FP SOURCE="FP-2">28. Jinxiang County Huaguang Food Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">29. Jinxiang Dacheng Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">30. Jinxiang Dongyun Freezing Storage Co., Ltd. (<E T="03">a/k/a</E>Jinxiang Eastward Shipping Import and Export Limited Company and Jinxiang Dongyun Import &amp; Export Co.)</FP>
          <FP SOURCE="FP-2">31. Jinxiang Fengsheng Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">32. Jinxiang Jinma Fruits Vegetables Products Co., Ltd.</FP>
          <FP SOURCE="FP-2">33. Jinxiang Meihua Garlic Produce Co., Ltd.</FP>
          <FP SOURCE="FP-2">34. Jinxiang Shanyang Freezing Storage Co., Ltd.</FP>
          <FP SOURCE="FP-2">35. Jinxiang Shenglong Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">36. Jinxiang Tianheng Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">37. Jinxiang Tianma Freezing Storage Co., Ltd.</FP>
          <FP SOURCE="FP-2">38. Jinxiang Yuanxin Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">39. Juye Homestead Fruits and Vegetables Co., Ltd.</FP>
          <FP SOURCE="FP-2">40. Kingwin Industrial Co., Ltd.</FP>
          <FP SOURCE="FP-2">41. Laiwu Fukai Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">42. Laizhou Xubin Fruits and Vegetables</FP>
          <FP SOURCE="FP-2">43. Linshu Dading Private Agricultural Products Co., Ltd.</FP>
          <FP SOURCE="FP-2">44. Linyi City Hedong District Jiuli Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">45. Linyi City Kangfa Foodstuff Drinkable Co., Ltd.</FP>
          <FP SOURCE="FP-2">46. Linyi Katayama Foodstuffs Co., Ltd.</FP>
          <FP SOURCE="FP-2">47. Linyi Tianqin Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">48. Ningjin Ruifeng Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">49. Qingdao Apex Shipping Co., Ltd.</FP>
          <FP SOURCE="FP-2">50. Qingdao BNP Co., Ltd.</FP>
          <FP SOURCE="FP-2">51. Qingdao Cherry Leather Garment Co., Ltd.</FP>
          <FP SOURCE="FP-2">52. Qingdao Chongzhi International Transportation Co., Ltd.</FP>
          <FP SOURCE="FP-2">53. Qingdao Lianghe International Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">54. Qingdao Saturn International Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">55. Qingdao Sino-World International Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">56. Qingdao Winner Foods Co., Ltd.</FP>
          <FP SOURCE="FP-2">57. Qingdao Yuankang International</FP>
          <FP SOURCE="FP-2">58. Qufu Dongbao Import &amp; Export Trade Co., Ltd.</FP>
          <FP SOURCE="FP-2">59. Rizhao Huasai Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">60. Samyoung America (Shanghai) Inc.</FP>
          <FP SOURCE="FP-2">61. Shandong Chengshun Farm Produce Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">62. Shandong China Bridge Imports</FP>
          <FP SOURCE="FP-2">63. Shandong Dongsheng Eastsun Foods Co., Ltd.</FP>
          <FP SOURCE="FP-2">64. Shandong Garlic Company</FP>
          <FP SOURCE="FP-2">65. Shandong Longtai Fruits and Vegetables Co., Ltd.</FP>
          <FP SOURCE="FP-2">66. Shandong Wonderland Organic Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">67. Shandong Sanxing Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">68. Shandong Xingda Foodstuffs Group Co., Ltd.</FP>
          <FP SOURCE="FP-2">69. Shandong Yipin Agro (Group) Co., Ltd.</FP>
          <FP SOURCE="FP-2">70. Shanghai Ever Rich Trade Company</FP>
          <FP SOURCE="FP-2">71. Shanghai Goldenbridge International Co., Ltd.</FP>
          <FP SOURCE="FP-2">72. Shanghai Great Harvest International Co., Ltd.</FP>
          <FP SOURCE="FP-2">73. Shanghai Medicines &amp; Health Products Import/Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">74. Shanghai Yijia International Transportation Co., Ltd.</FP>
          <FP SOURCE="FP-2">75. Shenzhen Bainong Co., Ltd.</FP>
          <FP SOURCE="FP-2">76. Shenzhen Fanhui Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">77. Shenzhen Greening Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">78. T&amp;S International, LLC</FP>
          <FP SOURCE="FP-2">79. Taian Eastsun Foods Co., Ltd.</FP>
          <FP SOURCE="FP-2">80. Taian Fook Huat Tong Kee Pte. Ltd.</FP>
          <FP SOURCE="FP-2">81. Taian Solar Summit Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">82. Tianjin Spiceshi Co., Ltd.</FP>
          <FP SOURCE="FP-2">83. Taiyan Ziyang Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">84. U.S. United Logistics (Ningbo) Inc.</FP>
          <FP SOURCE="FP-2">85. V.T. Impex (Shandong) Limited</FP>
          <FP SOURCE="FP-2">86. Weifang Chenglong Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">87. Weifang Jinbao Agricultural Equipment Co., Ltd.</FP>
          <FP SOURCE="FP-2">88. Weifang Naike Foodstuffs Co., Ltd.</FP>
          <FP SOURCE="FP-2">89. Weifang Shennong Foodstuff Co., Ltd.</FP>
          <FP SOURCE="FP-2">90. Weihai Textile Group Import &amp; Export Co., Ltd.</FP>
          <FP SOURCE="FP-2">91. WSSF Corporation (Weifang)</FP>
          <FP SOURCE="FP-2">92. Xiamen Huamin Import Export Company</FP>
          <FP SOURCE="FP-2">93. Xiamen Keep Top Imp. and Exp. Co., Ltd.</FP>
          <FP SOURCE="FP-2">94. Xinjiang Top Agricultural Products Co., Ltd.</FP>
          <FP SOURCE="FP-2">95. Xuzhou Heiners Agricultural Co., Ltd.</FP>
          <FP SOURCE="FP-2">96. XuZhou Simple Garlic Industry Co., Ltd.</FP>
          <FP SOURCE="FP-2">97. You Shi Li International Trading Co., Ltd.</FP>
          <FP SOURCE="FP-2">98. Zhangzhou Xiangcheng Rainbow Greenland Food Co., Ltd.</FP>
          <FP SOURCE="FP-2">99. Zhengzhou Dadi Garlic Industry Co., Ltd.</FP>
          <FP SOURCE="FP-2">100. Zhengzhou Harmoni Spice Co., Ltd.</FP>
          
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14966 Filed 6-18-12; 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>
        <SUBJECT>Methodological Change for Implementation of Section 772(c)(2)(B) of the Tariff Act of 1930, as Amended, In Certain Non-Market Economy Antidumping Proceedings</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Import Administration, International Trade Administration, Department of Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Announcement of change in methodology.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>After consideration of public comments, the Department of Commerce (“the Department”) will implement a methodological change to reduce export price or constructed export price in certain non-market economy (“NME”) antidumping proceedings by the amount of export<PRTPAGE P="36482"/>tax, duty, or other charge, pursuant to section 772(c)(2)(B) of the Tariff Act of 1930, as amended (“the Act”).</P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Albert Hsu, Senior Economist, Office ofPolicy, Import Administration, U.S. Department of Commerce, 14th Street and Constitution Avenue NW., Washington, DC 20230; telephone: (202) 482-4491.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>

        <P>Pursuant to section 772(c)(2)(B) of the Act, the Department is instructed to reduce the export price or constructed export price used in the antidumping margin calculation by “the amount, if included in such price, of any export tax, duty, or other charge imposed by the exporting country on the exportation of the subject merchandise to the United States, other than an export tax, duty, or other charge described in section 771(6)(C) {of the Act}.” However, the Department's past administrative practice has been not to apply section 772(c)(2)(B) of the Act in NME antidumping proceedings because pervasive government intervention in NMEs precluded proper valuation of taxes paid by NME respondents to NME governments. This practice originated in the less-than-fair-value investigations of pure magnesium and magnesium alloy from the Russian Federation, which the Department then considered to be an NME country.<E T="03">See</E>
          <E T="03">Notice of Final Determinations of Sales at Less Than Fair Value: Pure Magnesium and Alloy Magnesium From the Russian Federation,</E>60 FR 16440 (March 30, 1995) (“<E T="03">Russian Magnesium”</E>), at Comment 10. In those investigations, the Department determined not to reduce the NME respondents' U.S. prices for an export tax paid to the NME government, the Russian Federation.<E T="03">Id.</E>
        </P>
        <P>In subsequent litigation challenging that determination, the Department explained its reasoning as follows:</P>
        
        <EXTRACT>
          <P>The {NME} is governed by a presumption of widespread intervention and influence in the economic activities of enterprises. An export tax charged for one purpose may be offset by government transfers provided for another purpose.</P>
          <STARS/>
          <P>To make a deduction for export taxes imposed by a NME government would unreasonably isolate one part of the web of transactions between government and producer. The Department's uniform approach to intra-NME transfers can be seen in its policy regarding transfers (or “subsidies”) paid by a NME government to a NME producer. The Department—with the approval of the Court of Appeals—has declined to find such transfers to be subsidies given the nature of a {NME}. Such an economy is riddled with distortions, with the government influencing prices and cost structures, regulating investment, wages and private ownership, and allocating credit. Attempts to isolate individual government interventions in this setting—whether they be transfers from the government or from exporters to the government—make no sense.</P>
        </EXTRACT>
        
        <FP>
          <E T="03">See</E>Remand Redetermination:<E T="03">Magnesium Corp. of America, et al.</E>v.<E T="03">United States,</E>at 6-8, dated Oct. 28, 1996 (“Remand Redetermination”) (available at:<E T="03">http://ia.ita.doc.gov/tlei/index.html</E>). The U.S. Court of International Trade (“CIT”) upheld the Department's remand results.<E T="03">See</E>
          <E T="03">Magnesium Corp. of America</E>v.<E T="03">United States,</E>20 CIT 1464, 1466 (1996). The U.S. Court of Appeals for the Federal Circuit (“Federal Circuit”) then affirmed the CIT's decision, stating that it agreed with the reasoning put forward in the Department's Remand Redetermination.<E T="03">See</E>
          <E T="03">Magnesium Corp. of America</E>v.<E T="03">United States,</E>166 F.3d 1364, 1370-71 (Fed. Cir. 1999) (“<E T="03">Mag. Corp. III”</E>).</FP>
        <P>However, since<E T="03">Mag. Corp. III,</E>the Department has changed its practice with respect to application of the countervailing duty (“CVD”) law to subsidized imports from the People's Republic of China (“the PRC”) and the Socialist Republic of Vietnam (“Vietnam”), which the Department continues to designate as NME countries for antidumping purposes. As explained in the CVD investigations of coated free sheet paper from the PRC and polyethylene retail carrier bags from Vietnam, the present-day Chinese and Vietnamese economies are sufficiently dissimilar from Soviet-style economies that the Department can determine whether the Chinese or Vietnamese governments have bestowed an identifiable and measurable benefit upon a producer, and whether the benefit is specific, including certain measures related to taxation.<E T="03">See</E>
          <E T="03">Coated Free Sheet Paper from the People's Republic of China: Final Affirmative Countervailing Duty Determination,</E>72 FR 60645 (October 25, 2007) (“<E T="03">CFS Paper”</E>); “Whether the Analytical Elements of the<E T="03">Georgetown Steel</E>Opinion are Applicable to China's Present-Day Economy,” dated March 29, 2007 (available at:<E T="03">http://ia.ita.doc.gov/download/prc-cfsp/CFS%20China.Georgetown%20applicability.pdf</E>);<E T="03">Polyethylene Retail Carrier Bags from the Socialist Republic of Vietnam: Preliminary Affirmative Countervailing Duty Determination and Alignment of Final Countervailing Duty Determination with Final Antidumping Duty Determination,</E>74 FR 45811, 45813-14 (September 4, 2009), unchanged in<E T="03">Polyethylene Retail Carrier Bags from the Socialist Republic of Vietnam: Final Affirmative Countervailing Duty Determination,</E>75 FR 16428 (April 1, 2010) (“<E T="03">PRCBs”</E>), and accompanying Issues and Decision Memorandum at III (“Applicability of the CVD Law to Vietnam”).</P>

        <P>Pursuant to its determination that subsidies from certain NME governments to NME companies can be identified and measured, the Department has reconsidered its administrative practice that taxes paid by NME companies to these NME governments cannot be identified and measured. Specifically, the Department has proposed a change to the administrative practice explained in<E T="03">Russian Magnesium,</E>as upheld in the<E T="03">Mag. Corp.</E>cases, with respect to the PRC and Vietnam.<E T="03">See</E>
          <E T="03">Proposed Methodology for Implementation of Section 772(c)(2)(B) of the Tariff Act of 1930, as Amended, In Certain Non-Market Economy Antidumping Proceedings; Request for Comment,</E>76 FR 4866 (January 27, 2011) (“<E T="03">Proposed Methodology”</E>). Under that proposal, the Department, pursuant to section 772(c)(2)(B) of the Act, would reduce export price and constructed export price used in NME dumping margin calculations by the amount of export taxes and similar charges, including value added taxes (“VAT”) not rebated upon export, in less-than-fair-value investigations and administrative reviews of antidumping duty orders.<E T="03">Id.</E>This methodology may later be applied to other NMEs, pursuant to a determination that the NME at issue is sufficiently dissimilar from Soviet-style economies.</P>
        <P>After consideration of public comments, the Department is hereby adopting the following methodology to implement section 772(c)(2)(B) in antidumping duty investigations and administrative reviews involving merchandise from the PRC and Vietnam.</P>
        <HD SOURCE="HD1">Methodological Change</HD>

        <P>In antidumping duty investigations and administrative reviews involving merchandise from the PRC and Vietnam, the Department will determine whether, as a matter of law, regulation, or other official action, the NME government has imposed “an export tax, duty, or other charge” upon export of the subject merchandise during the period of investigation or the period of review (<E T="03">e.g.,</E>an export tax or VAT that is not fully refunded upon exportation). The Department anticipates that parties would place upon the record copies of laws, regulations, other official<PRTPAGE P="36483"/>documents, or similar publicly available information that identify the particular tax imposed on certain exports by the PRC or Vietnamese government. The Department will also consider evidence as to whether the particular respondent(s) was, in some manner, exempted from the requirement to pay the export tax, duty, or other charge. The Department anticipates that such evidence would include official documentation of the respondent's exemption.</P>
        <P>Provided that the NME government imposed an export tax, duty, or other charge on subject merchandise as contemplated by section 772(c)(2)(B) of the Act, from which the respondent was not exempted, the Department will reduce the respondent's export price and constructed export price accordingly, by the amount of the tax, duty or charge paid, but not rebated. The Department anticipates that, in many instances, the export tax, VAT, duty, or other charge will be a fixed percentage of the price. In such cases, the Department will adjust the export price or constructed export price downward by the same percentage. In other instances where the tax or charge is a flat fee or nominal sum denominated in NME country currency, the Department will determine the ratio of the flat fee to the respondent's export price or constructed export price as denominated in its domestic currency, and then adjust the export price or constructed export price downward by the same ratio.</P>
        <HD SOURCE="HD1">Analysis of Public Comments</HD>

        <P>The Department received and carefully considered seventeen comments on the<E T="03">Proposed Methodology.</E>Summaries of the comments, grouped by theme, and the Department's responses are provided below.</P>
        <HD SOURCE="HD2">Selective Treatment of Internal NME Tax Transactions</HD>
        <P>Opponents of the<E T="03">Proposed Methodology</E>contend that the Department cannot engage in selective use of certain NME transactions for dumping margin calculation purposes. Those commenters argue that, if there is a basis to use internal NME tax transactions for antidumping margin calculation purposes, then there is a basis for using other internal NME transactions as well. Opponents of the change further suggest that the proposal also does not consider other cost elements that are presumed to be reflected in a price from a market economy country, but not from an NME country.</P>
        <P>Interests favoring the<E T="03">Proposed Methodology</E>assert that, because of the tax-free normal values used in NME antidumping methodology proceedings, the proposed modification would result in a preferred tax-neutral dumping margin calculation. Other commenters suggest that the Department should expand its methodological change and adjust for all NME taxes and charges that impact margin calculation, not just export taxes and VAT.</P>
        <P>
          <E T="03">Department's Position:</E>In adopting this methodological change, the Department considers taxes levied by the Chinese and Vietnamese governments to be different from other internal transactions between companies in an NME context. Although we do not know how individual companies in those NME countries set prices, we do know that the government taxes a portion of companies' sales receipts. Consistent with our CVD determinations in<E T="03">CFS Paper</E>and<E T="03">PRCBs,</E>we can measure a transfer of funds between certain NMEs and companies therein, regardless of the direction the money flows. Given that, and given that we know how much respondent companies receive for the U.S. sale, we have determined it appropriate to take taxes into account, as directed by the statute.<E T="03">See</E>section 772(c)(2)(B) of the Act.</P>

        <P>Specifically, the statute defines an NME as “any foreign country that the administering authority determines does not operate on market principles of cost or pricing structures, so that sales of merchandise in such country do not reflect the fair value of the merchandise.”<E T="03">See</E>section 771(18) of the Act. As a result, when the Department evaluates whether a tax is included in the price of an NME export sale, it cannot take into consideration the same assumptions as those taken into account when performing a similar type of evaluation for a market economy sale, which does operate in accordance with market principles of cost or pricing structures. Accordingly, it is not an issue of price formation (<E T="03">i.e.,</E>whether the seller considers tax when forming price) because that is a market economy concept which is inapplicable by the very definition of an NME.</P>
        <P>Additionally, because these are taxes affirmatively imposed by the Chinese and Vietnamese governments, we presume that they are also collected.<SU>1</SU>
          <FTREF/>The unrefunded VAT or affirmatively imposed export tax only arises through the fact that there were export sales.</P>
        <FTNT>
          <P>
            <SU>1</SU>As stated above, the Department's methodological change allows individual companies the opportunity to demonstrate that the particular respondent(s) was, in some manner, exempted from the requirement to pay the export tax, duty, or other charge.</P>
        </FTNT>

        <P>As a result, because the liability arises as a result of export sales, this is where payment originates. Therefore, to achieve what is called for in the statute, the gross price charged to the customer must be reduced to a net price received. In cases involving imports from the PRC or Vietnam, “included in the price” means whether the respondent has reported a price which is gross (<E T="03">i.e.,</E>inclusive) or net (<E T="03">i.e.,</E>exclusive) of tax. As such, if a gross price has been reported, a deduction must be made for those taxes imposed on the sale, and if a net price has been reported, deductions are not required. We note that, in prior cases involving imports from the PRC or Vietnam where the Department was aware that such a tax was imposed, it has typically been expressed as a percentage of the export selling price. Therefore, any such deduction to export price would also be performed on a percentage basis.</P>

        <P>We further note that deducting internal NME tax transactions from export price or constructed export price is consistent with the Department's longstanding policy, which is consistent with the intent of the statute, that dumping comparisons be tax-neutral.<E T="03">See</E>
          <E T="03">Antidumping Duties; Countervailing Duties,</E>62 FR 27296, 27369 (May 19, 1997) (<E T="03">citing</E>Statement of Administrative Action accompanying the Uruguay Round Agreements Act, H.R. Doc. No. 103-316, vol. 1, 827, reprinted in 1994 U.S.C.C.A.N. 3773, 4172).</P>
        <P>In response to comments that the methodological change does not consider other cost elements that are presumed to be reflected in a price from a market economy country, but not from an NME country, we note that the new methodology does not consider other elements of cost or price because, pursuant to section 773(c)(1)(B) of the Act and consistent with the PRC's and Vietnam's Protocols of Accession to the World Trade Organization (“WTO”), the Department can reject internal costs and prices in an NME country for antidumping and countervailing duty purposes. What is relevant for margin calculation purposes is the net revenue the company ultimately receives on sales made to its U.S. customers, after adjusting for taxes, as provided for by the statute.</P>
        <HD SOURCE="HD2">Magnesium Corp</HD>
        <P>Certain commenters argue that the<E T="03">Proposed Methodology</E>is inconsistent with the Federal Circuit decision in<E T="03">Mag. Corp. III,</E>which sustained the Department's rationale for not deducting<PRTPAGE P="36484"/>export taxes from U.S. price in the<E T="03">Russian Magnesium</E>investigation. Proponents of the proposed methodological change contend that the deduction for VAT, export tax, and other charges from export price or constructed export price is mandatory under the plain language of section 772(c)(2)(B) of the Act. Those parties further note that the Federal Circuit in<E T="03">Mag. Corp. III</E>found it within the Department's discretion to determine whether VAT and export taxes should be deducted from USP. To the extent the Department's prior practice had its origins in the<E T="03">Russian Magnesium</E>investigation, interests favoring the proposal assert that the current Chinese and Vietnamese economies are different from the Russian economy of that era in that the Department, having found that it can apply the CVD law to the PRC and Vietnam, is able to identify certain other transfers between governments and companies in those countries.</P>
        <P>
          <E T="03">Department's Position:</E>The Federal Circuit did not find that the Department could not apply the relevant statutory provision in an NME context. It simply agreed with the Department's stated rationale<E T="03">at the time</E>for not doing so, which the Department applied in a context different from the economies of the present-day PRC and Vietnam. Given the realities of those two economies today, the Department's understanding of the phrase “if included in such price” in section 772(c)(2)(B) of the Act has evolved accordingly in the manner described above. Thus, the change in methodology is the consequence of the inapplicability of the reasoning of<E T="03">Russian Magnesium</E>to the PRC and Vietnam today.</P>
        <HD SOURCE="HD2">Application of CVD Law to the PRC and Vietnam</HD>

        <P>Parties opposing the methodological change contend that the Department's proposal relies heavily upon the Department's analysis in the<E T="03">CFS Paper</E>CVD investigation, which is at odds with the Department's previous insistence upon the distinctiveness of the antidumping and CVD regimes as well as the recent CIT decision in<E T="03">GPX Int'l Tire Corp.</E>v.<E T="03">United States,</E>715 F. Supp. 2d 1337 (Ct. Int'l Trade 2010) (“<E T="03">GPX”</E>), that calls into question the legality of applying the CVD law to the PRC.</P>
        <P>
          <E T="03">Department's Position:</E>As discussed above, the methodological change does rely in part upon the Department's analysis in the<E T="03">CFS Paper</E>investigation. Whether or not the proposal is at odds with any previous insistence upon the distinctiveness of the antidumping duty and CVD regimes, the statute requires a deduction for certain taxes from U.S. price. In<E T="03">CFS Paper</E>and<E T="03">PRCBs,</E>the Department found that it could identify and take into account a government-supplied subsidy in certain NME contexts. Given that a government imposed tax is also a transfer of funds between the government and a company, we have relied upon<E T="03">CFS Paper</E>and<E T="03">PRCBs</E>solely to recognize this government-imposed tax.</P>
        <P>With respect to the CIT decision in<E T="03">GPX</E>cited by certain parties, the Department continues to apply the CVD law to the PRC and Vietnam. In that regard, the President on March 13, 2012, signed into law H.R. 4105, “To apply the countervailing duty provisions of the Tariff Act of 1930 to nonmarket economy countries, and for other purposes.” H.R. 4105 amended the Act, among other purposes, to confirm that the Department must apply the CVD law to subsidized imports from certain countries designated as NMEs under the AD laws.<E T="03">See</E>section 701(f)(1) of the Act. The Federal Circuit has acknowledged that H.R. 4105 overturns its earlier ruling affirming the CIT's judgment in<E T="03">GPX. See GPX Int'l Tire Corp.</E>v.<E T="03">United States,</E>2012 U.S. App. LEXIS 9444 (Fed. Cir. May 9, 2012).</P>
        <HD SOURCE="HD2">Allegedly Distortive Elements of the Proposed Methodology</HD>
        <P>Some commenters argue that the proposal does not account for how export taxes and VATs actually operate in the PRC, thereby resulting in distortions.</P>
        <P>
          <E T="03">Department's Position:</E>It is correct that the proposal does not attempt to address every aspect of the PRC's and/or Vietnam's respective export tax and VAT systems. This methodological change simply reflects that the statute calls for the Department to adjust U.S. price for export taxes, irrespective of whether they are levied in a market economy or NME context. Indeed, subsequent to implementation, the PRC's and/or Vietnam's VAT and export tax systems may change. We simply are recognizing with this methodological change that the PRC and Vietnam are dissimilar from Soviet-style economies, which was the context in which we adopted the policy not to make the adjustment for VAT and export taxes. As a result, we are planning to apply the relevant statutory provision to merchandise from the PRC and Vietnam. If there is a peculiarity with respect to the system or how it is applied in a given case, parties are encouraged to discuss it, and we will address those comments on a case-by-case basis.</P>
        <HD SOURCE="HD2">Competitiveness of U.S. Manufacturers</HD>
        <P>Certain parties comment that the<E T="03">Proposed Methodology</E>would negatively affect the competitiveness of U.S. manufacturers that rely upon imported raw materials through likely increases in antidumping margins on merchandise imported from the PRC and Vietnam, thus undermining the objectives of the National Export Initiative (“NEI”). To that end, one commenter suggested that the<E T="03">Proposed Methodology</E>is inconsistent with the United States' position in the WTO dispute involving Chinese restrictions on the export of raw materials (<E T="03">China—Measures Related to the Exportation of Various Raw Materials,</E>WT/DS394) that PRC export taxes harm U.S. manufacturers that consume PRC-origin merchandise. In contrast, another commenter commends the methodological change for advancing the objectives of the NEI.</P>
        <P>
          <E T="03">Department's Position:</E>The Department disagrees that the methodological change undermines the objectives of the NEI. Those objectives focus on facilitating increased U.S. exports. Moreover, the enforcement of U.S. trade remedy laws is an explicit component of the NEI, and toward that end, tax-neutral dumping margin calculations,<E T="03">i.e.,</E>those based on VAT- and export tax-exclusive U.S. price and normal values, result in antidumping duties that further level the playing field for domestic manufacturers and increase their potential export competitiveness. For that reason, we disagree that there is any inconsistency between the Department's proposal and the United States' position in the WTO dispute on Chinese export restrictions. Both represent necessary and appropriate responses to the market- and price-distorting effects of export taxes.</P>

        <P>Furthermore, this methodological change is substantively distinct from the positions and arguments raised by the United States in the WTO dispute, which were informed by particular commercial policy concerns related to the availability of raw materials and involved certain WTO rules and obligations that are not at issue here. As noted above, section 772(c)(2)(B) of the Act is a statutory requirement. Given the changes in our practice with regard to the PRC and Vietnam (<E T="03">i.e.,</E>the application of the CVD law), we are simply acknowledging that we can now apply section 772(c)(2)(B) of the Act in proceedings involving merchandise from the PRC and Vietnam to ensure tax neutrality in our dumping margin calculations, and make the adjustments<PRTPAGE P="36485"/>that we would otherwise ordinarily make under the statute.</P>
        <HD SOURCE="HD1">Implementation</HD>
        <P>The methodological change detailed above will be applied to future administrative NME proceedings involving merchandise from the PRC and Vietnam initiated after publication of this notice.</P>
        <SIG>
          <DATED>Dated: June 12, 2012.</DATED>
          <NAME>Paul Piquado,</NAME>
          <TITLE>Assistant Secretary for Import Administration.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14964 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-DS-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Institute of Standards and Technology</SUBAGY>
        <DEPDOC>[Docket Number 120531129-2129-01]</DEPDOC>
        <SUBJECT>Alternative Personnel Management System (APMS) at the National Institute of Standards and Technology</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Institute of Standards and Technology, Department of Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of Modifications with Request for Comment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This notice changes the National Institute of Standards and Technology's (NIST) Alternative Personnel Management System (APMS) published October 21, 1997 (62 FR 54604, 54606), May 6, 2005 (70 FR 23996), July 15, 2008 (73 FR 40500), and July 21, 2009 (74 FR 35841 and 74 FR 35843) to (1) eliminate the required bonus for employees at the cap of their pay band who are appraised at the top two rating levels, and (2) solidify the three-year probationary period, a hallmark of the original NIST demonstration project and later APMS.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>This notice is effective on June 19, 2012. Comments will be accepted until 5:00 p.m. Eastern Time on July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Send or deliver comments to Amy K. Cubert, Supervisory Human Resources Specialist, National Institute of Standards and Technology, Building 101, Room A-123, 100 Bureau Drive Mail Stop 1720, Gaithersburg, MD 20899-1720, Fax: (301) 948-6107 or email comments to<E T="03">ppschanges@nist.gov.</E>
          </P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>For questions or comments, please contact Amy K. Cubert at the National Institute of Standards and Technology, (301) 975-3006.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>

        <P>In accordance with Public Law 99-574, the National Bureau of Standards Authorization Act for fiscal year 1987, the Office of Personnel Management (OPM) approved a demonstration project plan, “Alternative Personnel Management System (APMS) at the National Institute of Standards and Technology (NIST),” and published the plan in the<E T="04">Federal Register</E>on October 2, 1987 (52 FR 37082). The published demonstration project plan was modified twice to clarify certain NIST authorities (54 FR 21331 of May 17, 1989, and 55 FR 39220 of September 25, 1990). The project plan and subsequent amendments were consolidated in the final APMS plan, which became permanent on October 21, 1997 (62 FR 54604). NIST published three subsequent amendments to the final APMS plan: One on May 6, 2005 (70 FR 23996), which became effective upon publication in the<E T="04">Federal Register</E>; one on July 15, 2008 (73 FR 40500), which became effective on October 1, 2008; and one on July 21, 2009 (74 FR 35841), which became effective upon publication in the<E T="04">Federal Register</E>. NIST also published a correction on July 21, 2009 (74 FR 35843), which became effective upon publication in the<E T="04">Federal Register</E>.</P>

