Submissions to the Commission Upon Staff Intention to Seek an Order To Show Cause, 29431-29433 [E8-11315]
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A regulation identifier number (RIN)
is assigned to each regulatory action
listed in the Unified Agenda of Federal
Regulations. The Regulatory Information
Service Center publishes the Unified
Agenda each April and October. The
RIN Number 2139–AA12 contained in
the heading of this document can be
used to cross reference this action with
the Unified Agenda.
The Final Rule
Air carriers, Reporting and
recordkeeping requirements.
I Accordingly, the Department of
Transportation amends 14 CFR Chapter
II as follows:
PART 234—[AMENDED]
2. Section 234.4 is amended as
follows:
I a. By adding paragraphs (a)(22)
through (a)(29) as set forth below.
I b. By redesignating paragraphs (b)
through (i) as paragraphs (c) through (j),
respectively.
I c. By adding new paragraph (b).
I d. By revising newly designated
paragraph (c).
cprice-sewell on PROD1PC69 with RULES
[Docket No. RM08–10–000; Order No. 711]
Submissions to the Commission Upon
Staff Intention to Seek an Order To
Show Cause
Federal Energy Regulatory
Commission, DOE.
ACTION: Final rule.
I
Reporting of on-time performance.
(a) * * *
(22) For gate returns, first gatedeparture time at origin airport
(23) Total ground time away from gate
for all gate/air returns at origin airport,
including cancelled flights—actual
minutes
(24) Longest time away from gate for
gate return or cancelled flight
(25) Three-letter code of airport where
diverted flight landed
(26) Wheels-on time at diverted
airport
(27) Total time away from gate at
diverted airport
(28) Longest period of time away from
gate at diverted airport
(29) Wheels-off time at diverted
airport
(b) Repeat fields (25) through (29) for
each subsequent diverted airport
landing
(c) When reporting the information
specified in paragraph (a) of this section
for diverted flights, a reporting carrier
shall use the original scheduled flight
number and the origin and destination
airport codes except for item (25).
*
*
*
*
*
Jkt 214001
18 CFR Part 1b
AGENCY:
Authority: 49 U.S.C. 329 and Sections
41708 and 41709.
14:17 May 20, 2008
DEPARTMENT OF ENERGY
Issued May 15, 2008.
1. The authority citation for part 234
is revised to read as follows:
I
VerDate Aug<31>2005
BILLING CODE 4910–HY–P
Federal Energy Regulatory
Commission
List of Subjects in 14 CFR Part 234
§ 234.4
Issued in Washington, DC, on May 15,
2008.
M. Clay Moritz, Jr.,
Acting Assistant Director, Airline
Information, Bureau of Transportation
Statistics.
[FR Doc. 08–1274 Filed 5–16–08; 12:00 pm]
SUMMARY: The Commission is amending
its regulations to expand and clarify the
right of an entity to submit a written
response to the Commission in the event
staff intends to recommend that the
Commission initiate a proceeding
governed by 18 CFR Part 385, or make
the entity a defendant in a civil action
to be brought by the Commission.
Subjects of investigations currently have
the right under 18 CFR 1b.19 to be
informed in the latter instance, but only
in the event staff finds it appropriate
and in the public interest. The
amendment would grant that right, for
both types of proceedings, in all cases
except those in which extraordinary
circumstances make prompt
Commission review necessary to
prevent detriment to the public interest
or irreparable harm. The amendment
also clarifies the timing requirements for
such submissions. These changes codify
current staff practice regarding
recommendations for orders to show
cause, and will allow subjects of
investigations a fuller opportunity to
present their positions to the
Commission.
Effective Date: The rule will
become effective immediately upon
publication in the Federal Register.
FOR FURTHER INFORMATION CONTACT:
Kathryn Kuhlen, Office of Enforcement,
Federal Energy Regulatory Commission,
888 First Street, NE., Washington, DC
20426, (202) 502–6855.
