Compliance Assistance Resources and Points of Contact Available to Small Businesses, 34732-34733 [E7-12215]
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34732
Federal Register / Vol. 72, No. 121 / Monday, June 25, 2007 / Notices
Commission and the Governor of the
Commonwealth acting on behalf of the
Commonwealth as follows:
Article I
Subject to the exceptions provided in
Articles II, IV, and V, the Commission shall
discontinue, as of the effective date of this
Agreement, the regulatory authority of the
Commission in the Commonwealth under
Chapters 6, 7, and 8, and Section 161 of the
Act with respect to the following materials:
1. Byproduct materials as defined in
Section 11e.(1) of the Act;
2. Byproduct materials as defined in
Section 11e.(3) of the Act;
3. Byproduct materials as defined in
Section 11e.(4) of the Act;
4. Source materials;
5. Special nuclear materials in quantities
not sufficient to form a critical mass.
6. The regulation of the land disposal of all
byproduct, source, and special nuclear waste
materials covered by this Agreement;
Article II
This Agreement does not provide for
discontinuance of any authority and the
Commission shall retain authority and
responsibility with respect to:
1. The regulation of the construction and
operation of any production or utilization
facility or any uranium enrichment facility;
2. The regulation of the export from or
import into the United States of byproduct,
source, or special nuclear material, or of any
production or utilization facility;
3. The regulation of the disposal into the
ocean or sea of byproduct, source, or special
nuclear materials waste as defined in the
regulations or orders of the Commission;
4. The regulation of the disposal of such
other byproduct, source, or special nuclear
materials waste as the Commission from time
to time determines by regulation or order
should, because of the hazards or potential
hazards thereof, not be disposed without a
license from the Commission;
5. The evaluation of radiation safety
information on sealed sources or devices
containing byproduct, source, or special
nuclear materials and the registration of the
sealed sources or devices for distribution, as
provided for in regulations or orders of the
Commission.
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Article III
With the exception of those activities
identified in Article II.A.1 through 4,
this Agreement may be amended, upon
application by the Commonwealth and
approval by the Commission, to include
one or more of the additional activities
specified in Article II, whereby the
Commonwealth may then exert
regulatory authority and responsibility
with respect to those activities.
Article IV
Notwithstanding this Agreement, the
Commission may from time to time by
rule, regulation, or order, require that
the manufacturer, processor, or
producer of any equipment, device,
commodity, or other product containing
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23:08 Jun 22, 2007
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source, byproduct, or special nuclear
material shall not transfer possession or
control of such product except pursuant
to a license or an exemption from
licensing issued by the Commission.
Article V
This Agreement shall not affect the
authority of the Commission under
SubSection 161b or 161i of the Act to
issue rules, regulations, or orders to
protect the common defense and
security, to protect restricted data, or to
guard against the loss or diversion of
special nuclear material.
Article VI
The Commission will cooperate with
the Commonwealth and other
Agreement States in the formulation of
standards and regulatory programs of
the State and the Commission for
protection against hazards of radiation
and to assure that Commission and
Commonwealth programs for protection
against hazards of radiation will be
coordinated and compatible. The
Commonwealth agrees to cooperate with
the Commission and other Agreement
States in the formulation of standards
and regulatory programs of the
Commonwealth and the Commission for
protection against hazards of radiation
and to assure that the Commonwealth’s
program will continue to be compatible
with the program of the Commission for
the regulation of materials covered by
this Agreement.
The Commonwealth and the
Commission agree to keep each other
informed of proposed changes in their
respective rules and regulations, and to
provide each other the opportunity for
early and substantive contribution to the
proposed changes.
The Commonwealth and the
Commission agree to keep each other
informed of events, accidents, and
licensee performance that may have
generic implication or otherwise be of
regulatory interest.
Article VII
The Commission and the
Commonwealth agree that it is desirable
to provide reciprocal recognition of
licenses for the materials listed in
Article I licensed by the other party or
by any other Agreement State.
Accordingly, the Commission and the
Commonwealth agree to develop
appropriate rules, regulations, and
procedures by which such reciprocity
will be accorded.
Article VIII
The Commission, upon its own
initiative after reasonable notice and
opportunity for hearing to the
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Commonwealth, or upon request of the
Governor of the Commonwealth, may
terminate or suspend all or part of this
agreement and reassert the licensing and
regulatory authority vested in it under
the Act if the Commission finds that (1)
Such termination or suspension is
required to protect public health and
safety, or (2) the Commonwealth has not
complied with one or more of the
requirements of Section 274 of the Act.
The Commission may also, pursuant to
Section 274j of the Act, temporarily
suspend all or part of this agreement if,
in the judgment of the Commission, an
emergency situation exists requiring
immediate action to protect public
health and safety and the
Commonwealth has failed to take
necessary steps. The Commission shall
periodically review actions taken by the
Commonwealth under this Agreement
to ensure compliance with Section 274
of the Act which requires a
Commonwealth program to be adequate
to protect public health and safety with
respect to the materials covered by this
Agreement and to be compatible with
the Commission’s program.
