Office of Hazardous Materials Safety; Notice of Application for Special Permits, 50864-50865 [E9-23535]
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PWALKER on DSK8KYBLC1PROD with NOTICES
50864
Federal Register / Vol. 74, No. 189 / Thursday, October 1, 2009 / Notices
Sections 5 and 6 of the Exchange Act,20
and the rules and regulations
thereunder, will continue to be exempt
from the requirement to register as a
national securities exchange under
Section 6 of the Exchange Act, and from
the prohibition in Section 5 of the
Exchange Act against effecting
transactions as an exchange unless it is
registered as a national securities
exchange or exempt from registration
due to the limited volume of its
transactions through March 24, 2010,
subject to the following conditions:
(1) The exchange must not: (a) Set
rules governing the conduct of
subscribers other than the conduct of
such subscribers trading on such
exchange; or (b) discipline subscribers
other than by exclusion from trading;
(2) The exchange must make and keep
for a period of not less than three years,
the first two years in an easily accessible
place, the following records:
• A record of subscribers in the
exchange (identifying any affiliations
between the exchange and subscribers
in the exchange, including common
directors, officers, or owners);
• Daily summaries of trading,
including (a) information identifying
CDS in which transactions are effected;
and (b) transaction volume, expressed in
terms of number of trades and total U.S.
dollar notional value; and
• Time-sequenced records of order
information, including: (a) Identity of
the party entering an order; (b)
identification of non-excluded CDS
contract (including the reference entity,
security, or index, and notional value);
(c) date and time that order was
received; (d) price (whether expressed
as credit spread, rate, strike, or coupon);
(e) whether the order is to buy or sell
and any order conditions; (f) any
subsequent modification or cancellation
of the order; (g) date and time the order
was executed, the size (e.g., notional
value amount) executed, and the price;
and (h) identity of the parties to the
transaction;
(3) The exchange must preserve the
following records:
• For a period of not less than three
years, the first two years in an easily
accessible place, all notices provided by
such exchange to subscribers generally,
whether written or communicated
through automated means, including,
but not limited to, notices addressing
hours of system operations, system
malfunctions, changes to system
procedures, maintenance of hardware
and software, instructions pertaining to
access to the market and denials of, or
20 15
U.S.C. 78e and 78f.
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19:32 Sep 30, 2009
limitations on, access to the exchange;
and
• During the life of the enterprise and
of any successor enterprise, the
exchange’s organizational documents
and copies of reports filed with the
Commission pursuant to this
exemption;
(4) An exchange must, within five
days of commencing operation, submit
a notice to the Commission that
includes the following information:
• Full legal name of the exchange;
• A description of the exchange’s
ownership structure;
• Contact person and contact
information;
• A general description of what CDS
contracts trade on the exchange; and
• A description of how the exchange
operates;
(5) An exchange must report the
following information to the
Commission within 30 days of the end
of each quarter:
• The total dollar volume of
transactions executed during the
quarter, broken down by reference
entity, security, or index;
• The total unit volume and/or
notional amount executed during the
quarter, broken down by reference
entity, security, or index; and
• A list of all subscribers that effected
transactions on the exchange during the
quarter;
(6) The exchange must establish
adequate safeguards and procedures to
protect subscribers’ confidential trading
information. Such safeguards and
procedures shall include: (a) Limiting
access to the confidential trading
information of subscribers to those
employees of the exchange who are
operating the system or responsible for
its compliance with this exemption or
any other applicable rules; and (b)
implementing standards controlling
employees of the exchange trading for
their own accounts. The exchange must
adopt and implement adequate
oversight procedures to ensure that the
safeguards and procedures established
pursuant to this condition are followed;
and
(7) The exchange must provide access
to the Commission to conduct on-site
inspections of its facilities (including
automated systems and systems
environment), records, and personnel
related to exchange activities. The
exchange must cooperate with the
Commission in connection with the
investigation of any exchange
subscribers.
It is further ordered, pursuant to
Section 36 of the Exchange Act,21 that
21 15
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until March 24, 2010, a broker or dealer
that effects transactions in non-excluded
CDS, or reports such transactions, on an
exchange that is exempted pursuant to
this Order will also continue to be
exempt from the prohibition on trading
activity in Section 5 of the Exchange
Act.
By the Commission.
Florence E. Harmon,
Deputy Secretary.
[FR Doc. E9–23622 Filed 9–30–09; 8:45 am]
BILLING CODE 8011–01–P
DEPARTMENT OF TRANSPORTATION
Pipeline and Hazardous Materials
Safety Administration
Office of Hazardous Materials Safety;
Notice of Application for Special
Permits
AGENCY: Pipeline and Hazardous
Materials Safety Administration
(PHMSA), DOT.
