Submission for OMB Review: Comment Request, 7072-7073 [E6-1826]
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7072
Federal Register / Vol. 71, No. 28 / Friday, February 10, 2006 / Notices
DEPARTMENT OF JUSTICE
Coordinating Council on Juvenile
Justice and Delinquency Prevention
[OJP (OJJDP) Docket No. 1451]
Meeting of the Coordinating Council
on Juvenile Justice and Delinquency
Prevention
Coordinating Council on
Juvenile Justice and Delinquency
Prevention.
ACTION: Notice of meeting.
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AGENCY:
SUMMARY: The Coordinating Council on
Juvenile Justice and Delinquency
Prevention (Council) is announcing the
March 3, 2006, meeting of the Council.
DATES: Friday, March 3, 2006, 9:15
a.m.—12:30 p.m.
ADDRESSES: The meeting will take place
at the White House Conference Center,
726 Jackson Place, NW., Washington,
DC 20006 in Truman Room.
FOR FURTHER INFORMATION CONTACT:
Robin Delany-Shabazz, Designated
Federal Official, by telephone at 202–
307–9963, or by e-mail at Robin.DelanyShabazz@usdoj.gov.
SUPPLEMENTARY INFORMATION: The
Coordinating Council on Juvenile
Justice and Delinquency Prevention,
established pursuant to section 3(2)A of
the Federal Advisory Committee Act (5
U.S.C. App. 2) will meet to carry out its
advisory functions under section 206 of
the Juvenile Justice and Delinquency
Prevention Act of 2002, 42 U.S.C. 5601,
et seq.
Documents such as meeting
announcements, agendas, minutes, and
interim and final reports will be
available on the Council’s Web page at
https://www.JuvenileCouncil.gov. (You
may also verify the status of the meeting
at that Web address.)
Although designated agency
representatives may attend, the Council
membership is composed of the
Attorney General (Chair), the Secretary
of Health and Human Services, the
Secretary of Labor, the Secretary of
Education, the Secretary of Housing and
Urban Development, the Administrator
of the Office of Juvenile Justice and
Delinquency Prevention (Vice Chair),
the Director of the Office of National
Drug Control Policy, the Chief Executive
Officer of the Corporation for National
and Community Service, and the
Assistant Secretary for Homeland
Security, Immigrations and Customs
Enforcement. Nine additional members
are appointed by the Speaker of the
House of Representatives, the Senate
Majority Leader, and the President of
the United States.
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Meeting Agenda
The agenda for this meeting will
include: (a) A review of the past meeting
and written public comments; (b)
remarks from John Walters (invited),
Director, Office on National Drug
Control Policy (ONDCP), John Horton,
Associate Deputy Director, ONDCP, and
other ONDCP staff, and a discussion of
opportunities to coordinate federal work
concerned with juveniles and drug
policy issues; (c) a review and
debriefing of the January 2006 National
Conference, ‘‘Building on Success:
Providing Today’s Youth With
Opportunities for a Better Tomorrow’’
and other Council activities; and (d)
other business and announcements.
For security purposes, members of the
public who wish to attend the meeting
must pre-register by calling the Juvenile
Justice Resource Center at 301–519–
6473 (Daryel Dunston), no later than
Monday, February 27, 2006 [Note: these
are not toll-free telephone numbers.]
Additional identification documents
may be required. To register online,
please go to https://
www.JuvenileCouncil.gov/
meetings.html. Space is limited.
Note: Photo identification will be required
for admission to the meeting.
Written Comments
Interested parties may submit written
comments by Monday, February 27,
2006, to Robin Delany-Shabazz,
Designated Federal Official for the
Coordinating Council on Juvenile
Justice and Delinquency Prevention, at
Robin.Delany-Shabazz@usdoj.gov. The
Coordinating Council on Juvenile
Justice and Delinquency Prevention
expects that the public statements
presented will not repeat previously
submitted statements. Written questions
and comments from the public may be
invited at this meeting.
J. Robert Flores,
Vice-Chair, Coordinating Council on Juvenile
Justice and Delinquency Prevention.