SUPPLEMENTARY INFORMATION:
DATES:
Before Commissioners: Joseph T. Kelliher,
Chairman; Suedeen G. Kelly, Marc Spitzer,
Philip D. Moeller, and Jon Wellinghoff.
PO 00000
Frm 00045
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29431
Final Rule
Issued May 15, 2008.
I. Background
1. The procedural rule set forth in 18
CFR 1b.19 (2007) governs the
procedures to be followed regarding
submissions to the Commission in the
event Commission staff recommends
that the subject of an investigation be
made a defendant in a civil action to be
brought by the Commission. Before
enactment of the Energy Policy Act of
2005,1 this provision rarely came into
play, as most investigations have been
resolved either through closure without
further action or by settlement. Indeed,
at a recent technical conference on
enforcement held by the Commission,2
it appeared that many energy
practitioners were unaware of the
submission process set forth in this
regulation, and expressed a desire for
more clarity regarding the due process
rights of the subjects of staff
investigations.
2. In light of the comments at the
technical conference and the need to
ensure due process in our
investigations, the Commission has
reexamined 18 CFR 1b.19 and
determined to clarify its provisions and
expand the procedural rights it
provides.
3. The current language in the
regulation provides that staff need only
advise the subject of an investigation of
staff’s intent to seek an order to show
cause in the event staff determines that
it is appropriate in the interest of the
proper administration of the law to do
so. However, it is staff’s practice to
advise the subject of an investigation of
such intent in all cases, except where
exigent circumstances, such as the
danger of irreparable harm, require
prompt Commission action. Therefore,
we believe it appropriate to codify the
current practice and provide subjects
the right to be informed of staff’s intent,
with the concomitant ability to present
a response to be provided to the
Commission for its consideration along
with staff’s recommendation.
II. Commission Determination
4. This Final Rule amends 18 CFR
1b.19 to provide that in the event
Commission staff intends to recommend
to the Commission that it initiate a
proceeding under 18 CFR Part 385
against the subject of an investigation
being conducted under the provisions of
18 CFR Part 1b, or to recommend that
1 Energy Policy Act of 2005, Public Law No. 109–
58, 119 Stat. 594 (2005) (EPAct 2005).
2 Conference on Enforcement Policy, Docket No.
AD07–13–000, Nov. 16, 2007.
E:\FR\FM\21MYR1.SGM
21MYR1
29432
Federal Register / Vol. 73, No. 99 / Wednesday, May 21, 2008 / Rules and Regulations
the Commission make the subject of an
investigation a defendant in a civil
action to be brought by the Commission,
the subject of that investigation shall
have the right, in all but extraordinary
circumstances, to be so informed and to
have the opportunity to provide the
Commission with a written non-public
response to staff’s recommendation. The
Final Rule also provides that staff’s
notification to the subject of its right to
make a response shall provide sufficient
information and facts to enable the
subject to make such a response, and
further provides that within 30 days of
such notice, the subject may submit its
response to staff, which response staff
will submit to the Commission together
with its own recommendation.
5. Section 1b.19 currently provides
that staff may inform the subject of an
investigation 3 of staff’s intent to
recommend that the subject be made a
defendant in a civil proceeding to be
brought by the Commission only when
staff determines it is appropriate in the
interest of the proper administration of
the law. However, as noted above, it is
staff’s practice to notify the subject of an
investigation when it determines to seek
an order to show cause in all situations
except where exigent circumstances
make immediate consideration by the
Commission necessary. The current
regulation also does not specify the time
period by which the subject is to
provide its response, providing instead
that staff shall inform the subject of the
due date. The amended regulation
codifies staff’s current practice
regarding notification and will provide
subjects of an investigation with a fuller
opportunity to present their positions to
the Commission.
