Certain Broker-Dealers Deemed Not To Be Investment Advisers, 49687 [05-16867]
Download as PDF
Federal Register / Vol. 70, No. 163 / Wednesday, August 24, 2005 / Notices
reviewed and NRC’s conclusion. In
accordance with 10 CFR 2.390 of the
NRC’s ‘‘Rules of Practice,’’ details with
respect to this action, including the
Final SER and accompanying
documentation included in the license
amendment package are available
electronically at the NRC’s Electronic
Reading Room at https://www.nrc.gov/
reading-rm/adams.html. From this site,
you may access the NRC’s Agencywide
Document Access and Management
System (ADAMS), which provides text
and image files of NRC’s public
documents. The ADAMS accession
numbers for the documents related to
this notice are: Kerr McGee Technical
Center (KMTC) ‘‘Revised
Decommissioning Plan,’’ April 5, 2001,
ML011840119 and ML011840269;
KMTC Response to NRC Request for
Information, March 6, 2002,
ML020670216; KMTC Clarification and
Modification to DCGLs, October 16,
2002, ML022940089; KMTC Final Status
Survey Report Outdoor Survey Units,
September 2003, ML033020108; KMTC
Final Status Survey Report Indoor
Survey Units, April 2004,
ML041100784; KMTC Supplement to
Indoor Final Status Survey Report,
December 2004, ML043520247; Final
Safety Evaluation Report, August 1,
2005, ML052130413. If you do not have
access to ADAMS or if there are
problems with accessing the documents
located in ADAMS, contact the NRC
Public Document Room (PDR) Reference
staff at (800) 397–4203, (301) 415–4737,
or by e-mail to pdr@nrc.gov.
These documents may also be viewed
electronically on the public computers
located at the NRC’s PDR, O1 F21, One
White Flint North, 11555 Rockville
Pike, Rockville, MD 20852. The PDR
reproduction contractor will copy
documents for a fee.
Dated at Arlington, Texas, this 15th day of
August, 2005.
For the Nuclear Regulatory Commission.
D. Blair Spitzberg,
Chief, Fuel Cycle Decommissioning Branch,
Division of Nuclear Materials Safety, Region
IV.
[FR Doc. E5–4619 Filed 8–23–05; 8:45 am]
BILLING CODE 7590–01–P
60611. The agenda for this meeting
follows:
(1) IDMS to DB2 Conversion
(2) Discussion on Field Service Hiring
(3) Decision on Reconsideration—
DisAbility ReDesign, Inc.
The entire meeting will be open to the
public. The person to contact for more
information is Beatrice Ezerski,
Secretary to the Board, Phone No. 312–
751–4920.
Dated: August 18, 2005.
Beatrice Ezerski,
Secretary to the Board.
[FR Doc. 05–16893 Filed 8–22–05; 9:51 am]
BILLING CODE 7905–01–M
RAILROAD RETIREMENT BOARD
Sunshine Act; Notice of Public Meeting
Notice is hereby given that the
Railroad Retirement Board will hold a
meeting on August 30, 2005, 9:30 a.m.,
at the Board’s meeting room on the 8th
floor of its headquarters building, 844
North Rush Street, Chicago, IL. 60611.
The agenda for this meeting follows:
(1) IDMS to DB2 Conversion
(2) Discussion on Field Service Hiring
(3) Decision on Reconsideration—
DisAbility ReDesign, Inc.
(4) Discussion of the Fiscal Year 2007
Budget
The entire meeting will be open to the
public. The person to contact for more
information is Beatrice Ezerski,
Secretary to the Board, Phone No. 312–
751–4920.
Dated: August 18, 2005.
Beatrice Ezerski,
Secretary to the Board
[FR Doc. 05–16900 Filed 8–22–05; 9:58 am]
BILLING CODE 7905–01–M
SECURITIES AND EXCHANGE
COMMISSION
[Release Nos. 34–52293; IA–2417; File No.
S7–25–99]
RIN 3235–AH78
Certain Broker-Dealers Deemed Not To
Be Investment Advisers
Sunshine Act; Notice of Public Meeting
AGENCY: Securities and Exchange
Commission.
ACTION: Notice of OMB approval of
collections of information.
Notice is hereby given that the
Railroad Retirement Board will hold a
meeting on August 30, 2005, 9:30 a.m.,
at the Board’s meeting room on the 8th
floor of its headquarters building, 844
North Rush Street, Chicago, Illinois,
FOR FURTHER INFORMATION CONTACT:
Robert L. Tuleya, Senior Counsel, (202)
551–6787, IArules@sec.gov, Office of
Investment Adviser Regulation, Division
of Investment Management, U.S.
Securities and Exchange Commission,
RAILROAD RETIREMENT BOARD
VerDate jul<14>2003
15:23 Aug 23, 2005
Jkt 205001
PO 00000
Frm 00134
Fmt 4703
Sfmt 4703
49687
100 F Street, NE., Washington, DC
20549–0506.