[FR Doc. E6–1825 Filed 2–9–06; 8:45 am]
BILLING CODE 4410–18–P
DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review:
Comment Request
February 1, 2006.
The Department of Labor (DOL) has
submitted the following public
information collection request (ICR) to
the Office of Management and Budget
(OMB) for review and approval in
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accordance with the Paperwork
Reduction Act of 1995 (Pub. L. 104–13,
44 U.S.C. chapter 35). A copy of this
ICR, with applicable supporting
documentation, may be obtained by
contacting Darrin King on 202–693–
4129 (this is not a toll-free number) or
e-mail: king.darrin@dol.gov.
Comments should be sent to Office of
Information and Regulatory Affairs,
Attn: OMB Desk Officer for the
Employee Benefits Security
Administration (EBSA), Office of
Management and Budget, Room 10235,
Washington, DC 20503, 202–395–7316
(this is not a toll-free number), within
30 days from the date of this publication
in the Federal Register.
The OMB is particularly interested in
comments which:
• Evaluate whether the proposed
collection of information is necessary
for the proper performance of the
functions of the agency, including
whether the information will have
practical utility;
• Evaluate the accuracy of the
agency’s estimate of the burden of the
proposed collection of information,
including the validity of the
methodology and assumptions used;
• Enhance the quality, utility, and
clarity of the information to be
collected; and
• Minimize the burden of the
collection of information on those who
are to respond, including through the
use of appropriate automated,
electronic, mechanical, or other
technological collection techniques or
other forms of information technology,
e.g., permitting electronic submission of
responses.
Agency: Employee Benefits Security
Administration.
Type of Review: Extension of
currently approved collection.
Title: Disclosures for Participant
Directed Individual Account Plans
under ERISA section 404(c).
OMB Number: 1210–0090.
Frequency: On occasion.
Type of Response: Third party
disclosure.
Affected Public: Business or other forprofit; Not-for-profit institutions; and
Individuals or households.
Number of Respondents: 245,000.
Number of Annual Responses:
30,164,000.
Estimated Time Per Respondent: 3.5
hours.
Total Burden Hours: 860,000.
Total Annualized capital/startup
costs: $0.
Total Annual Costs (operating/
maintaining systems or purchasing
services): $33,020,000.
Description: Section 404(c) of the
Employee Retirement Income Security
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10FEN1
Federal Register / Vol. 71, No. 28 / Friday, February 10, 2006 / Notices
rmajette on PROD1PC67 with NOTICES1
Act of 1974 (ERISA) (29 U.S.C. 1104(c))
provides that, if an individual account
pension plan permits a participant or
beneficiary to exercise control over
assets in his or her account and the
participant or beneficiary in fact
exercises such control (as determined
under regulations of the Department of
Labor), the participant or beneficiary
shall not be deemed to be a fiduciary by
such exercise of control and no person
otherwise a fiduciary to the plan shall
be liable for any loss or breach that
results solely from this exercise of
control.
The Department of Labor’s regulation
under section 404(c), codified at 29 CFR
2550.404c–1, describes the
circumstances in which a participant or
beneficiary in an individual account
plan is considered to have exercised
control over the assets in his or her
individual account so as to relieve a
fiduciary to the plan of liability relating
to the exercise of control. The regulation
specifies the manner in which an
individual account pension plan must
operate in allowing participants or
beneficiaries to allocate individual
account assets among available
investment alternatives, such that
section 404(c) will limit the plan
fiduciary’s liability for the investment
decision. The regulation provides,
among other things, that participants
and beneficiaries must have adequate
information on which to base
investment decisions. The regulation
specifies the information that a plan
must make available before a participant
first makes investment decisions; when
that information changes, for example
when the available investment options
under the plan change; and also upon
the participant’s and beneficiary’s
request. These information collection
provisions are necessary to ensure that
participants and beneficiaries are
adequately informed about investment
alternatives available under the plan,
their rights, and the consequences of
their investment decisions. Such
information is important in assisting
participants and beneficiaries in
understanding their investment risks
and achieving their retirement savings
goals.
