Notice of Request for Renewal of a Previously Approved Collection, 58924-58925 [E7-20501]
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58924
Federal Register / Vol. 72, No. 200 / Wednesday, October 17, 2007 / Notices
2. Statutory Basis
The Exchange believes that the
proposed rule change is consistent with
section 6(b) of the Act 6 in general, and
furthers the objectives of section 6(b)(4)
of the Act 7 in particular, in that it is
designed to provide for the equitable
allocation of reasonable dues, fees, and
other charges among NYSE Arca
members.
B. Self-Regulatory Organization’s
Statement on Burden on Competition
The Exchange does not believe that
the proposed rule change will impose
any burden on competition that is not
necessary or appropriate in furtherance
of the purposes of the Act.
C. Self-Regulatory Organization’s
Statement on Comments on the
Proposed Rule Change Received From
Members, Participants, or Others
The Exchange has neither solicited
nor received written comments on the
proposed rule change.
III. Date of Effectiveness of the
Proposed Rule Change and Timing for
Commission Action
The foregoing proposed rule change
has been designated as a fee change
pursuant to section 19(b)(3)(A)(ii) of the
Act 8 and Rule 19b–4(f)(2) 9 thereunder,
because it establishes or changes a due,
fee, or other charge imposed on
members by the Exchange. Accordingly,
the proposal will take effect upon filing
with the Commission. At any time
within 60 days of the filing of such
proposed rule change, the Commission
may summarily abrogate such rule
change if it appears to the Commission
that such action is necessary or
appropriate in the public interest, for
the protection of investors, or otherwise
in furtherance of the purposes of the
Act.
sroberts on PROD1PC70 with NOTICES
IV. Solicitation of Comments
Interested persons are invited to
submit written data, views, and
arguments concerning the foregoing,
including whether the proposed rule
change is consistent with the Act.
Comments may be submitted by any of
the following methods:
Electronic Comments
• Use the Commission’s Internet
comment form (https://www.sec.gov/
rules/sro.shtml); or
• Send an e-mail to rulecomments@sec.gov. Please include File
U.S.C. 78f(b).
U.S.C. 78f(b)(4).
8 15 U.S.C. 78s(b)(3)(A)(ii).
9 17 CFR 240.19b–4(f)(2).
Number SR–NYSEArca–2007–100 on
the subject line.
Paper Comments
• Send paper comments in triplicate
to Nancy M. Morris, Secretary,
Securities and Exchange Commission,
100 F Street, NE., Washington, DC
20549–1090.
For the Commission, by the Division of
Market Regulation, pursuant to delegated
authority.10
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E7–20445 Filed 10–16–07; 8:45 am]
BILLING CODE 8025–01–P
DEPARTMENT OF TRANSPORTATION
Office of the Secretary
[Docket No. OST–2004–16951]
Notice of Request for Renewal of a
Previously Approved Collection
Office of the Secretary,
Department of Transportation.
ACTION: Notice, correction.
AGENCY:
10 17
Jkt 214001
Founders Equity SBIC I, L.P.; Notice
Seeking Exemption Under Section 312
of the Small Business Investment Act,
Conflicts of Interest
BILLING CODE 8011–01–P
7 15
19:05 Oct 16, 2007
[License No. 02/72–0625]
Notice is hereby given that Founders
Equity SBIC I, L.P., 711 Fifth Avenue,
5th Floor, New York, NY 10022, a
All submissions should refer to File
Number SR–NYSEArca–2007–100. This Federal Licensee under the Small
Business Investment Act of 1958, as
file number should be included on the
subject line if e-mail is used. To help the amended (‘‘the Act’’), in connection
with the financing of a small concern,
Commission process and review your
has sought an exemption under section
comments more efficiently, please use
only one method. The Commission will 312 of the Act and section 107.730,
post all comments on the Commission’s Financings which Constitute Conflicts
of Interest of the Small Business
Internet Web site (https://www.sec.gov/
Administration (‘‘SBA’’) Rules and
rules/sro.shtml). Copies of the
Regulations (13 CFR 107.730). Founders
submission, all subsequent
Equity SBIC I, L.P. proposes to provide
amendments, all written statements
equity security financing to CORE
with respect to the proposed rule
Business Technology Solutions, Inc.,
change that are filed with the
201 West 103rd Street, Suite 240,
Commission, and all written
Indianapolis, IN 46290. The financing is
communications relating to the
contemplated as part of a capital
proposed rule change between the
restructuring of the company.
