Agency Information Collection Under Review by the Office of Management and Budget, 44952-44953 [05-15425]

Download as PDF 44952 Federal Register / Vol. 70, No. 149 / Thursday, August 4, 2005 / Notices DPR–20, 27780 Blue Star Memorial Highway, Covert, MI 49043–9530 Mr. Dennis L. Koehl, Site Vice President, Nuclear Management Company, LLC, Point Beach Nuclear Plant, Units 1 and 2, Docket Nos. 50– 266 & 50–301, License Nos. DPR–24 & DPR–27, 6590 Nuclear Road, Two Rivers, WI 54241–9516 Mr. Thomas J. Palmisano, Site Vice President, Nuclear Management Company, LLC, Prairie Island Nuclear Generating Plant, Units 1 and 2, Docket Nos. 50–282 & 50–306, License Nos. DPR–42 & DPR–60, 1717 Wakonade Drive East, Welch, MN 55089 Mr. Christopher M. Crane, President and Chief Nuclear Officer, Exelon Generation Company, LLC, AmerGen Energy Company, LLC, Braidwood Station, Units 1 and 2, Byron Station, Units 1 and 2, Dresden Nuclear Power Station, Units 2 and 3 , LaSalle County Station, Units 1 and 2, Quad Cities Nuclear Power Station, Units 1 and 2, Limerick Generating Station, Units 1 and 2, Peach Bottom Atomic Power Station, Units 2 and 3, Oyster Creek Nuclear Generating Station, Clinton Power Station, Three Mile Island Nuclear Station, Unit 1, Docket Nos. 50–456, 50–457, 50–454, 50–455, 50–237, 50–249, 50–373, 50–374, 50– 254, 50–265, 50–352, 50–353, 50–277, 50–278, 50–219, 50–461, & 50–289, License Nos. NPF–72, NPF–77, NPF– 37, NPF–66, DPR–19, DPR–25, NPF– 11, NPF–18, DPR–29, DPR–30, NPF– 39, NPF–85, DPR–44, DPR–56, DPR– 16, NPF–62, & DPR–50 , 4300 Winfield Road, Warrenville, IL 60555 Mr. Mark Bezilla, Vice President, DavisBesse, FirstEnergy Nuclear Operating Company, Davis-Besse Nuclear Power Station, Docket No. 50–346, License No. NPF–3, 5501 North State Route 2, Oak Harbor, OH 43449–9760 Mr. Richard Anderson, Vice President— Nuclear, FirstEnergy Nuclear Operating Company, Perry Nuclear Power Plant, Unit 1, Docket No. 50– 440, License No. NPF–58, 10 North Center Street, Perry, OH 44081 Mr. Jeffrey S. Forbes, Site Vice President, Entergy Operations, Inc., Arkansas Nuclear One, Units 1 and 2, Docket Nos. 50–313 & 50–368, License Nos. DPR–51 & NPF–6, 1448 S. R. 333, Russellville, AR 72802 M. R. Blevins, Senior Vice President and Chief Nuclear Officer, TXU Generation Company, LP, Comanche Peak Steam Electric Station, Units 1 and 2, Docket Nos. 50–445 & 50–446, License Nos. NPF–87 & NPF–89, 5 Miles North of Glen Rose, Glen Rose, TX 76043 VerDate jul<14>2003 16:23 Aug 03, 2005 Jkt 205001 Mr. Randall K. Edington, Vice President-Nuclear and CNO, Nebraska Public Power District, Cooper Nuclear Station, Docket No. 50–298, License No. Dpr-46, 1200 Prospect Road, Brownville, NE 68321 Mr. George A. Williams, GGNS Vice President, Operations, Entergy Operations, Inc., Grand Gulf Nuclear Station, Unit 1, Docket No. 50–416, License No. NPF–29, Bald Hill RoadWaterloo Road, Port Gibson, MS 39150 Mr. Paul D. Hinnenkamp, Vice President—Operations, Entergy Operations, Inc., River Bend Station, Unit 1, Docket No. 50–458, License No. NPF–47, 5485 U.S. Highway 61N, St. Francisville, LA 70775 Mr. James J. Sheppard, President and Chief Executive Officer, South Texas Project Nuclear Operating Company, Docket Nos. 50–498 & 50–499, License Nos. NPF–76 & NPF–80, South Texas Project Electric Generating Company, Units 1 and 2, 8 Miles West of Wadsworth, on FM 521, Wadsworth, TX 77483 Mr. Joseph E. Venable, Vice President Operations, Entergy Operations, Inc., Waterford Steam Electric Generating Station, Unit 3, Docket No. 50–382, License No. NPF–38, 17265 River Road, Killona, LA 70057–2065 Mr. Charles D. Naslund, Senior Vice President and Chief Nuclear Officer, Union Electric Company, Callaway Plant, Unit 1, Docket No. 50–483, License No. NPF–30, Junction Hwy CC & Hwy O: 5 Miles North of Hwy 94, Portland, MO 65067 Mr. Gregory M. Rueger, Senior Vice President, Generation and Chief Nuclear Officer, Pacific Gas and Electric Company, Diablo Canyon Nuclear Power Plant, Units 1 and 2, Docket Nos. 50–275 & 50–323, License Nos. DPR–80 & DPR–82, 9 Miles Northwest of Avila Beach, Avila Beach, CA 93424 Mr. R. T. Ridenoure, Vice President— Chief Nuclear Officer, Omaha Public Power District, Fort Calhoun Station, Unit 1, Docket No. 50–285, License No. DPR–40, Fort Calhoun Station FC–2–4 Adm., 444 South 16th Street Mall, Omaha, NE 68102–2247 Mr. Gregg R. Overbeck, Senior Vice President, Nuclear, Arizona Public Service Company, Palo Verde Nuclear Generating Station, Units 1, 2 and 3, Docket Nos. 50–528, 50–529, & 50– 530, License Nos. NPF–41, NPF–51, & NPF–74, 5801 S. Wintersburg Road, Tonopah, AZ 85354–7529 Mr. Harold