Ira L. Mills,
Departmental Clearance Officer.
[FR Doc. E6–1826 Filed 2–9–06; 8:45 am]
BILLING CODE 4510–29–P
VerDate Aug<31>2005
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Jkt 208001
DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review:
Comment Request
February 2, 2005.
The Department of Labor (DOL) has
submitted the following public
information collection request (ICR) to
the Office of Management and Budget
(OMB) for review and approval in
accordance with the Paperwork
Reduction Act of 1995 (Pub. L. 104–13,
44 U.S.C. chapter 35). A copy of this
ICR, with applicable supporting
documentation, may be obtained by
contacting Darrin King on 202–693–
4129 (this is not a toll-free number) or
e-mail: king.darrin@dol.gov.
Comments should be sent to Office of
Information and Regulatory Affairs,
Attn: OMB Desk Officer for the
Employment Standards Administration
(ESA), Office of Management and
Budget, Room 10235, Washington, DC
20503, 202–395–7316 (this is not a tollfree number), within 30 days from the
date of this publication in the Federal
Register.
The OMB is particularly interested in
comments which:
• Evaluate whether the proposed
collection of information is necessary
for the proper performance of the
functions of the agency, including
whether the information will have
practical utility;
• Evaluate the accuracy of the
agency’s estimate of the burden of the
proposed collection of information,
including the validity of the
methodology and assumptions used;
• Enhance the quality, utility, and
clarity of the information to be
collected; and
• Minimize the burden of the
collection of information on those who
are to respond, including through the
use of appropriate automated,
electronic, mechanical, or other
technological collection techniques or
other forms of information technology,
e.g., permitting electronic submission of
responses.
Agency: Employment Standards
Administration.
Type of Review: Extension of
currently approved collection.
Title: The Remedial Education
Provisions of the Fair Labor Standards
Act.
OMB Number: 1215–0175.
Frequency: Weekly .
Type of Response: Recordkeeping .
Affected Public: Business or other forprofit; Not-for-profit institutions; and
State, Local, or Tribal Government .
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7073
Number of Respondents: 15,000.
Number of Annual Responses: 30,000.
Estimated Average Response Time: 10
minutes.
Total Annual Burden Hours: 5,000.
Total Annualized capital/startup
costs: $0.
Total Annual Costs (operating/
maintaining systems or purchasing
services): $0.
Description: These recordkeeping
requirements of 29 CFR 516.34 are for
employers utilizing the partial overtime
exemption for remedial education are
necessary to ensure employees are paid
in compliance with the remedial
education provisions of the Fair Labor
Standards Act, 29 U.S.C. 201 et seq.
Ira L. Mills,
Departmental Clearance Officer.
[FR Doc. E6–1827 Filed 2–9–06; 8:45 am]
BILLING CODE 4510–27–P
DEPARTMENT OF LABOR
Employment and Training
Administration
Investigations Regarding Certifications
of Eligibility To Apply for Worker
Adjustment Assistance
Petitions have been filed with the
Secretary of Labor under Section 221 (a)
of the Trade Act of 1974 (‘‘the Act’’) and
are identified in the Appendix to this
notice. Upon receipt of these petitions,
the Director of the Division of Trade
Adjustment Assistance, Employment
and Training Administration, has
instituted investigations pursuant to
Section 221(a) of the Act.
The purpose of each of the
investigations is to determine whether
the workers are eligible to apply for
adjustment assistance under Title II,
Chapter 2, of the Act. The investigations
will further relate, as appropriate, to the
determination of the date on which total
or partial separations began or
threatened to begin and the subdivision
of the firm involved.
The petitioners or any other persons
showing a substantial interest in the
subject matter of the investigations may
request a public hearing, provided such
request is filed in writing with the
Director, Division of Trade Adjustment
Assistance, at the address shown below,
not later than February 21, 2006.
Interested persons are invited to
submit written comments regarding the
subject matter of the investigations to
the Director, Division of Trade
Adjustment Assistance, at the address
shown below, not later than February
21, 2006.