Commission and any person, other than
The financing is brought within the
those that may be withheld from the
purview of § 107.730(a) of the
public in accordance with the
Regulations because Founders Equity
provisions of 5 U.S.C. 552, will be
NY, L.P., an Associate of Founders
available for inspection and copying in
Equity SBIC I, L.P., owns more than ten
percent of CORE Business Technology
the Commission’s Public Reference
Solutions, Inc., and therefore CORE
Room, 100 F Street, NE., Washington,
Business Technology Solutions, Inc. is
DC 20549, on official business days
between the hours of 10 a.m. and 3 p.m. considered an Associate of Founders
Equity SBIC I, L.P. as defined in
Copies of such filing also will be
§ 107.50 of the Regulations.
available for inspection and copying at
Notice is hereby given that any
the principal office of the Exchange. All
interested person may submit written
comments received will be posted
comments on the transaction to the
without change; the Commission does
Associate Administrator for Investment,
not edit personal identifying
U.S. Small Business Administration,
information from submissions. You
409 Third Street, SW., Washington, DC
should submit only information that
20416.
you wish to make available publicly. All
Dated: September 25, 2007.
submissions should refer to File
A. Joseph Shepard,
Number SR–NYSEArca–2007–100 and
Associate Administrator for Investment.
should be submitted on or before
[FR Doc. E7–20454 Filed 10–16–07; 8:45 am]
November 7, 2007.
6 15
VerDate Aug<31>2005
SMALL BUSINESS ADMINISTRATION
PO 00000
CFR 200.30–3(a)(12).
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Fmt 4703
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SUMMARY: The Office of the Secretary
published a document in the Federal
Register on October 9, 2007, concerning
E:\FR\FM\17OCN1.SGM
17OCN1
Federal Register / Vol. 72, No. 200 / Wednesday, October 17, 2007 / Notices
a request for a renewal of a previously
approved information collection. We are
correcting the document as set forth
below.
FOR FURTHER INFORMATION CONTACT:
Lauralyn Remo, Air Carrier Fitness
Division (X–56), Office of Aviation
Analysis, Office of the Secretary, U.S.
Department of Transportation, 1200
New Jersey Avenue, SE., Washington,
DC 20590, (202) 366–9721.
Correction
In the October 9, 2007, Federal
Register [72 FR 57375], correct the
Estimate Total Burden on Respondents
to read:
Total Annual Responses: 5,988.
Issued in Washington, DC on October 11,
2007.
Todd M. Homan,
Director, Office of Aviation Analysis.
[FR Doc. E7–20501 Filed 10–16–07; 8:45 am]
BILLING CODE 4910–9X–P
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
Federal Aviation
Administration (FAA), DOT.
ACTION: Notice of issuance of advisory
circular.
AGENCY:
This notice announces the
issuance of Advisory Circular (AC)
33.75–1A, Guidance Material for 14 CFR
33.75. This advisory circular (AC)
provides guidance and describes
acceptable methods, but not the only
methods, for demonstrating compliance
with the safety analysis requirements of
§ 33.75 of Title 14 of the Code of Federal
Regulations (14 CFR). The information
provided in this AC replaces the
guidance in AC 33.75–1, issued on
March 4, 2005.
DATES: The Engine and Propeller
Directorate issued AC 33.75–1A on
September 26, 2007.
FOR FURTHER INFORMATION CONTACT: The
Federal Aviation Administration, Attn:
Robert Grant, Engine and Propeller
Standards Staff, ANE–110, 12 New
England Executive Park, Burlington, MA
01803–5299; telephone: (781) 238–7739;
fax (781) 238–7199; e-mail:
robert.grant@faa.gov.
We have filed in the docket all
substantive comments received, and a
report summarizing them. If you wish to
review the docket in person, you may go
to the above address between 9 a.m. and
sroberts on PROD1PC70 with NOTICES
VerDate Aug<31>2005
19:05 Oct 16, 2007
Jkt 214001
(Authority: 49 U.S.C. 106(g), 40113, 44701–
44702, 44704).
Issued in Burlington, Massachusetts, on
September 26, 2007.
Thomas A. Boudreau,
Acting Manager, Engine and Propeller
Directorate, Aircraft Certification Service.
[FR Doc. 07–5103 Filed 10–16–07; 8:45 am]
BILLING CODE 4910–13–M
DEPARTMENT OF TRANSPORTATION
Advisory Circular 33.75–1A, Guidance
Material for 14 CFR 33.75, Safety
Analysis
SUMMARY:
5 p.m., Monday through Friday, except
Federal holidays. If you wish to contact
the above individual directly, you can
use the above telephone number or email address provided.
How to Obtain Copies: A paper copy
of AC 33.75–1A may be obtained by
writing to the U.S. Department of
Transportation, Subsequent Distribution
Office, DOT Warehouse, SVC–121.23,
Ardmore East Business Center, 3341Q
75th Ave., Landover, MD 20785,
telephone 301–322–5377, or by faxing
your request to the warehouse at 301–
386–5394. The AC will also be available
on the Internet at https://www.faa.gov/
regulations_policies (then click on
‘‘Advisory Circulars’’.
