Notice of Agreements Filed, 54990-54991 [06-7798]
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jlentini on PROD1PC65 with NOTICES
54990
Federal Register / Vol. 71, No. 182 / Wednesday, September 20, 2006 / Notices
Commission’s copy contractor, Best
Copy and Printing, Inc. (BCPI), Portals
II, 445 12th Street, SW., Room CY–B402,
Washington, DC 20554, telephone 202–
488–5300, facsimile 202–488–5563, or
you may contact BCPI at its Web site:
https://www.BCPIWEB.com. When
ordering documents for BCPI, please
provide the appropriate FCC document
number, FCC 06–124. The Order also is
available on the Internet at the
Commission’s Web site through its
Electronic Document Management
System (EDOCS). The Commission’s
Internet address for EDOCS is: https://
hraunfoss.fcc.gov/edocs_public/
SilverStream/Pages/edocs.html.
Alternative formats are available to
persons with disabilities (Braille, large
print, electronic files, audio format).
Send an e-mail to fcc504@fcc.gov or call
the Consumer and Governmental Affairs
Bureau at 202–418–0530 (voice), (202)
418–0432 (tty).
Summary of the Order: In the Order
to Show Cause the Commission
commences a hearing proceeding before
an administrative law judge to
determine whether Commercial Radio
Service, Inc. (‘‘CRS’’) and Timothy M.
Doty (‘‘Doty’’) are qualified to be and
remain Commission licensees and, if
not, whether their respective
authorizations should be revoked. The
Order to Show Cause also inquires
whether a monetary forfeiture should be
assessed against CRS.
CRS is the licensee of one commercial
and four private land mobile stations.
Doty, a principal in CRS, holds, in his
individual capacity, a General
Radiotelephone Operator License and
an Amateur Radio License. Doty has
twice been convicted of felonies in State
and Federal courts. Subsequent to the
first of Doty’s felony convictions, CRS
filed at least two license applications
with the Commission in which CRS
answered ‘‘No’’ to the question
inquiring whether the applicant or any
party directly or indirectly controlling
the applicant had ever been convicted of
a felony in State or Federal court.
Subsequent to the second of Doty’s
felony convictions, CRS filed at least
five license renewal-only applications
with the Commission. By filing renewalonly applications rather than renewal/
modification applications, CRS failed to
provide information to the Commission
about Doty’s felony convictions that it
was otherwise required to disclose. In
each of the applications discussed
above, CRS certified that all of the
statements therein were true, complete,
correct, and made in good faith.
The Commission determined that
Doty’s felony convictions and CRS’’
apparent failures to inform the
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Commission about such felonies in
license applications filed with the
Commission raise substantial and
material questions as to their
qualifications to be and to remain
Commission licensees. Thus, pursuant
to sections 312 of the Communications
Act of 1934, as amended, 47 U.S.C. 312,
and § 1.91 of the Commission’s rules, 47
CFR 1.91, the Order to Show Cause
directs CRS and Doty to show cause
why their respective licenses should not
be revoked, upon the following issues:
1. To determine the effect of Mr.
Doty’s felony convictions on his
qualifications to be and to remain a
Commission licensee;
2. To determine the effect of Mr.
Doty’s felony convictions on the
qualifications of CRS to be and to
remain a Commission licensee;
3. To determine whether CRS made
misrepresentations and/or lacked
candor and/or violated Section 1.17 of
the Commission’s rules regarding the
felony convictions of Mr. Doty in any
applications filed with the Commission;
4. To determine whether CRS failed to
timely amend Commission applications
to disclose Mr. Doty’s felony
convictions, in violation of Section 1.65
of the Commission’s rules;
5. To determine whether CRS made
false certifications in any applications
filed with the Commission;
6. To determine, in light of the
evidence adduced pursuant to the
foregoing issues, whether Mr. Doty is
qualified to be and to remain a
Commission licensee;
7. To determine, in light of the
evidence adduced pursuant to the
foregoing issues, whether CRS is
qualified to be and to remain a
Commission licensee;
8. To determine, in light of the
evidence adduced pursuant to the
foregoing issues, whether the abovecaptioned licenses of Mr. Doty should
be revoked;
9. To determine, in light of the
evidence adduced pursuant to the
foregoing issues (1) through (7), whether
the above-captioned licenses of CRS
should be revoked.
The Order to Show Cause also directs
that, irrespective of the resolution of the
foregoing issues, it shall be determined,
pursuant to section 503 of the
Communications Act of 1934, as
amended, 47 U.S.C 503, whether an
Order of Forfeiture in the amount not to
exceed $11,000 for each violation or
each day of a continuing violation, up
to a total of $97,500 for any single act
or failure to act should be issued against
CRS for having failed to disclose Doty’s
felony convictions in one or more of its
applications, in willful and/or repeated
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violation of §§ 1.17 and 1.65 of the
Commission’s rules, 47 CFR 1.17 and
1.65.
The hearing will be held at a time and
place to be specified in a subsequent
order.