        <P>The final APMS plan, as amended, provides for modifications to be made as experience is gained, results are analyzed, and conclusions are reached on how the system is working. This notice formally modifies the APMS plan to (1) eliminate the mandatory minimum bonus for pay-capped employees receiving either a<E T="03">Superior Contributor</E>or<E T="03">Exceptional Contributor</E>rating of record, and (2) to solidify the three-year probationary period, a feature of the original demonstration project and subsequent Alternative Personnel Management System, for employees in the Scientific and Engineering career path hired into the Excepted and Competitive Service. Comments will be considered and any changes deemed necessary will be made.</P>
        <SIG>
          <DATED>Dated: June 13, 2012.</DATED>
          <NAME>David Robinson,</NAME>
          <TITLE>Associate Director for Management Resources.</TITLE>
        </SIG>
        <HD SOURCE="HD1">Table of Contents</HD>
        <EXTRACT>
          <FP SOURCE="FP-2">I. Executive Summary</FP>
          <FP SOURCE="FP-2">II. Basis for APMS Plan Modification</FP>
          <FP SOURCE="FP-2">III. Changes to the APMS Plan</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. Executive Summary</HD>
        <P>The National Institute of Standards and Technology's (NIST) Alternative Personnel Management System (APMS) is designed to: (1) Improve hiring and allow NIST to compete more effectively for high-quality researchers through direct hiring, selective use of higher-entry salaries, and selective use of recruiting allowances; (2) motivate and retain staff through higher pay potential, a pay-for-performance system, more responsive personnel systems, and selective use of retention allowances; (3) strengthen the manager's role in personnel management through delegation of personnel authorities; and (4) increase the efficiency of personnel systems through installation of a simpler and more flexible classification system based on pay banding through reduction of guidelines, steps, and paperwork in classification, hiring, and other personnel systems, and through automation (52 FR 37082, October 2, 1987). Since implementing the APMS, NIST is more competitive for talent, and NIST managers report significantly more authority to make decisions concerning employee pay.</P>
        <P>This amendment seeks to better ensure fiscal responsibility and budget accountability within the pay-for-performance component of the APMS. It also seeks to ensure that management has the ability to adequately evaluate its scientific and engineering professional employees for research results, which may take longer than one year.</P>

        <P>NIST's APMS performance rating system is a pay-for-performance system in which eligible employees may receive pay increases and bonuses based on performance. Pay increases are based on an annually determined percentage of the mid-point salary for each pay band in a career path and linked directly to the top four performance ratings. One of the characteristics of the NIST APMS performance management system is a required bonus for high-performing employees who cannot receive a pay increase because they are at the top of their pay band. Specifically, salary-capped employees receiving a<E T="03">Superior Contributor</E>or<E T="03">Exceptional Contributor</E>rating must receive a bonus at least equivalent to the salary increase that they would have received if their salaries were not capped.</P>

        <P>Another feature of NIST's APMS is an extended probationary period of up to three years for employees in the Scientific and Engineering career path (classified as “ZP”). The extended probationary period was an original component of the NIST Demonstration Project and later in the APMS. The purpose of the extended probationary period was to allow more time to assess scientific and engineering professionals because research results can often be<PRTPAGE P="36486"/>difficult to evaluate in one year. Since the finalizing of the NIST APMS in 1997, the United States Court of Appeals for the Federal Circuit decided two cases,<E T="03">Van Wersch</E>v.<E T="03">Department of Health &amp; Human Services,</E>197 F.3d 1144 (Fed. Cir. 1999), and<E T="03">McCormick</E>v.<E T="03">Department of the Air Force,</E>307 F.3d 1339 (Fed. Cir. 2002), which affected NIST's ability to fully utilize its extended probationary period.</P>
        <P>This amendment modifies the APMS Plan, which was last amended in July 2009. Specifically, NIST will eliminate the mandatory minimum bonus for employees who are appraised at the top two rating levels, “Superior Contributor” and “Exceptional Contributor.” It will also identify waiver language needed to retain the original system feature of an extended probationary period of up to three years for employees in the Scientific and Engineering career path hired into the Excepted and Competitive Service. NIST will continually monitor the effectiveness of this amendment.</P>
        <HD SOURCE="HD1">II. Basis for APMS Plan Modification</HD>
        <HD SOURCE="HD2">A. Performance Bonuses</HD>
        <P>The need to modify the current NIST APMS Pay for Performance System (PPS) surfaced in early 2011 after the implementation of a two-year pay freeze for Federal employees and the budget crisis that was resolved to narrowly avert a government shutdown. These actions reinforced the uncertainty of the budget for NIST, and, without additional funding for bonuses and pay increases, NIST realized that measures had to be taken to ensure fiscal responsibility in the application of its PPS.</P>
        <P>Subsequently, in June 2011, the Office of Management and Budget (OMB) and the Office of Personnel Management (OPM) issued a memorandum titled “Guidance on Awards for Fiscal Years 2011 and 2012,”<SU>1</SU>
          <FTREF/>implementing budgetary limits on monetary awards, which had a significant impact on NIST's PPS. In response to these limitations, in August 2011, the Performance Management Board (PMB), responsible for governing and overseeing NIST's APMS, decided to exercise its authority and approved an exception to normal procedures that suspended the mandatory minimum bonus for pay-capped employees who received Exceptional Contributor and Superior Contributor ratings in Fiscal Year 2011. As a result, all performance bonuses in FY11 were granted on a discretionary basis, subject to management controls to ensure that higher-rated employees in the same career path and pay band received commensurate bonuses.</P>
        <FTNT>
          <P>
            <SU>1</SU>
            <E T="03">http://www.chcoc.gov/transmittals/TransmittalDetails.aspx?TransmittalID=3997.</E>
          </P>
        </FTNT>
        <P>In an effort to more closely align NIST's APMS performance system with the Administration's focus on fiscal responsibility and careful management of all resources, NIST is amending the provisions of the APMS to remove the requirement that a salary-capped employee with an Exceptional Contributor or Superior Contributor rating must receive a bonus at least equivalent to the salary increase that would have been received if the employee's salary were not capped.</P>
        <HD SOURCE="HD2">B. Three-Year Probationary Period</HD>
        <P>Since its inception in 1987, NIST has had a provision, first in its OPM-approved Demonstration Project and later in its approved APMS, for an extended probationary period of up to three years for employees in the Scientific and Engineering career path (ZP). Appropriate waivers of laws, rules, and regulations were made at the time. Since then, the Federal Circuit issued two decisions (noted above) that affected NIST's ability to fully exercise the extended probationary period. This notice amends the APMS by identifying the appropriate waivers to permit NIST to apply an extended probationary period of up to three years to employees in the Scientific and Engineering career path.</P>
        <HD SOURCE="HD1">III. Changes in the APMS Plan</HD>
        <P>The APMS at NIST, published in the<E T="04">Federal Register</E>on October 21, 1997 (62 FR 54604), May 6, 2005 (70 FR 23996), July 15, 2008 (73 FR 40500), and July 21, 2009 (74 FR 35841 and 74 FR 35843), is amended as follows:</P>
        <P>1. Performance Bonuses: The subsection titled “Performance Bonuses” (70 FR 23996, 23999, May 6, 2005) is deleted in its entirety and replaced with the following:</P>
        <HD SOURCE="HD2">“Performance Bonuses”</HD>
        <P>Bonuses are the only cash awards linked to the NIST APMS pay-for-performance system. They are awarded at the end of the performance rating period and may be granted in conjunction with performance pay increases. A pay pool manager may award a bonus to any employee with a performance rating of Contributor or higher. A pay pool manager is a line manager who manages his or her organization's pay increase and bonus fund and has final decision authority over the performance ratings and bonuses of subordinate employees.”</P>
        <P>2. Authorities and Waiver of Laws and Regulations Required: The subsection titled “Authorities and Waiver of Laws and Regulations Required” (62 FR 54604, 54613, October 21, 1997) is deleted in its entirety and replaced with the following:</P>
        <P>“Authorities and Waiver of Laws and Regulations Required” Public Law 99-574 gave the National Institute of Standards and Technology (NIST) the authority to experiment with several specific personnel system innovations which are otherwise prohibited by law and regulations. In addition to the authorities granted by the original NIST project legislation, the following waivers of law and regulation are included:</P>
        <HD SOURCE="HD2">Title 5, U.S. Code</HD>
        <P>• Section 5304, Locality-based comparability payments.</P>
        <P>• Section 5333, Minimum rate for new appointments.</P>
        <P>• Section 5753-5754, except that relocation bonuses under section 5753 continue to apply.</P>
        <P>• Subchapter VI of Chapter 53 Grade and Pay Retention, (To the extent necessary to allow the following modifications: (1) Pay retention does not apply to reductions in pay caused solely by geographic movement; and (2) pay retention does not apply to conversions to the General Schedule as long as the employee's total rate of pay is not reduced).</P>
        <P>• Section 7501(1), Adverse actions. (waiving the language “or who has completed 1 year of current continuous employment in the same or similar positions under other than a temporary appointment limited to 1 year or less;” waived only for positions in the Scientific and Engineering Career path).</P>
        <P>• Sections 7511(a)(1)(ii), 7511(a)(1)(B), 7511(a)(1)(C)(ii), Adverse actions (waived only for positions in the Scientific and Engineering Career path).</P>
        <P>• Section 7512(4), Adverse actions, (To the extent necessary to allow the following modifications: (1) Exclude reductions in pay that are solely due to recomputation upon geographic movement; and (2) exclude conversions to the General Schedule that do not result in a reduction in the employee's total rate of pay).</P>
        <HD SOURCE="HD2">Title 5, Code of Federal Regulations</HD>
        <P>• Sections 315.801, Probationary period; when required, (waived only for positions in the Scientific and Engineering Career path).</P>

        <P>• Section 315.802, Length of probationary period, (waived only for positions in the Scientific and Engineering Career path).<PRTPAGE P="36487"/>
        </P>
        <P>• Section 315.803(b), Agency action during probationary period (general) (waived only for positions in the Scientific and Engineering Career path).</P>
        <P>• Section 315.805, Termination of probationers for conditions arising before appointment (waived only for positions in the Scientific and Engineering Career path).</P>
        <P>• Section 315.806, Appeal rights to the Merit Systems Protection Board (waived only for employees in the Scientific and Engineering Career path serving a probationary or trial period).</P>
        <P>• Section 351.401, Determining Retention Standing.</P>
        <P>• Section 351.402, Competitive area in RIF.</P>
        <P>• Section 351.403, Competitive level in RIF.</P>
        <P>• Sections 351.504(a) and (d), Credit for Performance.</P>
        <P>• Section 351.701, Assignment involving displacement.</P>
        <P>• Section 531.203, Minimum rate for new appointments.</P>
        <P>• Part 575, Subpart A Recruitment Bonuses.</P>
        <P>• Part 575, Subpart C Retention Allowances.</P>
        <P>• Sections 752.401(c)(2), 752.401(c)(3), 752.401(c)(5), Coverage (waived only for positions in the Scientific and Engineering Career path). Department Administrative Orders.</P>
        <P>• Section 202-302, Employment in the Excepted Service (waived to the extent inconsistent with the APMS).</P>
        <P>• Section 202-315, Probationary and Trial Periods (waived to the extent inconsistent with the APMS).</P>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14918 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-13-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <SUBJECT>Proposed Information Collection; Comment Request; Western and Central Pacific Fisheries Convention Vessel Information Family of Forms</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Oceanic and Atmospheric Administration (NOAA), 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.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments must be submitted on or before August 20, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Direct all written comments to Jennifer Jessup, 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">JJessup@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 and instructions should be directed to Tom Graham, 808-944-2219 or<E T="03">Tom.Graham@noaa.gov</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">I. Abstract</HD>
        <P>This request is for an extension of a currently approved information collection.</P>

        <P>National Marine Fisheries Service (NMFS) has issued regulations under authority of the Western and Central Pacific Fisheries Convention Implementation Act (WCPFCIA; 16 U.S.C. 6901<E T="03">et seq.</E>) to carry out the obligations of the United States under the Convention on the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (Convention), including implementing the decisions of the Commission for the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (Commission). The regulations include requirements for the owners or operators of U.S. vessels to: (1) Apply for and obtain a WCPFC Area Endorsement if the vessel is used for fishing for highly migratory species on the high seas in the Convention Area (50 CFR 300.212), and (2) complete and submit a Foreign Exclusive Economic Zone (EEZ) Form if the vessel is used for fishing for highly migratory species in the Convention Area in areas under the jurisdiction of any nation other than the United States (50 CFR 300.213).</P>
        <P>The application for WCPFC Area Endorsements calls for specified information about the vessel and its operator that is not already collected via the application for high seas fishing permits issued under 50 CFR 300.13. The Foreign EEZ Form calls for specified information about the vessel, its owners and operators and any fishing authorizations issued by other nations.</P>
        <P>This information collected under the two requirements is used by NOAA, the U.S. Coast Guard, and the Commission to monitor the size and composition of the HMS fleets in the Convention Area for compliance-related and scientific purposes.</P>
        <HD SOURCE="HD1">II. Method of Collection</HD>
        <P>Respondents must submit some of the information by mail or in person via paper forms, and have a choice of submitting some of the information electronically, by mail, or in person.</P>
        <HD SOURCE="HD1">III. Data</HD>
        <P>
          <E T="03">OMB Control Number:</E>0648-0595.</P>
        <P>
          <E T="03">Form Number:</E>None.</P>
        <P>
          <E T="03">Type of Review:</E>Regular submission (extension of a currently approved information collection).</P>
        <P>
          <E T="03">Affected Public:</E>Business or other for-profit organizations; individuals or households.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>63.</P>
        <P>
          <E T="03">Estimated Time per Response:</E>WCPFC Area Endorsement Application, 60 minutes; Foreign EEZ Form, 90 minutes.</P>
        <P>
          <E T="03">Estimated Total Annual Burden Hours:</E>69.</P>
        <P>
          <E T="03">Estimated Total Annual Cost to Public:</E>$63 in recordkeeping/reporting costs.</P>
        <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: June 14, 2012.</DATED>
          <NAME>Gwellnar Banks,</NAME>
          <TITLE>Management Analyst, Office of the Chief Information Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14852 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <PRTPAGE P="36488"/>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <SUBJECT>Proposed Information Collection; Comment Request; Vessel Monitoring System Requirements Under the Western and Central Pacific Fisheries Convention</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Oceanic and Atmospheric Administration (NOAA), 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.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments must be submitted on or before August 20, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Direct all written comments to Jennifer Jessup, 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">JJessup@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 and instructions should be directed to Tom Graham, (808) 944-2219 or<E T="03">Tom.Graham@noaa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Abstract</HD>

        <P>This request is for an extension of a currently approved information collection. National Marine Fisheries Service (NMFS) has issued regulations under authority of the Western and Central Pacific Fisheries Convention Implementation Act (WCPFCIA; 16 U.S.C. 6901<E T="03">et seq.</E>) to carry out the obligations of the United States under the Convention on the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (Convention), including implementing the decisions of the Commission for the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (Commission). The regulations include a requirement for the owners and operators of U.S. vessels that fish for highly migratory species on the high seas in the Convention Area to carry and operate near real-time satellite-based position-fixing transmitters (“Vessel Monitoring System-VMS-units”) at all times except when the vessel is in port. As part of this requirement, vessel owners and operators must transmit: (1) “On/off reports” to NMFS whenever the VMS unit is turned off while the vessel is in port, (2) “activation reports” to NMFS prior to the first use of a VMS unit, and (3) automatic “position reports” from the VMS unit to NOAA and the Commission as part of a VMS operated by the Commission (50 CFR 300.45). Under this information collection, it is expected that vessel owners and operators would also need to purchase, install, and occasionally maintain the VMS units.</P>
        <P>The information collected from the vessel position reports is used by NOAA and the Commission to help ensure compliance with domestic laws and the Commission's conservation and management measures, and are necessary in order for the United States to satisfy its obligations under the Convention.</P>
        <HD SOURCE="HD1">II. Method of Collection</HD>
        <P>Respondents may submit on/off reports by facsimile or email, and they may submit activation reports by mail, facsimile or email. Position reports are transmitted electronically and automatically from the VMS unit.</P>
        <HD SOURCE="HD1">III. Data</HD>
        <P>
          <E T="03">OMB Control Number:</E>0648-0596.</P>
        <P>
          <E T="03">Form Number:</E>None.</P>
        <P>
          <E T="03">Type of Review:</E>Regular submission (extension of a currently approved information collection).</P>
        <P>
          <E T="03">Affected Public:</E>Business or other for-profit organizations; individuals or households.</P>
        <P>
          <E T="03">Estimated Number of Respondents:</E>78.</P>
        <P>
          <E T="03">Estimated Time per Response:</E>VMS unit purchase and installation, 1 hr; Activation Reports, 5 min; on/off reports, 5 min; VMS unit maintenance, 1 hr.</P>
        <P>
          <E T="03">Estimated Total Annual Burden Hours:</E>192.</P>
        <P>
          <E T="03">Estimated Total Annual Cost to Public:</E>$136,111 in capital costs and recordkeeping/reporting costs.</P>
        <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: June 14, 2012.</DATED>
          <NAME>Gwellnar Banks,</NAME>
          <TITLE>Management Analyst, Office of the Chief Information Officer.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14865 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <RIN>RIN 0648-XC067</RIN>
        <SUBJECT>Marine Mammals; File No. 17350</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; receipt of application.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Notice is hereby given that North Slope Borough Department of Wildlife Management, P.O. Box 69, Barrow, AK 99723 [Taqulik Hepa, Responsible Party; Dr. John C. George, Principal Investigator], has applied in due form for a permit to collect, import, export, and receive marine mammal parts for scientific research.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written, telefaxed, or email comments must be received on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The application and related documents are available for review by selecting “Records Open for Public Comment” from the<E T="03">Features</E>box on the Applications and Permits for Protected Species (APPS) home page,<E T="03">https://apps.nmfs.noaa.gov,</E>and then selecting File No. 17350 from the list of available applications.</P>
          <P>These documents are also available upon written request or by appointment in the following offices:</P>
          
          <FP SOURCE="FP-1">Permits and Conservation Division, Office of Protected Resources, NMFS, 1315 East-West Highway, Room 13705, Silver Spring, MD 20910; phone (301) 427-8401; fax (301) 713-0376; and</FP>
          <FP SOURCE="FP-1">Alaska Region, NMFS, P.O. Box 21668, Juneau, AK 99802-1668; phone (907) 586-7221; fax (907) 586-7249.</FP>
          

          <P>Written comments on this application should be submitted to the Chief,<PRTPAGE P="36489"/>Permits and Conservation Division, at the address listed above. Comments may also be submitted by facsimile to (301) 713-0376, or by email to<E T="03">NMFS.Pr1Comments@noaa.gov.</E>Please include the File No. in the subject line of the email comment.</P>
          <P>Those individuals requesting a public hearing should submit a written request to the Chief, Permits and Conservation Division at the address listed above. The request should set forth the specific reasons why a hearing on these applications would be appropriate.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Laura Morse or Amy Sloan, (301) 427-8401.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The subject permit is requested under the authority of the Marine Mammal Protection Act of 1972, as amended (MMPA; 16 U.S.C. 1361<E T="03">et seq.</E>), the regulations governing the taking and importing of marine mammals (50 CFR part 216), 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 222-226).</P>

        <P>The North Slope Borough Department of Wildlife Management requests authorization to collect, receive, import and export parts from legal foreign (Russia and Canada) and domestic subsistence-collected marine mammals of the following species: Bearded seal (<E T="03">Erignathus barbatus</E>), ringed seal (<E T="03">Phoca hispida</E>), spotted seal (<E T="03">Phoca larga</E>), ribbon seal (<E T="03">Phoca fasciata</E>), bowhead whale (<E T="03">Balaena mysticetus</E>), beluga whale (<E T="03">Delphinapterus leucas</E>), minke whale (<E T="03">Balaenoptera acutorostrata</E>), grey whale (<E T="03">Eschrichtius robustus</E>), and harbor porpoise (<E T="03">Phocoena phocoena</E>). Parts would be archived and used for research on a variety of health-related analyses such as tissue histology, contaminants analyses, infectious disease research, parasitology studies, and stable isotope work. Additionally, tissues would be collected to augment the National Marine Mammal Tissue Bank or state tissue archives. No animals would be killed for the purpose of providing samples under this permit. No live animal takes are being requested and no incidental harassment of animals would occur. The requested duration of the permit is five years.</P>

        <P>In compliance with the National Environmental Policy Act of 1969 (42 U.S.C. 4321<E T="03">et seq.</E>), an initial determination has been made that the activities proposed are categorically excluded from the requirement to prepare an environmental assessment or environmental impact statement.</P>
        <P>Concurrent with the publication of this notice in the<E T="04">Federal Register</E>, NMFS is forwarding copies of the application to the Marine Mammal Commission and its Committee of Scientific Advisors.</P>
        <SIG>
          <DATED>Dated: June 13, 2012.</DATED>
          <NAME>P. Michael Payne,</NAME>
          <TITLE>Chief, Permits and Conservation Division, Office of Protected Resources, National Marine Fisheries Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14931 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">COMMISSION OF FINE ARTS</AGENCY>
        <SUBJECT>Notice of Meeting</SUBJECT>
        <P>The next meeting of the U.S. Commission of Fine Arts is scheduled for June 21, 2012, at 10 a.m. in the Commission offices at the National Building Museum, Suite 312, Judiciary Square, 401 F Street NW., Washington, DC 20001-2728. Items of discussion may include buildings, parks, and memorials.</P>

        <P>Draft agendas and additional information regarding the Commission are available on our Web site:<E T="03">www.cfa.gov.</E>Inquiries regarding the agenda and requests to submit written or oral statements should be addressed to Thomas Luebke, Secretary, U.S. Commission of Fine Arts, at the above address; by emailing<E T="03">staff@cfa.gov;</E>or by calling 202-504-2200. Individuals requiring sign language interpretation for the hearing impaired should contact the Secretary at least 10 days before the meeting date.</P>
        <SIG>
          <DATED>Dated: June 4, 2012 in Washington, DC.</DATED>
          <NAME>Thomas Luebke,</NAME>
          <TITLE>Secretary, AIA.</TITLE>
        </SIG>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14689 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6331-01-M</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">COMMODITY FUTURES TRADING COMMISSION</AGENCY>
        <SUBJECT>Sunshine Act Meeting</SUBJECT>
        <P>The following notice of a scheduled meeting is published pursuant to the provisions of the Government in the Sunshine Act, Public Law 94-409, 5 U.S.C. 552b.</P>
        <AGY>
          <HD SOURCE="HED">AGENCY HOLDING THE MEETING:</HD>
          <P>Commodity Futures Trading Commission.</P>
        </AGY>
        <DATES>
          <HD SOURCE="HED">TIMES AND DATES:</HD>
          <P>The Commission has scheduled a meeting for the following date: June 21, 2012 at 1:00 p.m.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">PLACE:</HD>
          <P>Three Lafayette Center, 1155 21st St. NW., Washington, DC, Lobby Level Hearing Room (Room 1300).</P>
        </ADD>
        <PREAMHD>
          <HD SOURCE="HED">STATUS:</HD>
          <P>Open.</P>
        </PREAMHD>
        <PREAMHD>
          <HD SOURCE="HED">MATTERS TO BE CONSIDERED:</HD>

          <P>The Commission has scheduled this meeting to consider various rulemaking matters, including the issuance of proposed rules and the approval of final rules. The agenda for this meeting is available to the public and posted on the Commission's Web site at<E T="03">http://www.cftc.gov.</E>In the event that the time or date of the meeting changes, an announcement of the change, along with the new time and place of the meeting will be posted on the Commission's Web site.</P>
        </PREAMHD>
        <FURINF>
          <HD SOURCE="HED">CONTACT PERSON FOR MORE INFORMATION:</HD>
          <P>David A. Stawick, Secretary of the Commission, 202-418-5071.</P>
          <SIG>
            <NAME>David A. Stawick,</NAME>
            <TITLE>Secretary of the Commission.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-15000 Filed 6-15-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 6351-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">BUREAU OF CONSUMER FINANCIAL PROTECTION</AGENCY>
        <SUBJECT>Agency Information Collection Activities: Submission for OMB Review; Comment Request</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Bureau of Consumer Financial Protection.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice and request for comment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The Bureau of Consumer Financial Protection (Bureau), 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. The Bureau is soliciting comments regarding a proposed generic information collection titled, “Generic Clearance for Development and/or Testing of Model Forms, Disclosures, Tools, and Other Similar Related Materials.” The proposed collection has been submitted to the Office of Management and Budget for review and approval. The proposed collection will allow the Bureau to collect information in connection with the development and testing of new model forms, disclosures, tools, and similar related materials pursuant to the CFPB's authority with respect to Federal consumer financial laws and the Dodd- Frank Wall Street Reform and Consumer Protection Act, Public Law 111-203, as well as testing of existing model forms and disclosures. A copy of the<PRTPAGE P="36490"/>submission, including copies of the proposed collection and supporting documentation, may be obtained by contacting the agency contact listed below.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Written comments are encouraged and must be received on or before July 19, 2012 to be assured of consideration.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by the agency name and proposed collection title, to:</P>
          <P>•<E T="03">Agency contact:</E>Consumer Financial Protection Bureau (Attention: PRA Office), 1700 G Street NW., Washington, DC 20552; (202) 435-9011; and</P>
          <P>•<E T="03">OMB reviewer:</E>Shagufta Ahmed, Office of Management and Budget, New Executive Office Building, Room 10235, Washington, DC 20503; (202) 395-7873.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Requests for additional information should be directed to Consumer Financial Protection Bureau (Attention: PRA Office), 1700 G Street NW., Washington, DC 20552, (202) 435-9011, or through the internet at<E T="03">CFPB_Public_PRA@cfpb.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P SOURCE="NPAR">
          <E T="03">Title:</E>Generic Clearance for Development and/or Testing of Model Forms, Disclosures, Tools and Other Similar Related Materials.</P>
        <P>
          <E T="03">OMB Control Number:</E>3170-XXXX.</P>
        <P>
          <E T="03">Abstract:</E>The Dodd-Frank Wall Street Reform and Consumer Protection Act, Public Law 111-203 (the Dodd-Frank Act) and Federal consumer financial laws authorize or require the Bureau to develop and prescribe standard model forms, disclosures, tools, and other similar related materials that help to inform consumers about complex financial information related to consumer financial products. Further, such model forms, disclosures, tools, and other similar related materials may assist covered entities in complying with applicable regulations. The model forms, disclosures, tools, and other similar related materials may also include adjustments, additions, exceptions, or revisions to the disclosures under the Dodd-Frank Act and Federal consumer financial laws consistent with the CFPB's statutory authorities. The CFPB expects to collect qualitative data through a variety of collection methods, including interviews and research, to inform the design, development, and implementation of the model form(s).</P>
        <P>The information collected through qualitative evaluation methods will inform the design and content of the model form(s), using an iterative process to improve the draft forms. For example, information collected from consumers will help the CFPB to design model forms, disclosures, tools, and similar related materials that are responsive to consumer needs and present complex information in an understandable form. Further, information collection from covered entities will help the CFPB to ensure that any such materials can be implemented as easily and cost effectively as possible. Further, the CFPB is considering testing certain tools with industry participants, including compliance handbooks and other compliance tools. Such testing furthers the goal of assisting covered entities with complying with applicable regulations, and is being considered in response to comments from industry participants requesting voluntary inclusion in certain testing projects.</P>
        <P>The development and evaluation process that will be conducted may use think-aloud interviews and usability studies. Data collection tools will include: consent forms; participant questionnaires and protocols for individual interviews. The CFPB may also collect information regarding forms of disclosures and other materials currently used by covered entities with respect to regulations issued by the CFPB. The CFPB further anticipates that it may collect data through the use of internet applications.</P>
        <P>The CFPB will only submit a collection for approval under this generic clearance if it meets the following conditions:</P>
        <P>• The collections are voluntary;</P>
        <P>• The collections are low-burden for respondents (based on considerations of total burden hours, total number of respondents, or burden-hours per respondent) and are low-cost for both the respondents and the Federal government;</P>
        <P>• Personally identifiable information (PII) is collected only to the extent necessary, subject to privacy protections, and is not retained;</P>
        <P>• Information gathered and released beyond the CFPB will indicate the qualitative nature of the information; and</P>
        <P>• Information gathered will yield qualitative information; the collections will not be designed or expected to the collections will not be designed or expected to yield statistically reliable results or used as though the results are generalizable to the population of study.</P>
        <P>The core objective of the data collection is to help identify, evaluate, and refine specific features of the content or design of the model forms, disclosures, tools, and other similar related materials to maximize effectiveness while minimizing compliance burden. Feedback collected under this generic clearance will provide useful information, but it will not yield data that can be generalized to the overall population. This type of generic clearance for qualitative information will not be used for quantitative information collections that are designed to yield statistically significant results from a representative sample.</P>
        <P>As a general matter, information collections will not result in any new system of records containing privacy information and will not ask questions of a sensitive nature, such as sexual behavior and attitudes, religious beliefs, and other matters that are commonly considered private.</P>
        <P>One of the contemplated design and testing projects described herein has already received emergency approval from OMB and is the collection related to OMB control number 3170-0018.</P>
        <P>
          <E T="03">Type of Review:</E>New generic collection; related to 3170-0018.</P>
        <P>
          <E T="03">Affected Public:</E>Individuals or Households; and businesses or other for-profit institutions.</P>
        <P>
          <E T="03">Annual Burden Estimates:</E>Below is a preliminary estimate of the aggregate burden hours for this generic clearance. This burden analysis is based on estimates of average burden with respect to approximately twelve design and testing projects as well as burden associated with testing of compliance tools with industry participants.</P>
        <GPOTABLE CDEF="s125,12,12,12,12" COLS="5" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Process</CHED>
            <CHED H="1">Number of<LI>respondents</LI>
            </CHED>
            <CHED H="1">Number of<LI>responses</LI>
              <LI>per</LI>
              <LI>respondent</LI>
            </CHED>
            <CHED H="1">Average<LI>burden per</LI>
              <LI>response</LI>
              <LI>(minutes)</LI>
            </CHED>
            <CHED H="1">Total burden<LI>(hours)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Informational outreach</ENT>
            <ENT>600</ENT>
            <ENT>1</ENT>
            <ENT>60</ENT>
            <ENT>600</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Screening</ENT>
            <ENT>8000</ENT>
            <ENT>1</ENT>
            <ENT>15</ENT>
            <ENT>2000</ENT>
          </ROW>
          <ROW>
            <ENT I="01">One-on-one interviews</ENT>
            <ENT>1500</ENT>
            <ENT>1</ENT>
            <ENT>60</ENT>
            <ENT>1500</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Focus Groups</ENT>
            <ENT>450</ENT>
            <ENT>1</ENT>
            <ENT>60</ENT>
            <ENT>450</ENT>
          </ROW>
          <ROW>
            <PRTPAGE P="36491"/>
            <ENT I="01">Travel time to sites</ENT>
            <ENT>1500</ENT>
            <ENT/>
            <ENT>45</ENT>
            <ENT>1125</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="01">Internet application feedback</ENT>
            <ENT>13000</ENT>
            <ENT>1</ENT>
            <ENT>15</ENT>
            <ENT>3250</ENT>
          </ROW>
          <ROW>
            <ENT I="05">Total</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>8925</ENT>
          </ROW>
        </GPOTABLE>
        <P>The Bureau issued a 60-day<E T="04">Federal Register</E>notice on November 11, 2011, 76 FR 67668. Comments were solicited and continue to be invited on: (a) Whether the 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 of the collection of information, including the validity of the methodology and the assumptions used; (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>
        <SIG>
          <DATED>Dated: June 13, 2012.</DATED>
          <NAME>Chris Willey,</NAME>
          <TITLE>Chief Information Officer, Bureau of Consumer Financial Protection.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14857 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4810-AM-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">BUREAU OF CONSUMER FINANCIAL PROTECTION</AGENCY>
        <DEPDOC>[Docket CFPB-2012-0018]</DEPDOC>
        <SUBJECT>Request for Information Regarding Senior Financial Exploitation</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Bureau of Consumer Financial Protection.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Request for Information.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>Section 1013(g)(1) of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 (“Dodd-Frank Act”) requires the Bureau of Consumer Financial Protection (“Bureau” or “CFPB”) to facilitate the financial literacy of individuals aged 62 or older (“seniors”), on protection from unfair, deceptive, and abusive practices and on current and future financial choices, including through dissemination of materials on such topics.</P>
          <P>In furtherance of this mandate, the CFPB's Office for the Financial Protection of Older Americans (“Office for Older Americans”) seeks information on consumer financial products and services, financial literacy efforts, and fraudulent or deceptive practices impacting the lives of older Americans and their families.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Comment Due Date:</E>August 20, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified by Docket No. CFPB-2012-0018, by any of the following methods:</P>
          <P>•<E T="03">http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Mail/Hand Delivery/Courier:</E>Monica Jackson, Office of the Executive Secretary, Consumer Financial Protection Bureau, 1700 G Street NW., Washington, DC 20552.</P>
          <P>
            <E T="03">Instructions:</E>The CFPB encourages the early submission of comments. All submissions must include the document title and docket number. Please note the number of the question to which you are responding at the top of each response (respondents need not answer each question). In general, all comments received will be posted without change to<E T="03">http://www.regulations.gov.</E>In addition, comments will be available for public inspection and copying at 1700 G Street NW., Washington, DC 20552, on official business days between the hours of 10:00 a.m. and 5:00 p.m. Eastern Time. You can make an appointment to inspect the documents by telephoning 202-435-7275. All comments, including attachments and other supporting materials, will become part of the public record and subject to public disclosure. Sensitive personal information such as account numbers or Social Security numbers should not be included. Comments will not be edited to remove any identifying or contact information.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>For general inquiries, submission process questions or any additional information, please call Monica Jackson at 202-435-7275. For specific questions on senior financial exploitation, please call James Miner at 202-435-7953.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>In support of its statutory mandates under Section 1013(g)(1) and (3) of the Dodd-Frank Act, the Office for Older Americans will monitor certifications or designations of financial advisors who serve seniors and alert the SEC and state regulators of certifications or designations that are identified as unfair, deceptive or abusive. The Office for Older Americans will also make legislative and regulatory recommendations to Congress on best practices for disseminating information to seniors regarding the legitimacy of certifications and designations, and methods through which a senior can identify the financial advisor most appropriate for the senior's needs.</P>
        <P>Pursuant to Section 1013(g)(3)(D), the Office for Older Americans is also conducting research to identify best practices for educating seniors on personal finance management. The office for Older Americans intends to use this research to develop goals for programs that provide financial literacy and counseling to seniors.</P>
        <P>The Bureau is therefore seeking comments in response to the questions posed below. The questions are grouped into the following categories: (a) Evaluation of senior financial advisor certifications and designations; (b) providing financial advice and planning information to seniors; (c) senior certification and designation information sources; (d) financial literacy efforts; and (e) financial exploitation of older Americans, including veterans of the Armed Forces. Please feel free to respond to any or all of the questions but please be sure to indicate in your comments on which questions you are commenting.</P>
        <P>Please note that the Bureau is not soliciting individual borrower complaints in response to this Notice and Request for Information. Nor is the Bureau seeking personally identifying information regarding borrower complaints, from the parties to the complaint or any third party. Responses to this subsection should not contain account numbers, Social Security numbers or other personal information that could be used to identify the complainant or another party identified in a complaint, or in any way otherwise reveal personally identifiable information.</P>
        <HD SOURCE="HD1">Evaluation of Senior Financial Advisor Certifications and Designations</HD>

