Sunshine Act Notices, 9529-9530 [07-995]
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Federal Register / Vol. 72, No. 41 / Friday, March 2, 2007 / Notices
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ROUTINE USES OF RECORDS MAINTAINED IN THE
SYSTEM, INCLUDING CATEGORIES OF USERS AND
THE PURPOSES OF SUCH USES:
In addition to those disclosures
generally permitted under 5 U.S.C.
552a(b) of the Privacy Act, all or a
portion of the records or information
contained in this system may be
disclosed outside the FDIC as a routine
use as follows:
(1) To appropriate Federal, State, and
local authorities responsible for
investigating or prosecuting a violation
of, or for enforcing or implementing a
statute, rule, regulation, or order issued,
when the information indicates a
violation or potential violation of law,
whether civil, criminal, or regulatory in
nature, and whether arising by general
statute or particular program statute, or
by regulation, rule, or order issued
pursuant thereto;
(2) To a court, magistrate, or other
administrative body in the course of
presenting evidence, including
disclosures to counsel or witnesses in
the course of civil discovery, litigation,
or settlement negotiations or in
connection with criminal proceedings,
when the FDIC is a party to the
proceeding or has a significant interest
in the proceeding, to the extent that the
information is determined to be relevant
and necessary;
(3) To a congressional office in
response to an inquiry made by the
congressional office at the request of the
individual who is the subject of the
record;
(4) To appropriate Federal, State, local
authorities, and other entities when (a)
It is suspected or confirmed that the
security or confidentiality of
information in the system has been
compromised; (b) there is a risk of harm
to economic or property interests,
identity theft or fraud, or harm to the
security or integrity of this system or
other systems or programs that rely
upon the compromised information; and
(c) the disclosure is made to such
agencies, entities, and persons who are
reasonably necessary to assist in efforts
to respond to the suspected or
confirmed compromise and prevent,
minimize, or remedy such harm;
(5) To appropriate Federal, State, and
local authorities in connection with
hiring or retaining an individual,
conducting a background security or
suitability investigation, adjudication of
liability, or eligibility for a license,
contract, grant, or other benefit;
(6) To appropriate Federal, State, and
local authorities, agencies, arbitrators,
and other parties responsible for
processing any personnel actions or
conducting administrative hearings or
corrective actions or grievances or
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appeals, or if needed in the performance
of other authorized duties;
(7) To appropriate Federal agencies
and other public authorities for use in
records management inspections;
(8) To officials of a labor organization
when relevant and necessary to their
duties of exclusive representation
concerning personnel policies,
practices, and matters affecting working
conditions;
(9) To contractors, grantees,
volunteers, and others performing or
working on a contract, service, grant,
cooperative agreement, or project for the
Federal Government.
POLICIES AND PRACTICES FOR STORING,
RETRIEVING, ACCESSING, RETAINING, AND
DISPOSING OF RECORDS IN THE SYSTEM:
STORAGE:
Records are stored in electronic media
or in paper format within individual file
folders.
RETRIEVABILITY:
Records are indexed and retrieved by
the name of the permit holder,
employee identification number, or
license tag number.
SAFEGUARDS:
Electronic records are passwordprotected and accessible only by
authorized personnel. Paper records are
maintained in lockable metal file
cabinets accessible only to authorized
personnel.
RETENTION AND DISPOSAL:
Records are retained in accordance
with National Archives and Records
Administration and FDIC Records
Retention and Disposition Schedules.
Disposal is by shredding or other
appropriate disposal systems.
9529
information maintained in this system
of records should specify the
information being contested, their
reasons for contesting it, and the
proposed amendment to such
information in accordance with FDIC
regulations at 12 CFR part 310.
RECORD SOURCE CATEGORIES:
The sources of records in this category
include the individuals to whom the
records pertain, information retrieved
from official FDIC records, or
information from other agency parking
records.
EXEMPTIONS CLAIMED FOR THE SYSTEM:
None.
Appendix A
FDIC Atlanta Regional Office, 10 Tenth
Street, NE., Suite 800, Atlanta, GA 30309–
3906.
FDIC Boston Regional Office, 18 Braintree
Hill Office Park, Suite 100, Braintree, MA
02184–8701.
FDIC Chicago Regional Office, 500 West
Monroe Street, Suite 3500, Chicago, IL
60661–3097.
FDIC Dallas Regional Office, 1910 Pacific
Avenue, 19th floor, Dallas, TX 75201–
4586.
FDIC Kansas City Regional Office, 2345
Grand Boulevard, Suite 1200, Kansas City,
MO 64108–2638.
