Sunshine Act Meeting, 32338 [07-2914]
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Federal Register / Vol. 72, No. 112 / Tuesday, June 12, 2007 / Notices
cprice-sewell on PROD1PC67 with NOTICES
challenging the results of an FBI
criminal history records check after the
record is made available for his/her
review. The licensee may make a final
determination for unescorted access to
the spent fuel storage facility based on
the criminal history records check, only
upon receipt of the FBI’s ultimate
confirmation or correction of the record.
Upon a final adverse determination for
unescorted access to the spent fuel
storage facility, the licensee shall
provide the individual its documented
basis for denial. During the review
process for assuring correct and
complete information, unescorted
access to the spent fuel storage facility
shall not be granted to an individual.
reconstruction of the information in
whole, or in part.
Protection of Information
1. Each licensee that obtains a
criminal records check for an
individual, pursuant to this Order, shall
establish and maintain a system of files
and procedures for protecting the record
and the personal information from
unauthorized disclosure.
2. The licensee may not disclose the
record nor personal information
collected and maintained to persons
other than the subject individual, his/
her representative, or to those who have
a need to access the information in
performing assigned duties in the
process of determining unescorted
access to the spent fuel storage facility.
No individual authorized to have access
to the information may redisseminate
the information to any other individual
who does not have a need-to-know.
3. The personal information obtained
on an individual from a criminal history
records check may be transferred to
another licensee if the licensee holding
the criminal history record receives the
individual’s written request to
redisseminate the information contained
in his/her file, and the gaining licensee
verifies information such as the
individual’s name, date of birth, social
security number, sex, and other
applicable physical characteristics, for
identification purposes.
4. The licensee shall make criminal
history records, obtained under this
section, available for examination by an
authorized NRC representative, to
determine compliance with the
regulations and laws.
5. The licensee shall retain all
fingerprint and criminal history records
received from the FBI, or a copy, if the
individual’s file has been transferred,
for three (3) years after termination of
employment or denial to unescorted
access to the spent fuel storage facility.
After the required three (3) year period,
these documents shall be destroyed by
a method that will prevent
Tuesday, June 19 at 12 p.m. (Closed)
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11:38 Jun 11, 2007
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[FR Doc. 07–2879 Filed 6–11–07; 8:45 am]
BILLING CODE 7590–01–M
POSTAL SERVICE
Sunshine Act Meeting
12 p.m., Tuesday, June
19, 2007.
PLACE: Washington, DC, at U.S. Postal
Service Headquarters, 475 L’Enfant
Plaza, SW.
STATUS: Closed.
MATTERS TO BE CONSIDERED:
TIME AND DATE:
1. Strategic Issues.
2. Postal Regulatory Commission
Second Opinion and Recommended
Decision on Reconsideration in Docket
No. R2006–1, Postal Rate and Fee
Changes.
3. Rate Case Update.
4. Labor Negotiations Update.
5. Financial Update.
6. Personnel Matters and
Compensation Issues.
7. Governors’ Executive Session—
Discussion of prior agenda items and
Board Governance.
CONTACT PERSON FOR MORE INFORMATION:
Wendy A. Hocking, Secretary of the
Board, U.S. Postal Service, 475 L’Enfant
Plaza, SW., Washington, DC 20260–
1000. Telephone (202) 268–4800.
Wendy A. Hocking,
Secretary.
[FR Doc. 07–2914 Filed 6–7–07; 4:36 pm]
BILLING CODE 7710–12–M
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IC–27851; 812–13391]
Barclays Global Fund Advisors; Notice
of Application
June 6, 2007.
Securities and Exchange
Commission (‘‘Commission’’).
ACTION: Temporary order and notice of
application for a permanent order under
section 9(c) of the Investment Company
Act of 1940 (the ‘‘Act’’).