III. Information Collection Statement
6. The Office of Management and
Budget’s (OMB) regulations require that
OMB approve certain information
collection requirements imposed by
agency rule.4 This Final Rule contains
no information reporting requirements,
and the filings permitted under the
regulation are collected during the
course of an investigation and, as such,
are exempt from the provisions of the
Paperwork Reduction Act.5
cprice-sewell on PROD1PC69 with RULES
IV. Environmental Analysis
7. The Commission is required to
prepare an Environmental Assessment
or an Environmental Impact Statement
3 The current regulation refers to the subject as a
‘‘person.’’ The amended regulation refers to the
subject with the broader term ‘‘entity,’’ consistent
with the meaning of that term as used in 18 CFR
Part 1c.
4 5 CFR Part 1320.
5 44 U.S.C. 3518(c); 5 CFR 1320.4.
VerDate Aug<31>2005
14:17 May 20, 2008
Jkt 214001
for any action that may have a
significant adverse effect on the human
environment.6 Issuance of this Final
Rule does not represent a major federal
action having a significant adverse effect
on the human environment under the
Commission’s regulations implementing
the National Environmental Policy Act.7
Part 380 of the Commission’s
regulations lists exemptions to the
requirement that an Environmental
Analysis or Environmental Impact
Statement be done. Included is an
exemption for procedural, ministerial or
internal administrative actions.8 This
rulemaking is exempt under that
provision.
ferconlinesupport@ferc.gov, or the
Public Reference Room at (202) 502–
8371, TTY (202) 502–8659. E-mail the
Public Reference Room at
public.referenceroom@ferc.gov.
VII. Effective Date
12. These regulations are effective
immediately upon publication in the
Federal Register. In accordance with 5
U.S.C. 553(d)(3), the Commission finds
that good cause exists to make this Final
Rule effective immediately. It concerns
a matter of administrative procedures
and expands rather than diminishes the
rights of persons appearing before the
Commission. There is therefore no
reason to make it effective at a later
V. Regulatory Flexibility Act
time.
Certification
13. The provisions of 5 U.S.C. 801
8. The Regulatory Flexibility Act of
regarding Congressional review of Final
1980 9 generally requires a description
Rules do not apply to this Final Rule,
and analysis of final rules that will have because the rule concerns agency
significant economic impact on a
procedure and practice and will not
substantial number of small entities.
substantially affect the rights of nonThis final rule concerns a matter of
agency parties, other than to expand the
internal agency procedure and the
ability of subjects of an investigation to
Commission therefore certifies that it
present their views to the Commission
will not have such an impact. An
before deliberations by the Commission
analysis under the RFA is not required.
on whether to initiate a proceeding
governed by 18 CFR Part 385 against
VI. Document Availability
them.
9. In addition to publishing the full
14. The Commission is issuing this as
text of this document in the Federal
a final rule without a period for public
Register, the Commission provides all
comment. Under 5 U.S.C. 553(b), notice
interested persons an opportunity to
and comment procedures are
view and/or print the contents of this
unnecessary where a rulemaking
document via the Internet through
FERC’s Home Page (https://www.ferc.gov) concerns only agency procedure and
practice, or where the agency finds that
and in FERC’s Public Reference Room
during normal business hours (8:30 a.m. notice and comment is unnecessary.
This rule concerns only matters of
to 5 p.m. Eastern time) at 888 First
agency procedure and will not
Street, NE., Room 2A, Washington DC
significantly affect regulated entities or
20426.
the general public, other than to expand
10. From FERC’s Home Page on the
Internet, this information is available on the rights of subjects of an investigation
to make certain submissions to the
eLibrary. The full text of this document
Commission.
is available on eLibrary in PDF and
Microsoft Word format for viewing,
List of Subjects in 18 CFR Part 1b
printing, and/or downloading. To access
Rules relating to Investigations.
this document in eLibrary, type the
docket number excluding the last three
By the Commission.
digits of this document in the docket
Kimberly D. Bose,
number field.
Secretary.