B. Ray, Executive Vice President, Southern California Edison Company, San Onofre Nuclear Station, Units 2 and 3, Docket Nos. PO 00000 Frm 00070 Fmt 4703 Sfmt 4703 50–361 & 50–362, License Nos. NPF– 10 & NPF–15, 5000 Pacific Coast Highway, San Clemente, CA 92674 Mr. J. V. Parrish, Chief Executive Officer, Energy Northwest, Columbia Generating Station, Docket No. 50– 397, License No. NPF–21, Snake River Warehouse, North Power Plant Loop, Richland, WA 99352 Mr. Rick A. Muench, President and Chief Executive Officer, Wolf Creek Nuclear Operating Corporation, Wolf Creek Generating Station, Unit 1, Docket No. 50–482, License No. NPF– 42, 1550 Oxen Lane, NE, Burlington, KS 66839 Mr. Jeffrey B. Archie, Vice President, Nuclear Operations, South Carolina Electric and Gas Company, Virgil C. Summer Nuclear Station, Docket No. 50–395, License No. NPF–12, Hwy 215N at O.S. Bradham Boulevard, Jenkinsville, South Carolina 29065 [FR Doc. E5–4144 Filed 8–3–05; 8:45 am] BILLING CODE 7590–01–P PEACE CORPS Agency Information Collection Under Review by the Office of Management and Budget Peace Corps. Notice of submission for OMB Review, comment request. AGENCY: ACTION: SUMMARY: Pursuant to the Paperwork Reduction Act of 1981 (44 U.S.C., Chapter 35), the Peace Corps has submitted to the Office of Management and Budget (OMB) a request for approval of an information collection. The Peace Corps Crime Incident Reporting Form (CIRF) and Peace Corps Crime Incident Tracking Form (CITF) (PCOIG Form 958, PCSS Form 953–2, PCMS Form 954–1, PCSS Form 953–A, PCSS Form 954 and PCSS Form 953–1, forms and information collected by these forms will be utilized as an ‘‘Internal Use Only’’ tool as it relates to crimes perpetrated against Peace Corps Volunteers living and working in 74 countries in the Developing World. The initial Federal Register notice was published on May 16, 2005, volume 78, No. 93, p. 25866 for 60 days. Also available at GPO Access: wais.access.gpo.gov. No comments, inquiries or responses to the notice were received. A copy of the information collection may be obtained from Ms. Shelley Elbert, Social Science analyst, Office of Safety and Security, Peace Corps, 1111 20th Street, NW., Room 5404, Washington, DC 20526. Ms. Elbert may be contacted by telephone at 202– 692–2574. Comments should be E:\FR\FM\04AUN1.SGM 04AUN1 Federal Register / Vol. 70, No. 149 / Thursday, August 4, 2005 / Notices received on or before September 6, 2005. Need For and Use of This Information: the purpose of these forms is to monitor and enhance the safety and security of Peace Corps Volunteers. The information will be collected by the Peace Corps Country Director, the Peace Corps Medical Officer or a staff person designated by the Country Director, and submitted electronically. Peace Corps uses this information to evaluate the circumstance of crimes committed against Peace Corps Volunteer and to make changes in training, site selection and policy as related to the safety of the Volunteer. The information furnished to the Office of Inspector General is used for investigation, prosecution and tracking of perpetrators who commit crimes against Peace Corps Volunteers. The Medical information is used for trend analysis and education of medical treatment personnel on health-related issues that affect Volunteers who are the victims of crime. The forms consolidate reporting media and eliminate duplication. These forms are the first automated crime incident reporting form within the agency and replace a less comprehensive form that was previously submitted manually. Affected Public: None. Dated: July 20, 2005. Patrick Hogan, Associate Director for Safety and Security. [FR Doc. 05–15425 Filed 8–1–05; 11:46 am] BILLING CODE 6051–01–M SECURITIES AND EXCHANGE COMMISSION Proposed Extension of Collection of Information; Comment Request Upon Written Request, Copies Available From: Securities and Exchange Commission, Office of Filings and Information Services, Washington, DC 20549. Extension: Rule 15Ba2–5; SEC File No. 270– 91; OMB Control No. 3235–0088. Notice is hereby given that pursuant to the Paperwork Reduction Act of 1995 (44 U.S.C. 3501 et seq.), the Securities and Exchange Commission (‘‘Commission’’) has submitted to the Office of Management and Budget (‘‘OMB’’) a request for approval of extension of the existing collection of information provided for in the following rule: Rule 15Ba2–5. On July 7, 1975, effective July 16, 1975 (see 41 FR 28948, July 14, 1975), the Commission adopted Rule 15Ba2-5 under the Securities Exchange Act of 1934 (‘‘Exchange Act’’) to permit a duly- VerDate jul<14>2003 16:23 Aug 03, 