SUPPLEMENTARY INFORMATION: In
conjunction with Investment Advisers
Act of 1940 rule 202(a)(11)–1,1 the
Securities and Exchange Commission
submitted certain existing collections of
information to the Office of
Management and Budget (‘‘OMB’’) in
accordance with 44 U.S.C. 3507(d) and
5 CFR 1320.11. OMB has approved
changes to these collection of
information requirements which are
described in Certain Broker-Dealers
Deemed Not To Be Investment
Advisers.2 The titles of the affected
collections of information are: ‘‘Form
ADV’’ (OMB Control No. 3235–0049);
‘‘Form ADV-NR’’ (OMB Control No.
3235–0240); ‘‘Form ADV–W and Rule
203–2’’ (OMB Control No. 3235–0313);
‘‘Rule 203–3 and Form ADV–H’’ (OMB
Control No. 3235–0538); ‘‘Rule 204–2’’
(OMB Control No. 3235–0278); ‘‘Rule
204–3’’ (OMB Control No. 3235–0047);
‘‘Rule 204A–1’’ (OMB Control No.
3235–0596); ‘‘Rule 206(4)–3’’ (OMB
Control No. 3235–0242); ‘‘Rule 206(4)–
4’’ (OMB Control No. 3235–0345); ‘‘Rule
206(4)–6’’ (OMB Control No. 3235–
0571); and ‘‘Rule 206(4)–7’’ (OMB
Control No. 3235–0585).
Dated: August 18, 2005.
Margaret H. McFarland,
Deputy Secretary.
[FR Doc. 05–16867 Filed 8–23–05; 8:45 am]
BILLING CODE 8010–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. 34–52297; File No. SR–Amex–
2005–080]
Self-Regulatory Organizations;
American Stock Exchange LLC; Notice
of Filing and Order Granting
Accelerated Approval to Proposed
Rule Change Relating to Fees in
Connection With Merger Spreads and
Short Stock Interest Spreads
August 18, 2005.
Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934 1 and
Rule 19b–4 thereunder,2 notice is
hereby given that on July 25, 2005, the
American Stock Exchange LLC (‘‘Amex’’
or ‘‘Exchange’’) filed with the Securities
and Exchange Commission
(‘‘Commission’’) the proposed rule
change as described in Items I and II
below, which Items have been prepared
1 17
CFR 275.202(a)(11)–1.
Advisers Act Rel. No. 2376 (Apr. 12,
2005) [70 FR 20424 (Apr. 19, 2005)].
1 15 U.S.C. 78s(b)(1).
2 17 CFR 240.19b–4.
2 Investment
E:\FR\FM\24AUN1.SGM
24AUN1
Agencies
[Federal Register Volume 70, Number 163 (Wednesday, August 24, 2005)]
[Notices]
[Page 49687]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 05-16867]
=======================================================================
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
[Release Nos. 34-52293; IA-2417; File No. S7-25-99]
RIN 3235-AH78
Certain Broker-Dealers Deemed Not To Be Investment Advisers
AGENCY: Securities and Exchange Commission.
ACTION: Notice of OMB approval of collections of information.
-----------------------------------------------------------------------
FOR FURTHER INFORMATION CONTACT: Robert L. Tuleya, Senior Counsel,
(202) 551-6787, IArules@sec.gov, Office of Investment Adviser
Regulation, Division of Investment Management, U.S. Securities and
Exchange Commission, 100 F Street, NE., Washington, DC 20549-0506.
SUPPLEMENTARY INFORMATION: In conjunction with Investment Advisers Act
of 1940 rule 202(a)(11)-1,\1\ the Securities and Exchange Commission
submitted certain existing collections of information to the Office of
Management and Budget (``OMB'') in accordance with 44 U.S.C. 3507(d)
and 5 CFR 1320.11. OMB has approved changes to these collection of
information requirements which are described in Certain Broker-Dealers
Deemed Not To Be Investment Advisers.\2\ The titles of the affected
collections of information are: ``Form ADV'' (OMB Control No. 3235-
0049); ``Form ADV-NR'' (OMB Control No. 3235-0240); ``Form ADV-W and
Rule 203-2'' (OMB Control No. 3235-0313); ``Rule 203-3 and Form ADV-H''
(OMB Control No. 3235-0538); ``Rule 204-2'' (OMB Control No. 3235-
0278); ``Rule 204-3'' (OMB Control No. 3235-0047); ``Rule 204A-1'' (OMB
Control No. 3235-0596); ``Rule 206(4)-3'' (OMB Control No. 3235-0242);
``Rule 206(4)-4'' (OMB Control No. 3235-0345); ``Rule 206(4)-6'' (OMB
Control No. 3235-0571); and ``Rule 206(4)-7'' (OMB Control No. 3235-
0585).
---------------------------------------------------------------------------
\1\ 17 CFR 275.202(a)(11)-1.
\2\ Investment Advisers Act Rel. No. 2376 (Apr. 12, 2005) [70 FR
20424 (Apr. 19, 2005)].
Dated: August 18, 2005.
Margaret H. McFarland,
Deputy Secretary.
[FR Doc. 05-16867 Filed 8-23-05; 8:45 am]
BILLING CODE 8010-01-P