FDIC Memphis Area Office, 5100 Poplar
Avenue, Suite 1900, Memphis, TN 38157.
FDIC New York Regional Office, 20 Exchange
Street, 4th Floor, New York, NY 10005.
FDIC San Francisco Regional Office, San
Francisco, CA 94105–2780.
Dated at Washington, DC, this 15th day of
February, 2007.
By order of the Board of Directors.
Robert E. Feldman,
Executive Secretary.
[FR Doc. E7–3678 Filed 3–1–07; 8:45 am]
SYSTEM MANAGER(S) AND ADDRESS:
BILLING CODE 6714–01–P
Associate Director, FDIC Division of
Administration, 550 17th Street, NW.,
Washington, DC 20429.
FEDERAL ELECTIONS COMMISSION
NOTIFICATION PROCEDURE:
Sunshine Act Notices
Individuals seeking to determine
whether this system of records contains
information pertaining to themselves or
who are seeking access to records
maintained in this system of records
must submit their request in writing to
the Legal Division, FOIA & Privacy Act
Group, FDIC, 550 17th Street, NW.,
Washington, DC 20429, and comply
with the procedures contained in FDIC’s
Privacy Act regulations, 12 CFR 310.
RECORD ACCESS PROCEDURES:
See ‘‘Notification Procedure’’ above.
CONTESTING RECORD PROCEDURES:
See ‘‘Notification Procedure’’ above.
Individuals wishing to contest or amend
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Federal Election Commission
Thursday, March 8,
2007, at 10 a.m.
PLACE: 999 E Street, NW., Washington,
DC (Ninth Floor)
STATUS: This meeting will be open to the
public.
ITEMS TO BE DISCUSSED:
Correction and Approval of Minutes.
Advisory Opinion 2007–01: Senator
Claire McCaskill and McCaskill for
Auditor by counsel, Marc E. Elias and
Caroline P. Goodson.
Advisory Opinion 2007–02: The
Arizona Libertarian Party, Inc. by
Warren Severin, Treasurer.
AGENCY:
DATE AND TIME:
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9530
Federal Register / Vol. 72, No. 41 / Friday, March 2, 2007 / Notices
Demonstration of Advisory Opinion
Search System.
Management and Administrative
Matters.
PERSON TO CONTACT FOR INFORMATION:
Mr. Robert Biersack, Press Officer,
Telephone: (202) 694–1220.
Mary W. Dove,
Secretary of the Commission.
[FR Doc. 07–995 Filed 2–28–07; 2:15 pm]
BILLING CODE 6715–01–M
FEDERAL MARITIME COMMISSION
Agency Information Collection
Activities: Submission for OMB
Review; Comment Request
Federal Maritime Commission.
Final notice of submission for
OMB review.
AGENCY:
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ACTION:
SUMMARY: In accordance with the
Paperwork Reduction Act of 1995, the
Federal Maritime Commission hereby
gives notice that it has submitted to the
Office of Management and Budget a
request for an extension of the existing
collection requirements under 46 CFR
Part 535—Ocean Common Carrier and
Marine Terminal Operator Agreements
Subject to the Shipping Act of 1984. The
FMC has requested an extension of an
existing collection as listed below.
DATES: Written comments on this final
notice must be submitted on or before
April 2, 2007.
ADDRESSES: Comments should be
addressed to: Office of Information and
Regulatory Affairs, Office of
Management and Budget, Attention:
Mark Menchek, Desk Officer for FMC,
725—17th Street, NW., Washington, DC
20503, OIRA_Submission@
OMB.EOP.GOV or fax (202) 395–5806,
and to Derek O. Scarbrough, Chief
Information Officer, Office of
Administration, Federal Maritime
Commission, 800 North Capitol Street,
NW., Washington, DC 20573
(Telephone: (202) 523–5800),
cio@fmc.gov. Copies of the
submission(s) may be obtained by
contacting Jane Gregory on 202–523–
5800 or e-mail: jgregory@fmc.gov.
SUPPLEMENTARY INFORMATION: A notice
that FMC would be submitting this
request was published in the Federal
Register on December 22, 2006,
allowing for a 60-day comment period.
No comments were received.
The FMC hereby informs potential
respondents that an agency may not
conduct or sponsor, and that a person is
not required to respond to, a collection
of information unless it displays a
currently valid OMB control number.
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Information Collection Open for
Comment
Title: 46 CFR Part 535—Ocean
Common Carrier and Marine Terminal
Operator Agreements Subject to the
Shipping Act of 1984.
