FDIC Advisory Committee on Economic Inclusion; Notice of Charter Renewal, 75115-75116 [E8-29126]
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Federal Register / Vol. 73, No. 238 / Wednesday, December 10, 2008 / Notices
75115
TABLE 2.—REGISTRANTS REQUESTING VOLUNTARY CANCELLATION—Continued
EPA Company no.
Company Name and Address
069874
Delta Analytical Corp., Agent For: Canexus U.S., Inc., 12510 Prosperity Drive, Suite 160, Silver Spring, MD
20904.
070506
United Phosphorus, Inc., 630 Freedom Business Center, Suite 402, King OfPrussia, PA 19406.
071096
Regulatory Services, Inc., Agent For: Or-Cal Inc., 17220 Westview Rd., Oswego, OR 97034.
072642
Elanco Animal Health, A Division of Eli Lilly & Co., PO Box 708, Greenfield, IN 46140.
073049
Valent Biosciences Corp., 870 Technology Way, Suite 100, Libertyville, IL60048–6316.
073782
Kincaid Inc., PO Box 490, Athens, TN 37371.
074655
Hercules Inc., Agent For: Hercules Inc., 7910 Baymeadows Way, Jacksonville, FL 32256.
079427
Wellman, Inc., 1041 521 Corporate Center Drive, Ft. Mill, SC 29707.
083223
Frank E. Sobotka, Phd, Agent For: Gharda High Performance Plastics, 660 Newton-Yardley Rd, Suite 106,
Newtown, PA 18940.
083893
Greenleaf LLC, Po Box 1700, Lowell, AR 72745.
III. What is the Agency’s Authority for
Taking this Action?
Section 6(f)(1) of FIFRA provides that
a registrant of a pesticide product may
at any time request that any of its
pesticide registrations be canceled.
FIFRA further provides that, before
acting on the request, EPA must publish
a notice of receipt of any such request
in the Federal Register. Thereafter, the
Administrator may approve such a
request.
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IV. Procedures for Withdrawal of
Request
Registrants who choose to withdraw a
request for cancellation must submit
such withdrawal in writing to the
person listed under FOR FURTHER
INFORMATION CONTACT, postmarked
before June 8, 2009. This written
withdrawal of the request for
cancellation will apply only to the
applicable FIFRA section 6(f)(1) request
listed in this notice. If the product(s)
have been subject to a previous
cancellation action, the effective date of
cancellation and all other provisions of
any earlier cancellation action are
controlling. The withdrawal request
must also include a commitment to pay
any reregistration fees due, and to fulfill
any applicable unsatisfied data
requirements.
V. Provisions for Disposition of Existing
Stocks
The effective date of cancellation will
be the date of the cancellation order.
The orders effecting these requested
cancellations will generally permit a
registrant to sell or distribute existing
stocks for 1 year after the date the
cancellation request was received. This
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16:49 Dec 09, 2008
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policy is in accordance with the
Agency’s statement of policy as
prescribed in the Federal Register of
June 26, 1991 (56 FR 29362) (FRL–
3846–4). Exceptions to this general rule
will be made if a product poses a risk
concern, or is in noncompliance with
reregistration requirements, or is subject
to a data call-in. In all cases, productspecific disposition dates will be given
in the cancellation orders.
Existing stocks are those stocks of
registered pesticide products which are
currently in the United States and
which have been packaged, labeled, and
released for shipment prior to the
effective date of the cancellation action.
Unless the provisions of an earlier order
apply, existing stocks already in the
hands of dealers or users can be
distributed, sold, or used legally until
they are exhausted, provided that such
further sale and use comply with the
EPA-approved label and labeling of the
affected product. Exception to these
general rules will be made in specific
cases when more stringent restrictions
on sale, distribution, or use of the
products or their ingredients have
already been imposed, as in a special
review action, or where the Agency has
identified significant potential risk
concerns associated with a particular
chemical.
List of Subjects
Environmental protection, Pesticides
and pests.
PO 00000
Frm 00039
Fmt 4703
Sfmt 4703
Dated: December 2, 2008.
´
Kathryn Bouve
Acting Director, Information Technology and
Resources Management Division, Office of
Pesticide Programs.
[FR Doc. E8–29217 Filed 12–9–08; 8:45 am]
BILLING CODE 6560–50–S
FEDERAL DEPOSIT INSURANCE
CORPORATION
FDIC Advisory Committee on
Economic Inclusion; Notice of Charter
Renewal
AGENCY: Federal Deposit Insurance
Corporation (FDIC).
ACTION: Notice of renewal of the FDIC
Advisory Committee on Economic
Inclusion.
