Interactive Data for Mutual Fund Risk/Return Summary; Correction, 21255-21256 [E9-10525]
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Federal Register / Vol. 74, No. 87 / Thursday, May 7, 2009 / Rules and Regulations
responsibilities among the various
levels of government.
For the reasons discussed above, I
certify that this AD:
(1) Is not a ‘‘significant regulatory
action’’ under Executive Order 12866,
(2) Is not a ‘‘significant rule’’ under
DOT Regulatory Policies and Procedures
(44 FR 11034, February 26, 1979), and
(3) Will not have a significant
economic impact, positive or negative,
on a substantial number of small entities
under the criteria of the Regulatory
Flexibility Act.
You can find our regulatory
evaluation and the estimated costs of
compliance in the AD Docket.
List of Subjects in 14 CFR Part 39
Air transportation, Aircraft, Aviation
safety, Incorporation by reference,
Safety.
Adoption of the Amendment
Accordingly, under the authority
delegated to me by the Administrator,
the FAA amends 14 CFR part 39 as
follows:
■
PART 39—AIRWORTHINESS
DIRECTIVES
1. The authority citation for part 39
continues to read as follows:
■
Authority: 49 U.S.C. 106(g), 40113, 44701.
§ 39.13
[Amended]
2. The FAA amends § 39.13 by adding
the following new AD:
■
2009–09–06 Boeing: Amendment 39–15892.
Docket No. FAA–2008–1275; Directorate
Identifier 2007–NM–167–AD.
Effective Date
(a) This airworthiness directive (AD) is
effective June 11, 2009.
Affected ADs
(b) None.
Applicability
(c) This AD applies to Boeing Model 737–
100, –200, –200C, –300, –400, and –500
series airplanes, certificated in any category;
as identified in Boeing Alert Service Bulletin
737–53A1269, dated May 17, 2007.
Unsafe Condition
(d) This AD results from a report indicating
that cracks were found in the backup
intercostals and upper sill web of the forward
airstair doorway. We are issuing this AD to
detect and correct fatigue cracking of the
backup intercostals and upper sill web of the
forward airstair doorway, which could result
in a rapid loss of cabin pressure.
Compliance
(e) You are responsible for having the
actions required by this AD performed within
the compliance times specified, unless the
actions have already been done.
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16:03 May 06, 2009
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Inspections
(f) At the applicable compliance times and
repeat intervals listed in the tables of
paragraph 1.E., ‘‘Compliance,’’ of Boeing
Alert Service Bulletin 737–53A1269, dated
May 17, 2007 (hereafter ‘‘the service
bulletin’’), except as provided by paragraphs
(f)(1), (f)(2), and (f)(3) of this AD: Do
repetitive detailed and high frequency eddy
current inspections to detect cracks of the
backup intercostals and the upper sill of the
forward airstair doorway, and applicable
corrective actions by accomplishing all the
applicable actions specified in the
Accomplishment Instructions of the service
bulletin. Do the applicable corrective actions
before further flight.
(1) Where the service bulletin specifies a
compliance time from the release date of the
service bulletin, this AD requires compliance
within the specified compliance time after
the effective date of this AD.
(2) Where the columns identified as
‘‘Airplane Flight Cycles’’ in the tables of the
service bulletin specify less than 45,000 total
flight cycles for certain actions, this AD
affects airplanes having less than or equal to
45,000 total flight cycles.
(3) Where the columns identified as
‘‘Repeat Interval’’ in the tables of the service
bulletin specify an interval of 4,500 flight
cycles for all conditions, this AD requires
repetitive inspections only if no crack is
found during any inspection required by
paragraph (f) of this AD.
Optional Terminating Action
(g) Accomplishing the backup intercostal
repair/preventative modification and/or the
upper door sill web repair, in accordance
with the Accomplishment Instructions of
Boeing Alert Service Bulletin 737–53A1269,
dated May 17, 2007, terminates all the
corresponding repetitive inspection
requirements of paragraph (f) of this AD.
