Change in Bank Control Notices; Acquisition of Shares of Bank or Bank Holding Companies, 63898-63899 [E7-22105]
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63898
Federal Register / Vol. 72, No. 218 / Tuesday, November 13, 2007 / Notices
DC 20554 or an e-mail to PRA@fcc.gov.
If you would like to obtain or view a
copy of this information collection after
the 60–day comment period, you may
do so by visiting the OMB’s ROCIS site
at: https://www.reginfo.gov/public/do/
PRAMain.
For
additional information or copies of the
information collection(s), contact Judith
B. Herman at 202–418–0214 or via the
Internet at Judith-B.Herman@fcc.gov.
SUPPLEMENTARY INFORMATION:
OMB Control Number: 3060–0686.
Title: Streamlining the International
Section 214 Authorization Process and
Tariff Requirements.
Form No.: N/A.
Type of Review: Revision of a
currently approved collection.
Respondents: Business or other forprofit.
Number of Respondents: 3,563
respondents; 3,563 responses.
Estimated Time Per Response: 561
hours (average).
Frequency of Response: On occasion,
annual and quarterly reporting
requirements, recordkeeping
requirement and third party disclosure
requirement.
Obligation to Respond: Required to
obtain or retain benefits.
Total Annual Burden: 147,753 hours.
Total Annual Cost: $16,162,000.
Privacy Act Impact Assessment: N/A.
Nature and Extent of Confidentiality:
There is no need for confidentiality.
Needs and Uses: The Commission
will submit this revision to the OMB
after this 60-day comment period to
obtain the full three-year clearance from
them.
The Commission released a Report
and Order on June 22, 2007 in IB Docket
No. 04–47, FCC 07–118. Among other
requirements, international carriers
must notify the Commission at the same
time that they notify affected customers
of the discontinuance of international
service. The Commission reduced the
time period for such notification(s) from
60 to 30 days.
If the collections were not conducted
or were conducted less frequently,
applicants would not obtain the
authorizations necessary to provide
telecommunications services, and the
Commission will be unable to carry out
its mandate under the Communications
Act of 1934 and the Cable Landing
License Act. Furthermore, the
Commission would not be able to
ensure that applicants and current
licensees comply with the Coastal Zone
Management Act of 1972 (CZMA)
statute. Additionally, without the
information collections, the United
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FOR FURTHER INFORMATION CONTACT:
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States would jeopardize its ability to
fulfill the U.S. obligations as negotiated
under the World Trading Organization
(WTO) Basic Telecom Agreement
because these collections are imperative
to detecting and deterring
anticompetitive conduct. They are also
necessary to preserve the Executive
Branch agencies’ and the Commission’s
ability to review foreign investments for
national security, law enforcement,
foreign policy, and trade concerns.
OMB Control Number: 3060–0944.
Title: Review of Commission
Consideration of Applications Under
the Cable Landing License Act.
Form No.: N/A.
Type of Review: Revision of a
currently approved collection.
Respondents: Business or other forprofit.
Number of Respondents: 211
respondents; 211 responses.
Estimated Time Per Response: 7 hours
(average).
Frequency of Response: On occasion
reporting requirement and third party
disclosure requirement.
Obligation to Respond: Required to
obtain or retain benefits.
Total Annual Burden: 1,056 hours.
Total Annual Cost: $407,600.
Privacy Act Impact Assessment: N/A.
Nature and Extent of Confidentiality:
There is no need for confidentiality.
Needs and Uses: The Commission
will submit this revision to the OMB
after this 60-day comment period to
obtain the full three-year clearance from
them. The Commission released a
Report and Order on June 22, 2007 in
IB Docket No. 04–47, FCC 07–118.
Among other requirements, cable
landing applicants and current licensees
must comply with an environmental
statute, Coastal Zone Management Act
of 1972 (CZMA). The statute authorizes
states to develop coastal management
programs, subject to Federal approval by
the U.S. Department of Commerce’s
National Oceanic and Atmospheric
Administration (NOAA). Specifically,
they must furnish a certification to the
Commission and applicable state(s) that
the proposed activity complies with the
enforceable policies of the state’s
approved program and such activity
will be conducted in a manner
consistent with the program.
If the collection of information is not
conducted or is conducted less
frequently, applicants will not obtain
the authorizations necessary to provide
telecommunications services, and the
Commission will be unable to carry out
its mandate under the Cable Landing
License Act and Executive Order 10530.