2005 Jkt 205001 appointed fiduciary to assume immediate responsibility for the operation of a municipal securities dealer’s business. Without the rule, the fiduciary would not be able to assume operation until it registered as a municipal securities dealer. Under the rule, the registration of a municipal securities dealer is deemed to be the registration of any executor, administrator, guardian, conservator, assignee for the benefit of creditors, receiver, trustee in insolvency or bankruptcy, or other fiduciary, appointed or qualified by order, judgment, or decree of a court of competent jurisdiction to continue the business of such municipal securities dealer, provided that such fiduciary files with the Commission, within 30 days after entering upon the performance of his duties, a statement setting forth as to such fiduciary substantially the same information required by Form MSD or Form BD. The statement is necessary to ensure that the Commission and the public have adequate information about the fiduciary. There is approximately 1 respondent per year that requires an aggregate total of 4 hours to comply with this rule. This respondent makes an estimated 1 annual response. Each response takes approximately 4 hours to complete. Thus, the total compliance burden per year is 4 burden hours. The approximate cost per hour is $0, resulting in a total cost of compliance for the respondent of approximately $0. An agency may not conduct or sponsor, and a person is not required to respond to, a collection of information unless it displays a currently valid control number. Comments regarding the above information may be submitted in writing to: (i) David Rostker, Desk Officer, The Office of Information and Regulatory Affairs, The Office of Management and Budget, Room 10102, New Executive Office Building, Washington, DC 20503; or by sending an email to: DavidlRostker@omb.eop.gov and (ii) R. Corey Booth, Chief Information Officer, Office of Information Technology, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549. Any comments must be submitted to OMB within 30 days of this notice. July 27, 2005. Margaret H. McFarland, Deputy Secretary. [FR Doc. E5–4135 Filed 8–3–05; 8:45 am] BILLING CODE 8010–01–P PO 00000 Frm 00071 Fmt 4703 Sfmt 4703 44953 SECURITIES AND EXCHANGE COMMISSION Submission for OMB Review; Comment Request Upon Written Request, Copies Available From: Securities and Exchange Commission, Office of Filings and Information Services, Washington, DC 20549. Extension: Form BDW, SEC File No. 270–17, OMB Control No. 3235–0018. Notice is hereby given that, pursuant to the Paperwork Reduction Act of 1995 (44 U.S.C. 3501 et seq.), the Securities and Exchange Commission (‘‘Commission’’) has submitted to the Office of Management and Budget a request for extension on the collection of information discussed below. The Code of Federal Regulations citation to this collection of information is the following rule: 17 CFR 240.15b6–1. Broker-dealers and notice-registered broker-dealers use Form BDW (17 CFR 249.501a) to withdraw from registration with the Commission, the selfregulatory organizations, and the states. It is estimated that approximately 900 fully registered broker-dealers annually will incur an average burden of 15 minutes, or 0.25 hours, to file for withdrawal on Form BDW via the internet with Web CRD, a computer system operated by the National Association of Securities Dealers, Inc. that maintains information regarding fully registered broker-dealers and their registered personnel. It is further estimated that 140 futures commission merchants that are notice-registered broker-dealers annually will incur an average burden of 15 minutes, or 0.25 hours, to file for withdrawal on Form BDW by sending the completed Form BDW to the National Futures Association, which maintains information regarding notice-registered broker-dealers on behalf of the Commission. The annualized compliance burden per year for both fully registered and notice-registered broker-dealers is 260 hours [1,040 (900 fully registered broker-dealers + 140 notice-registered broker-dealers) × .25 = 260 hours]. The annualized cost to respondents, utilizing staff at an estimated cost of $101 per hour, would be $ 26,260 (260 × $101 = $26,260). An agency may not conduct or sponsor, and a person is not required to respond to, a collection of information unless it displays a currently valid control number. Rule 15b6–1 does not have a retention of records requirement. General comments regarding the above information should be directed to the following persons: (i) Desk Officer E:\FR\FM\04AUN1.SGM 04AUN1