Federal Aviation Administration
Noise Exposure Map Notice; Receipt of
Noise Compatibility Program and
Request for Review, Cincinnati/
Northern Kentucky International
Airport, Covington, KY
Federal Aviation
Administration, DOT.
ACTION: Notice.
AGENCY:
SUMMARY: The Federal Aviation
Administration (FAA) announces its
determination that the Noise Exposure
Maps submitted by the Kenton County
Airport Board for Cincinnati/Northern
Kentucky International Airport under
the provisions of 49 U.S.C. 47501 et seq.
(Aviation Safety and Noise Abatement
Act) and 14 CFR Part 150 are in
compliance with applicable
requirements. The FAA also announces
that it is reviewing a proposed Noise
Compatibility Program that was
submitted for Cincinnati/Northern
Kentucky International Airport under
Part 150 in conjunction with the Noise
Exposure Map, and that this program
will be approved or disapproved on or
before April 7, 2008.
EFFECTIVE DATE: The effective date of the
FAA’s determination on the Noise
Exposure Maps and of the start of its
review of the associated Noise
Compatibility Program is October 9,
2007. The public comment period ends
December 8, 2007.
PO 00000
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58925
FOR FURTHER INFORMATION CONTACT:
Peggy S. Kelley, Federal Aviation
Administration, 2862 Business Park
Drive, Building G, Memphis, Tennessee
38118–1555, telephone 901–322–8186.
Comments on the proposed Noise
Compatibility Program should also be
submitted to the above office.
SUPPLEMENTARY INFORMATION: This
Notice announces that the FAA finds
that the Noise Exposure Maps submitted
for Cincinnati/Northern Kentucky
International Airport are in compliance
with applicable requirements of Part
150, effective October 9, 2007. Further,
FAA is reviewing a proposed Noise
Compatibility Program for that Airport
which will be approved or disapproved
on or before April 7, 2008. This notice
also announces the availability for this
Program for public review and
comment.
Under 49 U.S.C. 47503 (the Aviation
and Noise Abatement Act, (the Act)) an
airport operator may submit to the FAA
Noise Exposure Maps which meet
applicable regulations and which depict
non-compatible land uses as of the date
of submission of such maps, a
description of projected aircraft
operations, and the ways in which such
operations will affect such maps. The
Act requires such maps to be developed
in consultation with interested and
affected parties in the local community,
government agencies, and persons using
the airport.
An airport operator who has
submitted Noise Exposure Maps that are
found by FAA to be in compliance with
the requirements of Part 150,
promulgated pursuant to the Act, may
submit a Noise Compatibility Program
for FAA approval which sets forth the
measures the operator has taken or
proposes to take to reduce existing noncompatible uses and prevent the
introduction of additional noncompatible uses.
The Kenton County Airport Board
submitted to the FAA on February 21,
2007, Noise Exposure Maps,
descriptions and other documentation
that were produced during the
Cincinnati/Northern Kentucky
International Airport FAR Part 150
Noise Compatibility Study conducted
between December 2003 and December
2006. It was requested that the FAA
review this material as the Noise
Exposure Maps, as described in Section
47503 of the Act, and that the noise
mitigation measures, to be implemented
jointly by the airport and surrounding
communities, be approved as a Noise
Compatibility Program under Section
47504 of the Act.
The FAA has completed its review of
the Noise Exposure Maps and related
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Agencies
[Federal Register Volume 72, Number 200 (Wednesday, October 17, 2007)]
[Notices]
[Pages 58924-58925]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-20501]
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DEPARTMENT OF TRANSPORTATION
Office of the Secretary
[Docket No. OST-2004-16951]
Notice of Request for Renewal of a Previously Approved Collection
AGENCY: Office of the Secretary, Department of Transportation.
ACTION: Notice, correction.
-----------------------------------------------------------------------
SUMMARY: The Office of the Secretary published a document in the
Federal Register on October 9, 2007, concerning
[[Page 58925]]
a request for a renewal of a previously approved information
collection. We are correcting the document as set forth below.
FOR FURTHER INFORMATION CONTACT: Lauralyn Remo, Air Carrier Fitness
Division (X-56), Office of Aviation Analysis, Office of the Secretary,
U.S. Department of Transportation, 1200 New Jersey Avenue, SE.,
Washington, DC 20590, (202) 366-9721.
Correction
In the October 9, 2007, Federal Register [72 FR 57375], correct the
Estimate Total Burden on Respondents to read:
Total Annual Responses: 5,988.
Issued in Washington, DC on October 11, 2007.
Todd M. Homan,
Director, Office of Aviation Analysis.
[FR Doc. E7-20501 Filed 10-16-07; 8:45 am]
BILLING CODE 4910-9X-P