SUMMARY: Pursuant to the provisions of
the Federal Advisory Committee Act
(‘‘FACA’’), 5 U.S.C. App. 2, and after
consultation with the General Services
Administration, the Chairman of the
Federal Deposit Insurance Corporation
has determined that renewal of the FDIC
Advisory Committee on Economic
Inclusion (‘‘the Committee’’) is in the
public interest in connection with the
performance of duties imposed upon the
FDIC by law. The Committee has been
a successful undertaking by the FDIC
and has provided valuable feedback to
the agency on important initiatives
focused on expanding access to banking
services by underserved populations.
The Committee will continue to provide
advice and recommendations on
initiatives to expand access to banking
services by underserved populations.
The Committee will continue to review
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75116
Federal Register / Vol. 73, No. 238 / Wednesday, December 10, 2008 / Notices
various issues that may include, but not
be limited to, basic retail financial
services such as check cashing, money
orders, remittances, stored value cards,
short-term loans, savings accounts, and
other services to promote asset
accumulation and financial stability.
The structure and responsibilities of the
Committee are unchanged from when it
was originally established in November
2006. The Committee will continue to
operate in accordance with the
provisions of the Federal Advisory
Committee Act.
FOR FURTHER INFORMATION CONTACT: Mr.
Robert E. Feldman, Committee
Management Officer of the FDIC, at
(202) 898–7043.
Dated: December 3, 2008.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Committee Management Officer.
[FR Doc. E8–29126 Filed 12–9–08; 8:45 am]
BILLING CODE 6714–01–P
FEDERAL MARITIME COMMISSION
mstockstill on PROD1PC66 with NOTICES
Notice of Agreements Filed
The Commission hereby gives notice
of the filing of the following agreements
under the Shipping Act of 1984.
Interested parties may submit comments
on agreements to the Secretary, Federal
Maritime Commission, Washington, DC
20573, within ten days of the date this
notice appears in the Federal Register.
Copies of agreements are available
through the Commission’s Web site
(https://www.fmc.gov) or contacting the
Office of Agreements at (202) 523–5793
or tradeanalysis@fmc.gov.
Agreement No.: 011922–002.
Title: TNWA/GA Cooperative
Working Agreement.
Parties: APL Co. Pte. Ltd.; American
President Lines, Ltd.; Hyundai
Merchant Marine Co., Ltd.; Mitsui
O.S.K. Lines, Ltd.; Hapag-Lloyd AG;
Nippon Yusen Kaisha; Orient Overseas
Container Line Limited; Orient Overseas
Container Line Inc.; and Orient
Overseas Container Line (Europe)
Limited.
Filing Party: Wayne R. Rohde, Esq.;
Sher & Blackwell LLP; 1850 M Street,
NW., Suite 900; Washington, DC 20036.
Synopsis: The amendment adds the
ports of Los Angeles and Long Beach to
the geographic scope of the agreement.
Agreement No.: 201176–001.
Title: License Agreement—Guam/
Matson Navigation Co., Inc/Horizon
Lines, Inc.
Parties: Horizon Lines, LLC; Matson
Navigation Co.; and Port Authority of
Guam.
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16:49 Dec 09, 2008
Jkt 217001
Filing Party: Matthew J. Thomas;
Troutman Sanders LLP; 401 9th Street,
NW., Suite 1000; Washington, DC
20004–2134.
Synopsis: This amendment extends
the deadline for Matson & Horizon to
acquire and install the cranes and
clarifies that the License Agreement
does not affect any other Port charges.
By Order of the Federal Maritime
Commission.
Dated: December 5, 2008.
Karen V. Gregory,
Secretary.
[FR Doc. E8–29176 Filed 12–9–08; 8:45 am]
BILLING CODE 6730–01–P
FEDERAL MARITIME COMMISSION
Ocean Transportation Intermediary
License Applicants
Notice is hereby given that the
following applicants have filed with the
Federal Maritime Commission an
application for license as a Non-Vessel
Operating Common Carrier and Ocean
Freight Forwarder—Ocean
Transportation Intermediary pursuant to
section 19 of the Shipping Act of 1984
as amended (46 U.S.C. Chapter 409 and
46 CFR part 515).
Persons knowing of any reason why
the following applicants should not
receive a license are requested to
contact the Office of Transportation
Intermediaries, Federal Maritime
Commission, Washington, DC 20573.
Non-Vessel Operating Common Carrier
Ocean Transportation Intermediary
Applicants
AMS Container Line, Inc., 126 Orion
Road, Piscataway, NJ 08854, Officer:
Inderpal S. Khokhar, President
(Qualifying Individual).
