Meeting of the Advisory Committee; Meeting, 27346-27347 [E9-13517]
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27346
Federal Register / Vol. 74, No. 109 / Tuesday, June 9, 2009 / Notices
International Trade Commission, on
June 3, 2009, ordered that—
(1) Pursuant to subsection (b) of
section 337 of the Tariff Act of 1930, as
amended, an investigation be instituted
to determine whether there is a
violation of subsection (a)(1)(B) of
section 337 in the importation into the
United States, the sale for importation,
or the sale within the United States after
importation of certain course
management system software products
that infringe one or more of claims 36–
44 of U.S. Patent No. 6,988,138, and
whether an industry in the United
States exists as required by subsection
(a)(2) of section 337; 1
(2) For the purpose of the
investigation so instituted, the following
is hereby named as a party upon which
this notice of investigation shall be
served:
(a) The complainant is—Blackboard
Inc., 650 Massachusetts Avenue, NW.,
Washington, DC 20001.
(b) The respondent is the following
entity alleged to be in violation of
section 337, and is the party upon
which the complaint is to be served:
Desire2Learn Incorporated, 305 King
Street West, Suite 200, Kitchener,
Ontario, Canada N2G 1B9.
(c) The Commission investigative
attorney, party to this investigation, is
Mareesa A. Frederick, Esq., Office of
Unfair Import Investigations, U.S.
International Trade Commission, 500 E
Street, SW., Room 401, Washington, DC
20436; and
(3) For the investigation so instituted,
Paul J. Luckern, Chief Administrative
Law Judge, U.S. International Trade
Commission, shall designate the
presiding Administrative Law Judge.
The Commission notes that the
asserted patent is currently involved in
a reexamination proceeding at the U.S.
Patent and Trademark Office and an
appellate proceeding before the Court of
Appeals for the Federal Circuit. In
instituting this investigation the
Commission has not made any
determination as to whether a stay is
warranted. However, the presiding
administrative law judge may wish to
consider whether a stay is warranted at
an early date in this proceeding. Any
such decision regarding the motion to
stay the investigation should be issued
in the form of an initial determination
(ID). The ID will become the
Commission’s final determination 45
days after the date of service of the ID
unless the Commission determines to
1 The Commission has determined not to institute
an investigation with respect to claims 1–35 as
these claims are the subject of a valid and final
judgment of invalidity issued by the district court
for the Eastern District of Texas.
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review the ID. Any petitions for review
of the ID must be filed within ten (10)
days after service thereof. Any review
will be conducted in accordance with
Commission Rules 210.43, 210.44 and
210.45, 19 CFR 210.43, 210.44, and
210.45.
The instant complaint also raises
questions relating to, inter alia, (1) the
scope of coverage under Section 337,
and (2) possible claim preclusion with
respect to claims 36–44 of the asserted
‘138 patent in light of prior district court
contempt proceeding and a pending
appeal before the Federal Circuit. As
with other investigations commenced
pursuant to Section 337, the institution
of the requested investigation by the
Commission does not constitute a
determination on the merits of these or
other issues that may arise in the
investigation.
Responses to the complaint and the
notice of investigation must be
submitted by the named respondent in
accordance with section 210.13 of the
Commission’s Rules of Practice and
Procedure, 19 CFR 210.13. Pursuant to
19 CFR 201.16(d) and 210.13(a), such
responses will be considered by the
Commission if received not later than 20
days after the date of service by the
Commission of the complaint and the
notice of investigation. Extensions of
time for submitting a response to the
complaint and the notice of
investigation will not be granted unless
good cause therefor is shown.
Failure of a respondent to file a timely
response to each allegation in the
complaint and in this notice may be
deemed to constitute a waiver of the
right to appear and contest the
allegations of the complaint and this
notice, and to authorize the
administrative law judge and the
Commission, without further notice to
the respondent, to find the facts to be as
alleged in the complaint and this notice
and to enter an initial determination
and a final determination containing
such findings, and may result in the
issuance of an exclusion order or a cease
and desist order or both directed against
the respondent.
By order of the Commission.
Issued: June 3, 2009.
Marilyn R. Abbott,
Secretary to the Commission.