Article IX
This Agreement shall become
effective on [date], and shall remain in
effect unless and until such time as it is
terminated pursuant to Article VIII.
Done at [City, State] this [date] day of
[month], [year].
For the United States Nuclear
Regulatory Commission,
llllllllllllllllll
l
Dale E. Klein, Chairman.
For the Commonwealth of
Pennsylvania,
llllllllllllllllll
l
Edward G. Rendell, Governor.
[FR Doc. 07–3072 Filed 6–22–07; 8:45 am]
BILLING CODE 7590–01–P
OFFICE OF MANAGEMENT AND
BUDGET
Compliance Assistance Resources and
Points of Contact Available to Small
Businesses
Office of Management and
Budget, Executive Office of the
President.
ACTION: Notice.
AGENCY:
SUMMARY: In accordance with the Small
Business Paperwork Relief Act of 2002
(44 U.S.C. 3520), the Office of
Management and Budget (OMB) is
publishing a ‘‘list of the compliance
assistance resources available to small
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Federal Register / Vol. 72, No. 121 / Monday, June 25, 2007 / Notices
businesses’’ and a list of the points of
contacts in agencies ‘‘to act as a liaison
between the agency and small business
concerns’’ with respect to the collection
of information and the control of
paperwork. This information is posted
on the following Web site: https://
www.business.gov/
compliance_resources.
FOR FURTHER INFORMATION CONTACT:
David Rostker, Office of Information and
Regulatory Affairs, Office of
Management and Budget, e-mail:
drostker@omb.eop.gov, telephone: (202)
395–3897. Inquiries may be submitted
by facsimile to (202) 395–7285.
SUPPLEMENTARY INFORMATION: The Small
Business Paperwork Relief Act of 2002
(Pub. L. 107–198) requires OMB to
‘‘publish in the Federal Register and
make available on the Internet (in
consultation with the Small Business
Administration) on an annual basis a
list of the compliance assistance
resources available to small businesses’’
(44 U.S.C. 3504(c)(6)). OMB has, with
the active assistance and support of the
Small Business Administration (SBA)
and the Business Gateway EGovernment Initiative, assembled a list
of the compliance assistance resources
available to small businesses. This list is
available today on the following Web
site: https://www.business.gov/
compliance_resources. There is also a
link to this information on the OMB
Web site.
In addition, under another provision
of this Act, ‘‘each agency shall, with
respect to the collection of information
and the control of paperwork, establish
1 point of contact in the agency to act
as a liaison between the agency and
small business concerns’’ (44 U.S.C.
3506(i)(1)). The list of these contacts is
available on the following Web site:
https://www.business.gov/
compliance_contacts.
Susan E. Dudley,
Administrator, Office of Information and
Regulatory Affairs.
[FR Doc. E7–12215 Filed 6–22–07; 8:45 am]
BILLING CODE 3110–01–P
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Submission for OMB Review;
Comment Request for Extension of a
Currently Approved Information
Collection: Reemployment of
Annuitants, 5 CFR 837.103
Office of Personnel
Management.
ACTION: Notice.
AGENCY:
23:08 Jun 22, 2007
Comments on this proposal
should be received within 30 calendar
days from the date of this publication.
DATES:
ADDRESSES:
Send or deliver comments
to—
Pamela S. Israel, Chief, Operations
Support Group, Center for Retirement
and Insurance Services, U.S. Office of
Personnel Management, 1900 E Street,
NW., Room 3349, Washington, DC
20415–3540; and
Brenda Aguilar, OPM Desk Officer,
Office of Information & Regulatory
Affairs, Office of Management and
Budget, New Executive Office
Building, NW., Room 10235,
Washington, DC 20503.
FOR INFORMATION REGARDING
ADMINISTRATIVE COORDINATION—CONTACT:
OFFICE OF PERSONNEL
MANAGEMENT
VerDate Aug<31>2005
SUMMARY: In accordance with the
Paperwork Reduction Act of 1995 (Pub.
L. 104–13, May 22, 1995), this notice
announces that the Office of Personnel
Management (OPM) has submitted to
the Office of Management and Budget
(OMB) a request for extension of a
currently approved information
collection. Section 837.103 of Title 5,
Code of Federal Regulations, requires
agencies to collect information from
retirees who become employed in
Government positions. Agencies need to
collect timely information regarding the
type and amount of annuity being
received so the correct rate of pay can
be determined. Agencies provide this
information to OPM so a determination
can be made whether the reemployed
retiree’s annuity must be terminated.
Approximately 3,000 reemployed
retirees are asked this information
annually. It takes each reemployed
retiree approximately 5 minutes to
provide the information for an annual
estimated burden of 250 hours.
For copies of this proposal, contact
Mary Beth Smith-Toomey on (202) 606–
8358, Fax (202) 418–3251 or via E-mail
to MaryBeth.Smith-Toomey@opm.gov.