Alternative Methods of Compliance
(AMOCs)
(h)(1) The Manager, Seattle Aircraft
Certification Office (ACO), FAA, has the
authority to approve AMOCs for this AD, if
requested using the procedures found in 14
CFR 39.19. Send information to ATTN: Alan
Pohl, Aerospace Engineer, Airframe Branch,
ANM–120S, FAA, Seattle ACO, 1601 Lind
Avenue, SW., Renton, Washington 98057–
3356; telephone (917) 917–6450; fax (425)
917–6590.
(2) To request a different method of
compliance or a different compliance time
for this AD, follow the procedures in 14 CFR
39.19. Before using any approved AMOC on
any airplane to which the AMOC applies,
notify your principal maintenance inspector
(PMI) or principal avionics inspector (PAI),
as appropriate, or lacking a principal
inspector, your local Flight Standards District
Office. The AMOC approval letter must
specifically reference this AD.
(3) An AMOC that provides an acceptable
level of safety may be used for any repair
required by this AD, if it is approved by an
Authorized Representative for the Boeing
Commercial Airplanes Delegation Option
Authorization Organization who has been
authorized by the Manager, Seattle ACO,
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21255
FAA, to make those findings. For a repair
method to be approved, the repair must meet
the certification basis of the airplane, and the
approval must specifically refer to this AD.
Material Incorporated by Reference
(i) You must use Boeing Alert Service
Bulletin 737–53A1269, dated May 17, 2007,
to do the actions required by this AD, unless
the AD specifies otherwise. The optional
actions specified by this AD, if
accomplished, must also be done in
accordance with Boeing Alert Service
Bulletin 737–53A1269, dated May 17, 2007.
(1) The Director of the Federal Register
approved the incorporation by reference of
this service information under 5 U.S.C.
552(a) and 1 CFR part 51.
(2) For service information identified in
this AD, contact Boeing Commercial
Airplanes, Attention: Data & Services
Management, P.O. Box 3707, MC 2H–65,
Seattle, Washington 98124–2207; telephone
206–544–5000, extension 1; fax 206–766–
5680; e-mail me.boecom@boeing.com;
Internet https://www.myboeingfleet.com.
(3) You may review copies of the service
information at the FAA, Transport Airplane
Directorate, 1601 Lind Avenue, SW., Renton,
Washington. For information on the
availability of this material at the FAA, call
425–227–1221 or 425–227–1152.
(4) You may also review copies of the
service information that is incorporated by
reference at the National Archives and
Records Administration (NARA). For
information on the availability of this
material at NARA, call 202–741–6030, or go
to: https://www.archives.gov/federal_register/
code_of_federal_regulations/
ibr_locations.html.
Issued in Renton, Washington, on April 22,
2009.
Stephen P. Boyd,
Assistant Manager, Transport Airplane
Directorate, Aircraft Certification Service.
[FR Doc. E9–9947 Filed 5–6–09; 8:45 am]
BILLING CODE 4910–13–P
SECURITIES AND EXCHANGE
COMMISSION
17 CFR Part 232
[Release Nos. 33–9006A; 34–59391A; 39–
2462A; IC–28617A; File No. S7–12–08]
RIN 3235–AK13
Interactive Data for Mutual Fund Risk/
Return Summary; Correction
AGENCY: Securities and Exchange
Commission.
ACTION: Final rule; correction.
SUMMARY: The Securities and Exchange
Commission is making technical
corrections to rule amendments adopted
in Release No. 33–9006 (February 11,
2009), which appeared in the Federal
Register on February 19, 2009 (74 FR
7748). Specifically, the Commission is
E:\FR\FM\07MYR1.SGM
07MYR1
21256
Federal Register / Vol. 74, No. 87 / Thursday, May 7, 2009 / Rules and Regulations
making certain corrections to conform to
technical amendments adopted in
Release No. 33–9002A (April 1, 2009),
which appeared in the Federal Register
on April 7, 2009 (74 FR 15666).
DATES: Effective Date: July 15, 2009.