E:\FR\FM\10FEN1.SGM
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Agencies
[Federal Register Volume 71, Number 28 (Friday, February 10, 2006)]
[Notices]
[Pages 7072-7073]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E6-1826]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review: Comment Request
February 1, 2006.
The Department of Labor (DOL) has submitted the following public
information collection request (ICR) to the Office of Management and
Budget (OMB) for review and approval in accordance with the Paperwork
Reduction Act of 1995 (Pub. L. 104-13, 44 U.S.C. chapter 35). A copy of
this ICR, with applicable supporting documentation, may be obtained by
contacting Darrin King on 202-693-4129 (this is not a toll-free number)
or e-mail: king.darrin@dol.gov.
Comments should be sent to Office of Information and Regulatory
Affairs, Attn: OMB Desk Officer for the Employee Benefits Security
Administration (EBSA), Office of Management and Budget, Room 10235,
Washington, DC 20503, 202-395-7316 (this is not a toll-free number),
within 30 days from the date of this publication in the Federal
Register.
The OMB is particularly interested in comments which:
Evaluate whether the proposed collection of information is
necessary for the proper performance of the functions of the agency,
including whether the information will have practical utility;
Evaluate the accuracy of the agency's estimate of the
burden of the proposed collection of information, including the
validity of the methodology and assumptions used;
Enhance the quality, utility, and clarity of the
information to be collected; and
Minimize the burden of the collection of information on
those who are to respond, including through the use of appropriate
automated, electronic, mechanical, or other technological collection
techniques or other forms of information technology, e.g., permitting
electronic submission of responses.
Agency: Employee Benefits Security Administration.
Type of Review: Extension of currently approved collection.
Title: Disclosures for Participant Directed Individual Account
Plans under ERISA section 404(c).
OMB Number: 1210-0090.
Frequency: On occasion.
Type of Response: Third party disclosure.
Affected Public: Business or other for-profit; Not-for-profit
institutions; and Individuals or households.
Number of Respondents: 245,000.
Number of Annual Responses: 30,164,000.
Estimated Time Per Respondent: 3.5 hours.
Total Burden Hours: 860,000.
Total Annualized capital/startup costs: $0.
Total Annual Costs (operating/maintaining systems or purchasing
services): $33,020,000.
Description: Section 404(c) of the Employee Retirement Income
Security
[[Page 7073]]
Act of 1974 (ERISA) (29 U.S.C. 1104(c)) provides that, if an individual
account pension plan permits a participant or beneficiary to exercise
control over assets in his or her account and the participant or
beneficiary in fact exercises such control (as determined under
regulations of the Department of Labor), the participant or beneficiary
shall not be deemed to be a fiduciary by such exercise of control and
no person otherwise a fiduciary to the plan shall be liable for any
loss or breach that results solely from this exercise of control.
The Department of Labor's regulation under section 404(c), codified
at 29 CFR 2550.404c-1, describes the circumstances in which a
participant or beneficiary in an individual account plan is considered
to have exercised control over the assets in his or her individual
account so as to relieve a fiduciary to the plan of liability relating
to the exercise of control. The regulation specifies the manner in
which an individual account pension plan must operate in allowing
participants or beneficiaries to allocate individual account assets
among available investment alternatives, such that section 404(c) will
limit the plan fiduciary's liability for the investment decision. The
regulation provides, among other things, that participants and
beneficiaries must have adequate information on which to base
investment decisions. The regulation specifies the information that a
plan must make available before a participant first makes investment
decisions; when that information changes, for example when the
available investment options under the plan change; and also upon the
participant's and beneficiary's request. These information collection
provisions are necessary to ensure that participants and beneficiaries
are adequately informed about investment alternatives available under
the plan, their rights, and the consequences of their investment
decisions. Such information is important in assisting participants and
beneficiaries in understanding their investment risks and achieving
their retirement savings goals.
Ira L. Mills,
Departmental Clearance Officer.
[FR Doc. E6-1826 Filed 2-9-06; 8:45 am]
BILLING CODE 4510-29-P