        <P>1. What resources do seniors have for determining the legitimacy, value, and<PRTPAGE P="36492"/>authenticity of credentials held by their financial advisors and planners? What sources have been found most helpful, accurate, and thorough? Among other things, comments could address issues such as state or organizational level review standards, evaluation practices, or selection criteria to determine the validity of proposed senior certifications or designations.</P>
        <P>2. How effective are the existing sources at maintaining the legitimacy, value, and authenticity of credentials held by senior financial advisors and planners?</P>
        <P>3. How effectively do existing accountability controls deter the misuse of senior advisor credentials? Examples of accountability controls include revoking credentials, public notices of disapproval, or other disciplinary actions.</P>
        <HD SOURCE="HD1">Providing Financial Advice and Planning Information to Seniors</HD>
        <P>4. What resources are available to explain the subject matter expertise presented or implied by specific certifications and designations? How effective are the publicly available sources at disseminating thorough, up-to-date information? How effectively are seniors able to use the available resources to select a financial advisor with appropriate knowledge to address their specific financial needs?</P>
        <HD SOURCE="HD1">Senior Certification and Designation Information Sources</HD>
        <P>5. What sources of information on the fraudulent or misleading uses of senior certifications and designations are available? Comments could include, among other things, references to publicly available research or data sets, suggestions for other potentially available research or data, or other information on enforcement, civil, administrative, or criminal cases.</P>
        <HD SOURCE="HD1">Financial Literacy Efforts</HD>
        <P>6. What financial education, counseling, or personal finance management programs are tailored to the unique financial needs of older Americans and their families or caregivers? Among these programs, what are the best practices in providing seniors financial literacy and robust, practical information on personal finance management? Possible comments could address methods for improving recognition of unfair or deceptive financial practices; means for helping seniors plan for retirement, long-term care, and economic security; or approaches to consumer credit counseling and other financial literacy or financial protection practices.</P>
        <HD SOURCE="HD1">Financial Exploitation of Older Americans</HD>
        <P>7. What types of fraudulent, unfair, abusive or deceptive practices target Americans age 62 and over? Comments could include unique types of financial exploitation or additional information concerning the examples listed below.</P>
        <P>a.<E T="03">Power of Attorney or Guardian Abuse,</E>whereby an agent under power of attorney or a court-appointed guardian uses his/her fiduciary authority (or a forged power of attorney instrument) to misappropriate the older person's assets and uses them for personal gain rather than for the support of the incapacitated older person; and</P>
        <P>b.<E T="03">Affinity fraud,</E>in which the characteristics of a trusted advisor such as a member of the clergy or government official are impersonated by those attempting to extract payments or personal information from an older person.</P>
        <HD SOURCE="HD1">Financial Exploitation of Older Veterans of the Armed Forces</HD>
        <P>8. What types of fraudulent or deceptive practices target older veterans and/or military retirees? Comments could include unique examples of financial exploitation or additional information concerning the examples listed below.</P>
        <P>a.<E T="03">VA Aid and Attendance fraud,</E>whereby veterans are advised to transfer retirement funds into irrevocable trusts that cause them to lose access to the funds and also become ineligible for Medicaid benefits; or,</P>
        <P>b.<E T="03">Military pension buyout schemes,</E>in which veterans are offered cash payments in return for their military pension payouts in a manner that could ultimately deprive the veteran of the majority of his or her pension.</P>
        <SIG>
          <DATED>Dated: April 27, 2012.</DATED>
          <NAME>Meredith Fuchs,</NAME>
          <TITLE>Chief of Staff, Bureau of Consumer Financial Protection.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14854 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4810-AM-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Department of the Air Force</SUBAGY>
        <SUBJECT>U.S. Air Force Scientific Advisory Board Notice of Meeting</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>U.S. Air Force Scientific Advisory Board, Department of the Air Force.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Meeting notice.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>Due to difficulties, beyond the control of the U.S. Air Force Scientific Advisory Board or its Designated Federal Officer, the Board was unable to file a<E T="04">Federal Register</E>notice for the June 27-28, 2012 meeting of the U.S. Air Force Scientific Advisory Board as required by 41 CFR 102-3.150(a). Accordingly, the Advisory Committee Management Officer for the Department of Defense, pursuant to 41 CFR 102-3.150(b), waives the 15-calendar day notification requirement.</P>
          <P>Under the provisions of the Federal Advisory Committee Act of 1972 (5 U.S.C., Appendix, as amended), the Government in the Sunshine Act of 1976 (5 U.S.C. 552b, as amended), and 41 CFR 102-3.150, the Department of Defense announces that the United States Air Force Scientific Advisory Board (SAB) meeting will take place 27-28 June 2012 at the Secretary of the Air Force Technical and Analytical Support Conference Center, 1550 Crystal Drive, Arlington, VA 22202. The meeting will be from 7:30 a.m.-4:40 p.m. on Wednesday, 27 June 2012, with the sessions from 7:30 a.m.-9:30 a.m. open to the public; and 7:30 a.m.-4:30 p.m. on Thursday, 28 June 2012, with the sessions from 7:30 a.m.-10:00 a.m. and 1:30 p.m.-2:00 p.m. open to the public. The banquet from 6:00 p.m.-8:45 p.m. on 28 June 2012 at the Key Bridge Marriott, 1401 Lee Highway, Arlington, VA 22201 will also be open to the public.</P>
          <P>The purpose of this Air Force Scientific Advisory Board quarterly meeting is to discuss and deliberate the findings of the FY12 SAB studies covering non-traditional intelligence, surveillance, and reconnaissance in contested environments; ensuring cyber situational awareness for commanders; and extended uses of Air Force Space Command space-based sensors. The draft FY13 SAB study topic Terms of Reference and potential sites for the FY13 Spring Board quarterly meeting will also be discussed.</P>

          <P>In accordance with 5 U.S.C. 552b, as amended, and 41 CFR 102-3.155, The Administrative Assistant of the Air Force, in consultation with the Air Force General Counsel, has agreed that the public interest requires some sessions of the United States Air Force Scientific Advisory Board meeting be closed to the public because they will discuss information and matters covered by section 5 U.S.C. 552b(c)(1). Any member of the public wishing to provide input to the United States Air Force Scientific Advisory Board should submit a written statement in accordance with 41 CFR 102-3.140(c) and section 10(a)(3) of the Federal Advisory Committee Act and the<PRTPAGE P="36493"/>procedures described in this paragraph. Written statements can be submitted to the Designated Federal Officer at the address detailed below at any time. Statements being submitted in response to the agenda mentioned in this notice must be received by the Designated Federal Officer at the address listed below at least five calendar days prior to the meeting which is the subject of this notice. Written statements received after this date may not be provided to or considered by the United States Air Force Scientific Advisory Board until its next meeting. The Designated Federal Officer will review all timely submissions with the United States Air Force Scientific Advisory Board Chairperson and ensure they are provided to members of the United States Air Force Scientific Advisory Board before the meeting that is the subject of this notice.</P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>The United States Air Force Scientific Advisory Board Executive Director and Designated Federal Officer, Lt Col Matthew E. Zuber, 240-612-5503, United States Air Force Scientific Advisory Board, 1500 West Perimeter Road, Ste. #3300, Joint Base Andrews, MD 20762,<E T="03">matthew.zuber@pentagon.af.mil</E>.</P>
          <SIG>
            <NAME>Henry Williams Jr.,</NAME>
            <TITLE>DAF Air Force Federal Register Liaison Officer.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14917 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-05-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Notice of Submission for OMB Review; Institute of Education Sciences; National Assessment of Educational Progress (NAEP) 2013 Wave II (Main NAEP Core, Reading, Mathematics, TEL, SD, ELL, and Special Studies)</SUBJECT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The National Assessment of Educational Progress (NAEP) is a federally authorized survey of student achievement at grades 4, 8, and 12 in various subject areas, such as mathematics, reading, writing, science, U.S. history, civics, geography, economics, and the arts.</P>
          
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Interested persons are invited to submit comments on or before July 19, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Written comments regarding burden and/or the collection activity requirements should be electronically mailed to<E T="03">ICDocketMgr@ed.gov</E>or mailed to U.S. Department of Education, 400 Maryland Avenue SW., LBJ, Washington, DC 20202-4537. Copies of the proposed information collection request may be accessed from<E T="03">http://edicsweb.ed.gov,</E>by selecting the “Browse Pending Collections” link and by clicking on link number 04874. When you access the information collection, click on “Download Attachments” to view. Written requests for information should be addressed to U.S. Department of Education, 400 Maryland Avenue SW., LBJ, Washington, DC 20202-4537. Requests may also be electronically mailed to<E T="03">ICDocketMgr@ed.gov</E>or faxed to 202-401-0920. Please specify the complete title of the information collection and OMB Control Number when making your request.</P>
          <P>Individuals who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Service (FIRS) at 1-800-877-8339.</P>
        </ADD>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Section 3506 of the Paperwork Reduction Act of 1995 (44 U.S.C. Chapter 35) requires that Federal agencies provide interested parties an early opportunity to comment on information collection requests. The Director, Information Collection Clearance Division, Privacy, Information and Records Management Services, Office of Management, publishes this notice containing proposed information collection requests at the beginning of the Departmental review of the information collection. The Department of Education is especially interested in public comment addressing the following issues: (1) Is this collection necessary to the proper functions of the Department; (2) will this information be processed and used in a timely manner; (3) is the estimate of burden accurate; (4) how might the Department enhance the quality, utility, and clarity of the information to be collected; and (5) how might the Department minimize the burden of this collection on the respondents, including through the use of information technology. Please note that written comments received in response to this notice will be considered public records.</P>
        <P>
          <E T="03">Title of Collection:</E>National Assessment of Educational Progress (NAEP) 2013 Wave II (Main NAEP Core, Reading, Mathematics, TEL, SD, ELL, and Special Studies).</P>
        <P>
          <E T="03">OMB Control Number:</E>1850-0790.</P>
        <P>
          <E T="03">Type of Review:</E>Revision.</P>
        <P>
          <E T="03">Total Estimated Number of Annual Responses:</E>285,527.</P>
        <P>
          <E T="03">Total Estimated Number of Annual Burden Hours:</E>106,602.</P>
        <P>
          <E T="03">Abstract:</E>The NAEP is a federally authorized survey of student achievement at grades 4, 8, and 12 in various subject areas, such as mathematics, reading, writing, science, U.S. history, civics, geography, economics, and the arts. In the current legislation that reauthorized NAEP (Pub. L. 107-279), Congress mandated the collection of national education survey data through a national assessment program. The 2013 Wave 2 submittal contains (a) the grades 4, 8, and 12 core (demographic) student background questions, (b) the pilot grades 4, 8, and operational grade 12 reading and mathematics subject-specific student background questions, (c) the pilot grade 8 Technology and Engineering Literacy (TEL) background questions, (d) the grade 4, 8, and 12 reading and mathematics special study background questions, (e) the grade 4 and 8 teacher and the grade 4, 8, and 12 school questionnaires, and (f) Students with Disabilities (SD) and English Language Learner (ELL) worksheets and instructions.</P>
        <SIG>
          <DATED>Dated: June 14, 2012.</DATED>
          <NAME>Darrin A. King,</NAME>
          <TITLE>Director, Information Collection Clearance Division, Privacy, Information and Records Management Services, Office of Management.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-14898 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Applications for New Awards: Technical Assistance and Dissemination To Improve Services and Results for Children With Disabilities; Technical Assistance Center for Inclusive School-Wide Reform</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Special Education and Rehabilitative Services, Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <HD SOURCE="HD1">Overview Information</HD>
        <P>Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities—Technical Assistance Center for Inclusive School-Wide Reform Notice inviting applications for new awards for fiscal year (FY) 2012.</P>
        
        <EXTRACT>
          <P>Catalog of Federal Domestic Assistance (CFDA) Number: 84.326Y.</P>
        </EXTRACT>
        
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Applications Available:</E>June 19, 2012.</P>
          <P>
            <E T="03">Deadline for Transmittal of Applications:</E>August 3, 2012.</P>
        </DATES>
        <HD SOURCE="HD1">Full Text of Announcement</HD>
        <HD SOURCE="HD1">I. Funding Opportunity Description</HD>
        <P>
          <E T="03">Purpose of Program:</E>The purpose of the Technical Assistance and<PRTPAGE P="36494"/>Dissemination to Improve Services and Results for Children with Disabilities program is to promote academic achievement and to improve results for children with disabilities by providing technical assistance, supporting model demonstration projects, disseminating useful information, and implementing activities that are supported by scientifically based research.</P>
        <P>
          <E T="03">Priority:</E>In accordance with 34 CFR 75.105(b)(2)(v), this priority is from allowable activities specified in the statute or otherwise authorized in the statute (see sections 663 and 681(d) of the Individuals with Disabilities Education Act (IDEA), 20 U.S.C. 1463 and 1481(d)).</P>
        <P>
          <E T="03">Absolute Priority:</E>For FY 2012 and any subsequent year in which we make awards from the list of unfunded applicants from this competition, this priority is an absolute priority. Under 34 CFR 75.105(c)(3) we consider only applications that meet this priority.</P>
        <P>This priority is:</P>
        <HD SOURCE="HD2">Technical Assistance Center for Inclusive School-Wide Reform</HD>
        <HD SOURCE="HD3">Background</HD>
        <P>The purpose of this Technical Assistance Center for Inclusive School-wide Reform is to assist State educational agencies (SEAs) and local educational agencies (LEAs) to successfully implement and sustain inclusive school-wide reform in kindergarten through grade 8 (K-8) programs.</P>
        <P>Almost 30 years of research and experience have demonstrated that the education of children with disabilities can be made more effective by having high expectations and ensuring their participation and progress in the general education curriculum in inclusive<SU>1</SU>
          <FTREF/>settings to the maximum extent possible (Individuals with Disabilities Education Act, 2004). National data indicate that more than 60 percent of students with disabilities are educated in general education settings for 80 percent or more of the school day (U.S. Department of Education, 2011a). Students with disabilities, however, continue to lag behind their nondisabled peers in measures of academic achievement. For example, from 2000 to 2011, the percentage of students with disabilities scoring at or above proficiency in both reading and mathematics on the National Assessment of Educational Progress has been persistently lower than the percentage of students without disabilities scoring at or above proficiency (U.S. Department of Education, 2011b).</P>
        <FTNT>
          <P>
            <SU>1</SU>For the purposes of this priority, “inclusive” or “inclusion” means an active commitment to equity for all students so as to maximize the participation of all learners, by making learning opportunities relevant and high-quality (National Institute for Urban School Improvement (NIUSI) Leadscape, 2011).</P>
        </FTNT>
        <P>Research shows that inclusive school-wide reform that includes multi-tiered systems of support (MTSS), practices that support the participation of students with disabilities with their non-disabled peers in academic and extra-curricular activities of the school, school-wide positive behavioral supports (SWPBS), and culturally responsive and universal design for learning principles, hold promise for improving outcomes for students with disabilities. All students, including those with significant disabilities, benefit academically, behaviorally, and socially from practices that support inclusion (Cadwallader, Wagner, &amp; Garza, 2003; Copeland &amp; Cosbey, 2009; Jameson, McDonnell, Johnson, Riesen, &amp; Polychronis, 2007; Rea, McLaughlin, &amp; Walther-Thomas, 2002). Examples of successful practices that support inclusion are: (1) Using collaborative teaching models (Friend, Cook, Hurley-Chamberlain, &amp; Shamberger, 2010); (2) providing time for consultation between general and special education teachers (Wallace, Anderson, &amp; Bartholomay, 2002); (3) promoting university-school partnerships (Causton-Theoharis, Theoharis, Bull, Cosier, &amp; Dempf-Aldrich, 2011; Kozleski, Pugach, &amp; Yinger, 2002); (4) differentiating instruction (Hall, Strangman, &amp; Meyer, 2003); and (5) clearly defining roles for support staff to support inclusion (Giangreco, Suter, &amp; Doyle, 2010). In addition, engaging families in their children's education at home and school fosters successful inclusion for students with disabilities (Henderson &amp; Mapp, 2002).</P>
        <P>Students with disabilities benefit when successful practices that promote inclusion are implemented within an MTSS context (Wanzek &amp; Vaughn, 2010). MTSS refers to a continuum of evidence-based, system-wide practices to support academic and behavioral needs, with frequent data-based monitoring for instructional decision-making (Kansas State Department of Education, 2012). Examples of MTSS include response to intervention (RTI) (National Center on Response to Intervention, 2011; Fuchs &amp; Fuchs, 2007) and SWPBS (Sailor et al., 2006; Sugai &amp; Horner, 2009).</P>
        <P>Recent research on SWPBS indicates the need to apply culturally responsive principles within the context of MTSS and in conjunction with practices that promote inclusion. For example, SWPBS has been shown to reduce the overall number of office discipline referrals in a school, but not for African American students (Skiba, 2012). Culturally responsive principles promote the development and success of all students and can be incorporated in learning environments by communicating high expectations; reshaping the curriculum to reflect all students' experiences; and engaging students in activities that value their background, knowledge, and experiences (Gay, 2000; King, Artiles, &amp; Kozleski, 2010). Integrating culturally responsive principles within SWPBS has shown promise for students, especially for students from culturally and linguistically diverse backgrounds (Jones, Caravaca, Cizek, Horner, &amp; Vincent, 2006; Vincent, Randall, Cartledge, Tobin, &amp; Swain-Bradway, 2011).</P>
        <P>Applying universal design for learning principles within the context of MTSS in conjunction with practices that promote inclusion can also improve outcomes for students with disabilities (Hehir, 2009; Rose &amp; Gravel, 2010). The key principles of universal design for learning include presenting information and content in various ways, promoting multiple ways in which students can express what they know, and stimulating interest and motivation for learning (Rose &amp; Meyer, 2006).</P>
        <P>Successful implementation of inclusive school-wide reform is expected to: (1) Increase the number of students with disabilities, including those with significant intellectual disabilities and emotional disturbance, who receive meaningful instruction and related services within general education settings for increased periods of time; (2) decrease the frequency of disciplinary actions involving students with disabilities; and (3) increase the participation of students with disabilities in extracurricular activities. As a result, successful inclusive school-wide reform is expected to improve academic, behavioral, and other social outcomes for students with disabilities.</P>
        <HD SOURCE="HD3">Priority</HD>

        <P>The purpose of this priority is to fund a cooperative agreement to support the establishment and operation of a Technical Assistance Center for Inclusive School-wide Reform (Center) that will assist SEAs and LEAs to successfully implement and sustain inclusive school-wide reform in K-8 programs. The Center will provide technical assistance (TA) to SEAs and LEAs to implement inclusive school-wide reform in K-8 programs located in<PRTPAGE P="36495"/>rural,<SU>2</SU>
          <FTREF/>urban, and high-need LEAs.<SU>3</SU>
          <FTREF/>The Center will provide TA that will—</P>
        <FTNT>
          <P>

            <SU>2</SU>For the purposes of this priority, “rural LEA” means an LEA that is eligible under the Small Rural School Achievement (SRSA) program or the Rural and Low-Income School (RLIS) program authorized under Title VI, Part B of the Elementary and Secondary Education Act of 1965, as amended (ESEA). Applicants may determine whether a particular LEA is eligible for these programs by referring to the information on the following Department Web sites. For SRSA:<E T="03">www2.ed.gov/programs/reapsrsa/index.html.</E>For RLIS:<E T="03">www.ed.gov/programs/reaprlisp/eligibility.html.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>Section 2102(3) of the ESEA defines a “high-need LEA” as an LEA—(a) That serves not fewer than 10,000 children from families with incomes below the poverty line (as that term is defined in section 9101(33) of the ESEA), or for which not less than 20 percent of the children served by the LEA are from families with incomes below the poverty line; and (b) For which there is (1) a high percentage of teachers not teaching in the academic subjects or grade levels that the teachers were trained to teach, or (2) a high percentage of teachers with emergency, provisional, or temporary certification or licensing.</P>
        </FTNT>
        <P>(1) Improve the knowledge and skills of educators, administrators, and support staff to implement successful inclusive school-wide reform;</P>
        <P>(2) Increase the capacity of schools to implement successful inclusive school-wide reform in grade-level academic and extracurricular settings; and</P>
        <P>(3) Increase the capacity of schools to engage families and communities in promoting successful inclusive school-wide reform.</P>
        <P>To be considered for funding under this absolute priority, applicants must meet the application requirements contained in this priority. Any project funded under this absolute priority must also meet the programmatic and administrative requirements specified in the priority.</P>
        <P>
          <E T="03">Application Requirements.</E>An applicant must include in its application—</P>
        <P>(a) A logic model that depicts, at a minimum, the goals, activities, outputs, and outcomes of the proposed project. A logic model communicates how a project will achieve its outcomes and provides a framework for both formative and summative evaluations of the project;</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>

          <P>The following Web sites provide more information on logic models:<E T="03">www.researchutilization.org/matrix/logicmodel_resource3c.html</E>and<E T="03">www.tadnet.org/model_and_performance.</E>
          </P>
        </NOTE>
        <P>(b) A plan to implement the activities described in the<E T="03">Project Activities</E>section of this priority;</P>
        <P>(c) A plan, linked to the proposed project's logic model, for a formative evaluation of the proposed project's activities. The plan must describe how the formative evaluation will use clear performance objectives to ensure continuous improvement in the operation of the proposed project, including objective measures of progress in implementing the project and ensuring the quality of products and services;</P>

        <P>(d) A plan to identify six schools—two schools in three different States—where the achievement or growth of students with disabilities on the State assessments is significantly higher than the State average achievement or growth of students with disabilities. These schools will serve as knowledge development sites to examine the implementation of inclusive school-wide reform, as described in the<E T="03">Knowledge Development Activities</E>section of this notice.</P>
        <P>The six selected schools must include at least one urban and one rural school and at least two elementary and two middle schools. The remaining two schools may include both elementary and middle school grades (e.g., K-8, 4-8). High schools are not eligible for selection. The six schools selected must have the approval of the OSEP Project Officer.</P>
        <P>The proportion of students with disabilities in each of the six schools must be at least equal to the proportion of students with disabilities in the State.</P>

        <P>The Center will collect from these six knowledge development schools examples of practices that support inclusion, which together should reflect a range and variety of inclusive practices. Information obtained from these schools will be used to support the TA work described in the<E T="03">Technical Assistance and Dissemination Activities</E>section of this priority. The plan for selecting these knowledge development schools must include the criteria the Center will use to make the selection;</P>
        <P>(e) A plan for recruiting and selecting a minimum of four SEAs and at least four LEAs in each of those SEAs to receive intensive TA during the course of the grant to build the capacity of schools and educators to implement and sustain inclusive school-wide reform. The plan must include the criteria the Center will use to select these LEAs. The LEAs selected must include one or more rural, urban, and high-need LEAs in each SEA. Each LEA must ensure the participation of a minimum of three schools with at least one elementary and one middle school, or a school with comparable grade levels. All SEAs and LEAs selected must have the approval of the OSEP Project Officer. In total, at least 48 schools will participate across the 16 LEAs;</P>
        <P>(f) A budget for a summative evaluation to be conducted by an independent third party;</P>
        <P>(g) A budget for attendance at the following:</P>
        <P>(1) A one and one half-day kick-off meeting to be held in Washington, DC, after receipt of the award, and an annual planning meeting held in Washington, DC, with the OSEP Project Officer during each subsequent year of the project period.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>Within 30 days of receipt of the award, a post-award teleconference must be held between the OSEP Project Officer and the grantee's Project Director or other authorized representative.</P>
        </NOTE>
        <P>(2) A three-day Project Directors' Conference in Washington, DC, during each year of the project period.</P>
        <P>(3) Two one and one-half day OSEP Leadership and Leveraging Resources conferences during each year of the project period; and</P>
        <P>(4) Two two-day trips annually to attend Department briefings and other meetings, as requested by OSEP; and</P>
        <P>(h) A line item in the proposed budget for an annual set-aside of five percent of the grant amount to support emerging needs that are consistent with the proposed project's activities, as those needs are identified in consultation with OSEP.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>With approval from the OSEP Project Officer, the Center must reallocate any remaining funds from this annual set-aside no later than the end of the third quarter of each budget period.</P>
        </NOTE>
        <P>
          <E T="03">Project Activities.</E>To meet the requirements of this priority, the Center, at a minimum, must conduct the following activities:</P>
        <HD SOURCE="HD2">Knowledge Development Activities</HD>

        <P>(a) Conduct a review of published studies and other available evidence on inclusive school-wide reform, within the first six months of the project, using standards that are consistent with those used by the What Works Clearinghouse (<E T="03">http://ies.ed.gov/ncee/wwc/</E>) and the definitions of “strong evidence” and “moderate evidence” contained in the notice of final priorities and definitions for discretionary grants programs, published in the<E T="04">Federal Register</E>on December 15, 2010 (75 FR 78486), and corrected on May 12, 2011 (76 FR 27637). The research review must summarize available evidence on—</P>
        <P>(1) The elements of successful inclusive school-wide reform in K-8 programs, including MTSS, inclusive practices, SWPBS, culturally responsive and universal design for learning principles, and other identified elements that support learning in inclusive settings; and</P>

        <P>(2) LEA and school system components of K-8 programs (e.g., staff<PRTPAGE P="36496"/>development, leadership support, and organizational resources, policies, and procedures) that facilitate the successful implementation and sustainability of inclusive school-wide reform;</P>