PATJAM Shipping Moving and Storage
Inc., dba Patrick’s Shipping, Inc.,
3477 NW 19th Street, Lauderdale
Lakes, FL 33311, Officers: Patrick
McNeil, President, (Qualifying
Individual), Terrance Pennicooke,
Vice President.
AWOT Global LLC, 58 Aspen Way,
Rolling Hills Estates, CA 90274,
Officers: Michael T. Huang, President
(Qualifying Individual), Diana T.
Huang, Secretary.
Non-Vessel Operating Common
Carrier and Ocean Freight Forwarder
Transportation Intermediary Applicants:
The Pasha Group dba Asiatic TransPacific, dba Pasha Distribution
Services, Pasha Freight, CTC
Transportation dba Pasha
International, 5725 Paradise Drive,
Ste. 1000, Corte Madera, CA 94925,
PO 00000
Frm 00040
Fmt 4703
Sfmt 4703
Officer: Elaine Brown, Exec. Secretary
(Qualifying Individual).
Astec North America Inc. dba Astec
Logistics, 11461 NW 34th Street,
Doral, FL 33178, Officer: Paulo H.
Carvalho, President (Qualifying
Individual).
NK America, Inc., 2640 Campbell Road,
Sidney, OH 45365, Officers: Jaime J.
Reyes, Vice President (Qualifying
Individual), Masakatsu Kuroiwa,
President.
Ocean Freight Forwarder—Ocean
Transportation Intermediary Applicants:
Newesco, Inc. dba Nelson Westerberg
International, 1500 Arthur Avenue,
Elk Grove Village, IL 60007, Officers:
John R. Westerberg, Chairman/CEO,
Edward J. Pionke, President
(Qualifying Individuals).
Tarraf Inc. dba Tarraf Shipping, 15846
W. Warren Avenue, Detroit, MI 48228,
Officer: Mohamad Tarraf, President
(Qualifying Individual).
Dated: December 5, 2008
Karen V. Gregory,
Secretary.
[FR Doc. E8–29175 Filed 12–9–08; 8:45 am]
BILLING CODE 6730–01–P
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR Part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownership of, control of, or
the power to vote shares of a bank or
bank holding company and all of the
banks and nonbanking companies
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The applications also will be
available for inspection at the offices of
the Board of Governors. Interested
persons may express their views in
writing on the standards enumerated in
the BHC Act (12 U.S.C. 1842(c)). If the
proposal also involves the acquisition of
a nonbanking company, the review also
includes whether the acquisition of the
nonbanking company complies with the
standards in section 4 of the BHC Act
(12 U.S.C. 1843). Unless otherwise
noted, nonbanking activities will be
conducted throughout the United States.
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Agencies
[Federal Register Volume 73, Number 238 (Wednesday, December 10, 2008)]
[Notices]
[Pages 75115-75116]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E8-29126]
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FEDERAL DEPOSIT INSURANCE CORPORATION
FDIC Advisory Committee on Economic Inclusion; Notice of Charter
Renewal
AGENCY: Federal Deposit Insurance Corporation (FDIC).
ACTION: Notice of renewal of the FDIC Advisory Committee on Economic
Inclusion.
-----------------------------------------------------------------------
SUMMARY: Pursuant to the provisions of the Federal Advisory Committee
Act (``FACA''), 5 U.S.C. App. 2, and after consultation with the
General Services Administration, the Chairman of the Federal Deposit
Insurance Corporation has determined that renewal of the FDIC Advisory
Committee on Economic Inclusion (``the Committee'') is in the public
interest in connection with the performance of duties imposed upon the
FDIC by law. The Committee has been a successful undertaking by the
FDIC and has provided valuable feedback to the agency on important
initiatives focused on expanding access to banking services by
underserved populations. The Committee will continue to provide advice
and recommendations on initiatives to expand access to banking services
by underserved populations. The Committee will continue to review
[[Page 75116]]
various issues that may include, but not be limited to, basic retail
financial services such as check cashing, money orders, remittances,
stored value cards, short-term loans, savings accounts, and other
services to promote asset accumulation and financial stability. The
structure and responsibilities of the Committee are unchanged from when
it was originally established in November 2006. The Committee will
continue to operate in accordance with the provisions of the Federal
Advisory Committee Act.
FOR FURTHER INFORMATION CONTACT: Mr. Robert E. Feldman, Committee
Management Officer of the FDIC, at (202) 898-7043.
Dated: December 3, 2008.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Committee Management Officer.
[FR Doc. E8-29126 Filed 12-9-08; 8:45 am]
BILLING CODE 6714-01-P