FOR FURTHER INFORMATION CONTACT:
Deborah D. Skeens, Senior Counsel,
Office of Disclosure Regulation, at (202)
551–6784, Division of Investment
Management, Securities and Exchange
Commission, 100 F Street, NE.,
Washington, DC 20549–5720.
SUPPLEMENTARY INFORMATION: The
Commission is making the following
corrections to Release No. 33–9006
(February 11, 2009), which was
published in FR Doc E9–3359 appearing
on page 7748 in the Federal Register on
February 19, 2009. We are correcting
cross-references in preliminary note 1
and paragraph (a) of Rule 405 1 of
Regulation S–T.2
§ 232.405
[Corrected]
1. Beginning on page 7775, second
column and continuing on the third
column, the last nineteen lines of
Preliminary Note 1 to § 232.405 are
corrected to read as follows:
‘‘paragraph (101) of Part II—
Information Not Required to be
Delivered to Offerees or Purchasers of
both Form F–9 (§ 239.39 of this chapter)
and Form F–10 (§ 239.40 of this
chapter), paragraph 101 of the
Instructions as to Exhibits of Form 20–
F (§ 249.220f of this chapter), paragraph
B.(15) of the General Instructions to
Form 40–F (§ 249.240f of this chapter),
paragraph C.(6) of the General
Instructions to Form 6–K (§ 249.306 of
this chapter), and General Instruction
C.3.(g) of Form N–1A (§§ 239.15A and
274.11A of this chapter) specify when
electronic filers are required or
permitted to submit or post an
Interactive Data File (§ 232.11), as
further described in the Note to
§ 232.405.’’
2. On page 7775, third column, the
introductory text of paragraph (a)(2) of
§ 232.405 is corrected to read as follows:
‘‘(2) Be submitted only by an
electronic filer either required or
permitted to submit an Interactive Data
File as specified by Item 601(b)(101) of
Regulation S–K, paragraph (101) of Part
II—Information Not Required to be
Delivered to Offerees or Purchasers of
either Form F–9 or Form F–10,
paragraph 101 of the Instructions as to
Exhibits of Form 20–F, paragraph B.(15)
of the General Instructions to Form 40–
F, paragraph C.(6) of the General
1 17
2 17
CFR 232.405.
CFR 232.10 et seq.
VerDate Nov<24>2008
16:03 May 06, 2009
Jkt 217001
Instructions to Form 6–K, or General
Instruction C.3.(g) of Form N–1A, as
applicable, as an exhibit to:’’
3. On page 7775, in the third column,
paragraph (a)(3) of § 232.405 is corrected
to read as follows:
‘‘(3) Be submitted in accordance with
the EDGAR Filer Manual and, as
applicable, either Item 601(b)(101) of
Regulation S–K, paragraph (101) of Part
II—Information Not Required to be
Delivered to Offerees or Purchasers of
either Form F–9 or Form F–10,
paragraph 101 of the Instructions as to
Exhibits of Form 20–F, paragraph B.(15)
of the General Instructions to Form 40–
F, paragraph C.(6) of the General
Instructions to Form 6–K, or General
Instruction C.3.(g) of Form N–1A; and’’
4. Beginning on page 7775, third
column and continuing on page 7776 in
the first column, paragraph (a)(4) of
§ 232.405 is corrected to read as follows:
‘‘(4) Be posted on the electronic filer’s
corporate Web site, if any, in accordance
with, as applicable, either Item
601(b)(101) of Regulation S–K,
paragraph (101) of Part II—Information
Not Required to be Delivered to Offerees
or Purchasers of either Form F–9 or
Form F–10, paragraph 101 of the
Instructions as to Exhibits of Form 20–
F, paragraph B.(15) of the General
Instructions to Form 40–F, paragraph
C.(6) of the General Instructions to Form
6–K, or General Instruction C.3.(g) of
Form N–1A.’’
Dated: May 1, 2009.
Elizabeth M. Murphy,
Secretary.
[FR Doc. E9–10525 Filed 5–6–09; 8:45 am]
BILLING CODE P
DEPARTMENT OF THE TREASURY
Internal Revenue Service
26 CFR Part 1
[TD 9449]
RIN 1545–BH84
Allocation and Reporting of Mortgage
Insurance Premiums
AGENCY: Internal Revenue Service (IRS),
Treasury.