11. User assistance is available for
eLibrary and the FERC’s Web site during I In consideration of the foregoing, the
Commission amends Section 1b.19, Part
normal business hours from FERC
1b, Chapter I, Title 18, Code of Federal
Online Support at 202–502–6652 (toll
Regulations, as follows:
free at 1–866–208–3676) or e-mail at
6 Order No. 486, Regulations Implementing the
National Environmental Policy Act, 52 FR 47897
(Dec. 17, 1987), FERC Stats. & Regs., Regulations
Preambles 1986–1990 ¶ 30,783 (1987).
7 Order No. 486, 52 FR 47897 (Dec. 17, 1987);
FERC Stats. & Regs., Regulations Preambles 1986–
1990 ¶ 30,783 (Dec. 10, 1984) (codified at 18 CFR
Part 380).
8 18 CFR 380.4(1) and (5).
9 5 U.S.C. 601–612 (RFA).
PO 00000
Frm 00046
Fmt 4700
Sfmt 4700
PART 1b—RULES RELATING TO
INVESTIGATIONS
1. The authority citation for Part 1b
continues to read as follows:
I
Authority: 15 U.S.C. 717 et seq.; 16 U.S.C.
792 et seq.; 49 U.S.C. 60502; 49 A.P.U.S.C.
1–85; 42 U.S.C. 7101–7352; E.O. 12009, 42
FR 46297.
E:\FR\FM\21MYR1.SGM
21MYR1
Federal Register / Vol. 73, No. 99 / Wednesday, May 21, 2008 / Rules and Regulations
2. Section 1b.19 is revised to read as
follows:
I
§ 1b.19
FOR FURTHER INFORMATION CONTACT:
Submissions.
In the event the Investigating Officer
determines to recommend to the
Commission that an entity be made the
subject of a proceeding governed by part
385 of this chapter, or that an entity be
made a defendant in a civil action to be
brought by the Commission, the
Investigating Officer shall, unless
extraordinary circumstances make
prompt Commission review necessary
in order to prevent detriment to the
public interest or irreparable harm,
notify the entity that the Investigating
Officer intends to make such a
recommendation. Such notice shall
provide sufficient information and facts
to enable the entity to provide a
response. Within 30 days of such notice,
the entity may submit to the
Investigating Officer a non-public
response, which may consist of a
statement of fact, argument, and/or
memorandum of law, with such
supporting documentation as the entity
chooses, showing why a proceeding
governed by part 385 of this chapter
should not be instituted against said
entity, or why said entity should not be
made a defendant in a civil action
brought by the Commission. If the
response is submitted by the due date,
the Investigating Officer shall present it
to the Commission together with the
Investigating Officer’s recommendation.
The Commission will consider both the
Investigating Officer’s recommendation
and the entity’s timely response in
deciding whether to take further action.
[FR Doc. E8–11315 Filed 5–20–08; 8:45 am]
BILLING CODE 6717–01–P
DEPARTMENT OF THE TREASURY
Office of Foreign Assets Control
31 CFR Part 592
Rough Diamonds Control Regulations
Office of Foreign Assets
Control, Treasury.
ACTION: Final rule.
cprice-sewell on PROD1PC69 with RULES
AGENCY:
SUMMARY: The Office of Foreign Assets
Control of the U.S. Department of the
Treasury (‘‘OFAC’’) is amending the
Rough Diamonds Control Regulations
(the ‘‘Regulations’’) to add two
requirements designed to enhance the
collection of statistics related to
importations and exportations of rough
diamonds.
DATES: Effective Date: May 21, 2008.
VerDate Aug<31>2005
14:17 May 20, 2008
Jkt 214001
Assistant Director for Policy, tel.: 202/
622–4855, Office of Foreign Assets
Control, or Chief Counsel (Foreign
Assets Control), tel.: 202/622–2410,
Office of the General Counsel,
Department of the Treasury,
Washington, DC 20220 (not toll free
numbers).
SUPPLEMENTARY INFORMATION:
Electronic and Facsimile Availability
This document and additional
information concerning the Office of
Foreign Assets Control are available
from OFAC’s Web site (https://
www.treas.gov/ofac) or via facsimile
through a 24-hour fax-on demand
service, tel.: 202/622–0077.
