July 6, 2006 Public Hearing, 36834 [06-5813]
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36834
Federal Register / Vol. 71, No. 124 / Wednesday, June 28, 2006 / Notices
II. Further Information
Documents related to this action,
including the application for
amendment and supporting
documentation, are available
electronically at the NRC’s Electronic
Reading Room at https://www.nrc.gov/
reading-rm/adams.html. From this site,
you can 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
number for the document related to this
notice is ML061160195. If you do not
have access to ADAMS or if there are
problems in accessing the documents
located in ADAMS, contact the NRC
Public Document Room (PDR) Reference
staff at 1–800–397–4209, 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, O 1 F21, One
White Flint North, 11555 Rockville
Pike, Rockville, MD 20852. The PDR
reproduction contractor will copy
documents for a fee.
Dated at Rockville, Maryland, this 21st day
of June, 2006.
For the Nuclear Regulatory Commission.
Gary S. Janosko,
Chief, Fuel Cycle Facilities Branch, Division
of Fuel Cycle Safety and Safeguards, Office
of Nuclear Material Safety and Safeguards.
[FR Doc. E6–10194 Filed 6–27–06; 8:45 am]
BILLING CODE 7590–01–P
OVERSEAS PRIVATE INVESTMENT
CORPORATION
July 6, 2006 Public Hearing
jlentini on PROD1PC65 with NOTICES
OPIC’s Sunshine Act notice of its
Public Hearing in Conjunction with
each Board meeting was published in
the Federal Register (Volume 71,
Number 109, Page 33006) June 7, 2006.
No requests were received to provide
testimony or submit written statements
for the record; therefore, OPIC’s public
hearing in conjunction with OPIC’s July
13, 2006 Board of Directors meeting
scheduled for 2 p.m. on July 6, 2006 has
been cancelled.
FOR FURTHER INFORMATION CONTACT:
Information on the hearing cancellation
may be obtained from Connie M. Downs
at (202) 336–8438, via facsimile at (202)
218–0136, or via e-mail at
cdown@opic.gov.
Dated: June 26, 2006.
Connie M. Downs,
OPIC Corporate Secretary.
[FR Doc. 06–5813 Filed 6–26–06; 12:33 pm]
BILLING CODE 3210–01–M
VerDate Aug<31>2005
19:43 Jun 27, 2006
Jkt 208001
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IC–27416; File No. 812–13180]
Cohen & Steers VIF Realty Fund, Inc.
et al.; Notice of Application
June 22, 2006.
Securities and Exchange
Commission (‘‘SEC’’ or the
‘‘Commission’’).
ACTION: Notice of Application for
Exemption pursuant to Section 6(c) of
the Investment Company Act of 1940, as
amended (the ‘‘1940 Act’’), for an
exemption from the provisions of
Sections 9(a), 13(a), 15(a) and 15(b) of
the Act and Rules 6e–2(b)(15) and 6e–
3(T)(b)(15) thereunder.
AGENCY:
Cohen & Steers VIF Realty
Fund, Inc. (the ‘‘Fund’’) and Cohen &
Steers Capital Management, Inc. (the
‘‘Investment Adviser’’) (collectively the
‘‘Applicants’’).
SUMMARY OF APPLICATION: Applicants
request an order pursuant to Section
6(c) of the 1940 Act exempting certain
life insurance companies and their
separate accounts that currently invest
in or may hereafter invest in the Fund
from the provisions of Sections 9(a),
13(a), 15(a) and 15(b) of the Act and
Rules 6e–2(b)(15) and 6e–3(T)(b)(15)
thereunder, to the extent necessary to
permit shares of the Fund (the
‘‘Shares’’), and shares of any existing or
future investment company that is
designed to fund insurance products
and for which the Investment Adviser or
any of its affiliates, may serve as
investment adviser, investment
manager, subadviser, administrator,
principal underwriter or sponsor
(collectively the ‘‘Insurance Funds’’) to
be sold to and held by: (a) Separate
accounts funding variable annuity
contracts and variable life insurance
policies (collectively ‘‘Variable
Contracts’’) issued by both affiliated life
insurance companies and unaffiliated
life insurance companies; (b) trustees of
qualified group pension and group
retirement plans outside of the separate
account context, (‘‘Qualified Plans’’); (c)
separate accounts that are not registered
as investment companies under the
1940 Act pursuant to exemptions from
registration under Section 3(c) of the
1940 Act; (d) the Investment Adviser or
any successor in interest to the
Investment Adviser (‘‘Adviser’’) for the
purpose of providing seed capital to an
Insurance Fund; and (e) any other
account of a Participating Insurance
Company permitted to hold shares of an
Insurance Fund (‘‘General Accounts’’).