ACTION: Temporary regulations.
SUMMARY: This document contains
temporary regulations that explain how
to allocate prepaid qualified mortgage
insurance premiums to determine the
amount of the prepaid premium that is
treated as qualified residence interest
each taxable year under section
163(h)(4)(F) of the Internal Revenue
PO 00000
Frm 00012
Fmt 4700
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Code (Code). The temporary regulations
also provide guidance to reporting
entities receiving premiums, including
prepaid premiums, for mortgage
insurance. The temporary regulations
reflect changes to the law made by the
Tax Relief and Health Care Act of 2006
and the Mortgage Forgiveness Debt
Relief Act of 2007. The text of the
temporary regulations also serves as the
text of the proposed regulations set forth
in the notice of proposed rulemaking on
this subject in the Proposed Rules
section of this issue of the Federal
Register.
DATES: Effective Date: These regulations
are effective on May 7, 2009.
Applicability Dates: For dates of
applicability, see §§ 1.163–11T(d) and
1.6050H–3T(e).
FOR FURTHER INFORMATION CONTACT:
Concerning § 1.163–11T, Angela
Warren, (202) 622–4950; concerning
§ 1.6050H–3T, Stephen Coleman (202)
622–4910 (not toll-free numbers).
SUPPLEMENTARY INFORMATION:
Background
Section 419 of the Tax Relief and
Health Care Act of 2006, Public Law
109–432 (120 Stat. 2967) (2006 Act),
added sections 163(h)(3)(E), (h)(4)(E),
and (h)(4)(F) to the Code. Section 3 of
the Mortgage Forgiveness Debt Relief
Act of 2007, Public Law 110–142 (121
Stat. 1803) (2007), amended section
163(h)(3)(E)(iv). In general, these new
provisions treat certain qualified
mortgage insurance premiums as
qualified residence interest. This
treatment applies only to certain
qualified mortgage insurance premiums
paid or accrued on or after January 1,
2007, and on or before December 31,
2010, on mortgage insurance contracts
issued on or after January 1, 2007.
Section 163(h)(3)(E)(i) provides that
premiums paid or accrued for qualified
mortgage insurance in connection with
acquisition indebtedness for a qualified
residence are treated as qualified
residence interest for purposes of
section 163. Section 163(h)(4)(E) defines
qualified mortgage insurance as (i)
mortgage insurance provided by the
Veterans Administration (VA), the
Federal Housing Administration (FHA),
or the Rural Housing Administration
(Rural Housing),1 and (ii) private
mortgage insurance (as defined by
section 2 of the Homeowners Protection
Act of 1998 (12 U.S.C. 4901) as in effect
on December 20, 2006). The amount
1 References in section 163(h)(4)(E)(i) to the
Veterans Administration and Rural Housing
Administration are interpreted to mean their
respective successors, the Department of Veterans
Affairs and Rural Housing Service.
E:\FR\FM\07MYR1.SGM
07MYR1
Agencies
[Federal Register Volume 74, Number 87 (Thursday, May 7, 2009)]
[Rules and Regulations]
[Pages 21255-21256]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-10525]
=======================================================================
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
17 CFR Part 232
[Release Nos. 33-9006A; 34-59391A; 39-2462A; IC-28617A; File No. S7-12-
08]
RIN 3235-AK13
Interactive Data for Mutual Fund Risk/Return Summary; Correction
AGENCY: Securities and Exchange Commission.
ACTION: Final rule; correction.
-----------------------------------------------------------------------
SUMMARY: The Securities and Exchange Commission is making technical
corrections to rule amendments adopted in Release No. 33-9006 (February
11, 2009), which appeared in the Federal Register on February 19, 2009
(74 FR 7748). Specifically, the Commission is
[[Page 21256]]
making certain corrections to conform to technical amendments adopted
in Release No. 33-9002A (April 1, 2009), which appeared in the Federal
Register on April 7, 2009 (74 FR 15666).