OMB Approval Number: 3072–0045
(Expires March 31, 2007).
Abstract: Section 4 of the Shipping
Act of 1984, 46 U.S.C. 40301 (2006),
identifies certain commercial
agreements by or among ocean common
carriers that fall within the jurisdiction
of the Shipping Act. Section 5 of the
Shipping Act, 46 U.S.C. 40302, requires
that carriers file those agreements with
the Federal Maritime Commission.
Section 6 of the Shipping Act, 46 U.S.C.
40304, specifies the Commission actions
that may be taken with respect to filed
agreements, including requiring the
submission of additional information.
Section 15 of the Shipping Act, 46
U.S.C. 40104, authorizes the
Commission to require that ocean
common carriers, among other persons,
file periodic reports. Requests for
additional information and the filing of
periodic reports are meant to assist the
Commission in fulfilling its statutory
mandate of overseeing the activities of
the ocean transportation industry. These
reports are necessary so that the
Commission can monitor agreements
parties’ activities to determine how or if
their activities will have an impact on
competition.
Current Actions: There are no changes
to this information collection, and it is
being submitted for extension purposes
only.
Type of Review: Extension.
Needs and Uses: The Commission
staff uses the information filed by
agreement parties to monitor their
activities as required by the Shipping
Act. Under section 6(g) of the Shipping
Act, 46 U.S.C. 41307, the Commission
must determine whether filed
agreements will have substantially
anticompetitive effects on prevailing
trade conditions and, if so, whether the
agreements will likely, by a reduction in
competition, result in an unreasonable
reduction in competition, result in an
unreasonable reduction in
transportation service or an
unreasonable increase in transportation
cost. If it is shown, based on
information collected under this rule,
that an agreement is likely to have the
foregoing adverse effects, the
Commission may bring suit in U.S.
District Court to enjoin the operation of
that agreement. The information
collected is not disclosed to the public
and is only for internal analysis in
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support of the Commission’s decisionmaking process.
Frequency: This information is
collected generally on a quarterly basis
or as required under the rules.
Type of Respondents: The types of
respondents are ocean common carriers
and marine terminal operators subject to
the Act.
Number of Annual Respondents: The
Commission estimates a potential
annual respondent universe of 574
entities.
Estimated Time per Response: The
average time for filing agreements is
estimated to be two person-hours per
filing. The average time for preparing
and filing information required by Form
FMC–150, Information Form for
Agreements Between or Among Ocean
Common Carriers, is estimated to be 12
to 48 person-hours per response. The
average time for completing Form FMC–
151, Monitoring Report for Agreements
Between or Among Ocean Common
Carriers, is estimated to range between
seven to 50 person-hours for agreement
staff and three to 12 hours for each
agreement carrier party, depending on
the complexity of the required
information. The total average time for
reporting and recordkeeping for all
responses is 8.15 person-hours.
Total Annual Burden: The
Commission estimates the total personhour burden at 13,620 person-hours.
Bryant L. VanBrakle,
Secretary.
[FR Doc. E7–3794 Filed 3–1–07; 8:45 am]
BILLING CODE 6730–01–P
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
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
bank holding company and all of the
banks and nonbanking companies
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The application also will be
available for inspection at the offices of
the Board of Governors. Interested
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Agencies
[Federal Register Volume 72, Number 41 (Friday, March 2, 2007)]
[Notices]
[Pages 9529-9530]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 07-995]
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FEDERAL ELECTIONS COMMISSION
Sunshine Act Notices
AGENCY: Federal Election Commission
DATE AND TIME: Thursday, March 8, 2007, at 10 a.m.
PLACE: 999 E Street, NW., Washington, DC (Ninth Floor)
STATUS: This meeting will be open to the public.
ITEMS TO BE DISCUSSED:
Correction and Approval of Minutes.
Advisory Opinion 2007-01: Senator Claire McCaskill and McCaskill
for Auditor by counsel, Marc E. Elias and Caroline P. Goodson.
Advisory Opinion 2007-02: The Arizona Libertarian Party, Inc. by
Warren Severin, Treasurer.
[[Page 9530]]
Demonstration of Advisory Opinion Search System.
Management and Administrative Matters.
PERSON TO CONTACT FOR INFORMATION: Mr. Robert Biersack, Press Officer,
Telephone: (202) 694-1220.
Mary W. Dove,
Secretary of the Commission.
[FR Doc. 07-995 Filed 2-28-07; 2:15 pm]
BILLING CODE 6715-01-M