        <P>(b) Consult with a group of persons, within the first six months of the project, established under paragraph (b) of the<E T="03">Leadership and Coordination Activities</E>section of this notice to augment the knowledge of the inclusive school-wide reform team established under paragraph (a)(1) of the<E T="03">Leadership and Coordination Activities</E>section of this notice. Specifically, the purpose of the group is to enhance the team's understanding of inclusive school-wide reform in elementary and middle schools, or schools with comparable grade levels, including reform in urban, rural, and high-needs LEAs. The group must also guide the planning and implementation of the fieldwork to be carried out in the six knowledge development schools in the first year of the project period. The group must guide the development of the protocols and assessments, discussed in paragraph (d) of this section, to be used in this fieldwork;</P>
        <P>(c) Conduct fieldwork in the first year of the project period to include three separate one week-long visits at each of the six knowledge development schools. Over the course of each of these visits, the Center will—</P>
        <P>(1) Observe instruction of students with disabilities in inclusive settings in a variety of subjects and extracurricular activities;</P>
        <P>(2) Conduct interviews with a variety of school and LEA personnel;</P>
        <P>(3) Conduct focus groups with teachers, parents, and students; and</P>
        <P>(4) Shadow and interview students with disabilities and their parents, as appropriate, to learn more about how students with disabilities experience inclusive settings within their schools;</P>
        <P>(d) Develop and then use protocols and assessments to—</P>
        <P>(1) Identify and describe any evidence that students with disabilities are improving in academic, behavioral, and other social outcomes within the inclusive settings; and</P>
        <P>(2) Identify and describe the system components (e.g., staff development, leadership support, organizational resources, policies, and procedures) that are successful in fostering the implementation and sustainability of inclusive school-wide reform;</P>

        <P>(e) Refine the protocols and assessments based on the findings from fieldwork at knowledge development schools in conjunction with the group established under paragraph (b) of the<E T="03">Leadership and Coordination Activities</E>section of this notice. The protocols and assessments will be used to evaluate and track improvements in the implementation of inclusive school-wide reform at intensive TA sites described in paragraph (e) in the<E T="03">Application Requirements</E>section of this notice;</P>
        <P>(f) Complete state-of-knowledge papers by the end of the first 18 months of the project period, based on the—</P>
        <P>(1) Literature review conducted under paragraph (a) of the<E T="03">Knowledge Development Activities</E>section of this notice; and</P>
        <P>(2) A synthesis of the findings from the fieldwork conducted at knowledge development schools in accordance with paragraph (c) of this section; and</P>

        <P>(g) Submit all materials developed in accordance with the requirements of this section for review to the group established under paragraph (b) of the<E T="03">Leadership and Coordination Activities</E>section of this notice, and, once the materials are approved by the group, disseminate them in accordance with the requirements in the<E T="03">Technical Assistance and Dissemination Activities</E>section of this notice.</P>
        <HD SOURCE="HD2">Technical Assistance and Dissemination Activities</HD>
        <P>(a) Recruit and select at least four SEAs to receive intensive TA in building the capacity within LEAs to implement and sustain inclusive school-wide reform to support students with disabilities to succeed in general education settings and extracurricular activities;</P>
        <P>(b) Develop criteria to select, and then, in collaboration with the SEAs, recruit and select at least four LEAs in each of the four SEAs to receive intensive TA in building capacity to support schools, educators, administrators, and support staff to implement and sustain inclusive school-wide reform. One or more rural, urban, and high-need LEAs in each State must be included. Each LEA must ensure the participation of at least one elementary and one middle school, or schools with comparable grade levels. At least 48 schools must receive intensive TA from the Center during the course of the grant;</P>

        <P>(c) In collaboration with the SEAs, apply Knowledge Development findings described in paragraph (f) in the<E T="03">Knowledge Development Activities</E>section of this notice to the development of a TA plan for each LEA that is selected to receive intensive TA. The Center must begin providing intensive TA in the second year of the project period. Refine the TA plan using the information gathered from the literature review and the work with the knowledge development schools as data become available;</P>
        <P>(d) Provide intensive TA to SEAs to assist with building the capacity of selected LEAs and schools to implement and sustain inclusive school-wide reform to support students with disabilities to succeed in general education settings and extracurricular activities;</P>

        <P>(e) At regular intervals, evaluate the outcomes of inclusive school-wide reform, including academic, behavioral, and other social outcomes, in intensive TA schools using the refined protocols and assessments developed in accordance with paragraph (e) of the<E T="03">Knowledge Development Activities</E>section of this notice;</P>
        <P>(f) Analyze and synthesize data from these protocols and assessments to develop recommendations for improving the implementation of inclusive school-wide reform;</P>
        <P>(g) Maintain a Web site that meets government or industry-recognized standards for accessibility and that links to the Web site operated by the Technical Assistance Coordination Center (TACC);</P>
        <P>(h) Prepare and disseminate reports, documents, and other materials on inclusive school-wide reform and related topics as requested by OSEP for specific audiences, including families, educators, administrators, policymakers, and researchers. In consultation with the OSEP Project Officer, make selected reports, documents, and other materials available in both English and Spanish, as appropriate;</P>
        <P>(i) Prior to developing any new TA product, submit a proposal for each product to the TACC database for approval from the OSEP Project Officer. The development of new products should be consistent with the product definition and guidelines posted on the TACC Web site (www.tadnet.org);</P>
        <P>(j) Regularly contribute updated information on the Center's approved and finalized products and services to a database at TACC; and</P>
        <P>(k) Coordinate with the National Dissemination Center for Individuals with Disabilities to develop an efficient and high-quality dissemination strategy that reaches broad audiences. The Center must report to the OSEP Project Officer the outcomes of these coordination efforts.</P>
        <HD SOURCE="HD2">Leadership and Coordination Activities</HD>
        <P>(a) Assist SEAs to build the capacity of LEAs to—</P>

        <P>(1) Establish school-level and LEA-level inclusive school-wide reform teams that include teachers,<PRTPAGE P="36497"/>administrators, a representative from an institution of higher education (IHE), and family members to support students with disabilities to succeed in general education settings and in extracurricular activities;</P>
        <P>(2) Plan and implement inclusive school-wide reform;</P>
        <P>(3) Develop and implement a family engagement strategy to involve families in supporting inclusive school-wide reform; and</P>
        <P>(4) Develop and implement a strategy for developing the capacity of all stakeholders (students, parents, administrators, educators, and community members) to collaboratively support inclusive school-wide reform;</P>

        <P>(b) Consult with a group of persons, referenced in paragraph (b) in the<E T="03">Knowledge Development Activities</E>section of this notice, including representatives from SEAs and LEAs, including individuals with disabilities, educators, parents of individuals with disabilities, representatives from IHEs, and researchers, as appropriate on the activities and outcomes of the Center and solicit programmatic support and advice from various participants in the group, as appropriate. The Center may convene meetings, whether in person, by phone or other means, for this purpose, or may consult with group participants individually. The Center must identify the members of the group to OSEP within eight weeks after receipt of the award;</P>
        <P>(c) Continually communicate and collaborate with OSEP-funded and other Department-funded projects, including, but not limited to, the Intensive Interventions Center, Center on Positive Behavioral Supports, Center for Technology Implementation, Center on State Implementation and Scaling-up of Evidence-based Practices, the IDEA Partnership Project, the Regional Resource Centers, the National and Regional Parent Technical Assistance Centers, the Regional Educational Laboratories, and relevant Comprehensive Centers. This collaboration could include the joint development of TA products, the coordination of TA services, and planning and holding TA meetings and events. In addition, the Center must build on the expertise and resources of previously and currently supported Department of Education TA centers, such as the National Center on Student Progress Monitoring (NCSPM), the Research Institute on Progress Monitoring (RIPM), the National Center on Response to Intervention (NCRTI), the Center on Instruction (COI), and the Individuals with Disabilities Education Act 2004-Research for Inclusive Settings (IRIS) Center;</P>

        <P>(d) Participate in, organize, or facilitate communities of practice that align with the needs of the Center's target audience. Communities of practice should align with the project's objectives to support discussions and collaboration among key stakeholders. The following Web site provides more information on communities of practice:<E T="03">www.tacommunities.org/community/view/id/1027;</E>and</P>
        <P>(e) Maintain ongoing communication with the OSEP Project Officer through monthly phone conversations and email.</P>
        <HD SOURCE="HD3">Fourth and Fifth Years of the Project</HD>
        <P>In deciding whether to continue funding the Center for the fourth and fifth years, the Secretary will consider the requirements of 34 CFR 75.253(a) and in addition--</P>
        <P>(a) The recommendation of a review team consisting of experts selected by the Secretary. This review team will meet in Washington, DC, during the last half of the Center's second year. The Center must budget for travel expenses associated with this meeting;</P>
        <P>(b) The timeliness and effectiveness with which all requirements of the negotiated cooperative agreement have been or are being met by the Center; and</P>
        <P>(c) Evidence of the degree to which the Center's activities have contributed to changed practices and improved outcomes for students with disabilities.</P>
        <HD SOURCE="HD3">References</HD>
        <EXTRACT>

          <FP SOURCE="FP-1">Cadwallader, T., Wagner, M., &amp; Garza, N. (2003). Participation in extracurricular activities. In Wagner, M., Cadwallader, T., &amp; Marder, C. (with Cameto, R., Cardoso, D., Garza, N., Levine, P., &amp; Newman, L.). (2003). Life Outside the Classroom for Youth with Disabilities. A Report from the National Longitudinal Transition Study-2 (NLTS2). Menlo Park, CA: SRI International. Available from<E T="03">www.nlts2.org/reports/2003_04-2/nlts2_report_2003_04-2_complete.pdf</E>.</FP>

          <FP SOURCE="FP-1">Causton-Theoharis, J., Theoharis, G., Bull, T., Cosier, M., &amp; Dempf-Aldrich, K. (2011). Schools of promise: A school district-university partnership centered on inclusive school reform.<E T="03">Remedial and Special Education, 32,</E>192-205.</FP>

          <FP SOURCE="FP-1">Copeland, S.R., &amp; Cosbey, J. (2009). Making progress in the general curriculum: Rethinking effective instructional practices.<E T="03">Research and Practice for Persons with Severe Disabilities, 33-34</E>(4-1), 214-227.</FP>

          <FP SOURCE="FP-1">Friend, M., Cook, L., Hurley-Chamberlain, D., &amp; Shamberger, C. (2010). Co-Teaching: An illustration of the complexity of collaboration in special education.<E T="03">Journal of Educational and Psychological Consultation, 20,</E>1-27.</FP>

          <FP SOURCE="FP-1">Fuchs, L., &amp; Fuchs, D. (2007). A model for implementing responsiveness to intervention.<E T="03">Teaching Exceptional Children, 39,</E>58-63.</FP>
          <FP SOURCE="FP-1">Gay, G. (2000). Culturally responsive teaching: Theory, research, and practice. New York: Teachers College Press.</FP>

          <FP SOURCE="FP-1">Giangreco, M.F., Suter, J.C., Doyle, M.B. (2010). Paraprofessionals in inclusive schools: A review of recent research.<E T="03">Journal of Educational and Psychological Consultation, 20,</E>41-57.</FP>

          <FP SOURCE="FP-1">Hall, T., Strangman, N., &amp; Meyer, A. (2003). Differentiated instruction and implications for UDL implementation. Wakefield, MA: National Center on Accessing the General Curriculum. Retrieved from<E T="03">aim.cast.org/learn/historyarchive/backgroundpapers/differentiated_instruction_udl</E>.</FP>
          <FP SOURCE="FP-1">Hehir, T. (2009). Policy foundations of universal design for learning. In D.T. Gordon, J.W. Gravel, &amp; L.A. Schifter (Eds.), A policy design for learning (pp. 35-45). Cambridge, MA: Harvard University Press.</FP>

          <FP SOURCE="FP-1">Henderson, A.T., &amp; Mapp, K.L. (2002). A New Wave of Evidence: The Impact of School, Family, and Community Connections on Student Achievement. Austin, TX: Southwest Educational Development Laboratory. Retrieved from<E T="03">www.sedl.org/connections/resources/evidence.pdf.</E>
          </FP>
          <FP SOURCE="FP-1">Individuals with Disabilities Education Act Amendments of 2004. (2004). Pub. L. No. 108-446, 20 U.S.C. § 1400 et seq.</FP>

          <FP SOURCE="FP-1">Jameson, J.M., McDonnell, J., Johnson, J.W., Riesen, T., &amp; Polychronis, S. (2007). A comparison of one-to-one embedded instruction in the general education classroom and one-to-one massed practice instruction in the special education classroom.<E T="03">Education and Treatment of Children, 30,</E>23-44.</FP>

          <FP SOURCE="FP-1">Jones, C., Caravaca, L., Cizek, S., Horner, R., Vincent, C.G. (2006). Culturally responsive schoolwide positive behavior support: A case study in one school with a high proportion of Native American students.<E T="03">Multiple Voices for Ethnically Diverse Exceptional Learners, (9)1, 108-119.</E>
          </FP>

          <FP SOURCE="FP-1">Kansas State Department of Education. (2012). Kansas multi-tier system of support. Retrieved from<E T="03">www.kansasmtss.org/</E>.</FP>

          <FP SOURCE="FP-1">King, A., Artiles, A. J., &amp; Kozleski, E. (2010). Professional learning for culturally responsive teaching. Retrieved from<E T="03">www.equityallianceatasu.org/sites/default/files/Web site_files/exemplarFINAL.pdf</E>.</FP>
          <FP SOURCE="FP-1">Kozleski, E.B., Pugach, M., &amp; Yinger, R. (2002). Preparing teachers to work with students with disabilities: Possible challenges for special and general teacher education (White Paper). Washington, DC: American Association of Colleges for Teacher Education.</FP>

          <FP SOURCE="FP-1">National Center on Response to Intervention. (2011). What is RTI? Retrieved from<E T="03">www.rti4success.org/whatisrti</E>.</FP>

          <FP SOURCE="FP-1">National Institute for Urban School Improvement (NIUSI). (2011). Inclusive Education for Equity. Retrieved from<E T="03">www.niusileadscape.org/pd/inclusive_education_for_equity</E>.</FP>

          <FP SOURCE="FP-1">Rea, P.J., McLaughlin, V.L., Walther-Thomas, C. (2002). Outcomes for students with<PRTPAGE P="36498"/>learning disabilities in inclusive and pullout programs.<E T="03">Exceptional Children, 68,</E>203-222.</FP>
          <FP SOURCE="FP-1">Rose, D.H., &amp; Gravel, J.W. (2010). Universal design for learning. In E. Baker, P. Peterson, &amp; B. McGaw (Eds.). International Encyclopedia of Education, 3rd Ed. Oxford: Elsevier.</FP>
          <FP SOURCE="FP-1">Rose, D.H., &amp; Meyer, A. (2006). A practical reader in Universal Design for Learning. Cambridge, MA: Harvard Education Press.</FP>

          <FP SOURCE="FP-1">Sailor, W., Zuna, N., Choi, J., Thomas, J., McCart, A., &amp; Roger, B. (2006). Anchoring schoolwide positive behavior support in structural school reform.<E T="03">Research &amp; Practice for Persons with Severe Disabilities, 31,</E>18-30.</FP>
          <FP SOURCE="FP-1">Skiba, R. (2012, February). Interventions for reducing disciplinary disparities and the problem of race neutrality. Paper presented at 2012 National Center on Response to Intervention Disproportionality Technical Workgroup.</FP>

          <FP SOURCE="FP-1">Sugai, G., &amp; Horner, R.H. (2009). Responsiveness-to-Intervention and School-Wide Positive Behavior Supports: Integration of Multi-Tiered System Approaches.<E T="03">Exceptionality, 17</E>(4), 223-237.</FP>
          <FP SOURCE="FP-1">U.S. Department of Education, National Center for Education Statistics. (2011a). Digest of Education Statistics, 2010 (NCES 2011-015), Chapter 2. Washington, DC: Author.</FP>
          <FP SOURCE="FP-1">U.S. Department of Education, Institute of Education Sciences. (2011b). National Center for Education Statistics, National Assessment of Educational Progress (NAEP), 2011 Mathematics and Reading Assessments. Washington, DC: Author.</FP>

          <FP SOURCE="FP-1">Vincent, C. G., Randall, C., Cartledge, G., Tobin, T.J., Swain-Bradway, J. (2011). Toward a conceptual integration of cultural responsiveness and schoolwide positive behavior support.<E T="03">Journal of Positive Behavior Interventions,</E>(<E T="03">13</E>)4, 219-229.</FP>

          <FP SOURCE="FP-1">Wallace, T., Anderson, A.R., &amp; Bartholomay, T. (2002). Collaboration: An element associated with the success of four inclusive high schools.<E T="03">Journal of Educational and Psychological Consultation, 13,</E>349-381.</FP>

          <FP SOURCE="FP-1">Wanzek, J., &amp; Vaughn, S. (2010). Tier 3 interventions for students with significant reading problems.<E T="03">Theory Into Practice, 49,</E>305-314.</FP>
        </EXTRACT>
        
        <P>
          <E T="03">Waiver of Proposed Rulemaking:</E>Under the Administrative Procedure Act (APA) (5 U.S.C. 553) the Department generally offers interested parties the opportunity to comment on proposed priorities and requirements. Section 681(d) of IDEA, however, makes the public comment requirements of the APA inapplicable to the priority in this notice.</P>
        
        <AUTH>
          <HD SOURCE="HED">Program Authority:</HD>
          <P>20 U.S.C. 1463 and 1481.</P>
        </AUTH>
        
        <P>
          <E T="03">Applicable Regulations:</E>(a) The Education Department General Administrative Regulations (EDGAR) in 34 CFR parts 74, 75, 77, 79, 80, 81, 82, 84, 86, 97, 98, and 99. (b) The Education Department debarment and suspension regulations in 2 CFR part 3485.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 79 apply to all applicants except federally recognized Indian tribes.</P>
        </NOTE>
        
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 86 apply to IHEs only.</P>
        </NOTE>
        
        <HD SOURCE="HD1">II. Award Information</HD>
        <P>
          <E T="03">Type of Award:</E>Cooperative agreement.</P>
        <P>
          <E T="03">Estimated Available Funds:</E>$4,900,000.</P>
        <P>Contingent upon the availability of funds and the quality of applications, we may make additional awards in FY 2013 from the list of unfunded applicants from this competition.</P>
        <P>
          <E T="03">Maximum Awards:</E>We will reject any application that proposes a budget exceeding $4,900,000 for a single budget period of 12 months. The Assistant Secretary for Special Education and Rehabilitative Services may change the maximum amount through a notice published in the<E T="04">Federal Register</E>.</P>
        <P>
          <E T="03">Estimated Number of Awards:</E>1.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The Department is not bound by any estimates in this notice.</P>
        </NOTE>
        <P>
          <E T="03">Project Period:</E>Up to 36 months with an optional additional 24 months based on performance. Applications must include plans for both the 36 month award and the 24 month extension.</P>
        <HD SOURCE="HD1">III. Eligibility Information</HD>
        <P>1.<E T="03">Eligible Applicants:</E>IHEs, other public agencies, private nonprofit organizations, and for-profit organizations. Applicants may apply as a consortium.</P>
        <P>2.<E T="03">Cost Sharing or Matching:</E>This competition does not require cost sharing or matching.</P>
        <P>3.<E T="03">Other: General Requirements</E>—(a) The project funded under this competition must make positive efforts to employ and advance in employment qualified individuals with disabilities (see section 606 of IDEA).</P>
        <P>(b) Applicants and the grant recipient funded under this competition must involve individuals with disabilities or parents of individuals with disabilities ages birth through 26 in planning, implementing, and evaluating the projects (see section 682(a)(1)(A) of IDEA).</P>
        <HD SOURCE="HD1">IV. Application and Submission Information</HD>
        <P>1.<E T="03">Address to Request Application Package:</E>You can obtain an application package via the Internet, from the Education Publications Center (ED Pubs), or from the program office.</P>

        <P>To obtain a copy via the Internet, use the following address:<E T="03">www.ed.gov/fund/grant/apply/grantapps/index.html.</E>
        </P>
        <P>To obtain a copy from ED Pubs, write, fax, or call the following: ED Pubs, U.S. Department of Education, P.O. Box 22207, Alexandria, VA 22304. Telephone, toll free: 1-877-433-7827. Fax: (703) 605-6794. If you use a telecommunications device for the deaf (TDD) or a text telephone (TTY), call, toll free: 1-877-576-7734.</P>
        <P>You can contact ED Pubs at its Web site, also:<E T="03">www.EDPubs.gov</E>or at its email address:<E T="03">edpubs@inet.ed.gov.</E>
        </P>
        <P>If you request an application package from ED Pubs, be sure to identify this program or competition as follows: CFDA number 84.326Y.</P>

        <P>To obtain a copy from the program office, contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice.</P>

        <P>Individuals with disabilities can obtain a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the person or team listed under<E T="03">Accessible Format</E>in section VIII of this notice.</P>
        <P>2.<E T="03">Content and Form of Application Submission:</E>Requirements concerning the content of an application, together with the forms you must submit, are in the application package for this competition.</P>
        <P>Page Limit: The application narrative (Part III of the application) is where you, the applicant, address the selection criteria that reviewers use to evaluate your application. You must limit the application narrative to the equivalent of no more than 70 pages, using the following standards:</P>
        <P>• A “page” is 8.5″ x 11″, on one side only, with 1″ margins at the top, bottom, and both sides.</P>
        <P>• Double space (no more than three lines per vertical inch) all text in the application narrative, including titles, headings, footnotes, quotations, references, and captions.</P>
        <P>• Use a font that is either 12 point or larger or no smaller than 10 pitch (characters per inch).</P>
        <P>• Use one of the following fonts: Times New Roman, Courier, Courier New, or Arial. An application submitted in any other font (including Times Roman or Arial Narrow) will not be accepted.</P>

        <P>The page limit does not apply to Part I, the cover sheet; Part II, the budget section, including the narrative budget justification; Part IV, the assurances and certifications; or the one-page abstract, the resumes, the bibliography, the references, or the letters of support. However, the page limit does apply to<PRTPAGE P="36499"/>all of the application narrative section (Part III).</P>
        <P>We will reject your application if you exceed the page limit or if you apply other standards and exceed the equivalent of the page limit.</P>
        <P>3.<E T="03">Submission Dates and Times:</E>
        </P>
        <P>
          <E T="03">Applications Available:</E>June 19, 2012.</P>
        <P>
          <E T="03">Deadline for Transmittal of Applications:</E>August 3, 2012.</P>

        <P>Applications for grants under this competition may be submitted electronically using the Grants.gov Apply site (Grants.gov), or in paper format by mail or hand delivery. For information (including dates and times) about how to submit your application electronically, or in paper format by mail or hand delivery, please refer to section IV. 7.<E T="03">Other Submission Requirements</E>of this notice.</P>
        <P>We do not consider an application that does not comply with the deadline requirements.</P>

        <P>Individuals with disabilities who need an accommodation or auxiliary aid in connection with the application process should contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice. If the Department provides an accommodation or auxiliary aid to an individual with a disability in connection with the application process, the individual's application remains subject to all other requirements and limitations in this notice.</P>
        <P>4.<E T="03">Intergovernmental Review:</E>This competition is subject to Executive Order 12372 and the regulations in 34 CFR part 79. Information about Intergovernmental Review of Federal Programs under Executive Order 12372 is in the application package for this competition.</P>
        <P>5.<E T="03">Funding Restrictions:</E>We reference regulations outlining funding restrictions in the<E T="03">Applicable Regulations</E>section of this notice.</P>
        <P>6.<E T="03">Data Universal Numbering System Number, Taxpayer Identification Number, and Central Contractor Registry:</E>To do business with the Department of Education, you must—</P>
        <P>a. Have a Data Universal Numbering System (DUNS) number and a Taxpayer Identification Number (TIN);</P>
        <P>b. Register both your DUNS number and TIN with the Central Contractor Registry (CCR), the Government's primary registrant database;</P>
        <P>c. Provide your DUNS number and TIN on your application; and</P>
        <P>d. Maintain an active CCR registration with current information while your application is under review by the Department and, if you are awarded a grant, during the project period.</P>
        <P>You can obtain a DUNS number from Dun and Bradstreet. A DUNS number can be created within one business day.</P>
        <P>If you are a corporate entity, agency, institution, or organization, you can obtain a TIN from the Internal Revenue Service. If you are an individual, you can obtain a TIN from the Internal Revenue Service or the Social Security Administration. If you need a new TIN, please allow 2-5 weeks for your TIN to become active.</P>
        <P>The CCR registration process may take five or more business days to complete. If you are currently registered with the CCR, you may not need to make any changes. However, please make certain that the TIN associated with your DUNS number is correct. Also note that you will need to update your CCR registration on an annual basis. This may take three or more business days to complete.</P>

        <P>In addition, if you are submitting your application via Grants.gov, you must (1) be designated by your organization as an Authorized Organization Representative (AOR); and (2) register yourself with Grants.gov as an AOR. Details on these steps are outlined at the following Grants.gov Web page:<E T="03">www.grants.gov/applicants/get_registered.jsp.</E>
        </P>
        <P>7.<E T="03">Other Submission Requirements:</E>Applications for grants under this competition may be submitted electronically or in paper format by mail or hand delivery.</P>
        <HD SOURCE="HD2">a. Electronic Submission of Applications</HD>
        <P>We are participating as a partner in the Governmentwide Grants.gov Apply site. The Technical Assistance Center for Inclusive School-Wide Reform competition, CFDA number 84.326Y, is included in this project. We request your participation in Grants.gov.</P>

        <P>If you choose to submit your application electronically, you must use the Governmentwide Grants.gov Apply site at<E T="03">www.Grants.gov.</E>Through this site, you will be able to download a copy of the application package, complete it offline, and then upload and submit your application. You may not email an electronic copy of a grant application to us.</P>

        <P>You may access the electronic grant application for the Technical Assistance Center for Inclusive School-Wide Reform competition at<E T="03">www.Grants.gov.</E>You must search for the downloadable application package for this competition by the CFDA number. Do not include the CFDA number's alpha suffix in your search (e.g., search for 84.326, not 84.326Y).</P>
        <P>Please note the following:</P>
        <P>• Your participation in Grants.gov is voluntary.</P>
        <P>• When you enter the Grants.gov site, you will find information about submitting an application electronically through the site, as well as the hours of operation.</P>
        <P>• Applications received by Grants.gov are date and time stamped. Your application must be fully uploaded and submitted and must be date and time stamped by the Grants.gov system no later than 4:30:00 p.m., Washington, DC time, on the application deadline date. Except as otherwise noted in this section, we will not accept your application if it is received—that is, date and time stamped by the Grants.gov system—after  4:30:00 p.m., Washington, DC time, on the application deadline date. We do not consider an application that does not comply with the deadline requirements. When we retrieve your application from Grants.gov, we will notify you if we are rejecting your application because it was date and time stamped by the Grants.gov system after 4:30:00 p.m., Washington, DC time, on the application deadline date.</P>
        <P>• The amount of time it can take to upload an application will vary depending on a variety of factors, including the size of the application and the speed of your Internet connection. Therefore, we strongly recommend that you do not wait until the application deadline date to begin the submission process through Grants.gov.</P>

        <P>• You should review and follow the Education Submission Procedures for submitting an application through Grants.gov that are included in the application package for this competition to ensure that you submit your application in a timely manner to the Grants.gov system. You can also find the Education Submission Procedures pertaining to Grants.gov under News and Events on the Department's G5 system home page at<E T="03">www.G5.gov.</E>
        </P>
        <P>• You will not receive additional point value because you submit your application in electronic format, nor will we penalize you if you submit your application in paper format.</P>
        <P>• If you submit your application electronically, you must submit all documents electronically, including all information you typically provide on the following forms: the Application for Federal Assistance (SF 424), the Department of Education Supplemental Information for SF 424, Budget Information—Non-Construction Programs (ED 524), and all necessary assurances and certifications.</P>

        <P>• If you submit your application electronically, you must upload any narrative sections and all other<PRTPAGE P="36500"/>attachments to your application as files in a PDF (Portable Document) read-only, non-modifiable format. Do not upload an interactive or fillable PDF file. If you upload a file type other than a read-only, non-modifiable PDF or submit a password-protected file, we will not review that material. Additional, detailed information on how to attach files is in the application instructions.</P>
        <P>• Your electronic application must comply with any page-limit requirements described in this notice.</P>
        <P>• After you electronically submit your application, you will receive from Grants.gov an automatic notification of receipt that contains a Grants.gov tracking number. (This notification indicates receipt by Grants.gov only, not receipt by the Department.) The Department then will retrieve your application from Grants.gov and send a second notification to you by email. This second notification indicates that the Department has received your application and has assigned your application a PR/Award number (an ED-specified identifying number unique to your application).</P>
        <P>• We may request that you provide us original signatures on forms at a later date.</P>
        <P>
          <E T="03">Application Deadline Date Extension in Case of Technical Issues with the Grants.gov System:</E>If you are experiencing problems submitting your application through Grants.gov, please contact the Grants.gov Support Desk, toll free, at 1-800-518-4726. You must obtain a Grants.gov Support Desk Case Number and must keep a record of it.</P>
        <P>If you are prevented from electronically submitting your application on the application deadline date because of technical problems with the Grants.gov system, we will grant you an extension until 4:30:00 p.m., Washington, DC time, the following business day to enable you to transmit your application electronically or by hand delivery. You also may mail your application by following the mailing instructions described elsewhere in this notice.</P>

        <P>If you submit an application after  4:30:00 p.m., Washington, DC time, on the application deadline date, please contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice and provide an explanation of the technical problem you experienced with Grants.gov, along with the Grants.gov Support Desk Case Number. We will accept your application if we can confirm that a technical problem occurred with the Grants.gov system and that that problem affected your ability to submit your application by  4:30:00 p.m., Washington, DC time, on the application deadline date. The Department will contact you after a determination is made on whether your application will be accepted.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The extensions to which we refer in this section apply only to the unavailability of, or technical problems with, the Grants.gov system. We will not grant you an extension if you failed to fully register to submit your application to Grants.gov before the application deadline date and time or if the technical problem you experienced is unrelated to the Grants.gov system.</P>
        </NOTE>
        <HD SOURCE="HD2">b. Submission of Paper Applications by Mail</HD>
        <P>If you submit your application in paper format by mail (through the U.S. Postal Service or a commercial carrier), you must mail the original and two copies of your application, on or before the application deadline date, to the Department at the following address:</P>
        