[FR Doc. E9–13381 Filed 6–8–09; 8:45 am]
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INTERNATIONAL TRADE
COMMISSION
[USITC SE–09–017]
Government in the Sunshine Act
Meeting Notice
United
States International Trade Commission.
TIME AND DATE: June 18, 2009 at 11 a.m.
PLACE: Room 101, 500 E Street, SW.,
Washington, DC 20436, Telephone:
(202) 205–2000.
STATUS: Open to the public.
MATTERS TO BE CONSIDERED:
1. Agenda for future meetings: none.
2. Minutes.
3. Ratification List.
4. Inv. No. TA–421–7 (Market
Disruption) (Certain Passenger Vehicle
and Light Truck Tires from China)—
briefing and vote. (The Commission is
currently scheduled to transmit its
determination on market disruption to
the President and the United States
Trade Representative by July 9, 2009.)
5. Outstanding action jackets: none.
In accordance with Commission
policy, subject matter listed above, not
disposed of at the scheduled meeting,
may be carried over to the agenda of the
following meeting.
AGENCY HOLDING THE MEETING:
By order of the Commission.
Issued: June 5, 2009.
William R. Bishop,
Hearings and Meetings Coordinator.
[FR Doc. E9–13555 Filed 6–5–09; 4:15 pm]
BILLING CODE 7020–02–P
JOINT BOARD FOR THE
ENROLLMENT OF ACTUARIES
Meeting of the Advisory Committee;
Meeting
AGENCY: Joint Board for the Enrollment
of Actuaries.
ACTION: Notice of Federal Advisory
Committee meeting.
SUMMARY: The Executive Director of the
Joint Board for the Enrollment of
Actuaries gives notice of a meeting of
the Advisory Committee on Actuarial
Examinations (a portion of which will
be open to the public) in Washington,
DC at the Office of Professional
Responsibility on June 29 and June 30,
2009.
DATES: Monday, June 29, 2009, from 9
a.m. to 5 p.m., and Tuesday, June 30,
2009, from 8:30 a.m. to 5 p.m.
ADDRESSES: The meeting will be held at
the Internal Revenue Service Building,
1111 Constitution Avenue, NW., Room
7718, Washington, DC.
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27347
Federal Register / Vol. 74, No. 109 / Tuesday, June 9, 2009 / Notices
FOR FURTHER INFORMATION CONTACT:
Patrick W. McDonough, Executive
Director of the Joint Board for the
Enrollment of Actuaries, 202–622–8225.
SUPPLEMENTARY INFORMATION: Notice is
hereby given that the Advisory
Committee on Actuarial Examinations
will meet in the Internal Revenue
Service Building, 1111 Constitution
Avenue, NW., Washington, DC on
Monday, June 29, 2009, from 9 a.m. to
5 p.m., and Tuesday, June 30, 2009,
from 8:30 a.m. to 5 p.m.
The purpose of the meeting is to
discuss topics and questions which may
be recommended for inclusion on future
Joint Board examinations in actuarial
mathematics and methodology referred
to in 29 U.S.C. 1242(a)(1)(B) and to
review the May 2009 Basic (EA–1) and
Pension (EA–2B) Joint Board
Examinations in order to make
recommendations relative thereto,
including the minimum acceptable pass
score. Topics for inclusion on the
syllabus for the Joint Board’s
examination program for the November
2009 Pension (EA–2A) Examination will
be discussed.
A determination has been made as
required by section 10(d) of the Federal
Advisory Committee Act, 5 U.S.C. App.,
that the portions of the meeting dealing
with the discussion of questions that
may appear on the Joint Board’s
examinations and the review of the May
2009 Joint Board examinations fall
within the exceptions to the open
meeting requirement set forth in 5
U.S.C. 552b(c)(9)(B), and that the public
interest requires that such portions be
closed to public participation.
The portion of the meeting dealing
with the discussion of the other topics
will commence at 1 p.m. on June 29 and
will continue for as long as necessary to
complete the discussion, but not beyond
3 p.m. Time permitting, after the close
of this discussion by Committee
members, interested persons may make
statements germane to this subject.
Persons wishing to make oral statements
must notify the Executive Director in
writing prior to the meeting in order to
aid in scheduling the time available and
must submit the written text, or at a
minimum, an outline of comments they
propose to make orally. Such comments
will be limited to 10 minutes in length.