Background
On August 4, 2003, the Office of
Foreign Assets Control (‘‘OFAC’’)
promulgated the Rough Diamonds
Control Regulations, 31 CFR part 592
(the ‘‘Regulations’’), to implement
Executive Order 13312 (‘‘E.O. 13312’’)
of July 29, 2003. E.O. 13312 was issued
to implement the Clean Diamond Trade
Act (Pub. L. 108–19) and the
multilateral Kimberley Process
Certification Scheme for rough
diamonds (KPCS). The Regulations were
amended on September 23, 2004, to
revise certain reporting requirements
(69 FR 56936). Today, OFAC is further
amending the Regulations to enhance
the compilation of statistical data
relating to the importation and
exportation of rough diamonds.
Specifically, OFAC is amending the
Regulations by adding an additional
note to the definition of the term
Controlled through the Kimberley
Process Certification Scheme, contained
in section 592.301. Section 592.301 sets
forth requirements that apply, as
appropriate, to the importation into, or
exportation from, the United States of
any shipment of rough diamonds. The
new note to this section explains that
the U.S. Customs and Border Protection
(CBP) will not release custody of an
importation of rough diamonds, unless
the import conforms with the CBP’s
formal entry for consumption
requirements, as defined in the CBP
regulations (see 19 CFR 141.0a(f)). In
addition, OFAC is amending the
Regulations to add a new section
592.502, which requires all importers
and exporters of rough diamonds to file
an annual report with the Department of
State detailing their import, export and
stockpile information.
Public Participation
Because the amendments to the
Regulations involve a foreign affairs
PO 00000
Frm 00047
Fmt 4700
Sfmt 4700
29433
function, Executive Order 12866 and the
provisions of the Administrative
Procedure Act (5 U.S.C. 553) requiring
notice of proposed rulemaking,
opportunity for public participation,
and delay in effective date are
inapplicable. Because no notice of
proposed rulemaking is required for this
rule, the Regulatory Flexibility Act (5
U.S.C. 601–612) does not apply.
Paperwork Reduction Act
The collections of information related
to 31 CFR Part 592 are contained in 31
CFR Part 501 (the ‘‘Reporting,
Procedures and Penalties Regulations’’).
Pursuant to the Paperwork Reduction
Act of 1995 (44 U.S.C. 3507), those
collections of information have been
approved by the Office of Management
and Budget under control number 1505–
0198. An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless the collection of information
displays a valid control number.
List of Subjects in 31 CFR Part 592
Administrative practice and
procedure, Foreign trade, Exports,
Imports, Kimberly Process, Penalties,
Reporting and recordkeeping
requirements, Rough diamond.
For the reasons set forth in the
preamble, the Office of Foreign Assets
Control amends 31 CFR part 592 as
follows:
I
PART 592—ROUGH DIAMONDS
CONTROL REGULATIONS
1. The authority citation for part 592
continues to read as follows:
I
Authority: 3 U.S.C. 301; 31 U.S.C. 321(b);
Pub. L. 108–19, 117 Stat. 631 (19 U.S.C.
3901–3913); E.O. 13312, 68 FR 45151, 3 CFR,
2003 Comp., p. 246.
Subpart C—General Definitions
2. Amend § 592.301(b) by adding a
new Note 4 to read as follows:
I
§ 592.301 Controlled through the
Kimberley Process Certification Scheme.
*
*
*
(b) * * *
*
*
Note 4 to § 592.301: As of May 21, 2008,
any diamond, regardless of value, that is
described in subheadings 7102.10, 7102.21 or
7102.31, Harmonized Tariff Schedule of the
United States and is imported into the United
States shall not be released from the custody
of U.S. Customs and Border Protection (CBP)
except by a formal entry for consumption, as
defined in § 141.0a(f) of the CBP regulations.
See 19 CFR 141.0a(f).