        <FP SOURCE="FP-1">U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.326Y), LBJ Basement Level 1, 400 Maryland Avenue SW., Washington, DC 20202-4260.</FP>
        <P>You must show proof of mailing consisting of one of the following:</P>
        <P>(1) A legibly dated U.S. Postal Service postmark.</P>
        <P>(2) A legible mail receipt with the date of mailing stamped by the U.S. Postal Service.</P>
        <P>(3) A dated shipping label, invoice, or receipt from a commercial carrier.</P>
        <P>(4) Any other proof of mailing acceptable to the Secretary of the U.S. Department of Education.</P>
        <P>If you mail your application through the U.S. Postal Service, we do not accept either of the following as proof of mailing:</P>
        <P>(1) A private metered postmark.</P>
        <P>(2) A mail receipt that is not dated by the U.S. Postal Service.</P>
        <P>If your application is postmarked after the application deadline date, we will not consider your application.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The U.S. Postal Service does not uniformly provide a dated postmark. Before relying on this method, you should check with your local post office.</P>
        </NOTE>
        <HD SOURCE="HD2">c. Submission of Paper Applications by Hand Delivery</HD>
        <P>If you submit your application in paper format by hand delivery, you (or a courier service) must deliver the original and two copies of your application by hand, on or before the application deadline date, to the Department at the following address:</P>
        
        <FP SOURCE="FP-1">U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.326Y), 550 12th Street SW., Room 7041, Potomac Center Plaza, Washington, DC 20202-4260.</FP>
        
        <P>The Application Control Center accepts hand deliveries daily between 8:00 a.m. and 4:30:00 p.m.,  Washington, DC time, except Saturdays, Sundays, and Federal holidays.</P>
        <NOTE>
          <HD SOURCE="HED">Note for Mail or Hand Delivery of Paper Applications:</HD>
          <P>If you mail or hand deliver your application to the Department—</P>
          <P>(1) You must indicate on the envelope and—if not provided by the Department—in Item 11 of the SF 424 the CFDA number, including suffix letter, if any, of the competition under which you are submitting your application; and</P>
          <P>(2) The Application Control Center will mail to you a notification of receipt of your grant application. If you do not receive this notification within 15 business days from the application deadline date, you should call the U.S. Department of Education Application Control Center at (202) 245-6288.</P>
        </NOTE>
        <HD SOURCE="HD1">V. Application Review Information</HD>
        <P>1.<E T="03">Selection Criteria:</E>The selection criteria for this competition are from 34 CFR 75.210 and are listed in the application package.</P>
        <P>2.<E T="03">Review and Selection Process:</E>We remind potential applicants that in reviewing applications in any discretionary grant competition, the Secretary may consider, under 34 CFR 75.217(d)(3), the past performance of the applicant in carrying out a previous award, such as the applicant's use of funds, achievement of project objectives, and compliance with grant conditions. The Secretary may also consider whether the applicant failed to submit a timely performance report or submitted a report of unacceptable quality.</P>
        <P>In addition, in making a competitive grant award, the Secretary also requires various assurances including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department of Education (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <P>3.<E T="03">Additional Review and Selection Process Factors:</E>In the past, the Department has had difficulty finding peer reviewers for certain competitions because so many individuals who are eligible to serve as peer reviewers have conflicts of interest. The Standing Panel requirements under section 682(b) of IDEA also have placed additional constraints on the availability of reviewers. Therefore, the Department has determined that, for some discretionary grant competitions,<PRTPAGE P="36501"/>applications may be separated into two or more groups and ranked and selected for funding within the specific groups. This procedure will make it easier for the Department to find peer reviewers by ensuring that greater numbers of individuals who are eligible to serve as reviewers for any particular group of applicants will not have conflicts of interest. It also will increase the quality, independence, and fairness of the review process, while permitting panel members to review applications under discretionary grant competitions for which they also have submitted applications. However, if the Department decides to select an equal number of applications in each group for funding, this may result in different cut-off points for fundable applications in each group.</P>
        <P>4.<E T="03">Special Conditions:</E>Under 34 CFR 74.14 and 80.12, the Secretary may impose special conditions on a grant if the applicant or grantee is not financially stable; has a history of unsatisfactory performance; has a financial or other management system that does not meet the standards in 34 CFR parts 74 or 80, as applicable; has not fulfilled the conditions of a prior grant; or is otherwise not responsible.</P>
        <HD SOURCE="HD1">VI. Award Administration Information</HD>
        <P>1.<E T="03">Award Notices:</E>If your application is successful, we notify your U.S. Representative and U.S. Senators and send you a Grant Award Notification (GAN). We may notify you informally, also.</P>
        <P>If your application is not evaluated or not selected for funding, we notify you.</P>
        <P>2.<E T="03">Administrative and National Policy Requirements:</E>We identify administrative and national policy requirements in the application package and reference these and other requirements in the<E T="03">Applicable Regulations</E>section of this notice.</P>

        <P>We reference the regulations outlining the terms and conditions of an award in the<E T="03">Applicable Regulations</E>section of this notice and include these and other specific conditions in the GAN. The GAN also incorporates your approved application as part of your binding commitments under the grant.</P>
        <P>3.<E T="03">Reporting:</E>(a) If you apply for a grant under this competition, you must ensure that you have in place the necessary processes and systems to comply with the reporting requirements in 2 CFR part 170 should you receive funding under the competition. This does not apply if you have an exception under 2 CFR 170.110(b).</P>

        <P>(b) At the end of your project period, you must submit a final performance report, including financial information, as directed by the Secretary. If you receive a multi-year award, you must submit an annual performance report that provides the most current performance and financial expenditure information as directed by the Secretary under 34 CFR 75.118. The Secretary may also require more frequent performance reports under 34 CFR 75.720(c). For specific requirements on reporting, please go to<E T="03">www.ed.gov/fund/grant/apply/appforms/appforms.html</E>.</P>
        <P>4.<E T="03">Performance Measures:</E>Under the Government Performance and Results Act of 1993 (GPRA), the Department has established a set of performance measures, including long-term measures, that are designed to yield information on various aspects of the effectiveness and quality of the Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities program. These measures focus on the extent to which projects provide high-quality products and services, the relevance of project products and services to educational and early intervention policy and practice, and the use of products and services to improve educational and early intervention policy and practice.</P>
        <P>Grantees will be required to report information on their project's performance in annual reports to the Department (34 CFR 75.590).</P>
        <P>5.<E T="03">Continuation Awards:</E>In making a continuation award, the Secretary may consider, under 34 CFR 75.253, the extent to which a grantee has made “substantial progress toward meeting the objectives in its approved application.” This consideration includes the review of a grantee's progress in meeting the targets and projected outcomes in its approved application, and whether the grantee has expended funds in a manner that is consistent with its approved application and budget. In making a continuation grant, the Secretary also considers whether the grantee is operating in compliance with the assurances in its approved application, including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <HD SOURCE="HD1">VII. Agency Contact</HD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Dr. Grace Zamora Durán, U.S. Department of Education, 400 Maryland Avenue SW., room 4088, Potomac Center Plaza (PCP), Washington, DC 20202-2600. Telephone: (202) 245-7328.</P>
          <P>If you use a TDD or a TTY, call the Federal Relay Service (FRS), toll free, at 1-800-877-8339.</P>
          <HD SOURCE="HD1">VIII. Other Information</HD>
          <P>
            <E T="03">Accessible Format:</E>Individuals with disabilities can obtain this document and a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the Grants and Contracts Services Team, U.S. Department of Education, 400 Maryland Avenue SW., room 5075, PCP, Washington, DC 20202-2550. Telephone: (202) 245-7363. If you use a TDD or a TTY, call the FRS, toll free, at 1-800-877-8339.</P>
          <P>
            <E T="03">Electronic Access to This Document:</E>The official version of this document is the document published in the<E T="04">Federal Register</E>. Free Internet access to the official edition of the<E T="04">Federal Register</E>and the Code of Federal Regulations is available via the Federal Digital System at:<E T="03">www.gpo.gov/fdsys.</E>At this site you can view this document, as well as all other documents of this Department published in the<E T="04">Federal Register</E>, in text or Adobe Portable Document Format (PDF). To use PDF you must have Adobe Acrobat Reader, which is available free at the site.</P>

          <P>You may also access documents of the Department published in the<E T="04">Federal Register</E>by using the article search feature at:<E T="03">www.federalregister.gov.</E>Specifically, through the advanced search feature at this site, you can limit your search to documents published by the Department.</P>
          <SIG>
            <DATED>Dated: June 13, 2012.</DATED>
            <NAME>Alexa Posny,</NAME>
            <TITLE>Assistant Secretary for Special Education and Rehabilitative Services.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14940 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Applications for New Awards: Technical Assistance and Dissemination To Improve Services and Results for Children With Disabilities; Early Childhood Technical Assistance Center</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Special Education and Rehabilitative Services, Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <PRTPAGE P="36502"/>
        <HD SOURCE="HD1">Overview Information Technical Assistance and Dissemination To Improve Services and Results for Children With Disabilities—Early Childhood Technical Assistance Center</HD>
        <P>Notice inviting applications for new awards for fiscal year (FY) 2012.</P>
        
        <EXTRACT>
          <FP SOURCE="FP-1">Catalog of Federal Domestic Assistance (CFDA) Number: 84.326P.</FP>
        </EXTRACT>
        
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Applications Available: June 19, 2012.</P>
          <P>
            <E T="03">Deadline for Transmittal of Applications:</E>July 19, 2012.</P>
        </DATES>
        <HD SOURCE="HD1">Full Text of Announcement</HD>
        <HD SOURCE="HD1">I. Funding Opportunity Description</HD>
        <P>
          <E T="03">Purpose of Programs:</E>The purpose of the Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities program is to promote academic achievement and to improve results for children with disabilities by providing technical assistance (TA), supporting model demonstration projects, disseminating useful information, and implementing activities that are supported by scientifically based research.</P>
        <P>
          <E T="03">Priority:</E>In accordance with 34 CFR 75.105(b)(2)(v), this priority is from allowable activities specified in the statute or otherwise authorized in the statute (see sections 663 and 681(d)of the Individuals with Disabilities Education Act (IDEA), 20 U.S.C. 1463 and 1481(d)).</P>
        <P>
          <E T="03">Absolute Priority:</E>For FY 2012 and any subsequent year in which we make awards from the list of unfunded applicants from this competition, this priority is an absolute priority. Under 34 CFR 75.105(c)(3) we consider only applications that meet this priority.</P>
        <P>This priority is:<E T="03">Early Childhood Technical Assistance Center.</E>Background: The Office of Special Education Programs (OSEP) is committed to ensuring that all infants, toddlers, and preschool children with disabilities receive effective services in natural environments and inclusive settings that promote positive developmental and learning outcomes. Effective services depend on: (1) The quality of early intervention programs authorized under Part C of IDEA and preschool programs authorized under Part B of IDEA; (2) the coordination of these programs with each other and with other early childhood programs that serve infants, toddlers, and preschool children with disabilities and their families; and (3) the capacity of early childhood programs to scale up and sustain effective implementation components to support the use of evidence-based interventions at the local program level. OSEP has supported the implementation of IDEA Part C early intervention services and Part B preschool services by funding technical assistance (TA) centers that have helped States strengthen their State and local systems and build the capacity of providers to improve developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families. OSEP will further this work by funding a cooperative agreement to support the establishment and operation of an Early Childhood Technical Assistance Center (Center). The Center will support States in administering high-quality and effective IDEA Part C early intervention and Part B preschool programs through TA and recommendations for practice.</P>
        <P>In recent years, States have faced a growing number of challenges as they implement the IDEA Part C early intervention and Part B preschool programs. In addition to the economic and fiscal challenges at the State and local levels, States are seeing an increase in the number of infants, toddlers, and preschool children with complex needs who are eligible for services under IDEA Part C early intervention and Part B preschool programs (Part C State Performance Plan (SPP)/Annual Performance Report (APR) 2011 Indicator Analyses, FFY 2009-10; Part B SPP/APR 2011 Indicator Analyses, FFY 2009-10). Moreover, given the complexity of and interplay between these programs, many States struggle with difficult systems issues, such as: (1) Ensuring that all children eligible for services under Part C of IDEA are identified and evaluated or screened; (2) maximizing all available funding sources for IDEA Part C services; (3) improving transition services for children who are first served under an IDEA Part C program and then receive IDEA Part B preschool services; (4) collecting valid and reliable child and family outcome data under IDEA Part C early intervention and Part B preschool programs to inform program improvement; and (5) coordinating with other early childhood programs (Infant and Toddler Coordinators Association Tipping Points Survey, 2011; Part C SPP/APR 2011 Indicator Analyses, FFY 2009-10; Part B SPP/APR 2011 Indicator Analyses, FFY 2009-10).</P>
        <P>To meet the challenges of implementing IDEA Part C early intervention and Part B preschool programs, program administrators must understand the elements that are necessary to implement high-quality early intervention and preschool programs effectively and efficiently. Ensuring that Part C early intervention and Part B preschool programs are coordinating with other early childhood programs in a State is one such element that could increase a program's effectiveness and efficiency. However, developing a coordinated and integrated early childhood system within a State is a significant challenge because there are multiple early childhood programs (e.g., IDEA Part C early intervention; IDEA Part B preschool; Head Start; Early Head Start; child care; State-funded Pre-K programs) administered by different agencies with different policies, procedures, and funding streams, and infants, toddlers, and preschool children with disabilities are often served by more than one of these programs at a time. Overcoming this overarching challenge to provide a coordinated and integrated early childhood system is critical to ensuring that infants, toddlers, and preschool children with disabilities and their families receive high-quality services from the array of early childhood programs that are available to serve them. As States continue to work towards designing and implementing a coordinated and integrated system of early childhood programs and services through such initiatives as the Race To the Top—Early Learning Challenge (RTT-ELC), it is critical that support be provided to the IDEA Part C early intervention and Part B preschool programs to assist them in aligning resources and policies across multiple levels (e.g., State, regional, local) of the early childhood service system. Such support would help these programs reduce inefficiencies across early childhood programs, and improve the quality of services for infants, toddlers, and preschool children with disabilities and their families.</P>

        <P>A challenge at the local program level is the lack of adequately trained personnel who can implement effective services and evidence-based interventions, suggesting that infants, toddlers, and preschool children with disabilities may not be achieving the learning and developmental outcomes that are possible (Bruder, 2010; Odom, 2009). In surveys of State Part C and Part B, Section 619 Coordinators, respondents have expressed concern that personnel who work with infants, toddlers, and preschool children with disabilities and their families are not adequately trained (Bruder, Mogro-Wilson, Stayton, &amp; Dietrich, 2009). Furthermore, although the Division of Early Childhood of the Council for Exceptional Children's (DEC)<PRTPAGE P="36503"/>recommended practices for personnel working with infants, toddlers, and preschool children with disabilities and their families is a valuable resource on intervention practices used by the field, that resource needs to be updated to include current research on implementing high-quality, coordinated, and integrated early childhood systems; effective services; and evidence-based interventions.</P>
        <P>IDEA Part C early intervention and Part B, Section 619 program administrators must ensure that their programs and providers are delivering effective services and evidence-based interventions. To do so, States must have “implementation components” in place at the State and local levels to support providers in using effective services and evidence-based interventions. “Implementation components” are the organizational supports that allow providers to develop the competence needed to implement effective services and evidence-based interventions in the way they were designed to be delivered (Fixsen, Blasé, Horner, &amp; Sugai, 2009). Examples of implementation components include professional development and training, ongoing consultation and coaching, performance assessments, data systems to support decision making, administrative support to ensure personnel have the resources and skills they need to implement interventions, and systems that align policies and funding mechanisms across multiple levels (e.g., State, regional, local) (Fixsen et al., 2009). Once implementation components are in place and the system's capacity to implement effective services and evidence-based interventions is established, the State will be better equipped to implement, scale up, and sustain a range of effective services and evidence-based interventions across multiple programs (Fixsen et al., 2009).</P>
        <P>Establishing high-quality, effective and efficient IDEA Part C early intervention and Part B preschool programs that are coordinated and integrated with other early childhood programs and that have the capacity to support providers in implementing effective services and evidence-based interventions for infants, toddlers, and preschool children with disabilities and their families, requires changes to a State's early childhood services system at multiple levels. TA has been identified as a strategy to facilitate these changes (Blasé, 2009). Recognizing the complexity of systems change, particularly with respect to a system as complex as the system of services through which early childhood services are provided, intensive TA is needed at the State level so that a State can overcome challenges and support local early childhood programs in delivering evidence-based, high-quality, effective, coordinated, and integrated services and interventions to improve developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families.</P>
        <P>
          <E T="03">Priority:</E>Under this priority, the Department will fund a cooperative agreement to establish and operate an Early Childhood Technical Assistance Center (Center) to support States in administering IDEA Part C early intervention and Part B preschool programs. Specifically, the Center will provide TA to States to assist them in: (1) Implementing high-quality, effective, and efficient IDEA Part C early intervention and Part B preschool programs; (2) coordinating the IDEA Part C early intervention and Part B preschool programs with one another as well as with other early childhood programs in the State; and (3) implementing effective services and evidence-based interventions in early childhood programs that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families.</P>
        <P>In addition, the Center will develop a set of empirically supported recommendations for practice on: (1) Policies that promote a high-quality, coordinated, and integrated system of early childhood programs; and (2) services and interventions that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families.</P>
        <P>With additional funding in years two through five, the Center will increase its scope of work and assist States in continued development and refinement of the State's child and family outcomes measurement systems for the IDEA Part C early intervention and Part B preschool programs.</P>
        <P>To be considered for funding under this absolute priority, applicants must meet the application requirements contained in this priority. Any project funded under this absolute priority also must meet the programmatic and administrative requirements specified in the priority.</P>
        <P>
          <E T="03">Application Requirements.</E>An applicant must include in its application—</P>
        <P>(a) A logic model that depicts, at a minimum, the goals, activities, outputs, and outcomes of the proposed project. A logic model communicates how a project will achieve its outcomes and provides a framework for both the formative and summative evaluations of the project;</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>

          <P>The following Web sites provide more information on logic models:<E T="03">www.researchutilization.org/matrix/logicmodel_resource3c.html and www.tadnet.org/model_and_performance.</E>
          </P>
        </NOTE>
        <P>(b) A plan to implement the activities described in the<E T="03">Project Activities</E>section of this priority;</P>
        <P>(c) A plan, linked to the proposed project's logic model, for a formative evaluation of the proposed project's activities. The plan must describe how the formative evaluation will use clear performance objectives to ensure continuous improvement in the operation of the proposed project, including objective measures of progress in implementing the project and ensuring the quality of products and services. This plan must include how the Center will collect data on all components of the Center activities;</P>
        <P>(d) A budget for a summative evaluation to be conducted by an independent third party, who must be approved by OSEP;</P>

        <P>(e) A budget dedicating a minimum of $300,000 in year one of the project to cover the costs of carrying out the tasks described in paragraph (d) of the<E T="03">Knowledge Development Activities</E>section of this priority;</P>

        <P>(f) A budget dedicating a minimum of $900,000 annually to cover the costs of carrying out tasks in paragraph (e) of the<E T="03">Knowledge Development Activities</E>section of this priority and paragraphs (a)(1)(i)(E), (a)(2)(vi), (a)(3)(iii), and (b) in the<E T="03">Technical Assistance and Dissemination Activities</E>section of this priority related to supporting the implementation of effective services and evidence-based interventions that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families;</P>
        <P>(g) A budget for attendance at the following:</P>
        <P>(1) A two-day kick-off meeting to be held in Washington, DC, after receipt of the award, and an annual planning meeting held in Washington, DC, with the OSEP Project Officer during each subsequent year of the project period.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>Within 30 days of receipt of the award, a post-award teleconference must be held between the OSEP Project Officer and the grantee's Project Director or other authorized representative.</P>
        </NOTE>
        <P>(2) A three-day Project Directors' Conference in Washington, DC, during each year of the project period.</P>

        <P>(3) A two-day Leveraging Resources conference in Washington, DC, during each year of the project period.<PRTPAGE P="36504"/>
        </P>
        <P>(4) A three-day Leadership Conference in Washington, DC, during each year of the project period.</P>
        <P>(5) Two two-day trips annually to attend Department briefings, Department-sponsored conferences, and other meetings, as requested by OSEP; and</P>
        <P>(h) A line item in the proposed budget for an annual set-aside of five percent of the grant amount to support emerging needs that are consistent with the proposed project's activities, as those needs are identified in consultation with OSEP.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>With approval from the OSEP Project Officer, the Center must reallocate any remaining funds from this annual set-aside no later than the end of the third quarter of each budget period.</P>
        </NOTE>
        <P>
          <E T="03">Project Activities.</E>To meet the requirements of this priority, the Center, at a minimum, must conduct the following activities:</P>
        <HD SOURCE="HD2">Knowledge Development Activities</HD>
        <P>(a) In the first three months of the project period, identify a minimum of six States to partner with to develop a framework<SU>1</SU>
          <FTREF/>for high-quality, effective, and efficient IDEA Part C early intervention and Part B preschool programs. Each partnering State must have commitments from its IDEA Part C early intervention and Part B preschool programs to participate in the activities of the Center. Factors for consideration in selecting these States could include the type of State lead agency designated to implement IDEA Part C (e.g., health or education); funding mechanisms (use of private and public insurance, family fees, or parent cost participation to pay for IDEA Part C services, and State fund contributions for IDEA Part C and Part B preschool programs); interagency collaboration agreements; eligibility criteria for IDEA Part C (e.g., narrow versus broad eligibility for IDEA services for children with developmental delays or at-risk children or birth-mandate States); staffing of programs (e.g., contracting versus hiring staff); approach to services (multidisciplinary, transdisciplinary, etc.); recipient of an RTT-ELC grant; and performance on APRs. The Center must obtain approval from OSEP on the final selection of partnering States.</P>
        <FTNT>
          <P>
            <SU>1</SU>For the purposes of this priority, “framework” means a guide for decision making.</P>
        </FTNT>
        <P>(b) In the first two years of the project period, partner with the States identified in response to paragraph (a) of this section to develop, implement, and evaluate a framework for high-quality, effective, and efficient IDEA Part C early intervention and Part B preschool programs. In developing this framework, the Center must work with its partner States to identify, describe, and document the elements that make up IDEA Part C and Part B preschool programs and describe what must exist within each element to create high-quality, effective, and efficient programs. These elements must include, but are not limited to, the following: Governance structure; funding mechanism; interagency agreements and coordination; service delivery model; personnel standards and qualifications; professional development system; TA system; comprehensive data system; accountability and outcome measurement system; and evaluation and program quality and improvement system. The Center must implement an iterative process for the development, implementation, and evaluation of the framework where parts of it are developed, implemented, and evaluated before the entire framework is completed, ensuring that it is an effective framework for the partner States and other States to use.</P>
        <P>(c) On an annual basis, compile and analyze data on all States' APRs and updated SPPs for IDEA Part C indicators and Part B indicators that relate to preschool programs, provide an analysis of States' success in meeting compliance and performance indicators, and use the analysis as the basis for providing States a continuum of TA.</P>

        <P>(d) In year one of the project, collaborate with the DEC to update the current set of DEC recommended practices related to: (1) Policies that promote a high-quality, coordinated, and integrated early childhood system and provide a foundation necessary to facilitate the use of recommended practices by providers serving infants, toddlers, and preschool children with disabilities and their families; and (2) effective services and evidence-based interventions that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families. The Center must work with the Early Childhood Personnel Center (that will be updating the DEC's recommended practices related to professional development), if funded by OSEP, to finalize the process to update the recommended practices so that they reflect current research. The recommended practices must be made available at no cost to consumers on the Center's Web site, as required under paragraph (a)(1)(i) in the<E T="03">Technical Assistance and Dissemination Activities</E>section of this priority.</P>

        <P>(e) Identify, document, and describe the implementation components needed to support the use and sustainability of effective services and evidence-based interventions in early childhood programs that serve infants, toddlers, and preschool children with disabilities and their families, consistent with paragraph (a)(3)(iii)(B) of the<E T="03">Technical Assistance and Dissemination Activities</E>section of this priority.</P>
        <HD SOURCE="HD2">Technical Assistance and Dissemination Activities</HD>
        <P>(a) Provide a continuum of TA and dissemination activities that improve the quality, effectiveness, and efficiency of early childhood programs that support the use of effective services and evidence-based interventions that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families. The continuum must include the following:</P>
        <P>(1) General TA to States, early childhood programs, professional development providers, faculty at institutions of higher education (IHEs), researchers, early childhood personnel, families, and other relevant stakeholders. At a minimum, the Center must conduct the following activities:</P>
        <P>(i) Develop and disseminate reports, products, guidance, implementation tools, and other materials at no cost to the consumer on:</P>
        <P>(A) Current recommendations for practice related to—</P>
        <P>(1) Policies that promote a high-quality, coordinated, and integrated early childhood system and provide a foundation necessary for providers to use the recommended practices to serve infants, toddlers, and preschool children with disabilities and their families; and</P>
        <P>(2) Effective services and evidence-based interventions that result in positive developmental and learning outcomes for infants, toddlers, and preschool children with disabilities and their families.</P>
        <P>(B) The framework for high-quality, effective, and efficient IDEA Part C and Part B preschool programs.</P>
        <P>(C) The analysis of all State data collected for IDEA Part C indicators that relate to early intervention programs and Part B indicators that relate to preschool programs.</P>
        <P>(D) Collecting quality child and family outcome data, and using child and family outcome data for program improvement.</P>

        <P>(E) Critical features of the implementation components needed to support the use, scaling up, and sustainability of effective services and evidence-based interventions in early<PRTPAGE P="36505"/>childhood programs at the State and local program levels.</P>
        <P>(ii) Maintain a Web site that meets government or industry-recognized standards for accessibility and that links to the Web site operated by the Technical Assistance Coordination Center (TACC).</P>
        <P>(iii) In consultation with the OSEP Project Officer, make selected reports, documents, and other materials available in both English and Spanish.</P>
        <P>(2) Targeted TA to States and other relevant stakeholders to improve their capacity to implement high-quality, effective, and efficient IDEA Part C early intervention and Part B preschool programs and to support the use of effective services and evidence-based interventions in early childhood programs at the local level. At a minimum, the Center must conduct the following activities:</P>
        <P>(i) Assist States in preparing for IDEA Part C early intervention and Part B preschool monitoring and accountability activities related to serving infants, toddlers, and preschool children with disabilities and their families and implementing the State's corrective action plan and improvement activities as appropriate.</P>
        <P>(ii) Assist States in meeting IDEA Part C early intervention and Part B preschool program indicator targets in their SPPs when reporting data on their APRs, including child and family outcome data for program improvement; and meeting new requirements in the IDEA Part C regulations issued on September 28, 2011 (76 FR 60140).</P>
        <P>(iii) Plan and implement activities, which could include webinars, meetings, video conferences, and Web sites to support States in the continued development and refinement of a child and family outcomes measurement system, including using data for IDEA Part C early intervention and Part B preschool program improvement.</P>
        <P>(iv) Assist States in their efforts to better coordinate their early childhood programs to ensure that infants, toddlers, and preschool children with disabilities and their families receive high-quality services and to scale up and sustain effective implementation components in early childhood programs.</P>
        <P>(v) Provide a forum for researchers, professional development providers, early childhood personnel, IHE faculty, and other relevant stakeholders to collaborate through learning communities, communities of practice, or other mechanisms to discuss recommended practices related to high-quality early childhood systems, effective services, and evidenced-based interventions in early childhood programs and methods to support their use.</P>
        <P>(3) Intensive TA to States to improve their capacity to implement high-quality, effective, and efficient early childhood programs that serve infants, toddlers, and preschool children with disabilities and their families and scale up and sustain effective implementation components to support the use of effective services and evidence-based interventions in early childhood programs at the local level. At a minimum, the Center must conduct the following activities:</P>
        <P>(i) Provide TA to States on implementing the framework for high-quality, effective, and efficient IDEA Part C early intervention and Part B preschool programs developed under paragraph (a) in the Knowledge Development Activities section of this priority in the first and second years of the project period.</P>
        <P>(ii) In years two through five of the project period, provide TA to States on implementing a high-quality child and family outcomes measurement system that takes into account the following components: purpose of the outcomes measurement system, data collection and transmission, data analysis, reporting, using data, evaluation, and cross-system coordination. In carrying out this activity, the Center must collaborate with the Early Childhood Data Center, if funded by OSEP, to prevent duplication of effort.</P>
        <P>(iii) Select a minimum of four States to build their capacity to scale up and sustain effective implementation components to support the use of effective services and evidence-based interventions at the local early childhood program level. The Center must develop a plan and criteria for selecting the States with which they will work. Factors for selecting States for consideration could include the State's early childhood priorities and initiatives; the commitment of the State's multiple early childhood programs to participate in the TA to support the developmental and learning outcomes of infants, toddlers, and preschool children with disabilities and their families; the commitment of the State's IHEs, including community colleges, to prepare preservice personnel on the use of the evidence-based interventions that may be scaled up within the State; the commitment of the early intervention and community-based early childhood programs in high-need communities and high-need local educational agencies (LEAs)<SU>2</SU>
          <FTREF/>to participate in the TA; and the demographic and geographic characteristics of each State, including the percentage of young children who are high-need children with disabilities.<SU>3</SU>
          <FTREF/>The Center must obtain approval from OSEP on the final selection of States. At a minimum, the Center must conduct the following activities with the selected States:</P>
        <FTNT>
          <P>
            <SU>2</SU>For the purposes of this priority, the term “high-need local educational agency” means an LEA (a) that serves not fewer than 10,000 children from families with incomes below the poverty line; or (b) for which not less than 20 percent of the children served by the LEA are from families with incomes below the poverty line.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>3</SU>For the purposes of this priority, “high-need children with disabilities” refers to children (ages birth through 5) who are eligible for services under IDEA, and who may be further disadvantaged and at risk of educational failure because they: (1) Are living in poverty, (2) are homeless, (3) are in foster care, (4) are English learners, (5) are new immigrants, or (6) are migrant.</P>
        </FTNT>
        <P>(A) Assist the selected States in identifying effective services and evidence-based interventions for infants, toddlers, and preschool children with disabilities and their families that the States will implement and scale up. Based on the interventions and services identified, the Center must support the implementation and scale up of the interventions and services through direct TA or by contracting with experts in the field.</P>
        <P>(B) Assist each selected State to identify and establish a minimum of six implementation sites in early childhood programs at the local level to identify, document, and describe implementation components and their effectiveness. The Center must develop criteria for selecting the implementation sites. These criteria must be designed to ensure that the sites serve children from diverse backgrounds in a variety of settings, including early intervention and community-based early childhood programs in high-need LEAs.</P>
        <P>(C) Assist each selected State in developing, implementing, and evaluating a plan to scale up and sustain effective implementation components to support the use of effective services and evidence-based interventions across local early childhood programs within each State, including early intervention and community-based early childhood programs in high-need LEAs.</P>