DATES: Effective Date: July 15, 2009.
FOR FURTHER INFORMATION CONTACT: Deborah D. Skeens, Senior Counsel,
Office of Disclosure Regulation, at (202) 551-6784, Division of
Investment Management, Securities and Exchange Commission, 100 F
Street, NE., Washington, DC 20549-5720.
SUPPLEMENTARY INFORMATION: The Commission is making the following
corrections to Release No. 33-9006 (February 11, 2009), which was
published in FR Doc E9-3359 appearing on page 7748 in the Federal
Register on February 19, 2009. We are correcting cross-references in
preliminary note 1 and paragraph (a) of Rule 405 \1\ of Regulation S-
T.\2\
---------------------------------------------------------------------------
\1\ 17 CFR 232.405.
\2\ 17 CFR 232.10 et seq.
---------------------------------------------------------------------------
Sec. 232.405 [Corrected]
1. Beginning on page 7775, second column and continuing on the
third column, the last nineteen lines of Preliminary Note 1 to Sec.
232.405 are corrected to read as follows:
``paragraph (101) of Part II--Information Not Required to be
Delivered to Offerees or Purchasers of both Form F-9 (Sec. 239.39 of
this chapter) and Form F-10 (Sec. 239.40 of this chapter), paragraph
101 of the Instructions as to Exhibits of Form 20-F (Sec. 249.220f of
this chapter), paragraph B.(15) of the General Instructions to Form 40-
F (Sec. 249.240f of this chapter), paragraph C.(6) of the General
Instructions to Form 6-K (Sec. 249.306 of this chapter), and General
Instruction C.3.(g) of Form N-1A (Sec. Sec. 239.15A and 274.11A of
this chapter) specify when electronic filers are required or permitted
to submit or post an Interactive Data File (Sec. 232.11), as further
described in the Note to Sec. 232.405.''
2. On page 7775, third column, the introductory text of paragraph
(a)(2) of Sec. 232.405 is corrected to read as follows:
``(2) Be submitted only by an electronic filer either required or
permitted to submit an Interactive Data File as specified by Item
601(b)(101) of Regulation S-K, paragraph (101) of Part II--Information
Not Required to be Delivered to Offerees or Purchasers of either Form
F-9 or Form F-10, paragraph 101 of the Instructions as to Exhibits of
Form 20-F, paragraph B.(15) of the General Instructions to Form 40-F,
paragraph C.(6) of the General Instructions to Form 6-K, or General
Instruction C.3.(g) of Form N-1A, as applicable, as an exhibit to:''
3. On page 7775, in the third column, paragraph (a)(3) of Sec.
232.405 is corrected to read as follows:
``(3) Be submitted in accordance with the EDGAR Filer Manual and,
as applicable, either Item 601(b)(101) of Regulation S-K, paragraph
(101) of Part II--Information Not Required to be Delivered to Offerees
or Purchasers of either Form F-9 or Form F-10, paragraph 101 of the
Instructions as to Exhibits of Form 20-F, paragraph B.(15) of the
General Instructions to Form 40-F, paragraph C.(6) of the General
Instructions to Form 6-K, or General Instruction C.3.(g) of Form N-1A;
and''
4. Beginning on page 7775, third column and continuing on page 7776
in the first column, paragraph (a)(4) of Sec. 232.405 is corrected to
read as follows:
``(4) Be posted on the electronic filer's corporate Web site, if
any, in accordance with, as applicable, either Item 601(b)(101) of
Regulation S-K, paragraph (101) of Part II--Information Not Required to
be Delivered to Offerees or Purchasers of either Form F-9 or Form F-10,
paragraph 101 of the Instructions as to Exhibits of Form 20-F,
paragraph B.(15) of the General Instructions to Form 40-F, paragraph
C.(6) of the General Instructions to Form 6-K, or General Instruction
C.3.(g) of Form N-1A.''
Dated: May 1, 2009.
Elizabeth M. Murphy,
Secretary.
[FR Doc. E9-10525 Filed 5-6-09; 8:45 am]
BILLING CODE P