All other persons planning to attend the
public session must also notify the
Executive Director in writing to obtain
building entry. Notifications of intent to
make an oral statement or to attend
must be faxed, no later than June 19,
2009, to 202–622–8300, Attn: Executive
Director. Any interested person also
may file a written statement for
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consideration by the Joint Board and the
Committee by sending it to the
Executive Director: Joint Board for the
Enrollment of Actuaries, c/o Internal
Revenue Service, Attn: Executive
Director SE:OPR, Room 7238, 1111
Constitution Avenue, NW., Washington,
DC 20224.
Dated: May 26, 2009.
Patrick W. McDonough,
Executive Director, Joint Board for the
Enrollment of Actuaries.
[FR Doc. E9–13517 Filed 6–8–09; 8:45 am]
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DEPARTMENT OF JUSTICE
Drug Enforcement Administration
Importer of Controlled Substances;
Notice of Application
This is notice that on January 28,
2009, Stepan Company, Natural
Products Department, 100 W. Hunter
Avenue, Maywood, New Jersey 07607,
made application by renewal to the
Drug Enforcement Administration
(DEA) for registration as an importer of
Coca Leaves (9040), a basic class of
controlled substance listed in schedule
II.
The company plans to import the
listed controlled substance for the
manufacture of a bulk controlled
substance for distribution to its
customer.
No comments, objections, or requests
for any hearings will be accepted on any
application for registration or reregistration to import coca leaves. As
explained in the Correction to Notice of
Application pertaining to Rhodes
Technologies, 72 FR 3417 (2007),
comments and requests for hearings on
applications to import narcotic raw
material are not appropriate.
Any bulk manufacturer who is
presently, or is applying to be,
registered with DEA to manufacture
such basic classes of controlled
substances listed in schedule I or II,
which fall under the authority of section
1002(a)(2)(B) of the Act (21 U.S.C.
952(a)(2)(B)) may, in the circumstances
set forth in 21 U.S.C. 958(i), file
comments or objections to the issuance
of the proposed registration and may, at
the same time, file a written request for
a hearing on such application pursuant
to 21 CFR 1301.43 and in such form as
prescribed by 21 CFR 1316.47.
Any such comments or objections
should be addressed, in quintuplicate,
to the Drug Enforcement
Administration, Office of Diversion
Control, Federal Register Representative
(ODL), 8701 Morrissette Drive,
PO 00000
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Springfield, VA 22152; and must be
filed no later than July 9, 2009.
This procedure is to be conducted
simultaneously with and independent
of the procedures described in 21 CFR
1301.34(b), (c), (d), (e), and (f). As noted
in a previous notice published in the
Federal Register on September 23, 1975
(40 FR 43745), all applicants for
registration to import a basic class of
any controlled substances in schedule I
or II are, and will continue to be,
required to demonstrate to the Deputy
Assistant Administrator, Office of
Diversion Control, Drug Enforcement
Administration, that the requirements
for such registration pursuant to 21
U.S.C. 958(a); 21 U.S.C. 823(a); and 21
CFR 1301.34(b), (c), (d), (e), and (f) are
satisfied.
Dated: June 3, 2009.
Joseph T. Rannazzisi,
Deputy Assistant Administrator, Office of
Diversion Control, Drug Enforcement
Administration.
[FR Doc. E9–13353 Filed 6–8–09; 8:45 am]
BILLING CODE 4410–09–P
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
Importer of Controlled Substances;
Notice of Application
Pursuant to 21 U.S.C. 958(i), the
Attorney General shall, prior to issuing
a registration under this Section to a
bulk manufacturer of a controlled
substance in schedule I or II, and prior
to issuing a regulation under 21 U.S.C.
952(a)(2) authorizing the importation of
such a substance, provide
manufacturers holding registrations for
the bulk manufacture of the substance
an opportunity for a hearing.
Therefore, in accordance with Title 21
Code of Federal Regulations (CFR),
1301.34(a), this is notice that on March
18, 2009, Research Triangle Institute,
Kenneth H. Davis Jr., Hermann
Building, East Institute Drive, P.O. Box
12194, Research Triangle, North
Carolina 27709, made application by
renewal to the Drug Enforcement
Administration (DEA) to be registered as
an importer of the basic classes of
controlled substances listed in
schedules I and II:
Drug
1-(1-Phenylcyclohexyl)pyrrolidine
(7458).
