Proposed Collection; Comment Request, 20355-20356 [E9-10014]
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Federal Register / Vol. 74, No. 83 / Friday, May 1, 2009 / Notices
Day
Event/activity
B ...........................
Decision on contention admission.
[FR Doc. E9–10043 Filed 4–30–09; 8:45 am]
BILLING CODE P
NUCLEAR REGULATORY
COMMISSION
[Docket No. 52–037–COL; ASLBP No. 09–
884–07–COL–BD01]
AmerenUE, Inc.; Establishment of
Atomic Safety and Licensing Board
Pursuant to delegation by the
Commission dated December 29, 1972,
published in the Federal Register, 37 FR
28,710 (1972), and the Commission’s
regulations, see 10 CFR 2.104, 2.300,
2.303, 2.309, 2.311, 2.318, and 2.321,
notice is hereby given that an Atomic
Safety and Licensing Board (Board) is
being established to preside over the
following proceeding:
AmerenUE, Inc. (Callaway Plant Unit 2)
This proceeding concerns petitions to
intervene and requests for hearing from
petitioners Missouri Coalition for the
Environment and Missourians for Safe
Energy and from petitioner Missourians
Against Higher Utility Rates, as well as
requests to be granted discretionary
intervention filed by the Public Service
Commission of the State of Missouri
(PSCM) and the Missouri Office of the
Public Counsel, with the PSCM also
seeking leave to participate as an
interested governmental entity in
accordance with 10 CFR 2.315(c). These
intervention requests were submitted in
response to a February 4, 2009 Notice of
Hearing and Opportunity To Petition for
Leave To Intervene and Order Imposing
Procedures for Access to Sensitive
Unclassified Non-Safeguards
Information for Contention Preparation
on a Combined License for the Callaway
Plant Unit 2 (74 FR 6064). Petitioners
challenge the application filed by
AmerenUE pursuant to Subpart C of 10
CFR part 52 for a combined license for
Callaway Plant Unit 2, which would be
located in Callaway County, Missouri.
The Board is comprised of the
following administrative judges:
G. Paul Bollwerk, III, Chair, Atomic
Safety and Licensing Board Panel,
U.S. Nuclear Regulatory Commission,
Washington, DC 20555–0001.
Richard F. Cole, Atomic Safety and
Licensing Board Panel, U.S. Nuclear
Regulatory Commission, Washington,
DC 20555–0001.
Jeffrey D. E. Jeffries, Atomic Safety and
Licensing Board Panel, U.S. Nuclear
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Regulatory Commission, Washington,
DC 20555–0001.
All correspondence, documents, and
other materials shall be filed in
accordance with the NRC E-Filing rule,
which the NRC promulgated in August
2007 (72 FR 49,139).
Issued at Rockville, Maryland, this 27th
day of April 2009.
E. Roy Hawkens,
Chief Administrative Judge, Atomic Safety
and Licensing Board Panel.
[FR Doc. E9–10049 Filed 4–30–09; 8:45 am]
BILLING CODE 7590–01–P
NUCLEAR REGULATORY
COMMISSION
Advisory Committee on Reactor
Safeguards (ACRS) Meeting of the
ACRS Subcommittee on US–APWR;
Notice of Meeting
The ACRS Subcommittee on the US–
APWR (U.S. Advanced Pressurized
Water Reactor) will hold a meeting on
May 21–22, 2009, in Room T–2B3,
11545 Rockville Pike, Rockville,
Maryland.
Portions of the meeting will be open
to public attendance. Some sessions will
be closed to discuss proprietary
documents.
The agenda for the subject meeting
shall be as follows:
Thursday, May 21, 2009—8:30 a.m.–
4:30 p.m.
Friday, May 22, 2009—8:30 a.m.–12
p.m.
