Submission for OMB Review; Comment Request, 49028 [E7-16880]
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49028
Federal Register / Vol. 72, No. 165 / Monday, August 27, 2007 / Notices
Commissioners’ Conference
Room, 11555 Rockville Pike, Rockville,
Maryland.
STATUS: Public and Closed.
ADDITIONAL MATTERS TO BE CONSIDERED:
PLACE:
Week of August 27, 2007—Tentative
Thursday, August 30, 2007
9 a.m.
Affirmation Session (Public Meeting)
(Tentative)
a. Final Rule: 10 CFR Parts 30, 31, 32,
and 150—Exemptions from
Licensing, General Licenses, and
Distribution of Byproduct Material:
Licensing and Reporting
Requirements (RIN 3150–AH41)
(Tentative)
b. Pacific Gas and Electric Co. (Diablo
Canyon ISFSI), Docket No. 72–26–
ISFSI, San Luis Obispo Mothers for
Peace’s Contentions and Request for
Hearing Regarding Diablo Canyon
Environmental Assessment
Supplement (Tentative)
c. Southern Nuclear Operating Co.
(Early Site Permit for Vogtle ESP
Site)—Certified Question Regarding
Conduct of Mandatory Hearing
(Tentative)
Week of September 3, 2007—Tentative
Tuesday, September 4, 2007
2:30 p.m.
Briefing on Radioactive Materials
Security and Licensing (Public
Meeting) (Contact: Robert Lewis,
301–415–8722)
SECURITIES AND EXCHANGE
COMMISSION
rmajette on PROD1PC64 with NOTICES
The Affirmation Session previously
scheduled at 12:55 p.m. on August 30,
2007, has been rescheduled at 9 a.m. on
August 30, 2007. Also, a third item for
affirmation has been added, tentatively:
Final Rule: 10 CFR parts 30, 31, 32, and
150—Exemptions from Licensing,
General Licenses, and Distribution of
Byproduct Material: Licensing and
Reporting Requirements (RIN 3150–
AH41).
Briefing on Radioactive Materials
Security and Licensing (Public Meeting)
tentatively scheduled on September 28,
2007 at 9:30 a.m. has been rescheduled
on September 4, 2007, at 2:30 p.m.
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*The schedule for Commission
meetings is subject to change on short
notice. To verify the status of meetings
call (recording)—(301) 415–1292.
Contact person for more information:
Michelle Schroll, (301) 415–1662.
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The NRC Commission Meeting
Schedule can be found on the Internet
15:56 Aug 24, 2007
Jkt 211001
Dated: August 21, 2007.
R. Michelle Schroll,
Office of the Secretary.
[FR Doc. 07–4201 Filed 8–23–07; 10:28 am]
BILLING CODE 7590–01–P
Additional Information
VerDate Aug<31>2005
at: https://www.nrc.gov/what-we-do/
policy-making/schedule.html.
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The NRC provides reasonable
accommodation to individuals with
disabilities where appropriate. If you
need a reasonable accommodation to
participate in these public meetings, or
need this meeting notice or the
transcript or other information from the
public meetings in another format (e.g.
braille, large print), please notify the
NRC’s Disability Program Coordinator,
Rohn Brown, at 301–415–2279, TDD:
301–415–2100, or by e-mail at
REB3@nrc.gov. Determinations on
requests for reasonable accommodation
will be made on a case-by-case basis.
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This notice is distributed by mail to
several hundred subscribers; if you no
longer wish to receive it, or would like
to be added to the distribution, please
contact the Office of the Secretary,
Washington, DC 20555 (301–415–1969).
In addition, distribution of this meeting
notice over the Internet system is
available. If you are interested in
receiving this Commission meeting
schedule electronically, please send an
electronic message to dkw@nrc.gov.
Submission for OMB Review;
Comment Request
Upon written request, copies available
from: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
compliance with the Commission’s
financial responsibility program and
antifraud and antimanipulative rules, as
well as other rules and regulations of
the Commission and the self-regulatory
organizations. It is estimated that
approximately 105 active broker-dealer
respondents registered with the
Commission incur an average burden of
2,835 hours per year (105 respondents
multiplied by 27 burden hours per
respondent equals 2,385 total burden
hours) to comply with this rule. The
average cost per hour is $197. Therefore
the total cost of compliance for the
respondents is $558,495.
