Leadership Conference on Medical Education in Substance Abuse, November 30-December 1, 2006, 63359-63360 [E6-18089]
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Federal Register / Vol. 71, No. 209 / Monday, October 30, 2006 / Notices
developing standards for Rich Internet
Application Ad Measurement
Guidelines and Click Measurement
Guidelines.
On September 17, 2004, IAB filed its
original notification pursuant to Section
6(a) of the Act. The Department of
Justice published a notice in the Federal
Register pursuant to Section 6(b) of the
Act on October 21, 2004 (69 FR 61868).
The last notification was filed with
the Department on June 1, 2006. A
notice was published in the Federal
Register pursuant to Section 6(b) of the
Act on June 28, 2006 (71 FR 36829).
Patricia A. Brink,
Deputy Director of Operations, Antitrust
Division.
[FR Doc. 06–8947 Filed 10–27–06; 8:45 am]
BILLING CODE 4410–11–M
DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review:
Comment Request
sroberts on PROD1PC70 with NOTICES
October 23, 2006.
The Department of Labor (DOL) has
submitted the following public
information collection requests (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 each
ICR, with applicable supporting
documentation, may be obtained from
RegInfo.gov at https://www.reginfo.gov/
public/do/PRAMain or by contacting
Darrin King on 202–693–4129 (this is
not a toll-free number) / e-mail:
king.darrin@dol.gov.
Comments should be sent to Office of
Information and Regulatory Affairs,
Attn: OMB Desk Officer for the Mine
Safety and Health Administration
(MSHA), Office of Management and
Budget, Room 10235, Washington, DC
20503, Telephone: 202–395–7316 / Fax:
202–395–6974 (these are not a toll-free
numbers), 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;
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02:16 Oct 28, 2006
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• 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: Mine Safety and Health
Administration.
Type of Review: Extension without
change of currently approved collection.
Title: Daily Inspection of Surface Coal
Mines; Certified Person; Reports of
Inspection (Pertains to Surface Coal
Mines).
OMB Number: 1219–0083.
Type of Response: Recordkeeping.
Affected Public: Private Sector:
Business or other for-profit.
Number of Respondents: 1,620.
Estimated Number of Annual
Responses: 492,480.
Average Response Time:
Approximately 1.5 hours.
Estimated Annual Burden Hours:
738,720.
Total Annualized capital/startup
costs: $0.
Total Annual Costs (operating/
maintaining systems or purchasing
services): $0.
Description: Section 77.1713, Title 30
of the Code of Federal Regulations
requires coal mine operators to conduct
examinations of each active working
area of surface mines, active surface
installations at these mines, and
preparation plants not associated with
underground coal mines for hazardous
conditions during each shift. A report of
hazardous conditions detected must be
entered into a record book along with a
description of any corrective actions
taken.
The records are used by MSHA
inspectors to determine compliance
with the standard, and that any hazards
found have either been corrected or
barricaded. These records are used by
mine operators to identify areas of the
mine or equipment that present hazards
to miners and, therefore, must be
corrected to prevent miner injuries or
death. Repeated hazardous conditions
in any area or involving a particular
piece of equipment would indicate to
the operator the need for modification of
operating procedures or replacement or
repair of equipment.
Agency: Mine Safety and Health
Administration.
Type of Review: Extension without
change of currently approved collection.
Title: Explosive Materials and
Blasting Units (pertains to metal and
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63359
nonmetal underground mines deemed
to be gassy).
OMB Number: 1219–0095.
Type of Response: Reporting.
Affected Public: Private Sector:
Business or other for-profit.
Number of Respondents: 1.
Estimated Number of Annual
Responses: 1.
Average Response Time: 1 hour.
Estimated Annual Burden Hours: 1.
Total Annualized capital/startup
costs: $0.
Total Annual Costs (operating/
maintaining systems or purchasing
services): $0.
Description: Under Title 30 U.S. Code
of Federal Regulations Parts 7 and
MSHA evaluates and approves
explosive materials and blasting units as
permissible for use in the mining
industry. However, since there are no
permissible explosives or blasting units
available that have adequate blasting
capacity for some metal and nonmetal
gassy mines, 30 CFR 57.22606(a)
outlines the procedures for mine
operators to follow when using nonapproved explosive materials and
blasting units. The standard provides
that mine operators of metal or
nonmetal gassy mines must notify
MSHA in writing prior to their use of
non-approved explosive materials and
blasting units. MSHA then evaluates the
non-approved explosive materials and
determines whether they are safe for use
in a potentially gassy environment.