The Subcommittee will review two
reports associated with the US–APWR
design. These include an NRC staff
Safety Evaluation Report related to the
topical report Defense in Depth and
Diversity, and a technical report on gas
turbine generator systems. The
Subcommittee will hear presentations
by and hold discussions with
representatives of the NRC staff and
other interested persons regarding this
matter. The Subcommittee will gather
information, analyze relevant issues and
facts, and formulate proposed positions
and actions, as appropriate, for
deliberation by the Full Committee.
Members of the public desiring to
provide oral statements and/or written
comments should notify the Designated
Federal Official, Mr. Neil Coleman,
(Telephone: 301–415–7656) five days
prior to the meeting, if possible, so that
appropriate arrangements can be made.
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Electronic recordings will be permitted.
Detailed procedures for the conduct of
and participation in ACRS meetings
were published in the Federal Register
on October 6, 2008 (73 FR 58268–
58269).
Further information regarding this
meeting can be obtained by contacting
the Designated Federal Official between
8 a.m. and 4:15 p.m. (ET). Persons
planning to attend this meeting are
urged to contact the above named
individual at least two working days
prior to the meeting to be advised of any
potential changes to the agenda.
Dated: April 27, 2009.
Antonio Dias,
Chief, Reactor Safety Branch B, Advisory
Committee on Reactor Safeguards.
[FR Doc. E9–10044 Filed 4–30–09; 8:45 am]
BILLING CODE 7590–01–P
SECURITIES AND EXCHANGE
COMMISSION
Proposed Collection; Comment
Request
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Rule 11a–2; SEC File No. 270–267; OMB
Control No. 3235–0272.
Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995
(44 U.S.C. 3501 et seq.), the Securities
and Exchange Commission (the
‘‘Commission’’) is soliciting comments
on the collection of information
summarized below. The Commission
plans to submit this existing collection
of information to the Office of
Management and Budget for extension
and approval.
Rule 11a–2 (17 CFR 270.11a–2) under
the Investment Company Act of 1940
(15 U.S.C. 80a–1 et seq.) permits certain
registered insurance company separate
accounts, subject to certain conditions,
to make exchange offers without prior
approval by the Commission of the
terms of those offers. Rule 11a–2
requires disclosure, in certain
registration statements filed pursuant to
the Securities Act of 1933 (15 U.S.C. 77a
et seq.) of any administrative fee or sales
load imposed in connection with an
exchange offer.
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20356
Federal Register / Vol. 74, No. 83 / Friday, May 1, 2009 / Notices
There are currently 743 registrants
governed by Rule 11a–2. The
Commission includes the estimated
burden of complying with the
information collection required by Rule
11a–2 in the total number of burden
hours estimated for completing the
relevant registration statements and
reports the burden of Rule 11a–2 in the
separate PRA submissions for those
registration statements (see the separate
PRA submissions for Form N–3 (17 CFR
274.11b), Form N–4 (17 CFR 274.11c)
and Form N–6 (17 CFR 274.11d)). The
Commission is requesting a burden of
one hour for Rule 11a–2 for
administrative purposes.
The estimate of average burden hours
is made solely for the purposes of the
Paperwork Reduction Act, and is not
derived from a comprehensive or even
a representative survey or study of the
costs of Commission rules or forms.
With regard to Rule 11a–2, the
Commission includes the estimate of
burden hours in the total number of
burden hours estimated for completing
the relevant registration statements and
reported on the separate PRA
submissions for those statements (see
the separate PRA submissions for Form
N–3, Form N–4 and Form N–6). The
information collection requirements
imposed by Rule 11a–2 are mandatory.
Responses to the collection of
information will not be kept
confidential.
Written comments are invited on: (a)
Whether the collection of information is
necessary for the proper performance of
the functions of the Commission,
including whether the information has
practical utility; (b) the accuracy of the
Commission’s estimate of the burden of
the collection of information; (c) ways to
enhance the quality, utility, and clarity
of the information collected; and (d)
ways to minimize the burden of the
collection of information on
respondents, including through the use
of automated collection techniques or
other forms of information technology.