Rule 17a–3(a)(16) does not contain
record retention requirements.
Compliance with the rule is mandatory.
The required records are available only
to the examination staff of the
Commission and the self-regulatory
organization of which the broker-dealer
is a member. 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.
Comments should be directed to (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 by
sending an e-mail 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,
VA 22312 or send an e-mail to:
PRA_Mailbox@sec.gov. Comments must
be submitted within 30 days of this
notice.
Dated: August 20, 2007.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E7–16880 Filed 8–24–07; 8:45 am]
Extension: Rule 17a–3(a)(16), SEC File No.
270–452, OMB Control No. 3235–0508.
BILLING CODE 8010–01–P
Notice is hereby given that pursuant
to the Paperwork Reduction Act of 1995
(44 U.S.C. Sec. 3501 et seq.), the
Securities and Exchange Commission
(‘‘Commission’’) has submitted to the
Office of Management and Budget
(‘‘OMB’’) a request for extension of the
previously approved collection of
information discussed below.
Rule 17a–3(a)(16) (17 CFR 240.17a–
3(a)(16)) under the Securities Exchange
Act of 1934 (the ‘‘Act’’) (15 U.S.C. 78q
et seq.) identifies the records required to
be made by broker-dealers that operate
internal broker-dealer systems. Those
records are to be used in monitoring
SECURITIES AND EXCHANGE
COMMISSION
PO 00000
Frm 00047
Fmt 4703
Sfmt 4703
[File No. 500–1]
In the Matter of Environmental
Safeguards, Inc., Garden Botanika,
Inc., Northwestern Steel & Wire Co.,
Paul Harris Stores, Inc., Ultra
Motorcycle Co., UStel, Inc., and Yarc
Systems Corp.; Order of Suspension
of Trading
August 23, 2007.
It appears to the Securities and
Exchange Commission that there is a
lack of current and accurate information
E:\FR\FM\27AUN1.SGM
27AUN1
Agencies
[Federal Register Volume 72, Number 165 (Monday, August 27, 2007)]
[Notices]
[Page 49028]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-16880]
=======================================================================
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SECURITIES AND EXCHANGE COMMISSION
Submission for OMB Review; Comment Request
Upon written request, copies available from: Securities and Exchange
Commission, Office of Investor Education and Advocacy, Washington, DC
20549-0213.
Extension: Rule 17a-3(a)(16), SEC File No. 270-452, OMB Control No.
3235-0508.
Notice is hereby given that pursuant to the Paperwork Reduction Act
of 1995 (44 U.S.C. Sec. 3501 et seq.), the Securities and Exchange
Commission (``Commission'') has submitted to the Office of Management
and Budget (``OMB'') a request for extension of the previously approved
collection of information discussed below.
Rule 17a-3(a)(16) (17 CFR 240.17a-3(a)(16)) under the Securities
Exchange Act of 1934 (the ``Act'') (15 U.S.C. 78q et seq.) identifies
the records required to be made by broker-dealers that operate internal
broker-dealer systems. Those records are to be used in monitoring
compliance with the Commission's financial responsibility program and
antifraud and antimanipulative rules, as well as other rules and
regulations of the Commission and the self-regulatory organizations. It
is estimated that approximately 105 active broker-dealer respondents
registered with the Commission incur an average burden of 2,835 hours
per year (105 respondents multiplied by 27 burden hours per respondent
equals 2,385 total burden hours) to comply with this rule. The average
cost per hour is $197. Therefore the total cost of compliance for the
respondents is $558,495.
Rule 17a-3(a)(16) does not contain record retention requirements.
Compliance with the rule is mandatory. The required records are
available only to the examination staff of the Commission and the self-
regulatory organization of which the broker-dealer is a member. 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.
Comments should be directed to (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 by sending an e-mail 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, VA 22312 or send an e-
mail to: PRA--Mailbox@sec.gov. Comments must be submitted within 30
days of this notice.
Dated: August 20, 2007.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E7-16880 Filed 8-24-07; 8:45 am]
BILLING CODE 8010-01-P