E:\FR\FM\21MYR1.SGM
21MYR1
Agencies
[Federal Register Volume 73, Number 99 (Wednesday, May 21, 2008)]
[Rules and Regulations]
[Pages 29431-29433]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E8-11315]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF ENERGY
Federal Energy Regulatory Commission
18 CFR Part 1b
[Docket No. RM08-10-000; Order No. 711]
Submissions to the Commission Upon Staff Intention to Seek an
Order To Show Cause
Issued May 15, 2008.
AGENCY: Federal Energy Regulatory Commission, DOE.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Commission is amending its regulations to expand and
clarify the right of an entity to submit a written response to the
Commission in the event staff intends to recommend that the Commission
initiate a proceeding governed by 18 CFR Part 385, or make the entity a
defendant in a civil action to be brought by the Commission. Subjects
of investigations currently have the right under 18 CFR 1b.19 to be
informed in the latter instance, but only in the event staff finds it
appropriate and in the public interest. The amendment would grant that
right, for both types of proceedings, in all cases except those in
which extraordinary circumstances make prompt Commission review
necessary to prevent detriment to the public interest or irreparable
harm. The amendment also clarifies the timing requirements for such
submissions. These changes codify current staff practice regarding
recommendations for orders to show cause, and will allow subjects of
investigations a fuller opportunity to present their positions to the
Commission.
DATES: Effective Date: The rule will become effective immediately upon
publication in the Federal Register.
FOR FURTHER INFORMATION CONTACT: Kathryn Kuhlen, Office of Enforcement,
Federal Energy Regulatory Commission, 888 First Street, NE.,
Washington, DC 20426, (202) 502-6855.
SUPPLEMENTARY INFORMATION:
Before Commissioners: Joseph T. Kelliher, Chairman; Suedeen G.
Kelly, Marc Spitzer, Philip D. Moeller, and Jon Wellinghoff.
Final Rule
Issued May 15, 2008.
I. Background
1. The procedural rule set forth in 18 CFR 1b.19 (2007) governs the
procedures to be followed regarding submissions to the Commission in
the event Commission staff recommends that the subject of an
investigation be made a defendant in a civil action to be brought by
the Commission. Before enactment of the Energy Policy Act of 2005,\1\
this provision rarely came into play, as most investigations have been
resolved either through closure without further action or by
settlement. Indeed, at a recent technical conference on enforcement
held by the Commission,\2\ it appeared that many energy practitioners
were unaware of the submission process set forth in this regulation,
and expressed a desire for more clarity regarding the due process
rights of the subjects of staff investigations.
---------------------------------------------------------------------------
\1\ Energy Policy Act of 2005, Public Law No. 109-58, 119 Stat.
594 (2005) (EPAct 2005).
\2\ Conference on Enforcement Policy, Docket No. AD07-13-000,
Nov. 16, 2007.
---------------------------------------------------------------------------
2. In light of the comments at the technical conference and the
need to ensure due process in our investigations, the Commission has
reexamined 18 CFR 1b.19 and determined to clarify its provisions and
expand the procedural rights it provides.
3. The current language in the regulation provides that staff need
only advise the subject of an investigation of staff's intent to seek
an order to show cause in the event staff determines that it is
appropriate in the interest of the proper administration of the law to
do so. However, it is staff's practice to advise the subject of an
investigation of such intent in all cases, except where exigent
circumstances, such as the danger of irreparable harm, require prompt
Commission action. Therefore, we believe it appropriate to codify the
current practice and provide subjects the right to be informed of
staff's intent, with the concomitant ability to present a response to
be provided to the Commission for its consideration along with staff's
recommendation.