MSHA uses the information provided
by the mine operator to determine
whether non-approved blasting
materials and explosives and
procedures are safe for use in a gassy
underground metal or nonmetal mine.
Without such determinations, miners
may be exposed to significant safety
risks.
Ira L. Mills,
Departmental Clearance Officer.
[FR Doc. E6–18160 Filed 10–27–06; 8:45 am]
BILLING CODE 4510–43–P
OFFICE OF NATIONAL DRUG
CONTROL POLICY
Leadership Conference on Medical
Education in Substance Abuse,
November 30–December 1, 2006
Office of National Drug Control
Policy.
ACTION: Notice.
AGENCY:
SUMMARY: A conference of leaders in the
field of medical education in substance
abuse will be held on Thursday,
November 30 and Friday, December 1,
E:\FR\FM\30OCN1.SGM
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63360
Federal Register / Vol. 71, No. 209 / Monday, October 30, 2006 / Notices
2006, at the Westin Embassy Row Hotel,
Massachusetts Avenue, NW.,
Washington, DC. The conference will
begin at 6 p.m. on Thursday, November
30 and conclude at 5:30 p.m. on Friday,
December 1. The specific objectives of
the Leadership Conference are: (1) To
enhance awareness of the contribution
substance abuse screening and brief
intervention programs can make to
public health in the United States; (2)
To identify best practices to cope with
emerging patterns of drug-specific
abuse; (3) To receive reports on
improvements in medical education in
drug and alcohol-related disorders; and
(4) To encourage the development of
medical education curricula on alcohol
and other drug related disorders.
Members of the public who wish to
attend the meeting should telephone
ONDCP’s Leadership Conference on
Medical Education telephone line at
(202) 395–6750 to arrange building
access.
FOR FURTHER INFORMATION CONTACT:
´
Martha Gagnea at (202) 395–6750.
Dated: October 24, 2006.
Linda V. Priebe,
Assistant General Counsel.
[FR Doc. E6–18089 Filed 10–27–06; 8:45 am]
BILLING CODE 3180–02–P
SECURITIES AND EXCHANGE
COMMISSION
Submissions for OMB Review;
Comment Request
Upon written request; copies available
from: Securities and Exchange
Commission, Office of Filings and
Information Services, Washington, DC
20549.
sroberts on PROD1PC70 with NOTICES
Extensions:
Form T–1, OMB Control No. 3235–0110,
SEC File No. 270–121.
Form T–2, OMB Control No. 3235–0111,
SEC File No. 270–122.
Form T–3, OMB Control No. 3235–0105,
SEC File No. 270–123.
Form T–4, OMB Control No. 3235–0107,
SEC File No. 270–124.
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 these
requests for extension of the previously
approved collections of information
discussed below.
Form T–1 (17 CFR 269.1) is a
statement of eligibility and qualification
under the Trust Indenture Act of 1939
(15 U.S.C. 77aaa et seq.) of a corporation
designated to act as a trustee. The
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02:16 Oct 28, 2006
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information is used to determine
whether the trustee is qualified to serve
under the indenture. Form T–1 is filed
on occasion. The information required
by Form T–1 is mandatory. This
information is publicly available on
EDGAR. Form T–1 takes approximately
15 hours per response to prepare and is
filed by 13 respondents. We estimate
that 25% of the 15 hours per response
(4 hours) is prepared by the company
for a total annual reporting burden of 52
hours (4 hours per response × 13
responses). The remaining 75% of the
burden hours is attributed to outside
cost.
Form T–2 (17 CFR 269.2) is a
statement of eligibility of an individual
trustee to serve under an indenture
relating to debt securities offered
publicly. The information is used to
determine whether the trustee is
qualified to serve under the indenture.
Form T–2 is filed on occasion. The
information required by Form T–2 is
mandatory. This information is publicly
available on EDGAR. Form T–2 takes
approximately 9 hours per response to
prepare and is filed by 36 respondents.
We estimate that 25% of the 9 hours per
response (2 hours) is prepared by the
filer for a total annual reporting burden
of 72 hours (2 hours per response × 36
responses). The remaining 75% of the
burden hours is attributed to outside
cost.
Form T–3 (17 CFR 269.3) is an
application for qualification of an
indenture under the Trust Indenture Act
of 1939 (15 U.S.C. 77aaa et seq.). The
information provided by Form T–3 is
used by the staff to decide whether to
qualify an indenture relating to
securities offered to the public in an
offering registered under the Securities
Act of 1933 (15 U.S.C. 77a et seq.). Form
T–3 is filed on occasion. The
information required by Form T–3 is
mandatory. This information is publicly
available on EDGAR. Form T–3 takes
approximately 43 hours per response to
prepare and is filed by 78 respondents.