APPLICANTS:
PO 00000
Frm 00082
Fmt 4703
Sfmt 4703
The Application was filed
on March 28, 2005 and amended and
restated on October 3, 2005 and June 16,
2006.
HEARING OR NOTIFICATION OF HEARING: If
no hearing is ordered, the requested
exemption will be granted. Any
interested person may request a hearing
on this Application, or ask to be notified
if a hearing is ordered. Any requests
must be received by the Commission by
5:30 p.m. on July 19, 2006. Request a
hearing in writing, giving the nature of
your interest, the reason for the request,
and the issues you contest. Serve the
Applicants with the request, either
personally or by mail, and also send it
to the Secretary of the Commission,
along with proof of service by affidavit,
or in the case of any attorney-at-law by
certificate. Request notification of the
date of a hearing by writing to the
Secretary of the Commission.
ADDRESSES: The Commission: Secretary,
Securities and Exchange Commission,
100 F Street, NE., Washington, DC
20549–1090; Applicants: C/O Lawrence
B. Stoller, Esq., 280 Park Avenue, New
York, NY 10017.
FOR FURTHER INFORMATION CONTACT:
Rebecca A. Marquigny, Senior Counsel,
or Joyce M. Pickholz, Branch Chief,
Office of Insurance Products, Division of
Investment Management, at (202) 551–
6795.
SUPPLEMENTARY INFORMATION: The
following is a summary of the
Application. The complete Application
is available for a fee from the
Commission’s Public Reference Branch,
SEC’s Public Reference Branch, 100 F
Street, NE., Room 1580, Washington, DC
20549 (telephone (202) 551–8090).
FILING DATE:
Applicant’s Representations
1. Each Insurance Funds is, or will be,
registered under the 1940 Act as an
open-end management investment
company. The Fund (1940 Act
Registration No. 811–21669) was
incorporated under Maryland law on
November 10, 2004 and is registered
under the 1940 Act as a non-diversified
management investment company. The
Fund’s registration statement became
effective on January 27, 2005. The
Fund’s Shares are not sold to the general
public, but are currently offered to
separate accounts funding variable
annuity contracts issued by Merrill
Lynch Life Insurance Company, ML Life
Insurance Company of New York and
affiliated entities.
2. The Investment Adviser was
organized in 1986, under the laws of the
State of New York, and registered with
the Commission under the Investment
Advisers Act of 1940. The Investment
E:\FR\FM\28JNN1.SGM
28JNN1
Agencies
[Federal Register Volume 71, Number 124 (Wednesday, June 28, 2006)]
[Notices]
[Page 36834]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 06-5813]
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OVERSEAS PRIVATE INVESTMENT CORPORATION
July 6, 2006 Public Hearing
OPIC's Sunshine Act notice of its Public Hearing in Conjunction
with each Board meeting was published in the Federal Register (Volume
71, Number 109, Page 33006) June 7, 2006. No requests were received to
provide testimony or submit written statements for the record;
therefore, OPIC's public hearing in conjunction with OPIC's July 13,
2006 Board of Directors meeting scheduled for 2 p.m. on July 6, 2006
has been cancelled.
FOR FURTHER INFORMATION CONTACT: Information on the hearing
cancellation may be obtained from Connie M. Downs at (202) 336-8438,
via facsimile at (202) 218-0136, or via e-mail at cdown@opic.gov.
Dated: June 26, 2006.
Connie M. Downs,
OPIC Corporate Secretary.
[FR Doc. 06-5813 Filed 6-26-06; 12:33 pm]
BILLING CODE 3210-01-M