        <P>(b) Establish a national TA network of a cadre of experts on implementation that will support the Center to provide TA to States and local early childhood programs to strengthen their capacity to scale up and sustain effective implementation components.<PRTPAGE P="36506"/>
        </P>
        <HD SOURCE="HD2">Leadership and Coordination Activities</HD>
        <P>(a) Communicate and collaborate, on an ongoing basis, with OSEP-funded TA projects, including the TACC, the Regional Resource Centers Program, and early childhood-focused centers funded by the Departments of Education and Health and Human Services (HHS), as appropriate. This collaboration could include the joint development of products, the coordination of TA services, and the planning and carrying out of TA meetings and events.</P>
        <P>(b) Lead the Early Childhood Technical Assistance Consortium (ECTA).<SU>4</SU>

          <FTREF/>The following Web site provides more information on ECTA:<E T="03">www.ectaconsortium.org/.</E>
        </P>
        <FTNT>
          <P>
            <SU>4</SU>The ECTA Consortium includes national projects that are funded by the Departments of Education and Health and Human Services that provide TA in support of States' efforts in building coordinated early learning and development systems. The purpose of the consortium is to: coordinate early childhood TA efforts that support States in building and sustaining their systems for early learning and development; share knowledge and resources for improving the delivery and impact of TA; identify strategies for working collaboratively; enhance each other's TA efforts; and explore options to leverage resources to benefit respective constituencies.</P>
        </FTNT>
        <P>(c) Work with other Federal and State TA efforts to ensure that IDEA Part C early intervention and Part B preschool programs are considered in the development of coordinated early learning and development systems for children ages birth through five and their families. These efforts must include—</P>
        <P>(1) In States with RTT-ELC grants, supporting the involvement of IDEA Part C early intervention and Part B preschool programs in planning and implementing RTT-ELC grant activities; and</P>
        <P>(2) Supporting the participation of IDEA Part C early intervention and Part B, Section 619 Coordinators on State Advisory Councils on Early Childhood Education and Care.</P>
        <P>(d) Work with other Federal and State TA efforts to strengthen linkages between IDEA Part C early intervention and Part B preschool programs and birth through 3rd grade initiatives.</P>
        <P>(e) Consult with a group of persons, including representatives from State and local IDEA Part C early intervention and Part B preschool programs; State level administrators from other early child systems (e.g., State Child Care Administrators and Head Start Collaboration Directors); early childhood personnel; parents of infants, toddlers, or preschool children with disabilities; representatives from other OSEP-funded TA projects; representatives from HHS-funded TA projects; faculty in personnel preparation; and researchers, as appropriate, on the activities and outcomes of the Center and solicit programmatic support and advice from various participants in the group, as appropriate. The Center may convene meetings, whether in person, by phone or other means, for this purpose, or may consult with group participants individually. The Center must identify the members of the group to OSEP within eight weeks after receipt of the award.</P>
        <P>(f) Prior to developing any new product, submit a proposal for the product to the TACC database for approval from the OSEP Project Officer. The development of new products must be consistent with the product definition and guidelines posted on the TACC Web site (www.tadnet.org).</P>
        <P>(g) Contribute, on an ongoing basis, updated information on the Center's approved and finalized products and services to a database at TACC.</P>
        <P>(h) Maintain ongoing communication with the OSEP Project Officer through monthly phone conversations and email communication.</P>
        <HD SOURCE="HD2">Fourth and Fifth Years of Project</HD>
        <P>In deciding whether to continue funding the Center for the fourth and fifth years, the Secretary will consider the requirements of 34 CFR 75.253(a) and in addition—</P>
        <P>(a) The recommendation of a review team consisting of experts selected by the Secretary. This review team will be conducted during a one-day intensive meeting in Washington, DC, during the last half of the project's second year. The Center must budget for travel expenses associated with this one-day intensive review.</P>
        <P>(b) The timeliness and effectiveness with which all requirements of the negotiated cooperative agreement have been or are being met by the Center; and</P>
        <P>(c) The quality, relevance, and usefulness of the Center's activities and the degree to which the Center's activities have contributed to changed practices in State systems and improved developmental and learning outcomes for infants, toddlers and preschool children with disabilities and their families.</P>
        <HD SOURCE="HD3">References</HD>
        <EXTRACT>

          <FP SOURCE="FP-2">Blase, K. (2009). Technical Assistance to Promote Service and System Change.<E T="03">Roadmap to Effective Intervention Interventions #4.</E>Tampa, FL: University of South Florida, Technical Assistance Center on Social Emotional Intervention for Young Children.</FP>

          <FP SOURCE="FP-2">Bruder, M.B. (2010). Early childhood intervention: A promise to children and families for their future.<E T="03">Exceptional Children, 76</E>(3), 339-355.</FP>

          <FP SOURCE="FP-2">Bruder, M.B., Mogro-Wilson, C., Stayton, V., and Dietrich, S. (2009). The national status of in-service professional development systems for early intervention and early childhood special education practitioners.<E T="03">Infants and Young Children, 22</E>(1), 13-20.</FP>
          <FP SOURCE="FP-2">Fixsen, D.L., Blase, K.A., Horner, R., &amp; Sugai, G. (2009). Developing the capacity for scaling up the effective use of evidence-based programs in state departments of education. Chapel Hill, NC: The University of North Carolina at Chapel Hill, FPG Child Development Institute, SISEP.</FP>

          <FP SOURCE="FP-2">Infant &amp; Toddler Coordinators Association. (2011). ITCA 2011 Tipping Points Survey—Part C implementation: State Challenges and Responses. Retrieved from<E T="03">www.ideainfanttoddler.org/board_surveys.htm.</E>
          </FP>

          <FP SOURCE="FP-2">Odom, S. (2009). The tie that binds: Evidence-based practice, implementation science, and outcomes for children.<E T="03">Topics in Early Childhood Special Education, 29</E>(1), 53-61.</FP>
        </EXTRACT>
        
        <P>
          <E T="03">Waiver of Proposed Rulemaking:</E>Under the Administrative Procedure Act (APA) (5 U.S.C. 553) the Department generally offers interested parties the opportunity to comment on proposed priorities and requirements. Section 681(d) of IDEA, however, makes the public comment requirements of the APA inapplicable to the priority in this notice.</P>
        <AUTH>
          <HD SOURCE="HED">Program Authority:</HD>
          <P>20 U.S.C. 1463, and 1481.</P>
        </AUTH>
        
        <P>
          <E T="03">Applicable Regulations:</E>(a) The Education Department General Administrative Regulations (EDGAR) in 34 CFR parts 74, 75, 77, 79, 80, 81, 82, 84, 86, 97, 98, and 99. (b) The Education Department debarment and suspension regulations in 2 CFR part 3485.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 79 apply to all applicants except federally recognized Indian tribes.</P>
        </NOTE>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 86 apply to IHEs only.</P>
        </NOTE>
        <HD SOURCE="HD1">II. Award Information</HD>
        <P>
          <E T="03">Type of Award:</E>Cooperative agreement.</P>
        <P>
          <E T="03">Estimated Available Funds:</E>$3,700,000 for the competition announced in this notice for year one. In year two through five we intend to use an estimated $4,500,000 for the competition.</P>
        <P>Contingent upon the availability of funds and the quality of applications, we may make additional awards in FY 2013 from the list of unfunded applicants from this competition.</P>
        <P>
          <E T="03">Maximum Awards:</E>We will reject any application that proposes a budget<PRTPAGE P="36507"/>exceeding $3,700,000 for a single budget period of 12 months in year one and $4,500,000 for a single budget period of 12 months in years two through five. The Assistant Secretary for Special Education and Rehabilitative Services may change the maximum amount through a notice published in the<E T="04">Federal Register</E>.</P>
        <P>
          <E T="03">Estimated Number of Awards:</E>1.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The Department is not bound by any estimates in this notice.</P>
        </NOTE>
        <P>
          <E T="03">Project Period:</E>Up to 36 months with an optional additional 24 months based on performance. Applications must include plans for both the 36 month award and the 24 month extension.</P>
        <HD SOURCE="HD1">III. Eligibility Information</HD>
        <P>1.<E T="03">Eligible Applicants:</E>State educational agencies; LEAs, including public charter schools that are considered LEAs under State law; IDEA Part C State lead agencies; the State lead agency designated under RTT-ELC; IHEs; other public agencies; private nonprofit organizations; outlying areas; freely associated States; Indian tribes or tribal organizations; and for-profit organizations.</P>
        <P>2.<E T="03">Cost Sharing or Matching:</E>This competition does not require cost sharing or matching.</P>
        <P>3.<E T="03">Other: General Requirements</E>—(a) The project funded under this competition must make positive efforts to employ and advance in employment qualified individuals with disabilities (see section 606 of IDEA).</P>
        <P>(b) Applicants and the grant recipient funded under this competition must involve individuals with disabilities or parents of individuals with disabilities ages birth through 26 in planning, implementing, and evaluating the projects (see section 682(a)(1)(A) of IDEA).</P>
        <HD SOURCE="HD1">IV. Application and Submission Information</HD>
        <P>1.<E T="03">Address to Request Application Package:</E>You can obtain an application package via the Internet, from the Education Publications Center (ED Pubs), or from the program office.</P>

        <P>To obtain a copy via the Internet, use the following address:<E T="03">www.ed.gov/fund/grant/apply/grantapps/index.html.</E>
        </P>
        <P>To obtain a copy from ED Pubs, write, fax, or call the following: ED Pubs, U.S. Department of Education, P.O. Box 22207, Alexandria, VA 22304. Telephone, toll free: 1-877-433-7827. Fax: (703) 605-6794. If you use a telecommunications device for the deaf (TDD) or a text telephone (TTY), call, toll free: 1-877-576-7734.</P>
        <P>You can contact ED Pubs at its Web site, also:<E T="03">www.EDPubs.gov</E>or at its email address:<E T="03">edpubs@inet.ed.gov.</E>
        </P>
        <P>If you request an application package from ED Pubs, be sure to identify this program or competition as follows: CFDA number 84.326P.</P>

        <P>To obtain a copy from the program office, contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice.</P>

        <P>Individuals with disabilities can obtain a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the person or team listed under<E T="03">Accessible Format</E>in section VIII of this notice.</P>
        <P>2.<E T="03">Content and Form of Application Submission:</E>Requirements concerning the content of an application, together with the forms you must submit, are in the application package for this competition.</P>
        <P>Page Limit: The application narrative (Part III of the application) is where you, the applicant, address the selection criteria that reviewers use to evaluate your application. You must limit the application narrative to the equivalent of no more than 70 pages, using the following standards:</P>
        <P>• A “page” is 8.5″ x  11′, on one side only, with 1″ margins at the top, bottom, and both sides.</P>
        <P>• Double space (no more than three lines per vertical inch) all text in the application narrative, including titles, headings, footnotes, quotations, references, and captions.</P>
        <P>• Use a font that is either 12 point or larger or no smaller than 10 pitch (characters per inch).</P>
        <P>• Use one of the following fonts: Times New Roman, Courier, Courier New, or Arial. An application submitted in any other font (including Times Roman or Arial Narrow) will not be accepted.</P>
        <P>The page limit does not apply to Part I, the cover sheet; Part II, the budget section, including the narrative budget justification; Part IV, the assurances and certifications; or the one-page abstract, the resumes, the bibliography, the references, or the letters of support. However, the page limit does apply to all of the application narrative section (Part III).</P>
        <P>We will reject your application if you exceed the page limit or if you apply other standards and exceed the equivalent of the page limit.</P>
        <P>3.<E T="03">Submission Dates and Times:</E>
        </P>
        <P>
          <E T="03">Applications Available:</E>June 19, 2012.</P>
        <P>
          <E T="03">Deadline for Transmittal of Applications:</E>July 19, 2012.</P>

        <P>Applications for grants under this competition may be submitted electronically using the Grants.gov Apply site (Grants.gov), or in paper format by mail or hand delivery. For information (including dates and times) about how to submit your application electronically, or in paper format by mail or hand delivery, please refer to section IV. 7.<E T="03">Other Submission Requirements</E>of this notice.</P>
        <P>We do not consider an application that does not comply with the deadline requirements.</P>

        <P>Individuals with disabilities who need an accommodation or auxiliary aid in connection with the application process should contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice. If the Department provides an accommodation or auxiliary aid to an individual with a disability in connection with the application process, the individual's application remains subject to all other requirements and limitations in this notice.</P>
        <P>4.<E T="03">Intergovernmental Review:</E>This competition is subject to Executive Order 12372 and the regulations in 34 CFR part 79. Information about Intergovernmental Review of Federal Programs under Executive Order 12372 is in the application package for this competition.</P>
        <P>5.<E T="03">Funding Restrictions:</E>We reference regulations outlining funding restrictions in the<E T="03">Applicable Regulations</E>section of this notice.</P>
        <P>6.<E T="03">Data Universal Numbering System Number, Taxpayer Identification Number, and Central Contractor Registry:</E>To do business with the Department of Education, you must—</P>
        <P>a. Have a Data Universal Numbering System (DUNS) number and a Taxpayer Identification Number (TIN);</P>
        <P>b. Register both your DUNS number and TIN with the Central Contractor Registry (CCR), the Government's primary registrant database;</P>
        <P>c. Provide your DUNS number and TIN on your application; and</P>
        <P>d. Maintain an active CCR registration with current information while your application is under review by the Department and, if you are awarded a grant, during the project period.</P>
        <P>You can obtain a DUNS number from Dun and Bradstreet. A DUNS number can be created within one business day.</P>

        <P>If you are a corporate entity, agency, institution, or organization, you can obtain a TIN from the Internal Revenue Service. If you are an individual, you can obtain a TIN from the Internal Revenue Service or the Social Security Administration. If you need a new TIN, please allow 2-5 weeks for your TIN to become active.<PRTPAGE P="36508"/>
        </P>
        <P>The CCR registration process may take five or more business days to complete. If you are currently registered with the CCR, you may not need to make any changes. However, please make certain that the TIN associated with your DUNS number is correct. Also note that you will need to update your CCR registration on an annual basis. This may take three or more business days to complete.</P>

        <P>In addition, if you are submitting your application via Grants.gov, you must (1) be designated by your organization as an Authorized Organization Representative (AOR); and (2) register yourself with Grants.gov as an AOR. Details on these steps are outlined at the following Grants.gov Web page:<E T="03">www.grants.gov/applicants/get_registered.jsp</E>).</P>
        <P>7.<E T="03">Other Submission Requirements:</E>Applications for grants under this competition may be submitted electronically or in paper format by mail or hand delivery.</P>
        <P>a.<E T="03">Electronic Submission of Applications.</E>
        </P>
        <P>We are participating as a partner in the Governmentwide Grants.gov Apply site. The Early Childhood Technical Assistance Center competition, CFDA number 84.326P, is included in this project. We request your participation in Grants.gov.</P>

        <P>If you choose to submit your application electronically, you must use the Governmentwide Grants.gov Apply site at<E T="03">www.Grants.gov.</E>Through this site, you will be able to download a copy of the application package, complete it offline, and then upload and submit your application. You may not email an electronic copy of a grant application to us.</P>

        <P>You may access the electronic grant application for the Early Childhood Technical Assistance Center competition at<E T="03">www.Grants.gov</E>. You must search for the downloadable application package for this competition by the CFDA number. Do not include the CFDA number's alpha suffix in your search (e.g., search for 84.326, not 84.326P).</P>
        <P>Please note the following:</P>
        <P>• Your participation in Grants.gov is voluntary.</P>
        <P>• When you enter the Grants.gov site, you will find information about submitting an application electronically through the site, as well as the hours of operation.</P>
        <P>• Applications received by Grants.gov are date and time stamped. Your application must be fully uploaded and submitted and must be date and time stamped by the Grants.gov system no later than 4:30:00 p.m., Washington, DC time, on the application deadline date. Except as otherwise noted in this section, we will not accept your application if it is received—that is, date and time stamped by the Grants.gov system—after 4:30:00 p.m., Washington, DC time, on the application deadline date. We do not consider an application that does not comply with the deadline requirements. When we retrieve your application from Grants.gov, we will notify you if we are rejecting your application because it was date and time stamped by the Grants.gov system after 4:30:00 p.m., Washington, DC time, on the application deadline date.</P>
        <P>• The amount of time it can take to upload an application will vary depending on a variety of factors, including the size of the application and the speed of your Internet connection. Therefore, we strongly recommend that you do not wait until the application deadline date to begin the submission process through Grants.gov.</P>

        <P>• You should review and follow the Education Submission Procedures for submitting an application through Grants.gov that are included in the application package for this competition to ensure that you submit your application in a timely manner to the Grants.gov system. You can also find the Education Submission Procedures pertaining to Grants.gov under News and Events on the Department's G5 system home page at<E T="03">www.G5.gov.</E>
        </P>
        <P>• You will not receive additional point value because you submit your application in electronic format, nor will we penalize you if you submit your application in paper format.</P>
        <P>• If you submit your application electronically, you must submit all documents electronically, including all information you typically provide on the following forms: the Application for Federal Assistance (SF 424), the Department of Education Supplemental Information for SF 424, Budget Information—Non-Construction Programs (ED 524), and all necessary assurances and certifications.</P>
        <P>• If you submit your application electronically, you must upload any narrative sections and all other attachments to your application as files in a PDF (Portable Document) read-only, non-modifiable format. Do not upload an interactive or fillable PDF file. If you upload a file type other than a read-only, non-modifiable PDF or submit a password-protected file, we will not review that material.</P>
        <P>• Your electronic application must comply with any page-limit requirements described in this notice.</P>
        <P>• After you electronically submit your application, you will receive from Grants.gov an automatic notification of receipt that contains a Grants.gov tracking number. (This notification indicates receipt by Grants.gov only, not receipt by the Department.) The Department then will retrieve your application from Grants.gov and send a second notification to you by email. This second notification indicates that the Department has received your application and has assigned your application a PR/Award number (an ED-specified identifying number unique to your application).</P>
        <P>• We may request that you provide us original signatures on forms at a later date.</P>
        <P>
          <E T="03">Application Deadline Date Extension in Case of Technical Issues with the Grants.gov System:</E>If you are experiencing problems submitting your application through Grants.gov, please contact the Grants.gov Support Desk, toll free, at 1-800-518-4726. You must obtain a Grants.gov Support Desk Case Number and must keep a record of it.</P>
        <P>If you are prevented from electronically submitting your application on the application deadline date because of technical problems with the Grants.gov system, we will grant you an extension until 4:30:00 p.m., Washington, DC time, the following business day to enable you to transmit your application electronically or by hand delivery. You also may mail your application by following the mailing instructions described elsewhere in this notice.</P>

        <P>If you submit an application after  4:30:00 p.m., Washington, DC time, on the application deadline date, please contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice and provide an explanation of the technical problem you experienced with Grants.gov, along with the Grants.gov Support Desk Case Number. We will accept your application if we can confirm that a technical problem occurred with the Grants.gov system and that  that  problem affected your ability to submit your application by 4:30:00 p.m., Washington, DC time, on the application deadline date. The Department will contact you after a determination is made on whether your application will be accepted.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The extensions to which we refer in this section apply only to the unavailability of, or technical problems with, the Grants.gov system. We will not grant you an extension if you failed to fully register to submit your application to Grants.gov before the application deadline date and time or if the technical problem you experienced is unrelated to the Grants.gov system.</P>
        </NOTE>
        <P>b.<E T="03">Submission of Paper Applications by Mail.</E>
          <PRTPAGE P="36509"/>
        </P>
        <P>If you submit your application in paper format by mail (through the U.S. Postal Service or a commercial carrier), you must mail the original and two copies of your application, on or before the application deadline date, to the Department at the following address: U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.326P), LBJ Basement Level 1, 400 Maryland Avenue SW., Washington, DC 20202-4260.</P>
        <P>You must show proof of mailing consisting of one of the following:</P>
        <P>(1) A legibly dated U.S. Postal Service postmark.</P>
        <P>(2) A legible mail receipt with the date of mailing stamped by the U.S. Postal Service.</P>
        <P>(3) A dated shipping label, invoice, or receipt from a commercial carrier.</P>
        <P>(4) Any other proof of mailing acceptable to the Secretary of the U.S. Department of Education.</P>
        <P>If you mail your application through the U.S. Postal Service, we do not accept either of the following as proof of mailing:</P>
        <P>(1) A private metered postmark.</P>
        <P>(2) A mail receipt that is not dated by the U.S. Postal Service.</P>
        <P>If your application is postmarked after the application deadline date, we will not consider your application.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>the U.S. Postal Service does not uniformly provide a dated postmark. Before relying on this method, you should check with your local post office.</P>
        </NOTE>
        <P>c.<E T="03">Submission of Paper Applications by Hand Delivery.</E>
        </P>
        <P>If you submit your application in paper format by hand delivery, you (or a courier service) must deliver the original and two copies of your application by hand, on or before the application deadline date, to the Department at the following address: U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.326P), 550 12th Street SW., Room 7041, Potomac Center Plaza, Washington, DC 20202-4260.</P>
        <P>The Application Control Center accepts hand deliveries daily between 8:00 a.m. and 4:30:00 p.m., Washington, DC time, except Saturdays, Sundays, and Federal holidays.</P>
        <P>
          <E T="03">Note for Mail or Hand Delivery of Paper Applications:</E>If you mail or hand deliver your application to the Department—</P>
        <P>(1) You must indicate on the envelope and—if not provided by the Department—in Item 11 of the SF 424 the CFDA number, including suffix letter, if any, of the competition under which you are submitting your application; and</P>
        <P>(2) The Application Control Center will mail to you a notification of receipt of your grant application. If you do not receive this notification within 15 business days from the application deadline date, you should call the U.S. Department of Education Application Control Center at (202) 245-6288.</P>
        <HD SOURCE="HD1">V. Application Review Information</HD>
        <P>1.<E T="03">Selection Criteria:</E>The selection criteria for this competition are from 34 CFR 75.210 and are listed in the application package.</P>
        <P>2.<E T="03">Review and Selection Process:</E>We remind potential applicants that in reviewing applications in any discretionary grant competition, the Secretary may consider, under 34 CFR 75.217(d)(3), the past performance of the applicant in carrying out a previous award, such as the applicant's use of funds, achievement of project objectives, and compliance with grant conditions. The Secretary may also consider whether the applicant failed to submit a timely performance report or submitted a report of unacceptable quality.</P>
        <P>In addition, in making a competitive grant award, the Secretary also requires various assurances including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department of Education (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <P>3.<E T="03">Additional Review and Selection Process Factors:</E>In the past, the Department has had difficulty finding peer reviewers for certain competitions because so many individuals who are eligible to serve as peer reviewers have conflicts of interest. The Standing Panel requirements under section 682(b) of IDEA also have placed additional constraints on the availability of reviewers. Therefore, the Department has determined that, for some discretionary grant competitions, applications may be separated into two or more groups and ranked and selected for funding within the specific groups. This procedure will make it easier for the Department to find peer reviewers by ensuring that greater numbers of individuals who are eligible to serve as reviewers for any particular group of applicants will not have conflicts of interest. It also will increase the quality, independence, and fairness of the review process, while permitting panel members to review applications under discretionary grant competitions for which they also have submitted applications. However, if the Department decides to select an equal number of applications in each group for funding, this may result in different cut-off points for fundable applications in each group.</P>
        <P>4.<E T="03">Special Conditions:</E>Under 34 CFR 74.14 and 80.12, the Secretary may impose special conditions on a grant if the applicant or grantee is not financially stable; has a history of unsatisfactory performance; has a financial or other management system that does not meet the standards in 34 CFR parts 74 or 80, as applicable; has not fulfilled the conditions of a prior grant; or is otherwise not responsible.</P>
        <HD SOURCE="HD1">VI. Award Administration Information</HD>
        <P>1.<E T="03">Award Notices:</E>If your application is successful, we notify your U.S. Representative and U.S. Senators and send you a Grant Award Notification (GAN). We may notify you informally, also.</P>
        <P>If your application is not evaluated or not selected for funding, we notify you.</P>
        <P>2.<E T="03">Administrative and National Policy Requirements:</E>We identify administrative and national policy requirements in the application package and reference these and other requirements in the<E T="03">Applicable Regulations</E>section of this notice.</P>

        <P>We reference the regulations outlining the terms and conditions of an award in the<E T="03">Applicable Regulations</E>section of this notice and include these and other specific conditions in the GAN. The GAN also incorporates your approved application as part of your binding commitments under the grant.</P>
        <P>3.<E T="03">Reporting:</E>(a) If you apply for a grant under this competition, you must ensure that you have in place the necessary processes and systems to comply with the reporting requirements in 2 CFR part 170 should you receive funding under the competition. This does not apply if you have an exception under 2 CFR 170.110(b).</P>

        <P>(b) At the end of your project period, you must submit a final performance report, including financial information, as directed by the Secretary. If you receive a multi-year award, you must submit an annual performance report that provides the most current performance and financial expenditure information as directed by the Secretary under 34 CFR 75.118. The Secretary may also require more frequent performance reports under 34 CFR 75.720(c). For specific requirements on reporting, please go to<E T="03">www.ed.gov/fund/grant/apply/appforms/appforms.html.</E>
        </P>
        <P>4.<E T="03">Performance Measures:</E>Under the Government Performance and Results Act of 1993 (GPRA), the Department has established a set of performance measures, including long-term<PRTPAGE P="36510"/>measures, that are designed to yield information on various aspects of the effectiveness and quality of the Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities program. These measures focus on the extent to which projects provide high-quality products and services, the relevance of project products and services to educational and early intervention policy and practice, and the use of products and services to improve educational and early intervention policy and practice.</P>
        <P>Grantees will be required to report information on their project's performance in annual reports to the Department (34 CFR 75.590).</P>
        <P>5.<E T="03">Continuation Awards:</E>In making a continuation award, the Secretary may consider, under 34 CFR 75.253, the extent to which a grantee has made “substantial progress toward meeting the objectives in its approved application.” This consideration includes the review of a grantee's progress in meeting the targets and projected outcomes in its approved application, and whether the grantee has expended funds in a manner that is consistent with its approved application and budget. In making a continuation grant, the Secretary also considers whether the grantee is operating in compliance with the assurances in its approved application, including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <HD SOURCE="HD1">VII. Agency Contact</HD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Julia Martin Eile, U.S. Department of Education, 400 Maryland Avenue SW., Room 4056, Potomac Center Plaza (PCP), Washington, DC 20202-2600. Telephone: (202) 245-7431.</P>
          <P>If you use a TDD or a TTY, call the Federal Relay Service (FRS), toll free, at 1-800-877-8339.</P>
          <HD SOURCE="HD1">VIII. Other Information</HD>
          <P>
            <E T="03">Accessible Format:</E>Individuals with disabilities can obtain this document and a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the Grants and Contracts Services Team, U.S. Department of Education, 400 Maryland Avenue SW., Room 5075, PCP, Washington, DC 20202-2550. Telephone: (202) 245-7363. If you use a TDD or a TTY, call the FRS, toll free, at 1-800-877-8339.</P>
          <P>
            <E T="03">Electronic Access to This Document:</E>The official version of this document is the document published in the<E T="04">Federal Register</E>. Free Internet access to the official edition of the<E T="04">Federal Register</E>and the Code of Federal Regulations is available via the Federal Digital System at:<E T="03">www.gpo.gov/fdsys.</E>At this site you can view this document, as well as all other documents of this Department published in the<E T="04">Federal Register</E>, in text or Adobe Portable Document Format (PDF). To use PDF you must have Adobe Acrobat Reader, which is available free at the site.</P>

          <P>You may also access documents of the Department published in the<E T="04">Federal Register</E>by using the article search feature at:<E T="03">www.federalregister.gov.</E>Specifically, through the advanced search feature at this site, you can limit your search to documents published by the Department.</P>
          <SIG>
            <DATED>Dated: June 13, 2012.</DATED>
            <NAME>Alexa Posny,</NAME>
            <TITLE>Assistant Secretary for Special Education and Rehabilitative Services.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14942 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF EDUCATION</AGENCY>
        <SUBJECT>Applications for New Awards: Personnel Development To Improve Services and Results for Children With Disabilities; National Center for Development of Coursework and Training Modules To Improve Services and Results for Children With Disabilities</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Special Education and Rehabilitative Services, Department of Education.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice.</P>
        </ACT>
        <HD SOURCE="HD1">Overview Information; Personnel Development To Improve Services and Results for Children With Disabilities—National Center for Development of Coursework and Training Modules To Improve Services and Results for Children With Disabilities</HD>
        <P>Notice inviting applications for new awards for fiscal year (FY) 2012.</P>
        