Consideration will be given to
comments and suggestions submitted in
writing within 60 days of this
publication.
Please direct your written comments
to Charles Boucher, Director/CIO,
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.
Dated: April 23, 2009.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E9–10014 Filed 4–30–09; 8:45 am]
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SMALL BUSINESS ADMINISTRATION
[Disaster Declaration #11694 and #11695]
North Dakota Disaster Number ND–
00015
AGENCY: U.S. Small Business
Administration.
ACTION: Amendment 1.
SUMMARY: This is an amendment of the
Presidential declaration of a major
disaster for Public Assistance Only for
the State of North Dakota (FEMA—
1829—DR), dated 03/24/2009.
Incident: Severe Storms and Flooding.
Incident Period: 03/13/2009 and
continuing.
Effective Date: 04/23/2009.
Physical Loan Application Deadline
Date: 05/26/2009.
Economic Injury (EIDL) Loan
Application Deadline Date: 12/24/2009.
ADDRESSES: Submit completed loan
applications to: U.S. Small Business
Administration, Processing and
Disbursement Center, 14925 Kingsport
Road, Fort Worth, TX 76155.
FOR FURTHER INFORMATION CONTACT: A.
Escobar, Office of Disaster Assistance,
U.S. Small Business Administration,
409 3rd Street, SW., Suite 6050,
Washington, DC 20416.
SUPPLEMENTARY INFORMATION: The notice
of the President’s major disaster
declaration for Private Non-Profit
organizations in the State of North
Dakota, dated 03/24/2009, is hereby
amended to include the following areas
as adversely affected by the disaster.
Primary Counties:
Bottineau, Bowman, Eddy, Griggs,
Mchenry, Mountrail, Pierce, Steele,
Towner, Traill, Ward, Wells, and
the Sisseton-Wahpeton Oyate of the
Lake Traverse Reservation.
All other information in the original
declaration remains unchanged.
(Catalog of Federal Domestic Assistance
Numbers 59002 and 59008)
James E. Rivera,
Acting Associate Administrator for Disaster
Assistance.
[FR Doc. E9–10060 Filed 4–30–09; 8:45 am]
BILLING CODE 8025–01–P
SMALL BUSINESS ADMINISTRATION
[Disaster Declaration #11707 and #11708]
North Dakota Disaster Number ND–
00016
AGENCY: U.S. Small Business
Administration.
ACTION: Amendment 1.
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SUMMARY: This is an amendment of the
Presidential declaration of a major
disaster for the State of North Dakota
(FEMA–1829–DR), dated 04/10/2009.
Incident: Severe storms and flooding.
Incident Period: 03/13/2009 and
continuing.
Effective Date: 04/23/2009.
Physical Loan Application Deadline
Date: 06/09/2009.
EIDL Loan Application Deadline Date:
01/11/2010.
ADDRESSES: Submit completed loan
applications to: U.S. Small Business
Administration, Processing And
Disbursement Center, 14925 Kingsport
Road, Fort Worth, TX 76155.
FOR FURTHER INFORMATION CONTACT: A.
Escobar, Office of Disaster Assistance,
U.S. Small Business Administration,
409 3rd Street, SW., Suite 6050,
Washington, DC 20416
SUPPLEMENTARY INFORMATION: The notice
of the Presidential disaster declaration
for the State of NORTH DAKOTA, dated
04/10/2009 is hereby amended to
include the following areas as adversely
affected by the disaster:
Primary Counties: (Physical Damage
and Economic Injury Loans):
Grant, McHenry, Oliver, Pierce, Stark,
Ward, Walsh, and the Spirit Lake
and Standing Rock Indian
Reservations.
Contiguous Counties: (Economic Injury
Loans Only):
North Dakota: Bottineau, Pembina,
Renville.
All other information in the original
declaration remains unchanged.