We estimate that 25% of the 43 hours
per response (11 hours) is prepared by
the filer for a total annual reporting
burden of 858 hours (11 hours per
response × 78 responses). The remaining
75% of the burden hours is attributed to
outside cost.
Form T–4 (17 CFR 269.4) is used to
apply for an exemption pursuant to
Section 304(c) (15 U.S.C. 77ddd(c)) of
the Trust Indenture Act of 1939 (15
U.S.C. 77aaa et seq.) and is transmitted
to shareholders. Form T–4 is filed on
occasion. The information required by
Form T–4 is mandatory. This
information is publicly available on
EDGAR. Form T–4 takes approximately
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5 hours per response to prepare and is
filed by 3 respondents. We estimate that
25% of the 5 hours per response (1
hour) is prepared by the filer for a total
annual reporting burden of 3 hours (1
hour per response × 3 responses). The
remaining 75% of the burden hours is
attributed to outside cost.
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.
Written comments regarding the
above information should be directed to
the following persons: (i) Desk Officer
for the Securities and Exchange
Commission, Office of Information and
Regulatory Affairs, Office of
Management and Budget, Room 10102,
New Executive Office Building,
Washington, DC 20503 or send an email to David_Rostker@omb.eop.gov;
and (ii) R. Corey Booth, Director/Chief
Information Officer, Securities and
Exchange Commission, C/O Shirley
Martinson 6432 General Green Way,
Alexandria, Virginia 22312; or send an
e-mail to: PRA_Mailbox@sec.gov.
Comments must be submitted to OMB
within 30 days of this notice.
Dated: October 23, 2006.
Nancy M. Morris,
Secretary.
[FR Doc. E6–18141 Filed 10–27–06; 8:45 am]
BILLING CODE 8011–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IC–27526; File No. 812–13316]
AXA Equitable Life Insurance
Company, et al.; Notice of Application
October 24, 2006.
Securities and Exchange
Commission (SEC).
ACTION: Notice of application for an
order pursuant to Section 26(c) of the
Investment Company Act of 1940
(‘‘1940 Act’’ or ‘‘Act’’), approving
certain substitutions of securities and
for an order of exemption pursuant to
Section 17(b) of the Act.
AGENCY:
Applicants: AXA Equitable Life
Insurance Company (‘‘AXA Equitable’’),
Separate Account A of AXA Equitable
(‘‘Separate Account A’’), Separate
Account FP of AXA Equitable
(‘‘Separate Account FP’’) and Separate
Account No. 49 of AXA Equitable
(‘‘Separate Account 49’’) (collectively,
the ‘‘Section 26 Applicants’’); and AXA
Equitable, Separate Account A, Separate
Account FP, Separate Account 49,
Separate Account No. 65 of AXA
E:\FR\FM\30OCN1.SGM
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Agencies
[Federal Register Volume 71, Number 209 (Monday, October 30, 2006)]
[Notices]
[Pages 63359-63360]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E6-18089]
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OFFICE OF NATIONAL DRUG CONTROL POLICY
Leadership Conference on Medical Education in Substance Abuse,
November 30-December 1, 2006
AGENCY: Office of National Drug Control Policy.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: A conference of leaders in the field of medical education in
substance abuse will be held on Thursday, November 30 and Friday,
December 1,
[[Page 63360]]
2006, at the Westin Embassy Row Hotel, Massachusetts Avenue, NW.,
Washington, DC. The conference will begin at 6 p.m. on Thursday,
November 30 and conclude at 5:30 p.m. on Friday, December 1. The
specific objectives of the Leadership Conference are: (1) To enhance
awareness of the contribution substance abuse screening and brief
intervention programs can make to public health in the United States;
(2) To identify best practices to cope with emerging patterns of drug-
specific abuse; (3) To receive reports on improvements in medical
education in drug and alcohol-related disorders; and (4) To encourage
the development of medical education curricula on alcohol and other
drug related disorders. Members of the public who wish to attend the
meeting should telephone ONDCP's Leadership Conference on Medical
Education telephone line at (202) 395-6750 to arrange building access.
FOR FURTHER INFORMATION CONTACT: Martha Gagne[aacute] at (202) 395-
6750.
Dated: October 24, 2006.
Linda V. Priebe,
Assistant General Counsel.
[FR Doc. E6-18089 Filed 10-27-06; 8:45 am]
BILLING CODE 3180-02-P