Copies of the Order to Show Cause are
being sent by Certified Mail, Return
Receipt Requested, to CRS, Doty, and
counsel for CRS.
To avail themselves of the
opportunity to be heard and the right to
present evidence in the hearing in this
proceeding, pursuant to section 312 of
the Communications Act of 1934, as
amended, 47 U.S.C. 312, and § 1.91 of
the Commission’s Rules, 47 CFR 1.91,
an officer representative of CRS and
Timothy M. Doty, in person or by their
respective attorneys, must file with the
Commission, not later than September
29, 2006, a written appearance in
triplicate stating that they will appear
on the date fixed for hearing and present
evidence on the issues specified herein.
Federal Communications Commission.
Marlene H. Dortch,
Secretary.
[FR Doc. 06–7906 Filed 9–19–06; 8:45 am]
BILLING CODE 6712–01–P
FEDERAL ELECTION COMMISSION
Sunshine Act Notices
DATE AND TIME:
September 26, 2006 at 10
a.m.
PLACE:
999 E Street, NW., Washington,
DC.
This meeting will be closed to
the public.
ITEMS TO BE DISCUSSED: Compliance
matters pursuant to 2 U.S.C. 437g.
Audits conducted pursuant to 2 U.S.C.
437g, 438(b), and Title 26, U.S.C.
Matters concerning participation in civil
actions or proceedings or arbitration.
Internal personnel rules and procedures
or matters affecting a particular
employee.
PERSON TO CONTACT FOR INFORMATION:
Mr. Robert Biersack, Press Officer,
Telephone: (202) 694–1220.
STATUS:
Mary W. Dove,
Secretary of the Commission.
[FR Doc. 06–7962 Filed 9–8–06; 3:05 pm]
BILLING CODE 6715–01–M
FEDERAL MARITIME COMMISSION
Notice of Agreements Filed
The Commission hereby gives notice
of the filing of the following agreements
under the Shipping Act of 1984.
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Federal Register / Vol. 71, No. 182 / Wednesday, September 20, 2006 / Notices
Interested parties may submit comments
on an agreement to the Secretary,
Federal Maritime Commission,
Washington, DC 20573, within ten days
of the date this notice appears in the
Federal Register. Copies of agreements
are available through the Commission’s
Office of Agreements (202–523–5793 or
tradeanalysis@fmc.gov).
Agreement No.: 010714–040.
Title: Trans-Atlantic American Flag
Liner Operators Agreement.
Parties: A.P. Moller-Maersk A/S;
American President Lines, Ltd.;
American Roll-On Roll-Off Carrier, LLC;
and Hapag-Lloyd USA, LLC.
Filing Party: Howard A. Levy, Esq.; 80
Wall Street, Suite 1117; New York, NY
10005.
Synopsis: The amendment changes
the name of CP Ships (USA) LLC to
Hapag-Lloyd USA, LLC.
Agreement No.: 201173.
Title: UMS P&O Ports Marine
Terminal Agreement.
Parties: P&O Ports North America,
Inc. and Universal Maritime Service
Corporation.
Filing Party: Neal M. Mayer, Esq.;
Hoppel, Mayer & Coleman; 1050
Connecticut Avenue, NW.; 10th Floor;
Washington, DC 20036.
Synopsis: The agreement would
authorize the parties to discuss, on a
voluntary and non-binding basis, issues
relating to possible cooperation with
respect to matters relating to marine
terminal operation and services in
Baltimore.
By order of the Federal Maritime
Commission.
Dated: September 15, 2006.
Bryant L. VanBrakle,
Secretary.
[FR Doc. 06–7798 Filed 9–19–06; 8:45 am]
BILLING CODE 6730–01–P
FEDERAL MARITIME COMMISSION
Ocean Transportation Intermediary
License; Applicants
Notice is hereby given that the
following applicants have filed with the
Federal Maritime Commission an
application for license as a Non-VesselOperating Common Carrier and Ocean
Freight Forwarder—Ocean
Transportation Intermediary pursuant to
section 19 of the Shipping Act of 1984
as amended (46 U.S.C. app. 1718 and 46
CFR part 515).
Persons knowing of any reason why
the following applicants should not
receive a license are requested to
contact the Office of Transportation
Intermediaries, Federal Maritime
Commission, Washington, DC 20573.
Non-Vessel—Operating Common Carrier
Ocean Transportation Intermediary
Applicants:
China International Freight (USA),
LLC, 1100 Larkspur Landing Circle,
Suite 290, Larkspur, CA 94939.
Officers: Thomas R. Waters,
President, (Qualifying Individual),
Layne Dorr, Vice President.
Unique Logistics International (NYC),
LLC, One Cross Island Plaza, Suite
305, Rosedale, NY 11422. Officers:
Dawn Lowry, Treasurer, (Qualifying
Individual), John Fitzpatrick,
Manager.
Seamster Logistics Inc. dba Seamaster
Logistics, 547 Boulevard,
Kenilworth, NJ 07033. Officers:
Richard Shannon, Asst. Secretary,
(Qualifying Individual), Peter
Stone, President.