(Catalog of Federal Domestic Assistance
Numbers 59002 and 59008)
James E. Rivera,
Acting Associate Administrator for Disaster
Assistance.
[FR Doc. E9–10061 Filed 4–30–09; 8:45 am]
BILLING CODE 8025–01–P
SMALL BUSINESS ADMINISTRATION
[Disaster Declaration #11718 and #11719]
Tennessee Disaster #TN–00026
AGENCY: U.S. Small Business
Administration.
ACTION: Notice.
SUMMARY: This is a notice of an
Administrative declaration of a disaster
for the State of Tennessee dated 04/23/
2009.
Incident: Tornadoes.
Incident Period: 04/10/2009.
DATES: Effective Date: 04/23/2009.
Physical Loan Application Deadline
Date: 06/22/2009.
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Agencies
[Federal Register Volume 74, Number 83 (Friday, May 1, 2009)]
[Notices]
[Pages 20355-20356]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-10014]
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SECURITIES AND EXCHANGE COMMISSION
Proposed Collection; Comment Request
Upon Written Request, Copies Available From: Securities and Exchange
Commission, Office of Investor Education and Advocacy, Washington, DC
20549-0213.
Extension:
Rule 11a-2; SEC File No. 270-267; OMB Control No. 3235-0272.
Notice is hereby given that, pursuant to the Paperwork Reduction
Act of 1995 (44 U.S.C. 3501 et seq.), the Securities and Exchange
Commission (the ``Commission'') is soliciting comments on the
collection of information summarized below. The Commission plans to
submit this existing collection of information to the Office of
Management and Budget for extension and approval.
Rule 11a-2 (17 CFR 270.11a-2) under the Investment Company Act of
1940 (15 U.S.C. 80a-1 et seq.) permits certain registered insurance
company separate accounts, subject to certain conditions, to make
exchange offers without prior approval by the Commission of the terms
of those offers. Rule 11a-2 requires disclosure, in certain
registration statements filed pursuant to the Securities Act of 1933
(15 U.S.C. 77a et seq.) of any administrative fee or sales load imposed
in connection with an exchange offer.
[[Page 20356]]
There are currently 743 registrants governed by Rule 11a-2. The
Commission includes the estimated burden of complying with the
information collection required by Rule 11a-2 in the total number of
burden hours estimated for completing the relevant registration
statements and reports the burden of Rule 11a-2 in the separate PRA
submissions for those registration statements (see the separate PRA
submissions for Form N-3 (17 CFR 274.11b), Form N-4 (17 CFR 274.11c)
and Form N-6 (17 CFR 274.11d)). The Commission is requesting a burden
of one hour for Rule 11a-2 for administrative purposes.
The estimate of average burden hours is made solely for the
purposes of the Paperwork Reduction Act, and is not derived from a
comprehensive or even a representative survey or study of the costs of
Commission rules or forms. With regard to Rule 11a-2, the Commission
includes the estimate of burden hours in the total number of burden
hours estimated for completing the relevant registration statements and
reported on the separate PRA submissions for those statements (see the
separate PRA submissions for Form N-3, Form N-4 and Form N-6). The
information collection requirements imposed by Rule 11a-2 are
mandatory. Responses to the collection of information will not be kept
confidential.
Written comments are invited on: (a) Whether the collection of
information is necessary for the proper performance of the functions of
the Commission, including whether the information has practical
utility; (b) the accuracy of the Commission's estimate of the burden of
the collection of information; (c) ways to enhance the quality,
utility, and clarity of the information collected; and (d) ways to
minimize the burden of the collection of information on respondents,
including through the use of automated collection techniques or other
forms of information technology. Consideration will be given to
comments and suggestions submitted in writing within 60 days of this
publication.
Please direct your written comments to Charles Boucher, Director/
CIO, 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.
Dated: April 23, 2009.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E9-10014 Filed 4-30-09; 8:45 am]
BILLING CODE 8010-01-P