        <EXTRACT>
          <FP SOURCE="FP-1">Catalog of Federal Domestic Assistance (CFDA) Number: 84.325E.</FP>
        </EXTRACT>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Applications Available</E>: June 19, 2012.</P>
          <P>
            <E T="03">Deadline for Transmittal of Applications:</E>July 30, 2012.</P>
        </DATES>
        <HD SOURCE="HD1">Full Text of Announcement</HD>
        <HD SOURCE="HD1">I. Funding Opportunity Description</HD>
        <P>
          <E T="03">Purpose of Program:</E>The purposes of this program are to (1) help address State-identified needs for highly qualified personnel—in special education, related services, early intervention, and regular education—to work with children, including infants and toddlers, with disabilities; and (2) ensure that those personnel have the necessary skills and knowledge, derived from practices that have been determined, through evidence-based research and experience, to be successful in serving those children.</P>
        <P>
          <E T="03">Priority:</E>In accordance with 34 CFR 75.105(b)(2)(iv), this priority is from allowable activities specified in the statute (see sections 662 and 681 of the Individuals with Disabilities Education Act (IDEA)).</P>
        <P>
          <E T="03">Absolute Priority:</E>For FY 2012 and any subsequent year in which we make awards from the list of unfunded applicants from this competition, this priority is an absolute priority. Under 34 CFR 75.105(c)(3), we consider only applications that meet this priority.</P>
        <P>This priority is:<E T="03">National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities</E>.</P>
        <P>
          <E T="03">Background</E>: The purpose of this priority is to fund a cooperative agreement to support the establishment and operation of a National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities.</P>

        <P>Educator effectiveness is a key factor in improving developmental and learning outcomes (<E T="03">e.g.,</E>academic, social, emotional, behavioral) for all children, including children with disabilities (birth through age 21); supporting a child's growth toward improved developmental and learning outcomes; and supporting the families of children with disabilities (Jaquith, Mindich, Wei, &amp; Darling-Hammond, 2010; Institute of Medicine (IOM) and National Research Council (NRC), 2012). Use of evidence-based instructional and intervention practices by educators also is linked to improved outcomes for children, including children with disabilities (Blanton, Pugach, &amp; Florian, 2011). Given the importance of educator effectiveness and evidence-based practices in advancing the development and learning of children, it is essential that all educators have the knowledge and skills necessary to use specific, evidence-based instructional and intervention practices to teach diverse learners and ensure that all students, including children with disabilities, can achieve grade-level college- and career-ready standards (Blanton et al., 2011). Educators also must know how to continuously monitor children's progress, make data-based decisions, and work collaboratively with other<PRTPAGE P="36511"/>educators, related services providers, and families to use assessment data to adjust instruction and implement interventions accordingly to effectively teach diverse learners.</P>
        <P>To ensure that educators have the knowledge and skills needed to improve development and learning outcomes for children with disabilities, it is also widely recognized that there is a significant need to improve educators' use of evidence-based practices and that this can be achieved by strengthening the coursework<SU>1</SU>
          <FTREF/>in preservice preparation programs and professional development provided to practicing educators. Policymakers, researchers, and practitioners have called for strengthening preservice preparation and professional development for all educators<SU>2</SU>

          <FTREF/>to ensure that educators have the knowledge and skills necessary to effectively meet the needs of diverse learners and improve outcomes for all children (Blanton, et al., 2011; U.S. Department of Education, 2010b). A recent U.S. Government Accountability Office (GAO) study (GAO-09-573) underscored the ongoing challenges preservice preparation programs have in preparing educators for instructing children with disabilities. The study noted that nearly half of the institutions of higher education (IHEs) surveyed reported receiving assistance from the Department to prepare educators to work with children with disabilities. The majority of IHEs, however, indicated that they could benefit from more information and other technical assistance (TA) related to reforming curricula, identifying evidence-based instructional and intervention practices for working with children with disabilities, and strengthening faculty knowledge of evidence-based practices to meet the developmental, learning, and instructional needs of children with disabilities. Similarly, an examination of professional learning opportunities for educators in the United States indicated the need for critical changes to providing professional development to practicing educators (Wei, Darling-Hammond, &amp; Adamson, 2010). For example, current approaches for providing professional development still rely heavily on some of the least effective approaches to professional development (<E T="03">e.g.,</E>short-term, fragmented, and episodic approaches, such as providing instructional content through workshops) that offer little depth in content and few opportunities to integrate learning into practice (Bruder, Mogro-Wilson, Stayton, &amp; Dietrich, 2009; Wei et al., 2010).</P>
        <FTNT>
          <P>
            <SU>1</SU>For the purposes of this priority, the term “coursework” means a systematic or prescribed program of instruction for increasing knowledge and skills of educators; and typically is comprised of explicit learning outcomes related to professional practice standards, detailed core content, related professional-level readings and resources, teaching and learning tools, and objective measures of knowledge and skills to evaluate competence in those areas.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>2</SU>For the purposes of this priority, the term “educators” includes special education teachers, regular education teachers, related services providers, and early intervention providers.</P>
        </FTNT>

        <P>Just as the need to strengthen the coursework in preservice training programs and professional development opportunities for practicing educators has grown, so too has the need for changes in how this coursework and professional development are delivered. The National Education Technology Plan (NETP) calls for using the power of technology to provide professional learning opportunities to support educators' continuous professional growth throughout the course of their careers and across all levels of the education system (U.S. Department of Education, 2010a). By using existing and emerging technologies such as application software, social media, and mobile technologies, innovative teaching and learning tools can be developed, and opportunities for disseminating coursework and professional development can be expanded to preservice and practicing educators who live or teach in places where access to high-quality coursework and professional development may not otherwise be available (<E T="03">e.g.,</E>high-poverty, rural, or hard-to-reach locations). In addition, educators who have disabilities would benefit from the increased accessibility that technology can provide. Furthermore, for directed (e.g., instructor-led, person-to-person), self-directed (e.g., independent study, asynchronous on-line course), and blended (online and in-person) learning environments, technology can transform the delivery of coursework in preservice preparation and professional development programs. For example, in preservice programs, technology can be used to show real-time or recorded video of educators using evidence-based practices in classroom settings and to connect instruction to field-based learning and real-world practice through the use of virtual classrooms or authentic learning activities (U.S. Department of Education, 2010a). For practicing educators, technology-based learning systems can expand professional development options and provide opportunities to collaborate with peers and leaders (e.g., content-experts, administrators, mentors) in other locations and to receive immediate feedback and instructional support (U.S. Department of Education, 2010a).</P>
        <P>The Office of Special Education Programs (OSEP) currently funds two personnel preparation centers focused on developing and disseminating exemplary training modules on evidence-based practices to build the capacity of, and strengthen professional development for, both preservice and practicing educators. The training modules developed by these centers have been discrete, self-contained units of instruction designed to increase educators' knowledge or skills that can stand alone or be used in combination with other components. The grants for both centers are scheduled to end in FY 2012.</P>

        <P>One of these centers, the IRIS Center for Training Enhancement (IRIS Center), focuses its TA on preparing kindergarten through grade 12 (K-12) regular and special education personnel to ensure that local educational agencies (LEAs) and schools have personnel with the capacity to provide evidence-based instruction. It also focuses on promoting access to, and greater participation and progress in, the general education curriculum in the least restrictive environment for students with disabilities. For more information about the work of this center, see<E T="03">http://iris.peabody.vanderbilt.edu.</E>
        </P>

        <P>Beginning in 2006, OSEP funded CONNECT: The Center to Mobilize Early Childhood Knowledge (CONNECT) to develop Web-based instructional resources, including training modules, for faculty and other professional development providers. This center's instructional resources focus on evidence-based intervention practices for infants, toddlers, and preschool children with disabilities and their families who are served in a variety of learning environments and inclusive settings. For more information on this center, see<E T="03">http://community.fpg.unc.edu.</E>
        </P>

        <P>User survey results from both of these centers show that college and graduate students, practicing educators, parents, university faculty, and professional development providers are frequent users of their Web sites (IRIS Center for Training Enhancements, 2012; Winton, Buysse, Rous, Lim, &amp; Epstein, 2012). In these surveys, both centers' Web sites also received high overall ratings for the quality, relevance, and usefulness of the training modules that were developed by the centers. The work of the IRIS Center and CONNECT have been helpful, but additional work is needed. Specifically, it is critical that: (a) Existing training modules be updated to<PRTPAGE P="36512"/>align with new developments in the field, as needed; (b) resources be expanded to include coursework, in addition to training modules; and (c) more training modules and coursework be developed to address the most pressing demands that today's educators face in classrooms, early childhood programs, and early intervention programs. These demands include, but are not limited to, aligning curricula and instruction to college- and career-ready standards, adapting principles and practical applications of universal design for learning, providing differentiated instruction, implementing positive behavioral interventions and supports using response to intervention frameworks, and using technology effectively and efficiently to improve results for children with disabilities.</P>
        <P>For these reasons, OSEP proposes to fund the National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities (Center). The Center will build upon, and expand the work of, previous OSEP investments to develop and disseminate exemplary coursework and training modules on evidence-based practices for: (a) IHE faculty of preservice preparation programs; (b) professional development providers working with State educational agencies (SEAs), LEAs, schools, IDEA Part C lead agencies, early intervention service (EIS) providers, and other early childhood programs serving children with disabilities and their families; and (c) practicing educators. Other interested parties also may access the publically available products.</P>
        <P>The purpose of the Center under this priority is to develop and promote the use of innovative teaching and learning tools, coursework, and training modules in order to improve the overall quality of preservice preparation and professional development programs, expand the breadth and depth of the content on evidence-based practices that is provided in these programs, and increase the use of evidence-based practices by educators to effectively meet the needs of children with disabilities and their families. Under this priority, the Center must demonstrate applications of technology to support the use of evidence-based practices. The Center must also use technology to efficiently and effectively develop, deliver, and disseminate its products and services.</P>
        <P>
          <E T="03">Priority:</E>The purpose of this priority is to fund a cooperative agreement to support the establishment and operation of a National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities (Center). The Center will: (1) Serve as a national resource for teaching and learning tools, coursework,<SU>3</SU>
          <FTREF/>and training modules<SU>4</SU>
          <FTREF/>for building the capacity of educators to use evidence-based<SU>5</SU>
          <FTREF/>instructional and intervention practices in addressing the needs of children with disabilities (birth through age 21), and professional development practices for use with preservice and practicing educators; (2) make available training modules related to these practices that were developed under prior OSEP investments, and update them to align with developments in the field, as needed; (3) develop exemplary teaching and learning tools, coursework, and training modules on the use of these practices that can be integrated into preservice preparation and professional development programs; (4) demonstrate the application of technology in coursework and training modules to support the use of evidence-based practices; (5) use technology to efficiently and effectively develop, deliver, and disseminate Center products and services; and (6) provide TA to support the use of Center products.</P>
        <FTNT>
          <P>
            <SU>3</SU>For the purposes of this priority, the term “coursework” means a systematic or prescribed program of instruction for increasing knowledge and skills of educators; and typically is comprised of explicit learning outcomes related to professional practice standards, a detailed outline or narrative of core content, related professional-level readings and resources, teaching and learning tools, and objective measures of knowledge and skills used to evaluate competence in those areas.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>4</SU>For the purposes of this priority, the term “training modules” means discrete, self-contained units of instruction designed to increase one's knowledge or skills that can stand alone or be used in combination with other components.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>5</SU>For the purposes of this priority, the term “evidence-based” means practices for which there is “strong evidence” or “moderate evidence” of effectiveness as defined in the Department's notice of final supplemental priorities and definitions for discretionary grant programs, published in the<E T="04">Federal Register</E>on December 15, 2010 (75 FR 78486), and corrected on May 12, 2011 (76 FR 27637) (<E T="03">www2.ed.gov/legislation/FedRegister/other/2010-4/121510b.html</E>).</P>
        </FTNT>
        <P>To be considered for funding under this absolute priority, applications must meet the application requirements contained in this priority. All projects funded under this absolute priority also must meet the programmatic and administrative requirements specified in the priority.</P>
        <P>
          <E T="03">Application Requirements.</E>An applicant must include in its application—</P>
        <P>(a) A logic model that depicts, at a minimum, the goals, activities, outputs, and outcomes of the proposed project. A logic model communicates how a project will achieve its outcomes and provides a framework for both the formative and summative evaluations of the project;</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>

          <P>The following Web sites provide more information on logic models:<E T="03">www.tadnet.org/model_and_performance</E>and<E T="03">www.researchutilization.org/matrix/logicmodel_resource3c.html.</E>
          </P>
        </NOTE>
        <P>(b) A plan to implement the activities described in the<E T="03">Project Activities</E>section of this priority. If there are considerations specific to serving infants, toddlers, and preschool children with disabilities and their families versus students with disabilities in kindergarten through 12th grade, these considerations must be delineated in the plan;</P>
        <P>(c) A plan, linked to the proposed project's logic model, for a formative evaluation of the proposed project's activities. The plan must describe how the formative evaluation will use clear performance objectives to offer feedback on the Center's: (1) Identification, development, and dissemination of coursework and training modules on evidence-based practices; and (2) TA provided under this priority. The plan must outline how the Center will use feedback from the formative evaluation to ensure continuous improvement in the operation of the proposed project, including objective measures of progress in implementing the project and ensuring the quality, relevance, and usefulness of products and services;</P>
        <P>(d) A budget for a summative evaluation to be conducted by an independent third party. At a minimum, the plan must include an independent review of the quality, relevance, and usefulness of the coursework and training modules developed by the Center; the reach of Center products and services; and the impact of the Center's products and services on preservice programs and their students, as well as on practicing educators' knowledge, skills, and use of evidence-based practices;</P>
        <P>(e) A budget for attendance at the following:</P>
        <P>(1) A two-day kick-off meeting to be held in Washington, DC, within four weeks after receipt of the award, and an annual planning meeting held in Washington, DC, with the OSEP Project Officer during each subsequent year of the project period.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>Within 30 days of receipt of the award, a post-award teleconference must be held between the OSEP Project Officer and the grantee's Project Director or other authorized representative;</P>
        </NOTE>

        <P>(2) The three-day OSEP Project Directors' Conference in Washington,<PRTPAGE P="36513"/>DC, during each year of the project period;</P>
        <P>(3) The three-day Leveraging Resources Conference in Washington, DC, during each year of the project period; and</P>
        <P>(4) Three two-day trips annually to attend Department briefings, Department-sponsored conferences, and other meetings, as requested by OSEP.</P>

        <P>(f) A budget that demonstrates that not less than 30 percent of each year's proposed annual budget be used for activities (<E T="03">e.g.,</E>development of coursework and training modules, TA) related to infants, toddlers, and preschool children with disabilities and their families.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>With approval from the OSEP Project Officer, the Center must reallocate any remaining funds from this annual set-aside no later than the end of the third quarter of each budget period; and</P>
        </NOTE>
        <P>(g) A line item in the proposed budget for an annual set-aside of five percent of the grant amount to support emerging needs that are consistent with the proposed project's activities, as those needs are identified in consultation with and approved by OSEP.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>With approval from the OSEP Project Officer, the Center must reallocate any remaining funds from this annual set-aside no later than the end of the third quarter of each budget period.</P>
        </NOTE>
        <P>
          <E T="03">Project Activities.</E>To meet the requirements of this priority, the Center, at a minimum, must conduct the following activities:</P>
        <P>
          <E T="03">Knowledge Development Activities.</E>
        </P>
        <P>(a) In the first six months of the project, identify exemplary coursework and training modules on evidence-based practices that are available from prior OSEP investments and publically available resources from other developers, submit a descriptive summary of the resources in a written report, and update the resources to align with new developments in the field, as needed.</P>
        <P>(b) Develop exemplary coursework and training modules on evidence-based practices that are—</P>
        <P>(1) Designed for ease of integration into existing curricula and practica for IHE faculty of preservice preparation programs;</P>
        <P>(2) Designed for ease of use by professional development providers working with professional development programs at SEAs, LEAs, and schools; or with IDEA Part C lead agencies, EIS providers, and other early childhood programs serving children with disabilities and their families;</P>
        <P>(3) Consistent with adult-learning principles and aligned with current professional practice and training standards for educators, and evidence-based research on preservice preparation and professional development of effective educators;</P>
        <P>(4) Planned with consideration for delivery and dissemination using various technology-based teaching formats, tools, and modes of delivery, such as, but not limited to, directed, self-directed, blended, and mobile learning using portable devices; and</P>

        <P>(5) Developed to address the needs of children with a broad range of disabilities, including disabilities requiring supports and services of varying intensity levels (<E T="03">e.g.,</E>ranging from accommodations in a general education classroom to highly individualized, full-time instruction and specialized equipment).</P>
        <P>(c) Ensure that, in sum, coursework and training modules address the selection, implementation, and evaluation of specific evidence-based practices; the use of universal design for learning principles and practices; standards-based instruction; continuous performance-based progress monitoring; data-based decision making; and collaboration among other educators and related services providers, and with families related to—</P>
        <P>(1) Improving developmental and learning outcomes for children with disabilities;</P>
        <P>(2) Providing special education services and supports, and accommodations for children with disabilities; and</P>
        <P>(3) Developing (i) individualized family service plans to ensure that infants, toddlers, and preschool children with disabilities are served in natural environments; and (ii) individualized education programs to ensure school-age children with disabilities are served in the least restrictive environment with access to, and opportunities to participate and make progress in, the general education curriculum.</P>
        <P>(d) Collaborate with content experts and representatives from preservice preparation programs (four-year, two-year, and graduate programs), and seek input from professional development providers working with SEAs, LEAs, and schools; professional development providers working with IDEA Part C lead agencies, EIS providers, and other early childhood programs serving children with disabilities and their families; professional associations; and other stakeholders, as appropriate, on the needs of preservice and practicing educators, teaching and learning tools, development plans, and product reviews of coursework and training modules on evidence-based practices.</P>
        <P>(e) Following the kick-off meeting, and annually thereafter, submit an annual product development plan prepared in collaboration with the OSEP Project Officer, for approval by OSEP prior to the initiation of any product development activity. The plan must address, at a minimum, how the Center will—</P>

        <P>(1) Obtain input on coursework and training module topics and content from content experts, representatives from preservice preparation and professional development providers (see<E T="03">Knowledge Development Activities,</E>paragraphs (b) and (c) of this priority), professional associations, and other stakeholders, as appropriate;</P>
        <P>(2) Identify and select topics and products that meet the needs identified; and</P>
        <P>(3) Evaluate the content, quality, relevance, and usefulness of products.</P>

        <P>(f) Develop new products consistent with the product definition and guidelines posted on the Technical Assistance Coordinating Center (TACC) Web site (<E T="03">www.tadnet.org</E>). Proposed revisions to an approved product development plan may be submitted to or requested by the OSEP Project Officer any time prior to the end of the project period, if changes are needed. The revised plan must be approved by OSEP prior to being adopted.</P>
        <P>(g) Develop training guides or materials for IHE faculty and professional development providers that provide information on Center products and services, and content topics; describe how to integrate coursework and training modules into preservice and professional development programs; and explain how coursework and training modules can be used for individual self-directed learning.</P>

        <P>(h) Develop self-assessment tools and guides that preservice preparation and professional development providers can use to evaluate program curricula to: (1) Determine where evidence-based practices are, and should be, taught; (2) identify where clinical practice opportunities (<E T="03">e.g.,</E>a field placement, internship) are, and should be, embedded to align with preservice or professional development program requirements; (3) identify how and where preservice and practicing educators' knowledge of and skills using evidence-based practices are, and should be, assessed; and (4) document improvements, if any, that have or will be made by the preservice and professional development program based on results from use of self-assessment tools and guides.<PRTPAGE P="36514"/>
        </P>
        <P>(i) Promote the use of existing and emerging technologies to more efficiently and effectively develop, deliver, and disseminate teaching and learning tools, coursework, and training modules on evidence-based practices and provide ongoing TA on the use of Center products and services.</P>
        <P>
          <E T="03">Technical Assistance and Dissemination Activities.</E>
        </P>
        <P>(a) Conduct TA and dissemination activities (<E T="03">e.g.,</E>managing Web sites, listservs, and communities of practices; holding conferences and training institutes) on exemplary coursework and training modules on evidence-based practices that can easily be: (1) Integrated into preservice preparation courses and programs at IHEs; (2) incorporated into professional development programs at SEAs, LEAs, and schools; and at IDEA Part C lead agencies, EIS provider programs, and other early childhood programs serving children with disabilities and their families; and (3) used by individual self-directed learners, including educators with disabilities. All coursework and training modules available through the Center, including the evidence base of the practices addressed in the coursework and training modules, must be disseminated as publically available resources on a dedicated Web site that is easily searchable by topic and available for use at no cost. The Web site must meet government or industry-recognized standards for accessibility, must link to the Web site operated by the TACC, and must be accessible in a variety of formats (<E T="03">e.g.,</E>accessible online, in downloadable portable document format (PDF) and electronic publication (EPUB) formats, print-on-demand).</P>
        <P>(b) Use efficient and effective strategies to develop and provide a continuum of TA to support the delivery of coursework and training modules on using evidence-based practices, including:</P>
        <P>(1) General support that is widely available (e.g., one-time, invited conference presentations; information on products, such as newsletters, guidebooks, or research syntheses, downloaded from the Center's Web site by independent users; or brief communications by Center staff with recipients).</P>

        <P>(2) Targeted support that is based on needs common to multiple recipients (<E T="03">e.g.,</E>conferences and training institutes for a clearly identified target audience, seminars or webinars on topics relevant to integrating Center products into preservice training, facilitating a series of conference calls on topics designed around the needs of recipients, facilitating communities of practice for a target group).</P>

        <P>(3) Intensive support that is based on the needs of recipients to attain a specific outcome (<E T="03">e.g.,</E>planned, purposeful consultation with a small group of IHE faculty on systemic integration of Center coursework and training models as part of program redesign; ongoing coaching on integration and application of Center products in courses for preservice educators) based on the needs of recipients.</P>
        <P>(c) Ensure that the TA provided under this priority is consistent with the evidence base for delivering effective professional development to educators.</P>
        <P>(d) Ensure that the TA provided under this priority addresses a range of topics, including, but not limited to, training and coaching on access and use of Center products; integration of evidence-based practices into preservice and professional development training; and strategies for building the capacity of educators for using evidence-based practices with children with disabilities.</P>
        <P>(e) Develop and coordinate a national TA network comprised of a cadre of experts that the Center will use to provide training and TA on the use of Center products and services, including: (1) Integrating coursework and training modules into preservice preparation and professional development programs; and (2) assisting faculty and professional development providers in building their capacity to support preservice and practicing educators in identifying, selecting, implementing, and evaluating evidence-based practices for use with infants, toddlers, and preschool children with disabilities and their families, and students with disabilities in kindergarten through 12th grades. The network will also assist the Center with disseminating Center products and other activities, as needed.</P>
        <P>(f) Develop and implement an efficient and high-quality dissemination strategy aimed at increasing the reach and potential impact of Center products and services by providing broad audiences with information about the availability and use of Center products and services. The Center must—</P>
        <P>(1) Coordinate with the National Dissemination Center for Individuals with Disabilities to implement its dissemination strategy, and report to the OSEP Project Officer the outcomes of these coordination efforts.</P>
        <P>(2) Reach primary audiences, including IHE faculty of preservice preparation programs for educators of children with disabilities; and professional development providers working with SEAs, LEAs, and schools, and with IDEA Part C lead agencies, EIS providers, and early childhood programs serving children with disabilities and their families.</P>
        <P>(3) Extend outreach efforts to other audiences that also might benefit from Center products and services such as—</P>
        <P>(i) Faculty of preservice preparation programs for educators in IHEs that do not have a special education department and programs whose graduates historically have assumed positions in high-poverty schools,<SU>6</SU>
          <FTREF/>persistently lowest-achieving schools,<SU>7</SU>
          <FTREF/>priority schools (in the case of States that have received the Department's approval of a request for ESEA flexibility),<SU>8</SU>
          <FTREF/>or rural<PRTPAGE P="36515"/>LEAs<SU>9</SU>
          <FTREF/>that have a critical need for effective educators to serve students with disabilities;</P>
        <FTNT>
          <P>
            <SU>6</SU>For the purposes of this priority, “high-poverty school” means a school in which at least 50 percent of students are eligible for free or reduced-price lunches under the Richard B. Russell National School Lunch Act or in which at least 50 percent of students are from low-income families as determined using one of the criteria specified under section 1113(a)(5) of the Elementary and Secondary Education Act of 1965, as amended (ESEA). For middle and high schools, eligibility may be calculated on the basis of comparable data from feeder schools. Eligibility as a high-poverty school under this definition is determined on the basis of the most currently available data.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>7</SU>For the purposes of this priority, “persistently lowest-achieving schools” means, as determined by the State:</P>
          <P>(i) Any Title I school in improvement, corrective action, or * * * restructuring that</P>
          <P>(a) is among the lowest-achieving five percent of Title I schools in improvement, corrective action, or restructuring or the lowest-achieving five Title I schools in improvement, corrective action, or restructuring in the State, whichever number of schools is greater; or</P>
          <P>(b) is a high school that has had a graduation rate as defined in 34 CFR 200.19(b) that is less than 60 percent over a number of years; and</P>
          <P>(ii) any secondary school that is eligible for, but does not receive, Title I funds that:</P>
          <P>(a) is among the lowest-achieving five percent of secondary schools or the lowest-achieving five secondary schools in the State that are eligible for, but do not receive, Title I funds, whichever number of schools is greater; or</P>
          <P>(b) is a high school that has had a graduation rate as defined in 34 CFR 200.19(b) that is less than 60 percent over a number of years.</P>
          <P>To identify the persistently lowest-achieving schools, a State must take into account both:</P>
          <P>(i) the academic achievement of the “all students” group in a school in terms of proficiency on the State's assessments under section 1111(b)(3) of the ESEA in reading/language arts and mathematics combined; and</P>
          <P>(ii) the school's lack of progress on those assessments over a number of years in the “all student.”</P>

          <P>For the purposes of this priority, the Department considers schools that are identified as Tier I or Tier II schools under the School Improvement Grants Program (see 75 FR 66363) as part of a State's approved FY 2009 or FY 2010 applications to be persistently lowest-achieving schools. A list of these Tier I and Tier II schools can be found on the Department's Web site at<E T="03">www2.ed.gov/programs/sif/index.html.</E>
          </P>
        </FTNT>
        <FTNT>
          <P>
            <SU>8</SU>For the purposes of this priority, the term “priority school” means a school that has been identified by the State as a priority school pursuant to the State's approved request for ESEA flexibility.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>9</SU>For the purposes of this priority, “rural local educational agency” means an LEA that is eligible under the Small Rural School Achievement (SRSA) program or the Rural and Low-Income School (RLIS) program authorized under Title VI, Part B of the ESEA. Eligible applicants may determine whether a particular LEA is eligible for these programs by referring to information on the Department's Web site at<E T="03">www2.ed.gov/nclb/freedom/local/reap.html.</E>
          </P>
        </FTNT>
        <P>(ii) Early intervention and special education professional development providers working in programs and schools with high rates of personnel attrition and where effective professional development opportunities may lead to increased staff retention and equitable distribution of effective educators;</P>
        <P>(iii) OSEP-funded personnel development grantees; and</P>
        <P>(iv) Individuals with disabilities who are, or are training to be, educators who would benefit from the increased accessibility technology can provide.</P>
        <P>(g) Use existing and emerging technologies to develop innovative teaching and learning tools, efficiently and effectively deliver training and TA, and increase the reach of Center products and services. Include, as part of its application, a proposed plan describing the proposed potential uses of existing and emerging technologies, including how the Center will collaborate with technology experts, representatives of other stakeholder groups, and OSEP to identify the proposed potential uses of existing and emerging technologies. The Center's plan for TA and dissemination activities must be approved by OSEP prior to initiating the development of any products or services.</P>

        <P>(h) Prepare and disseminate reports, documents, and other materials on evidence-based practice and related topics as requested by OSEP for specific audiences, including, but not limited to, IHE faculty of preservice preparation programs for educators of children with disabilities; professional development providers for SEAs, LEAs, and schools; and professional development providers for IDEA Part C lead agencies, EIS providers, and other early childhood programs serving children with disabilities and their families. In consultation with the OSEP Project Officer and members of the group assembled in accordance with this priority (see<E T="03">Leadership and Coordination Activities,</E>paragraph (a) of this priority), the Center must make selected reports, documents, and other materials available in both English and Spanish.</P>
        <P>
          <E T="03">Leadership and Coordination Activities.</E>
        </P>
        <P>(a) Consult with a group of persons, including representatives from SEAs and LEAs, including representatives from IDEA Part C and Part B preschool programs, preservice preparation and professional development programs, professional organizations, other OSEP-funded TA projects, project directors of State Professional Development Grants and other Department-funded higher education projects, and researchers, as appropriate, on the activities and outcomes of the Center and solicit programmatic support and advice from various participants in the group, as appropriate. The Center may convene meetings, whether in person, by phone, or other means, for this purpose or may consult with group participants individually. The Center must identify the members of the group to OSEP within eight weeks after receipt of the award.</P>
        <P>(b) Communicate and collaborate, on an ongoing basis, with OSEP-funded projects, including the Center on State Implementation and Scaling Up of Evidence-based Practices, the IDEA Partnership Project, OSEP-funded early childhood centers, and the Regional Resource Centers. This collaboration could include the joint development of products, the coordination of TA services, and the planning and carrying out of TA meetings and events.</P>
        <P>(c) Contribute, on an ongoing basis, updated information on the Center's approved and finalized products and services to a database at TACC.</P>

        <P>(d) Participate in, organize, or facilitate communities of practice if they align with the needs of the project's primary audience. Communities of practice should align with the project's objectives to support discussions and collaboration among key stakeholders. The following Web site provides more information on communities of practice:<E T="03">www.tadnet.org/communities;</E>and</P>
        <P>(e) Maintain ongoing communication with the OSEP Project Officer through monthly phone conversations and email communication.</P>
        <P>
          <E T="03">Extending the Project for a Fourth and Fifth Year:</E>In deciding whether to continue funding the Center for the fourth and fifth years, the Secretary will consider the requirements of 34 CFR 75.253(a), and in addition—</P>
        <P>(a) The recommendation of a review team consisting of experts selected by the Secretary. This review will be conducted during a one-day intensive meeting in Washington, DC, that will be held during the last half of the second year of the project period. The Center must budget for travel expenses associated with this one-day intensive review;</P>
        <P>(b) The timeliness and effectiveness with which all requirements of the negotiated cooperative agreement have been or are being met by the Center; and</P>
        <P>(c) The quality, relevance, and usefulness of the Center's activities and products, and the degree to which the Center's activities and products have contributed to changed practice and improved knowledge and skills of educators to select, implement, and evaluate the use of evidence-based practices; and increased use of evidence-based practices by educators serving children with disabilities.</P>
        <HD SOURCE="HD2">References</HD>
        <EXTRACT>