Agencies

[Federal Register Volume 70, Number 149 (Thursday, August 4, 2005)]
[Notices]
[Pages 44952-44953]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 05-15425]


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PEACE CORPS


Agency Information Collection Under Review by the Office of 
Management and Budget

AGENCY: Peace Corps.

ACTION: Notice of submission for OMB Review, comment request.

-----------------------------------------------------------------------

SUMMARY: Pursuant to the Paperwork Reduction Act of 1981 (44 U.S.C., 
Chapter 35), the Peace Corps has submitted to the Office of Management 
and Budget (OMB) a request for approval of an information collection. 
The Peace Corps Crime Incident Reporting Form (CIRF) and Peace Corps 
Crime Incident Tracking Form (CITF) (PCOIG Form 958, PCSS Form 953-2, 
PCMS Form 954-1, PCSS Form 953-A, PCSS Form 954 and PCSS Form 953-1, 
forms and information collected by these forms will be utilized as an 
``Internal Use Only'' tool as it relates to crimes perpetrated against 
Peace Corps Volunteers living and working in 74 countries in the 
Developing World.
    The initial Federal Register notice was published on May 16, 2005, 
volume 78, No. 93, p. 25866 for 60 days. Also available at GPO Access: 
wais.access.gpo.gov. No comments, inquiries or responses to the notice 
were received. A copy of the information collection may be obtained 
from Ms. Shelley Elbert, Social Science analyst, Office of Safety and 
Security, Peace Corps, 1111 20th Street, NW., Room 5404, Washington, DC 
20526. Ms. Elbert may be contacted by telephone at 202-692-2574. 
Comments should be

[[Page 44953]]

received on or before September 6, 2005.
    Need For and Use of This Information: the purpose of these forms is 
to monitor and enhance the safety and security of Peace Corps 
Volunteers. The information will be collected by the Peace Corps 
Country Director, the Peace Corps Medical Officer or a staff person 
designated by the Country Director, and submitted electronically. Peace 
Corps uses this information to evaluate the circumstance of crimes 
committed against Peace Corps Volunteer and to make changes in 
training, site selection and policy as related to the safety of the 
Volunteer. The information furnished to the Office of Inspector General 
is used for investigation, prosecution and tracking of perpetrators who 
commit crimes against Peace Corps Volunteers. The Medical information 
is used for trend analysis and education of medical treatment personnel 
on health-related issues that affect Volunteers who are the victims of 
crime. The forms consolidate reporting media and eliminate duplication. 
These forms are the first automated crime incident reporting form 
within the agency and replace a less comprehensive form that was 
previously submitted manually.
    Affected Public: None.

    Dated: July 20, 2005.
Patrick Hogan,
Associate Director for Safety and Security.
[FR Doc. 05-15425 Filed 8-1-05; 11:46 am]
BILLING CODE 6051-01-M
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