16 East Tremont Corp. dba American
& Caribbean Shipping, 13 East
Tremont Avenue, Bronx, NY 10453.
Officers: Nuris Estela Minaya, Vice
President, (Qualifying Individual),
Santiago Batista, President.
JWJ Express Inc., 149–23 182nd
Street, Suite 100, Jamaica, NY
11413. Officers: Fan Gho Kung,
Vice President, (Qualifying
Individual), Sanghwan Lee,
President.
Non-Vessel—Operating Common Carrier
and Ocean Freight Forwarder
Transportation Intermediary
Applicants:
Freight It, Inc., 11222 La Cienega
Blvd., Suite 471, Inglewood, CA
90304. Officers: Taher C. Hussaini,
54991
CEO, (Qualifying Individual), Amir
G. Fekri, Vice President.
Maritima Auto Exports, Inc., Edificio
1026 Caretera 28-Zona, (Port)
Portuaria, Puerto Nuevo, PR 00920.
Officer: Michael A. Feliciano,
President, (Qualifying Individual).
Transplace International, Inc., 509
Enterprise Drive, Lowell, AR 72745.
Officers: Kevin L. Higgins, Vice
Pres. Logistics, (Qualifying
Individual), Jun-Sheng Li,
President.
Ocean Freight Forwarder—Ocean
Transportation Intermediary
Applicants
All Shore Forwarders, Ltd., One River
Centre, 331 Newman Springs Road,
Red Bank, NJ 07701. Officers: Brian
A. Weiner, President, (Qualifying
Individual).
Haines International, Inc., 1450
Church Street, Rahway, NJ 07065.
Officers: Craig M. Haines, President,
(Qualifying Individual).
Dated:September 15, 2006.
Bryant L. VanBrakle,
Secretary.
[FR Doc. 06–7799 Filed 9–19–06; 8:45 am]
BILLING CODE 6730–01–P
FEDERAL MARITIME COMMISSION
Ocean Transportation Intermediary
License; Reissuances
Notice is hereby given that the
following Ocean Transportation
Intermediary licenses have been
reissued by the Federal Maritime
Commission pursuant to section 19 of
the Shipping Act of 1984, (46 U.S.C.
app. 1718) and the regulations of the
Commission pertaining to the licensing
of Ocean Transportation Intermediaries,
46 CFR part 515.
Name/address
Date reissued
017198F ..........
016012F ..........
jlentini on PROD1PC65 with NOTICES
License No.
OMJ International Freight Inc., 8423 NW., 68th Street, Miami, FL 33166 ...........................................................
Samari Global Trade, Inc., 1310 Beach Avenue, Bronx, NY 10472 ....................................................................
June 23, 2006.
June 4, 2006.
Peter J. King,
Deputy Director, Bureau of Certification, and
Licensing.
[FR Doc. 06–7806 Filed 9–19–06; 8:45 am]
FEDERAL RESERVE SYSTEM
BILLING CODE 6730–01–P
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
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17:40 Sep 19, 2006
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Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
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Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR Part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownership of, control of, or
the power to vote shares of a bank or
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Agencies
[Federal Register Volume 71, Number 182 (Wednesday, September 20, 2006)]
[Notices]
[Pages 54990-54991]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 06-7798]
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FEDERAL MARITIME COMMISSION
Notice of Agreements Filed
The Commission hereby gives notice of the filing of the following
agreements under the Shipping Act of 1984.
[[Page 54991]]
Interested parties may submit comments on an agreement to the
Secretary, Federal Maritime Commission, Washington, DC 20573, within
ten days of the date this notice appears in the Federal Register.
Copies of agreements are available through the Commission's Office of
Agreements (202-523-5793 or tradeanalysis@fmc.gov).
Agreement No.: 010714-040.
Title: Trans-Atlantic American Flag Liner Operators Agreement.
Parties: A.P. Moller-Maersk A/S; American President Lines, Ltd.;
American Roll-On Roll-Off Carrier, LLC; and Hapag-Lloyd USA, LLC.
Filing Party: Howard A. Levy, Esq.; 80 Wall Street, Suite 1117; New
York, NY 10005.
Synopsis: The amendment changes the name of CP Ships (USA) LLC to
Hapag-Lloyd USA, LLC.
Agreement No.: 201173.
Title: UMS P&O Ports Marine Terminal Agreement.
Parties: P&O Ports North America, Inc. and Universal Maritime
Service Corporation.
Filing Party: Neal M. Mayer, Esq.; Hoppel, Mayer & Coleman; 1050
Connecticut Avenue, NW.; 10th Floor; Washington, DC 20036.
Synopsis: The agreement would authorize the parties to discuss, on
a voluntary and non-binding basis, issues relating to possible
cooperation with respect to matters relating to marine terminal
operation and services in Baltimore.
By order of the Federal Maritime Commission.
Dated: September 15, 2006.
Bryant L. VanBrakle,
Secretary.
[FR Doc. 06-7798 Filed 9-19-06; 8:45 am]
BILLING CODE 6730-01-P