1-[1-(2-Thienyl)cyclohexy]piperidine (7470).
1-[1-(2-Thienyl)cyclohexyl]pyrrolidine (7473).
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Schedule
I
I
I
Agencies
[Federal Register Volume 74, Number 109 (Tuesday, June 9, 2009)]
[Notices]
[Pages 27346-27347]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-13517]
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JOINT BOARD FOR THE ENROLLMENT OF ACTUARIES
Meeting of the Advisory Committee; Meeting
AGENCY: Joint Board for the Enrollment of Actuaries.
ACTION: Notice of Federal Advisory Committee meeting.
-----------------------------------------------------------------------
SUMMARY: The Executive Director of the Joint Board for the Enrollment
of Actuaries gives notice of a meeting of the Advisory Committee on
Actuarial Examinations (a portion of which will be open to the public)
in Washington, DC at the Office of Professional Responsibility on June
29 and June 30, 2009.
DATES: Monday, June 29, 2009, from 9 a.m. to 5 p.m., and Tuesday, June
30, 2009, from 8:30 a.m. to 5 p.m.
ADDRESSES: The meeting will be held at the Internal Revenue Service
Building, 1111 Constitution Avenue, NW., Room 7718, Washington, DC.
[[Page 27347]]
FOR FURTHER INFORMATION CONTACT: Patrick W. McDonough, Executive
Director of the Joint Board for the Enrollment of Actuaries, 202-622-
8225.
SUPPLEMENTARY INFORMATION: Notice is hereby given that the Advisory
Committee on Actuarial Examinations will meet in the Internal Revenue
Service Building, 1111 Constitution Avenue, NW., Washington, DC on
Monday, June 29, 2009, from 9 a.m. to 5 p.m., and Tuesday, June 30,
2009, from 8:30 a.m. to 5 p.m.
The purpose of the meeting is to discuss topics and questions which
may be recommended for inclusion on future Joint Board examinations in
actuarial mathematics and methodology referred to in 29 U.S.C.
1242(a)(1)(B) and to review the May 2009 Basic (EA-1) and Pension (EA-
2B) Joint Board Examinations in order to make recommendations relative
thereto, including the minimum acceptable pass score. Topics for
inclusion on the syllabus for the Joint Board's examination program for
the November 2009 Pension (EA-2A) Examination will be discussed.
A determination has been made as required by section 10(d) of the
Federal Advisory Committee Act, 5 U.S.C. App., that the portions of the
meeting dealing with the discussion of questions that may appear on the
Joint Board's examinations and the review of the May 2009 Joint Board
examinations fall within the exceptions to the open meeting requirement
set forth in 5 U.S.C. 552b(c)(9)(B), and that the public interest
requires that such portions be closed to public participation.
The portion of the meeting dealing with the discussion of the other
topics will commence at 1 p.m. on June 29 and will continue for as long
as necessary to complete the discussion, but not beyond 3 p.m. Time
permitting, after the close of this discussion by Committee members,
interested persons may make statements germane to this subject. Persons
wishing to make oral statements must notify the Executive Director in
writing prior to the meeting in order to aid in scheduling the time
available and must submit the written text, or at a minimum, an outline
of comments they propose to make orally. Such comments will be limited
to 10 minutes in length. All other persons planning to attend the
public session must also notify the Executive Director in writing to
obtain building entry. Notifications of intent to make an oral
statement or to attend must be faxed, no later than June 19, 2009, to
202-622-8300, Attn: Executive Director. Any interested person also may
file a written statement for consideration by the Joint Board and the
Committee by sending it to the Executive Director: Joint Board for the
Enrollment of Actuaries, c/o Internal Revenue Service, Attn: Executive
Director SE:OPR, Room 7238, 1111 Constitution Avenue, NW., Washington,
DC 20224.
Dated: May 26, 2009.
Patrick W. McDonough,
Executive Director, Joint Board for the Enrollment of Actuaries.
[FR Doc. E9-13517 Filed 6-8-09; 8:45 am]
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