Furthermore, the Commission would
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not be able to ensure that applicants and
current licensees comply with the
Coastal Zone Management Act of 1972
(CZMA) statute. In addition, without
this collection of information, the
United States would jeopardize its
ability to fulfill the U.S. obligations as
negotiated under the World Trade
Organization (WTO) Basic Telecom
Agreement because these information
collection requirements are imperative
to detecting and deterring
anticompetitive conduct. They are also
necessary to preserve the Executive
Branch agencies and the Commission’s
ability to review foreign investments for
national security, law enforcement,
foreign policy and trade concerns.
Federal Communications Commission.
Marlene H. Dortch,
Secretary.
[FR Doc. E7–22122 Filed 11–9–07; 8:45 am]
BILLING CODE 6712–01–P
FEDERAL ELECTION COMMISSION
Sunshine Act Notices
Tuesday, November 20,
2007 at 10:00 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.
Final Rules on Electioneering
Communications.
Management and Administrative
Matters.
PERSON TO CONTACT FOR INFORMATION:
Mr. Robert Biersack, Press Officer,
Telephone: (202) 694–1220.
DATE AND TIME:
Mary W. Dove,
Secretary of the Commission.
[FR Doc. 07–5651 Filed 11–8–07; 3:19 pm]
BILLING CODE 6715–01–M
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisition of Shares of Bank or Bank
Holding Companies
The notificants listed below have
applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire a bank or bank
holding company. The factors that are
considered in acting on the notices are
set forth in paragraph 7 of the Act (12
U.S.C. 1817(j)(7)).
The notices are available for
immediate inspection at the Federal
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Federal Register / Vol. 72, No. 218 / Tuesday, November 13, 2007 / Notices
Reserve Bank indicated. The notices
also will be available for inspection at
the office of the Board of Governors.
Interested persons may express their
views in writing to the Reserve Bank
indicated for that notice or to the offices
of the Board of Governors. Comments
must be received not later than
November 27, 2007.
A. Federal Reserve Bank of St. Louis
(Glenda Wilson, Community Affairs
Officer) 411 Locust Street, St. Louis,
Missouri 63166-2034:
1. McLane Family Control Group,
Poplar Bluff, Missouri, consisting of
Joseph T. McLane, Jana McLane Brown,
Jerri Ann McLane, the Norma McLane
Smith Revocable Trust, Norma McLane
Smith as trustee of Trust, and the
Midwest Bancorporation, Inc. and
Affiliates Employee Stock Ownership
Plan Trust Joseph T. McLane as trustee,
all of Poplar Bluff, Missouri; to acquire
additional voting shares of Midwest
Bancorporation, Inc., Poplar Bluff,
Missouri, and thereby indirectly acquire
additional voting shares of First
Midwest Bank of Dexter, Missouri and
First Midwest Bank of the Ozarks,
Piedmont, Missouri.
Board of Governors of the Federal Reserve
System, November 7, 2007.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. E7–22105 Filed 11–9–07; 8:45 am]
BILLING CODE 6210–01–S
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
[Document Identifier: OS–0990–New]
Agency Information Collection
Request; 30-Day Public Comment
Request
Office of the Secretary, HHS.
In compliance with the requirement
of section 3506(c)(2)(A) of the
Paperwork Reduction Act of 1995, the
AGENCY:
Office of the Secretary (OS), Department
of Health and Human Services, is
publishing the following summary of a
proposed collection for public
comment. Interested persons are invited
to send comments regarding this burden
estimate or any other aspect of this
collection of information, including any
of the following subjects: (1) The
necessity and utility of the proposed
information collection for the proper
performance of the agency’s functions;
(2) the accuracy of the estimated
burden; (3) ways to enhance the quality,
utility, and clarity of the information to
be collected; and (4) the use of
automated collection techniques or
other forms of information technology to
minimize the information collection
burden.
To obtain copies of the supporting
statement and any related forms for the
proposed paperwork collections
referenced above, e-mail your request,
including your address, phone number,
OMB number, and OS document
identifier, to
Sherette.funncoleman@hhs.gov, or call
the Reports Clearance Office on (202)
690–6162. Written comments and
recommendations for the proposed
information collections must be
received within 30 days of this notice
directly to the OS OMB Desk Officer all
comments must be faxed to OMB at
202–395–6974.
Title: Safe Harbor for Federally
Qualified Health Centers Arrangements
under the Anti-kickback Statute—OMB
No. 0990–New—Office of Inspector
General (OIG).