          <FP SOURCE="FP-2">Blanton, L. P., Pugach, M. C., &amp; Florian, L. for American Association of Colleges of Teacher Education and the National Center for Learning Disabilities. (April 2011).<E T="03">Preparing General Education Teachers to Improve Outcomes for Students with Disabilities.</E>Available from<E T="03">http://aacte.org/.</E>
          </FP>

          <FP SOURCE="FP-2">Bruder, M. B., Mogro-Wilson, C., Stayton, V. D., &amp;Dietrich, S. L. (2009). The national status of inservice professional development systems for early intervention and early childhood special education practitioners.<E T="03">Infants and Toddlers, 22</E>(1), 13-20.</FP>

          <FP SOURCE="FP-2">Jaquith, A., Mindich, D., Wei, R.C., &amp; Darling-Hammond, L.(2010).<E T="03">Teacher professional learning in the United States: Case studies of state policies and strategies.</E>Oxford, OH: Learning Forward.</FP>

          <FP SOURCE="FP-2">Institute of Medicine (IOM) and National Research Council (NRC). 2012.<E T="03">The early childhood care and education workforce: Challenges and opportunities: A workshop report.</E>Washington, DC: The National Academies Press.</FP>
          <FP SOURCE="FP-2">IRIS Center for Training Enhancements. (2012, March).<E T="03">Quarterly Report: First Quarter, Year 6 Report.</E>Nashville, TN: Author.</FP>

          <FP SOURCE="FP-2">U.S. Department of Education, Office of Educational Technology. (2010a).<E T="03">Transforming American Education: Learning Powered by Technology.</E>Washington, DC: Available from<E T="03">www2.ed.gov/about/offices/list/os/technology/netp.pdf.</E>
          </FP>

          <FP SOURCE="FP-2">U.S. Department of Education, Office of Planning, Evaluation and Policy Development. (2010b).<E T="03">ESEA Blueprint for Reform.</E>Washington, DC: Available from<E T="03">www2.ed.gov/policy/elsec/leg/blueprint/index.html.</E>
          </FP>
          <FP SOURCE="FP-2">U.S. Government Accountability Office. (2009).<E T="03">Teacher Preparation Multiple Federal Education Offices Support Teacher Preparation for Instructing Students with Disabilities and English Language Learners, but Systemic Departmentwide Coordination Could Enhance This Assistance,</E>(GAO-09-573). Washington, DC: July 20, 2009. Available from<E T="03">www.GAO.gov/new.items/d09573.pdf.</E>
            <PRTPAGE P="36516"/>
          </FP>

          <FP SOURCE="FP-2">Wei, R.C., Darling-Hammond, L., &amp; Adamson, F. (2010).<E T="03">Professional development in the United States: Trends and challenges.</E>Dallas, TX: National Staff Development Council.</FP>
          <FP SOURCE="FP-2">Winton, P., Buysse, V., Rous, B., Lim, C-I., &amp; Epstein, D. (2012, March). CONNECT Modules: Usage and Impact. Report to the CONNECT Steering Committee, University of North Carolina, FPG Child Development Institute. Chapel Hill, NC: CONNECT: The Center to Mobilize Early Childhood Knowledge.</FP>
        </EXTRACT>
        
        <P>
          <E T="03">Waiver of Proposed Rulemaking:</E>Under the Administrative Procedure Act (APA) (5 U.S.C. 553) the Department generally offers interested parties the opportunity to comment on proposed priorities and requirements. Section 681(d) of IDEA, however, makes the public comment requirements of the APA inapplicable to the priority in this notice.</P>
        <AUTH>
          <HD SOURCE="HED">Program Authority:</HD>
          <P>20 U.S.C. 1462 and 1481.</P>
        </AUTH>
        
        <P>
          <E T="03">Applicable Regulations:</E>(a) The Education Department General Administrative Regulations (EDGAR) in 34 CFR parts 74, 75, 77, 79, 80, 81, 82, 84, 86, 97, 98, and 99. (b) The Education Department debarment and suspension regulations in 2 CFR part 3485. (c) The regulations for this program in 34 CFR part 304.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 79 apply to all applicants except federally recognized Indian tribes.</P>
        </NOTE>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The regulations in 34 CFR part 86 apply to institutions of higher education only.</P>
        </NOTE>
        <HD SOURCE="HD1">II. Award Information</HD>
        <P>
          <E T="03">Type of Award:</E>Cooperative agreement.</P>
        <P>
          <E T="03">Estimated Available Funds:</E>$1,500,000.</P>
        <P>Contingent upon the availability of funds and the quality of applications, we may make additional awards in FY 2013 from the list of unfunded applicants from this competition.</P>
        <P>
          <E T="03">Maximum Awards:</E>We will reject any application that proposes a budget exceeding $1,500,000 for a single budget period of 12 months. The Assistant Secretary for Special Education and Rehabilitative Services may change the maximum amount through a notice published in the<E T="04">Federal Register</E>.</P>
        <P>Estimated Number of Awards: 1.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The Department is not bound by any estimates in this notice.</P>
        </NOTE>
        <P>
          <E T="03">Project Period:</E>Up to 36 months with an optional additional 24 months based on performance.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>Applications must include plans for both the 36 month award and the 24-month extension.</P>
        </NOTE>
        <HD SOURCE="HD1">III. Eligibility Information</HD>
        <P>1.<E T="03">Eligible Applicants:</E>SEAs; LEAs, including public charter schools that are considered LEAs under State law; IDEA Part C lead agencies; EIS providers; IHEs; other public agencies; private nonprofit organizations; outlying areas; freely associated States; Indian tribes or tribal organizations; and for-profit organizations.</P>
        <P>2.<E T="03">Cost Sharing or Matching:</E>This program does not require cost sharing or matching.</P>
        <P>3.<E T="03">Other: General Requirements</E>—(a) The projects funded under this program must make positive efforts to employ and advance in employment qualified individuals with disabilities (see section 606 of IDEA).</P>
        <P>(b) Each applicant and grant recipient funded under this program must involve individuals with disabilities or parents of individuals with disabilities ages birth through 26 in planning, implementing, and evaluating the project (see section 682(a)(1)(A) of IDEA).</P>
        <HD SOURCE="HD1">IV. Application and Submission Information</HD>
        <P>1.<E T="03">Address To Request Application Package:</E>You can obtain an application package via the Internet, from the Education Publications Center (ED Pubs), or from the program office.</P>

        <P>To obtain a copy via the Internet, use the following address:<E T="03">www.ed.gov/fund/grant/apply/grantapps/index.html.</E>
        </P>
        <P>To obtain a copy from ED Pubs, write, fax, or call the following: ED Pubs, U.S. Department of Education, P.O. Box 22207, Alexandria, VA 22304. Telephone, toll free: 1-877-433-7827. Fax: (703) 605-6794. If you use a telecommunications device for the deaf (TDD) or a text telephone (TTY), call, toll free: 1-877-576-7734.</P>
        <P>You can contact ED Pubs at its Web site, also:<E T="03">www.EDPubs.gov</E>or at its email address:<E T="03">edpubs@inet.ed.gov.</E>
        </P>
        <P>If you request an application from ED Pubs, be sure to identify this competition as follows: CFDA number 84.325E.</P>

        <P>To obtain a copy from the program office, contact the person listed under<E T="02">For Further Information Contact</E>in section VII of this notice.</P>

        <P>Individuals with disabilities can obtain a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the person or team listed under<E T="03">Accessible Format</E>in section VIII of this notice.</P>
        <P>2.<E T="03">Content and Form of Application Submission:</E>Requirements concerning the content of an application, together with the forms you must submit, are in the application package for this competition.Page Limit: The application narrative (Part III of the application) is where you, the applicant, address the selection criteria that reviewers use to evaluate your application. You must limit Part III to the equivalent of no more than 50 pages using the following standards:</P>
        <P>• A “page” is 8.5″ x 11″, on one side only, with 1″ margins at the top, bottom, and both sides.</P>
        <P>• Double space (no more than three lines per vertical inch) all text in the application narrative, including titles, headings, footnotes, quotations, references, and captions.</P>
        <P>• Use a font that is either 12 point or larger or no smaller than 10 pitch (characters per inch).</P>
        <P>• Use one of the following fonts: Times New Roman, Courier, Courier New, or Arial. An application submitted in any other font (including Times Roman or Arial Narrow) will not be accepted.</P>
        <P>The page limit does not apply to Part I, the cover sheet; Part II, the budget section, including the narrative budget justification; Part IV, the assurances and certifications; or the one-page abstract, the resumes, the bibliography, the references, or the letters of support. However, the page limit does apply to all of the application narrative in Part III.</P>
        <P>We will reject your application if you exceed the page limit; or if you apply other standards and exceed the equivalent of the page limit.</P>
        <P>3.<E T="03">Submission Dates and Times: Applications Available:</E>June 19, 2012.</P>
        <P>
          <E T="03">Deadline for Transmittal of Applications:</E>July 30, 2012.</P>

        <P>Applications for grants under this competition may be submitted electronically using the Grants.gov Apply site (Grants.gov), or in paper format by mail or hand delivery. For information (including dates and times) about how to submit your application electronically, or in paper format by mail or hand delivery, please refer to section IV. 7.<E T="03">Other Submission Requirements</E>of this notice.</P>
        <P>We do not consider an application that does not comply with the deadline requirements.</P>

        <P>Individuals with disabilities who need an accommodation or auxiliary aid in connection with the application process should contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>in section VII of this notice. If the Department provides an accommodation or auxiliary aid to an individual with a disability in connection with the application<PRTPAGE P="36517"/>process, the individual's application remains subject to all other requirements and limitations in this notice.</P>
        <P>4.<E T="03">Intergovernmental Review:</E>This program is subject to Executive Order 12372 and the regulations in 34 CFR part 79. Information about Intergovernmental Review of Federal Programs under Executive Order 12372 is in the application package for this program.</P>
        <P>5.<E T="03">Funding Restrictions:</E>We reference regulations outlining funding restrictions in the<E T="03">Applicable Regulations</E>section of this notice.</P>
        <P>6.<E T="03">Data Universal Numbering System Number, Taxpayer Identification Number, and Central Contractor Registry:</E>To do business with the Department of Education, you must—</P>
        <P>a. Have a Data Universal Numbering System (DUNS) number and a Taxpayer Identification Number (TIN);</P>
        <P>b. Register both your DUNS number and TIN with the Central Contractor Registry (CCR), the Government's primary registrant database;</P>
        <P>c. Provide your DUNS number and TIN on your application; and</P>
        <P>d. Maintain an active CCR registration with current information while your application is under review by the Department and, if you are awarded a grant, during the project period.</P>
        <P>You can obtain a DUNS number from Dun and Bradstreet. A DUNS number can be created within one business day.</P>
        <P>If you are a corporate entity, agency, institution, or organization, you can obtain a TIN from the Internal Revenue Service. If you are an individual, you can obtain a TIN from the Internal Revenue Service or the Social Security Administration. If you need a new TIN, please allow 2-5 weeks for your TIN to become active.</P>
        <P>The CCR registration process may take five or more business days to complete. If you are currently registered with the CCR, you may not need to make any changes. However, please make certain that the TIN associated with your DUNS number is correct. Also note that you will need to update your CCR registration on an annual basis. This may take three or more business days to complete.</P>

        <P>In addition, if you are submitting your application via Grants.gov, you must (1) be designated by your organization as an Authorized Organization Representative (AOR); and (2) register yourself with Grants.gov as an AOR. Details on these steps are outlined at the following Grants.gov Web page:<E T="03">www.grants.gov/applicants/get_registered.jsp</E>.</P>
        <P>7.<E T="03">Other Submission Requirements:</E>Applications for grants under this competition may be submitted electronically or in paper format by mail or hand delivery.</P>
        <P>a.<E T="03">Electronic Submission of Applications.</E>
        </P>
        <P>We are participating as a partner in the Governmentwide Grants.gov Apply site. The National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities, CFDA number 84.325E, is included in this project. We request your participation in Grants.gov.</P>

        <P>If you choose to submit your application electronically, you must use the Governmentwide Grants.gov Apply site at<E T="03">www.Grants.gov</E>. Through this site, you will be able to download a copy of the application package, complete it offline, and then upload and submit your application. You may not email an electronic copy of a grant application to us.</P>

        <P>You may access the electronic grant application for the National Center for Development of Coursework and Training Modules to Improve Services and Results for Children with Disabilities, CFDA number 84.325E at<E T="03">www.Grants.gov.</E>You must search for the downloadable application package for this program by the CFDA number. Do not include the CFDA number's alpha suffix in your search (e.g., search for 84.325, not 84.325E).</P>
        <P>Please note the following:</P>
        <P>• Your participation in Grants.gov is voluntary.</P>
        <P>• When you enter the Grants.gov site, you will find information about submitting an application electronically through the site, as well as the hours of operation.</P>
        <P>• Applications received by Grants.gov are date and time stamped. Your application must be fully uploaded and submitted and must be date and time stamped by the Grants.gov system no later than  4:30:00 p.m., Washington, DC time, on the application deadline date. Except as otherwise noted in this section, we will not accept your application if it is received—that is, date and time stamped by the Grants.gov system—after 4:30:00 p.m., Washington, DC time, on the application deadline date. We do not consider an application that does not comply with the deadline requirements. When we retrieve your application from Grants.gov, we will notify you if we are rejecting your application because it was date and time stamped by the Grants.gov system after 4:30:00 p.m., Washington, DC time, on the application deadline date.</P>
        <P>• The amount of time it can take to upload an application will vary depending on a variety of factors, including the size of the application and the speed of your Internet connection. Therefore, we strongly recommend that you do not wait until the application deadline date to begin the submission process through Grants.gov.</P>
        <P>• You should review and follow the Education Submission Procedures for submitting an application through Grants.gov that are included in the application package for this competition to ensure that you submit your application in a timely manner to the Grants.gov system. You can also find the Education Submission Procedures pertaining to Grants.gov under News and Events on the Department's G5 system home page at www.G5.gov.</P>
        <P>• You will not receive additional point value because you submit your application in electronic format, nor will we penalize you if you submit your application in paper format.</P>
        <P>• If you submit your application electronically, you must submit all documents electronically, including all information you typically provide on the following forms: the Application for Federal Assistance (SF 424), the Department of Education Supplemental Information for SF 424, Budget Information—Non-Construction Programs (ED 524), and all necessary assurances and certifications.</P>
        <P>• If you submit your application electronically, you must upload any narrative sections and all other attachments to your application as files in a PDF (Portable Document) read-only, non-modifiable format. Do not upload an interactive or fillable PDF file. If you upload a file type other than a read-only, non-modifiable PDF or submit a password-protected file, we will not review that material.</P>
        <P>• Your electronic application must comply with any page-limit requirements described in this notice.</P>
        <P>• After you electronically submit your application, you will receive from Grants.gov an automatic notification of receipt that contains a Grants.gov tracking number. (This notification indicates receipt by Grants.gov only, not receipt by the Department.) The Department then will retrieve your application from Grants.gov and send a second notification to you by email. This second notification indicates that the Department has received your application and has assigned your application a PR/Award number (an ED-specified identifying number unique to your application).</P>

        <P>• We may request that you provide us original signatures on forms at a later date. Application Deadline Date Extension in Case of Technical Issues with the Grants.gov System: If you are<PRTPAGE P="36518"/>experiencing problems submitting your application through Grants.gov, please contact the Grants.gov Support Desk, toll free, at 1-800-518-4726. You must obtain a Grants.gov Support Desk Case Number and must keep a record of it.</P>
        <P>If you are prevented from electronically submitting your application on the application deadline date because of technical problems with the Grants.gov system, we will grant you an extension until  4:30:00 p.m., Washington, DC time, the following business day to enable you to transmit your application electronically or by hand delivery. You also may mail your application by following the mailing instructions described elsewhere in this notice.</P>
        <P>If you submit an application after 4:30:00 p.m., Washington, DC time, on the application deadline date, please contact the person listed under For Further Information Contact in section VII of this notice and provide an explanation of the technical problem you experienced with Grants.gov, along with the Grants.gov Support Desk Case Number. We will accept your application if we can confirm that a technical problem occurred with the Grants.gov system and that that problem affected your ability to submit your application by  4:30:00 p.m., Washington, DC time, on the application deadline date. The Department will contact you after a determination is made on whether your application will be accepted.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The extensions to which we refer in this section apply only to the unavailability of, or technical problems with, the Grants.gov system. We will not grant you an extension if you failed to fully register to submit your application to Grants.gov before the application deadline date and time or if the technical problem you experienced is unrelated to the Grants.gov system.</P>
        </NOTE>
        <P>b.<E T="03">Submission of Paper Applications by Mail.</E>
        </P>
        <P>If you submit your application in paper format by mail (through the U.S. Postal Service or a commercial carrier), you must mail the original and two copies of your application, on or before the application deadline date, to the Department at the following address: U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.325E), LBJ Basement Level 1, 400 Maryland Avenue SW., Washington, DC 20202-4260.</P>
        <P>You must show proof of mailing consisting of one of the following:</P>
        <P>(1) A legibly dated U.S. Postal Service postmark.</P>
        <P>(2) A legible mail receipt with the date of mailing stamped by the U.S. Postal Service.</P>
        <P>(3) A dated shipping label, invoice, or receipt from a commercial carrier.</P>
        <P>(4) Any other proof of mailing acceptable to the Secretary of the U.S. Department of Education.</P>
        <P>If you mail your application through the U.S. Postal Service, we do not accept either of the following as proof of mailing:</P>
        <P>(1) A private metered postmark.</P>
        <P>(2) A mail receipt that is not dated by the U.S. Postal Service.</P>
        <P>If your application is postmarked after the application deadline date, we will not consider your application.</P>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>The U.S. Postal Service does not uniformly provide a dated postmark. Before relying on this method, you should check with your local post office.</P>
        </NOTE>
        <P>c.<E T="03">Submission of Paper Applications by Hand Delivery.</E>
        </P>
        <P>If you submit your application in paper format by hand delivery, you (or a courier service) must deliver the original and two copies of your application by hand, on or before the application deadline date, to the Department at the following address: U.S. Department of Education, Application Control Center, Attention: (CFDA Number 84.325E), 550 12th Street SW., Room 7041, Potomac Center Plaza, Washington, DC 20202-4260.</P>
        <P>The Application Control Center accepts hand deliveries daily between 8:00 a.m. and 4:30:00 p.m., Washington, DC time, except Saturdays, Sundays, and Federal holidays.</P>
        <NOTE>
          <HD SOURCE="HED">Note for Mail or Hand Delivery of Paper Applications:</HD>
          <P>If you mail or hand deliver your application to the Department—</P>
        </NOTE>
        <P>(1) You must indicate on the envelope and—if not provided by the Department—in Item 11 of the SF 424 the CFDA number, including suffix letter, if any, of the competition under which you are submitting your application; and</P>
        <P>(2) The Application Control Center will mail to you a notification of receipt of your grant application. If you do not receive this notification within 15 business days from the application deadline date, you should call the U.S. Department of Education Application Control Center at (202) 245-6288.</P>
        <HD SOURCE="HD1">V. Application Review Information</HD>
        <P>1.<E T="03">Selection Criteria:</E>The selection criteria for this program are from 34 CFR 75.210 and are listed in the application package.</P>
        <P>2.<E T="03">Review and Selection Process:</E>(a) We remind potential applicants that in reviewing applications in any discretionary grant competition, the Secretary may consider, under 34 CFR 75.217(d)(3), the past performance of the applicant in carrying out a previous award, such as the applicant's use of funds, achievement of project objectives, and compliance with grant conditions. The Secretary may also consider whether the applicant failed to submit a timely performance report or submitted a report of unacceptable quality.</P>
        <P>(b) In addition, in making a competitive grant award, the Secretary also requires various assurances including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department of Education (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <P>3.<E T="03">Additional Review and Selection Process Factors:</E>In the past, the Department has had difficulty finding peer reviewers for certain competitions because so many individuals who are eligible to serve as peer reviewers have conflicts of interest. The Standing Panel requirements under section 682(b) of IDEA also have placed additional constraints on the availability of reviewers. Therefore, the Department has determined that, for some discretionary grant competitions, applications may be separated into two or more groups and ranked and selected for funding within specific groups. This procedure will make it easier for the Department to find peer reviewers by ensuring that greater numbers of individuals who are eligible to serve as reviewers for any particular group of applicants will not have conflicts of interest. It also will increase the quality, independence, and fairness of the review process, while permitting panel members to review applications under discretionary grant competitions for which they also have submitted applications. However, if the Department decides to select an equal number of applications in each group for funding, this may result in different cut-off points for fundable applications in each group.</P>
        <P>4.<E T="03">Special Conditions:</E>Under 34 CFR 74.14 and 80.12, the Secretary may impose special conditions on a grant if the applicant or grantee is not financially stable; has a history of unsatisfactory performance; has a financial or other management system that does not meet the standards in 34 CFR parts 74 or 80, as applicable; has not fulfilled the conditions of a prior grant; or is otherwise not responsible.</P>
        <HD SOURCE="HD1">VI. Award Administration Information</HD>
        <P>1.<E T="03">Award Notices:</E>If your application is successful, we notify your U.S. Representative and U.S. Senators and<PRTPAGE P="36519"/>send you a Grant Award Notification (GAN). We may notify you informally, also.</P>
        <P>If your application is not evaluated or not selected for funding, we notify you.</P>
        <P>2.<E T="03">Administrative and National Policy Requirements:</E>We identify administrative and national policy requirements in the application package and reference these and other requirements in the<E T="03">Applicable Regulations</E>section of this notice.</P>

        <P>We reference the regulations outlining the terms and conditions of an award in the<E T="03">Applicable Regulations</E>section of this notice and include these and other specific conditions in the GAN. The GAN also incorporates your approved application as part of your binding commitments under the grant.</P>
        <P>3.<E T="03">Reporting:</E>(a) If you apply for a grant under this competition, you must ensure that you have in place the necessary processes and systems to comply with the reporting requirements in 2 CFR part 170 should you receive funding under the competition. This does not apply if you have an exception under 2 CFR 170.110(b).</P>

        <P>(b) At the end of your project period, you must submit a final performance report, including financial information, as directed by the Secretary. If you receive a multi-year award, you must submit an annual performance report that provides the most current performance and financial expenditure information as directed by the Secretary under 34 CFR 75.118. The Secretary may also require more frequent performance reports under 34 CFR 75.720(c). For specific requirements on reporting, please go to<E T="03">www.ed.gov/fund/grant/apply/appforms/appforms.html.</E>
        </P>
        <P>4.<E T="03">Performance Measures:</E>Under the Government Performance and Results Act of 1993 (GPRA), the Department has established a set of performance measures, including long-term measures, that are designed to yield information on various aspects of the effectiveness and quality of the Technical Assistance and Dissemination to Improve Services and Results for Children with Disabilities program. For purposes of this priority, the Center will use these measures which focus on the extent to which projects provide high-quality products and services, the relevance of project products and services to educational and early intervention policy and practice, and the use of products and services to improve educational and early intervention policy and practice.</P>
        <P>Grantees will be required to report information on their project's performance in annual reports to the Department (34 CFR 75.590).</P>
        <P>5.<E T="03">Continuation Awards:</E>In making a continuation award, the Secretary may consider, under 34 CFR 75.253, the extent to which a grantee has made “substantial progress toward meeting the objectives in its approved application.” This consideration includes the review of a grantee's progress in meeting the targets and projected outcomes in its approved application, and whether the grantee has expended funds in a manner that is consistent with its approved application and budget. In making a continuation grant, the Secretary also considers whether the grantee is operating in compliance with the assurances in its approved application, including those applicable to Federal civil rights laws that prohibit discrimination in programs or activities receiving Federal financial assistance from the Department (34 CFR 100.4, 104.5, 106.4, 108.8, and 110.23).</P>
        <HD SOURCE="HD1">VII. Agency Contact</HD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Sarah Allen, U.S. Department of Education, 400 Maryland Avenue SW., room 4105, Potomac Center Plaza (PCP), Washington, DC 20202-2600. Telephone: (202) 245-7875.</P>
          <P>If you use a TDD or a TTY, call the Federal Relay Service (FRS), toll free, at 1-800-877-8339.</P>
          <HD SOURCE="HD1">VIII. Other Information</HD>
          <P>
            <E T="03">Accessible Format:</E>Individuals with disabilities can obtain this document and a copy of the application package in an accessible format (e.g., braille, large print, audiotape, or compact disc) by contacting the Grants and Contracts Services Team, U.S. Department of Education, 400 Maryland Avenue SW., room 5075, PCP, Washington, DC 20202-2550. Telephone: (202) 245-7363. If you use a TDD or a TTY, call the FRS, toll free, at 1-800-877-8339.</P>
          <P>
            <E T="03">Electronic Access to This Document:</E>The official version of this document is the document published in the<E T="04">Federal Register</E>. Free Internet access to the official edition of the<E T="04">Federal Register</E>and the Code of Federal Regulations is available via the Federal Digital System at:<E T="03">www.gpo.gov/fdsys.</E>
          </P>

          <P>At this site you can view this document, as well as all other documents of this Department published in the<E T="04">Federal Register</E>, in text or Adobe Portable Document Format (PDF). To use PDF you must have Adobe Acrobat Reader, which is available free at the site.</P>

          <P>You may also access documents of the Department published in the<E T="04">Federal Register</E>by using the article search feature at:<E T="03">www.federalregister.gov.</E>Specifically, through the advanced search feature at this site, you can limit your search to documents published by the Department.</P>
          <SIG>
            <DATED>Dated: June 14, 2012.</DATED>
            <NAME>Alexa Posny,</NAME>
            <TITLE>Assistant Secretary for Special Education and Rehabilitative Services.</TITLE>
          </SIG>
        </FURINF>
      </PREAMB>
      <FRDOC>[FR Doc. 2012-14944 Filed 6-18-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4000-01-P</BILCOD>
    </NOTICE>
    <NOTICE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF ENERGY</AGENCY>
        <SUBJECT>Amended Notice of Intent Modifying the Scope of the Environmental Impact Statement for the Hydrogen Energy California's Integrated Gasification Combined Cycle Project, Kern County, CA</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of Energy, DoE.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Amended Notice of Intent and Notice of Potential Floodplain and Wetlands Involvement.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The U.S. Department of Energy (DOE or the Department) is publishing this Amended Notice of Intent to inform the public of changes in the scope of an ongoing environmental impact statement (EIS). In this EIS, DOE will assess the potential environmental impacts of a project proposed by Hydrogen Energy California, LLC, (HECA) pursuant to the National Environmental Policy Act of 1969 (NEPA) (42 U.S.C. 4321<E T="03">et seq.</E>), the Council on Environmental Quality's NEPA regulations (40 CFR Parts 1500-1508), and DOE's NEPA regulations (10 CFR Part 1021). DOE's proposed action is to provide financial assistance for the construction and operation of HECA's project, which would produce and sell electricity, carbon dioxide and fertilizer. DOE selected this project for an award of financial assistance through a competitive process under the Clean Coal Power Initiative (CCPI) program. This Amended Notice of Intent provides information about changes to the project's design, HECA's ownership, and DOE's plans for completing the NEPA process that occurred after publication of the original Notice of Intent (NOI) in the<E T="04">Federal Register</E>on April 6, 2010 (75 FR 17397-401). HECA's project would demonstrate integrated gasification combined cycle (IGCC) technology with carbon capture in a new electricity generating plant in Kern County, California. The plant would use a blend of 75 percent coal and 25 percent petroleum coke (petcoke) and would capture, sell and sequester carbon dioxide on a commercial scale. It would also produce<PRTPAGE P="36520"/>and sell fertilizer and other nitrogenous compounds.</P>

          <P>The project would gasify the coal and petcoke to produce synthesis gas (syngas), which would then be purified to produce a hydrogen-rich fuel for a combustion turbine that would generate electricity while minimizing emissions of sulfur dioxide, nitrogen oxides, mercury, and particulates compared to conventional coal-fired power plants. In addition, the project would achieve a carbon dioxide (CO<E T="52">2</E>) capture efficiency of approximately 90 percent at steady-state operation. The captured CO<E T="52">2</E>would be compressed and transported via pipeline to the adjacent Elk Hills Oil Field (owned and operated by Occidental of Elk Hills, Inc. (OEHI)) for injection into deep underground oil reservoirs for enhanced oil recovery (EOR), resulting in geologic sequestration.</P>
          <P>The EIS will inform DOE's decision on whether to provide financial assistance under its CCPI Program to HECA's project, which has an estimated capital cost of $4 billion. DOE's financial assistance (or “cost share”) would be limited to $408 million, about 10 percent of the project's total cost. DOE's financial assistance is also limited to certain aspects of the power and manufacturing plants, carbon capture, and sequestration. The EIS will evaluate the potential impacts of DOE's proposed action, the project proposed by HECA and any connected actions, and reasonable alternatives to DOE's proposed action. The purposes of this Amended Notice of Intent are to: (1) Inform the public about DOE's proposed action and HECA's proposed project, including information on features of the project that have changed since publication of the first NOI; (2) describe how DOE intends to coordinate its NEPA review with the California Energy Commission's process for deciding whether to certify the project; (3) solicit comments for DOE's consideration regarding the scope and content of the EIS; (4) invite those agencies with jurisdiction by law or special expertise to be cooperating agencies in preparation of the EIS; and (5) provide notice that the proposed project may involve potential impacts to floodplains and wetlands.</P>

          <P>DOE does not have regulatory jurisdiction over the HECA project. Its decisions are limited to whether and under what circumstances it would provide financial assistance to the project. There are a number of state and federal agencies that do have regulatory authority over the project; one of them is the California Energy Commission (CEC), which is responsible for power plant licensing under the Warren-Alquist Act (Cal. Pub. Res. Code § 25500<E T="03">et seq.</E>). This licensing process (referred to as “certification”) is established by California law and will 