AGENCY:
Summary of Application: Applicant
has received a temporary order
exempting it from section 9(a) of the
Act, with respect to an injunction
entered against Barclays Bank PLC
(‘‘Barclays’’) on June 6, 2007 by the
United States District Court for the
Southern District of New York (the
PO 00000
Frm 00063
Fmt 4703
Sfmt 4703
‘‘District Court’’), until the Commission
takes final action on an application for
a permanent order. Applicant also has
applied for a permanent order.
Applicants: Barclays Global Fund
Advisors (‘‘BGFA’’ or the ‘‘Applicant’’).1
Filing Date: The application was filed
on May 30, 2007. Applicant has agreed
to file a final amendment during the
notice period, the substance of which is
reflected in this notice.
Hearing or Notification of Hearing: An
order granting the application will be
issued unless the Commission orders a
hearing. Interested persons may request
a hearing by writing to the
Commission’s Secretary and serving
Applicant with a copy of the request,
personally or by mail. Hearing requests
should be received by the Commission
by 5:30 p.m. on July 2, 2007, and should
be accompanied by proof of service on
Applicant, in the form of an affidavit or,
for lawyers, a certificate of service.
Hearing requests should state the nature
of the writer’s interest, the reason for the
request, and the issues contested.
Persons who wish to be notified of a
hearing may request notification by
writing to the Commission’s Secretary.
ADDRESSES: Secretary, U.S. Securities
and Exchange Commission, 100 F
Street, NE., Washington, DC 20549–
1090. Applicant, c/o Ira P. Shapiro, Esq.,
Barclays Global Fund Advisors, 45
Fremont Street, San Francisco, CA
94105.
FOR FURTHER INFORMATION CONTACT:
Courtney S. Thornton, Senior Counsel,
at (202) 551–6812, or Mary Kay Frech,
Branch Chief, at (202) 551–6821
(Division of Investment Management,
Office of Investment Company
Regulation).
SUPPLEMENTARY INFORMATION: The
following is a temporary order and a
summary of the application. The
complete application may be obtained
for a fee at the Commission’s Public
Reference Branch, 100 F Street, NE.,
Washington, DC 20549–0102 (tel. 202–
551–5850).
Applicant’s Representations
1. BGFA, a California corporation
registered under the Investment
Advisers Act of 1940, serves as
investment adviser to the series of
iShares Trust, iShares, Inc. and Master
Investment Portfolio (the ‘‘Advised
Funds’’), each a registered open-end
management investment company.
BGFA also serves as sub-adviser to
1 Applicant requests that any relief granted
pursuant to the application also apply to any other
company of which Barclays is or hereafter becomes
an affiliated person (together with Applicant,
‘‘Covered Persons’’).
E:\FR\FM\12JNN1.SGM
12JNN1
Agencies
[Federal Register Volume 72, Number 112 (Tuesday, June 12, 2007)]
[Notices]
[Page 32338]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 07-2914]
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POSTAL SERVICE
Sunshine Act Meeting
Time and Date: 12 p.m., Tuesday, June 19, 2007.
Place: Washington, DC, at U.S. Postal Service Headquarters, 475
L'Enfant Plaza, SW.
Status: Closed.
Matters to be Considered:
Tuesday, June 19 at 12 p.m. (Closed)
1. Strategic Issues.
2. Postal Regulatory Commission Second Opinion and Recommended
Decision on Reconsideration in Docket No. R2006-1, Postal Rate and Fee
Changes.
3. Rate Case Update.
4. Labor Negotiations Update.
5. Financial Update.
6. Personnel Matters and Compensation Issues.
7. Governors' Executive Session--Discussion of prior agenda items
and Board Governance.
Contact Person for More Information: Wendy A. Hocking, Secretary of
the Board, U.S. Postal Service, 475 L'Enfant Plaza, SW., Washington, DC
20260-1000. Telephone (202) 268-4800.
Wendy A. Hocking,
Secretary.
[FR Doc. 07-2914 Filed 6-7-07; 4:36 pm]
BILLING CODE 7710-12-M