Proposed Project: The Office of the
Inspector General (OIG), Office of the
Secretary (OS), Department of Health
and Human Services (HHS) is
requesting a 3-year clearance for the
data collection under the anti-kickback
statute, as described below. In order for
an arrangement between a health center
and a donor individual or entity to
63899
enjoy safe harbor protection, the
arrangement: (1) Must be set out in
writing (§ 1001.952(w)(1)(i)(A)); (2) the
written agreement must be signed by the
parties (§ 1001.952(w)(1)(i)(B)); (3) the
written agreement must cover, and
specify the amount of, all goods, items,
services, donations, or loans provided
by the individual or entity to the health
center (§ 1001.952(w)(1)(i)(C)); (4) the
health center must document its basis
for its reasonable expectation that the
arrangement will benefit a medically
underserved population
(§ 1001.952(w)(3)); and (5) the health
center, at reasonable intervals, must
reevaluate the arrangement to ensure
that it is expected to continue to benefit
a medically underserved population,
and must document the re-evaluation
contemporaneously (§ 001.952(w)(4)).
OIG may request to see
documentation kept pursuant to the safe
harbor in order to determine compliance
with the terms of the safe harbor and the
fraud and abuse laws. Compliance with
the safe harbor is voluntary, and no
party is ever required to comply with
the safe harbor.
The safe harbor does not entail a
routine and continuous affirmative
collection of data from the regulated
community. However, health centers
that choose to avail themselves of the
safe harbor must have initial
documentation and a re-evaluation of
the arrangement at least annually. The
respondents are businesses and/or other
private sector for-profit and not-forprofit institutions.
OIG previously solicited comments on
this section of the PRA on July 1, 2005,
upon publication of the 60-day notice of
proposed rulemaking (70 FR 38081).
OIG did not receive any comments
specifically addressing the PRA in
response to that notice; however, OIG is
now providing an additional
opportunity for comment on the PRA
aspect of the rule only.
ESTIMATED ANNUALIZED BURDEN TABLE
Number of
respondents
Number of
responses per
respondent
Average burden
hours per
response
Total burden
hours
Health Centers (Administrative Professionals) ........................
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Type of
respondent
1,873
1
1
1,873
Dated: November 1, 2007.
Alice Bettencourt,
Office of the Secretary, Paperwork Reduction
Act Reports Clearance Officer.
[FR Doc. E7–22086 Filed 11–9–07; 8:45 am]
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
BILLING CODE 4152–01–P
AGENCY:
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15:30 Nov 09, 2007
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Syndrome Advisory Committee
Office of the Secretary, Office
of Public Health and Science,
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Department of Health and Human
Services.
ACTION:
Notice.
SUMMARY: As stipulated by the Federal
Advisory Committee Act, the U.S.
Department of Health and Human
Services is hereby giving notice that the
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Agencies
[Federal Register Volume 72, Number 218 (Tuesday, November 13, 2007)]
[Notices]
[Pages 63898-63899]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E7-22105]
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FEDERAL RESERVE SYSTEM
Change in Bank Control Notices; Acquisition of Shares of Bank or
Bank Holding Companies
The notificants listed below have applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and Sec. 225.41 of the Board's
Regulation Y (12 CFR 225.41) to acquire a bank or bank holding company.
The factors that are considered in acting on the notices are set forth
in paragraph 7 of the Act (12 U.S.C. 1817(j)(7)).
The notices are available for immediate inspection at the Federal
[[Page 63899]]
Reserve Bank indicated. The notices also will be available for
inspection at the office of the Board of Governors. Interested persons
may express their views in writing to the Reserve Bank indicated for
that notice or to the offices of the Board of Governors. Comments must
be received not later than November 27, 2007.
A. Federal Reserve Bank of St. Louis (Glenda Wilson, Community
Affairs Officer) 411 Locust Street, St. Louis, Missouri 63166-2034:
1. McLane Family Control Group, Poplar Bluff, Missouri, consisting
of Joseph T. McLane, Jana McLane Brown, Jerri Ann McLane, the Norma
McLane Smith Revocable Trust, Norma McLane Smith as trustee of Trust,
and the Midwest Bancorporation, Inc. and Affiliates Employee Stock
Ownership Plan Trust Joseph T. McLane as trustee, all of Poplar Bluff,
Missouri; to acquire additional voting shares of Midwest
Bancorporation, Inc., Poplar Bluff, Missouri, and thereby indirectly
acquire additional voting shares of First Midwest Bank of Dexter,
Missouri and First Midwest Bank of the Ozarks, Piedmont, Missouri.
Board of Governors of the Federal Reserve System, November 7,
2007.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. E7-22105 Filed 11-9-07; 8:45 am]
BILLING CODE 6210-01-S