II. Commission Determination
4. This Final Rule amends 18 CFR 1b.19 to provide that in the event
Commission staff intends to recommend to the Commission that it
initiate a proceeding under 18 CFR Part 385 against the subject of an
investigation being conducted under the provisions of 18 CFR Part 1b,
or to recommend that
[[Page 29432]]
the Commission make the subject of an investigation a defendant in a
civil action to be brought by the Commission, the subject of that
investigation shall have the right, in all but extraordinary
circumstances, to be so informed and to have the opportunity to provide
the Commission with a written non-public response to staff's
recommendation. The Final Rule also provides that staff's notification
to the subject of its right to make a response shall provide sufficient
information and facts to enable the subject to make such a response,
and further provides that within 30 days of such notice, the subject
may submit its response to staff, which response staff will submit to
the Commission together with its own recommendation.
5. Section 1b.19 currently provides that staff may inform the
subject of an investigation \3\ of staff's intent to recommend that the
subject be made a defendant in a civil proceeding to be brought by the
Commission only when staff determines it is appropriate in the interest
of the proper administration of the law. However, as noted above, it is
staff's practice to notify the subject of an investigation when it
determines to seek an order to show cause in all situations except
where exigent circumstances make immediate consideration by the
Commission necessary. The current regulation also does not specify the
time period by which the subject is to provide its response, providing
instead that staff shall inform the subject of the due date. The
amended regulation codifies staff's current practice regarding
notification and will provide subjects of an investigation with a
fuller opportunity to present their positions to the Commission.
---------------------------------------------------------------------------
\3\ The current regulation refers to the subject as a
``person.'' The amended regulation refers to the subject with the
broader term ``entity,'' consistent with the meaning of that term as
used in 18 CFR Part 1c.
---------------------------------------------------------------------------
III. Information Collection Statement
6. The Office of Management and Budget's (OMB) regulations require
that OMB approve certain information collection requirements imposed by
agency rule.\4\ This Final Rule contains no information reporting
requirements, and the filings permitted under the regulation are
collected during the course of an investigation and, as such, are
exempt from the provisions of the Paperwork Reduction Act.\5\
---------------------------------------------------------------------------
\4\ 5 CFR Part 1320.
\5\ 44 U.S.C. 3518(c); 5 CFR 1320.4.
---------------------------------------------------------------------------
IV. Environmental Analysis
7. The Commission is required to prepare an Environmental
Assessment or an Environmental Impact Statement for any action that may
have a significant adverse effect on the human environment.\6\ Issuance
of this Final Rule does not represent a major federal action having a
significant adverse effect on the human environment under the
Commission's regulations implementing the National Environmental Policy
Act.\7\ Part 380 of the Commission's regulations lists exemptions to
the requirement that an Environmental Analysis or Environmental Impact
Statement be done. Included is an exemption for procedural, ministerial
or internal administrative actions.\8\ This rulemaking is exempt under
that provision.
---------------------------------------------------------------------------
\6\ Order No. 486, Regulations Implementing the National
Environmental Policy Act, 52 FR 47897 (Dec. 17, 1987), FERC Stats. &
Regs., Regulations Preambles 1986-1990 ] 30,783 (1987).
\7\ Order No. 486, 52 FR 47897 (Dec. 17, 1987); FERC Stats. &
Regs., Regulations Preambles 1986-1990 ] 30,783 (Dec. 10, 1984)
(codified at 18 CFR Part 380).
\8\ 18 CFR 380.4(1) and (5).
---------------------------------------------------------------------------
V. Regulatory Flexibility Act Certification
8. The Regulatory Flexibility Act of 1980 \9\ generally requires a
description and analysis of final rules that will have significant
economic impact on a substantial number of small entities. This final
rule concerns a matter of internal agency procedure and the Commission
therefore certifies that it will not have such an impact. An analysis
under the RFA is not required.
---------------------------------------------------------------------------
\9\ 5 U.S.C. 601-612 (RFA).
---------------------------------------------------------------------------
VI. Document Availability
9. In addition to publishing the full text of this document in the
Federal Register, the Commission provides all interested persons an
opportunity to view and/or print the contents of this document via the
Internet through FERC's Home Page (https://www.ferc.gov) and in FERC's
Public Reference Room during normal business hours (8:30 a.m. to 5 p.m.