Please include a mailing address with
your request.
Cyrus S. Benson, Team Leader,
Publications Team, RIS Support
Services/Support Group, (202) 606–
0623.
U.S. Office of Personnel Management.
Tricia Hollis,
Chief of Staff.
[FR Doc. E7–12232 Filed 6–22–07; 8:45 am]
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34733
SECURITIES AND EXCHANGE
COMMISSION
Proposed Collection; Comment
Request
Upon written request, copies available
from: Securities and Exchange
Commission, Office of Filings and
Information Services, Washington, DC
20549.
Extension: Form N–1A, SEC File No. 270–21,
OMB Control No. 3235–0307.
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 (the
‘‘Commission’’) is soliciting comments
on the collections of information
summarized below. The Commission
plans to submit these existing
collections of information to the Office
of Management and Budget (‘‘OMB’’) for
extension and approval.
Form N–1A (17 CFR 239.15A and
274.11A) is the form used by open-end
management investment companies
(‘‘funds’’) 1 under the Investment
Company Act of 1940 (15 U.S.C. 80a–1
et seq.) (‘‘Investment Company Act’’)
and/or to register their securities under
the Securities Act of 1933 (15 U.S.C. 77a
et seq.) (‘‘Securities Act’’). Section 5 of
the Securities Act (15 U.S.C. 77e)
requires the filing of a registration
statement prior to the offer of securities
to the public and that the statement be
effective before any securities are sold,
and Section 8 of the Investment
Company Act (15 U.S.C. 80a–8) requires
a fund to register as an investment
company. Form N–1A also permits
funds to provide investors with a
prospectus and a statement of additional
information (‘‘SAI’’) covering essential
information about the fund when it
makes an initial or additional offering of
its securities. Section 5(b) of the
Securities Act requires that investors be
provided with a prospectus containing
the information required in a
registration statement prior to the sale or
1 Management investment companies typically
issue shares representing an undivided
proportionate interest in a changing pool of
securities, and include open-end and closed-end
companies. See T. Lemke, G. Lins, A. Smith III,
Regulation of Investment Companies, Vol. I, ch. 4,
§ 4.04, at 4–5 (2002). An open-end company is a
management company that is offering for sale or has
outstanding any redeemable securities of which it
is the issuer. A closed-end company is any
management company other than an open-end
company. See Section 5 of the Investment Company
Act (15 U.S.C. 80a–5). Open-end companies
generally offer and sell new shares to the public on
a continuous basis. Closed-end companies generally
engage in traditional underwritten offerings of a
fixed number of shares and, in most cases, do not
offer their shares to the public on a continuous
basis.
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Agencies
[Federal Register Volume 72, Number 121 (Monday, June 25, 2007)]
[Notices]
[Pages 34732-34733]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-12215]
=======================================================================
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OFFICE OF MANAGEMENT AND BUDGET
Compliance Assistance Resources and Points of Contact Available
to Small Businesses
AGENCY: Office of Management and Budget, Executive Office of the
President.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: In accordance with the Small Business Paperwork Relief Act of
2002 (44 U.S.C. 3520), the Office of Management and Budget (OMB) is
publishing a ``list of the compliance assistance resources available to
small
[[Page 34733]]
businesses'' and a list of the points of contacts in agencies ``to act
as a liaison between the agency and small business concerns'' with
respect to the collection of information and the control of paperwork.
This information is posted on the following Web site: https://
www.business.gov/compliance_resources.
FOR FURTHER INFORMATION CONTACT: David Rostker, Office of Information
and Regulatory Affairs, Office of Management and Budget, e-mail:
drostker@omb.eop.gov, telephone: (202) 395-3897. Inquiries may be
submitted by facsimile to (202) 395-7285.
SUPPLEMENTARY INFORMATION: The Small Business Paperwork Relief Act of
2002 (Pub. L. 107-198) requires OMB to ``publish in the Federal
Register and make available on the Internet (in consultation with the
Small Business Administration) on an annual basis a list of the
compliance assistance resources available to small businesses'' (44
U.S.C. 3504(c)(6)). OMB has, with the active assistance and support of
the Small Business Administration (SBA) and the Business Gateway E-
Government Initiative, assembled a list of the compliance assistance
resources available to small businesses. This list is available today
on the following Web site: https://www.business.gov/compliance_
resources. There is also a link to this information on the OMB Web
site.
In addition, under another provision of this Act, ``each agency
shall, with respect to the collection of information and the control of
paperwork, establish 1 point of contact in the agency to act as a
liaison between the agency and small business concerns'' (44 U.S.C.
3506(i)(1)). The list of these contacts is available on the following
Web site: https://www.business.gov/compliance_contacts.
Susan E. Dudley,
Administrator, Office of Information and Regulatory Affairs.
[FR Doc. E7-12215 Filed 6-22-07; 8:45 am]
BILLING CODE 3110-01-P