Eastern time) at 888 First Street, NE., Room 2A, Washington DC 20426.
10. From FERC's Home Page on the Internet, this information is
available on eLibrary. The full text of this document is available on
eLibrary in PDF and Microsoft Word format for viewing, printing, and/or
downloading. To access this document in eLibrary, type the docket
number excluding the last three digits of this document in the docket
number field.
11. User assistance is available for eLibrary and the FERC's Web
site during normal business hours from FERC Online Support at 202-502-
6652 (toll free at 1-866-208-3676) or e-mail at
ferconlinesupport@ferc.gov, or the Public Reference Room at (202) 502-
8371, TTY (202) 502-8659. E-mail the Public Reference Room at
public.referenceroom@ferc.gov.
VII. Effective Date
12. These regulations are effective immediately upon publication in
the Federal Register. In accordance with 5 U.S.C. 553(d)(3), the
Commission finds that good cause exists to make this Final Rule
effective immediately. It concerns a matter of administrative
procedures and expands rather than diminishes the rights of persons
appearing before the Commission. There is therefore no reason to make
it effective at a later time.
13. The provisions of 5 U.S.C. 801 regarding Congressional review
of Final Rules do not apply to this Final Rule, because the rule
concerns agency procedure and practice and will not substantially
affect the rights of non-agency parties, other than to expand the
ability of subjects of an investigation to present their views to the
Commission before deliberations by the Commission on whether to
initiate a proceeding governed by 18 CFR Part 385 against them.
14. The Commission is issuing this as a final rule without a period
for public comment. Under 5 U.S.C. 553(b), notice and comment
procedures are unnecessary where a rulemaking concerns only agency
procedure and practice, or where the agency finds that notice and
comment is unnecessary. This rule concerns only matters of agency
procedure and will not significantly affect regulated entities or the
general public, other than to expand the rights of subjects of an
investigation to make certain submissions to the Commission.
List of Subjects in 18 CFR Part 1b
Rules relating to Investigations.
By the Commission.
Kimberly D. Bose,
Secretary.
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In consideration of the foregoing, the Commission amends Section 1b.19,
Part 1b, Chapter I, Title 18, Code of Federal Regulations, as follows:
PART 1b--RULES RELATING TO INVESTIGATIONS
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1. The authority citation for Part 1b continues to read as follows:
Authority: 15 U.S.C. 717 et seq.; 16 U.S.C. 792 et seq.; 49
U.S.C. 60502; 49 A.P.U.S.C. 1-85; 42 U.S.C. 7101-7352; E.O. 12009,
42 FR 46297.
[[Page 29433]]
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2. Section 1b.19 is revised to read as follows:
Sec. 1b.19 Submissions.
In the event the Investigating Officer determines to recommend to
the Commission that an entity be made the subject of a proceeding
governed by part 385 of this chapter, or that an entity be made a
defendant in a civil action to be brought by the Commission, the
Investigating Officer shall, unless extraordinary circumstances make
prompt Commission review necessary in order to prevent detriment to the
public interest or irreparable harm, notify the entity that the
Investigating Officer intends to make such a recommendation. Such
notice shall provide sufficient information and facts to enable the
entity to provide a response. Within 30 days of such notice, the entity
may submit to the Investigating Officer a non-public response, which
may consist of a statement of fact, argument, and/or memorandum of law,
with such supporting documentation as the entity chooses, showing why a
proceeding governed by part 385 of this chapter should not be
instituted against said entity, or why said entity should not be made a
defendant in a civil action brought by the Commission. If the response
is submitted by the due date, the Investigating Officer shall present
it to the Commission together with the Investigating Officer's
recommendation. The Commission will consider both the Investigating
Officer's recommendation and the entity's timely response in deciding
whether to take further action.
[FR Doc. E8-11315 Filed 5-20-08; 8:45 am]
BILLING CODE 6717-01-P