ACTION: List of applications for special
permits.
SUMMARY: In accordance with the
procedures governing the application
for, and the processing of, special
permits from the Department of
Transportation’s Hazardous Material
Regulations (49 CFR part 107, subpart
B), notice is hereby given that the Office
of Hazardous Materials Safety has
received the application described
herein. Each mode of transportation for
which a particular special permit is
requested is indicated by a number in
the ‘‘Nature of Application’’ portion of
the table below as follows: 1—Motor
vehicle, 2—Rail freight, 3—Cargo vessel,
4—Cargo aircraft only, 5—Passengercarrying aircraft.
DATES: Comments must be received on
or before November 2, 2009.
Address Comments To: Record
Center, Pipeline and Hazardous,
Materials Safety Administration, U.S.
Department of Transportation,
Washington, DC 20590.
Comments should refer to the
application number and be submitted in
triplicate. If confirmation of receipt of
comments is desired, include a selfaddressed stamped postcard showing
the special permit number.
FOR FURTHER INFORMATION CONTACT:
Copies of the applications are available
for inspection in the Records Center,
East Building, PHH–30, 1200 New
Jersey Avenue, SE., Washington DC or at
https://regulations.gov.
This notice of receipt of applications
for special permit is published in
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Federal Register / Vol. 74, No. 189 / Thursday, October 1, 2009 / Notices
accordance with Part 107 of the Federal
hazardous materials transportation law
(49 U.S.C. 5117(b); 49 CFR 1.53(b)).
Issued in Washington, DC, on September
24, 2009.
Delmer F. Billings,
Director, Office of Hazardous Materials,
Special Permits and Approvals.
Regulation(s)
affected
Application No.
Docket No.
Applicant
14902–N ................
........................
Federal Aviation Administration.
[FR Doc. E9–23535 Filed 9–30–09; 8:45 am]
BILLING CODE 4909–60–M
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
Approval of Noise Compatibility
Program, Destin-Ft. Walton Beach
Airport, Destin, FL
PWALKER on DSK8KYBLC1PROD with NOTICES
AGENCY: Federal Aviation
Administration, DOT.
ACTION: Notice.
SUMMARY: The Federal Aviation
Administration (FAA) announces its
findings on the Noise Compatibility
Program submitted by the Oklaloosa
County under the provisions of 49
U.S.C. (the Aviation Safety and Noise
Abatement Act, hereinafter referred to
as ‘‘the Act’’) and 14 CFR Part 150.
These findings are made in recognition
of the description of Federal and
nonfederal responsibilities in Senate
Report No. 96–52 (1980). On January 14,
2009, the FAA determined that the
noise exposure maps submitted by
Okaloosa County under Part 150 were in
compliance with applicable
requirements. On July 7, 209, the FAA
approved the Destin-Ft. Walton Beach
Airport noise compatibility program. All
of the recommendations of the program
were approved. No program elements
relating to new or revised flight
procedures for noise abatement were
proposed by the airport operators.
DATES: Effective Date: The effective date
of the FAA’s approval of the Destin-Ft.
Walton Beach Airport Noise
Compatibility Program is July 7, 2009.
FOR FURTHER INFORMATION CONTACT:
Lindy McDowell, Federal Aviation
Administration, Orlando Airports
District Office, 5950 Hazeltine National
Drive, Suite 400, Orlando, FL 32822,
phone number; 407–812–6331.
Documents reflecting this FAA action
may be reviewed at this same location.
SUPPLEMENTARY INFORMATION: This
notice announces that the FAA has
VerDate Nov<24>2008
19:32 Sep 30, 2009
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50865
49 CFR
171.2(k)
Nature of special permits thereof
To authorize the transportation in commerce of packagings identified as hazardous material which are actually non-hazardous for purposes of shipping and packaging drills conducted by FAA for air carriers. (modes
4,5)
given its overall approval to the Noise
Compatibility Program for Destin-Ft.
Walton Beach Airport, effective July 7,
2009.
Under Section 47504 of the Act, an
airport operator who has previously
submitted a Noise Exposure Map may
submit to the FAA a Noise
Compatibility Program which sets forth
the measures taken or proposed by the
airport operator for the reduction of
existing noncompatible land uses and
prevention of additional noncompatible
land uses within the area covered by the
Noise Exposure Maps. The Act requires
such programs to be developed in
consultation with interested and
affected parties including local
communities, government agencies,
airport users, and FAA personnel.
Each airport noise compatibility
program developed in accordance with
Title 14 Code of Federal Regulations
(CFR) Part 150 is a local program, not
a Federal Program. The FAA does not
substitute its judgment for that of the
airport operator with respect to which
measure should be recommended for
action. The FAA’s approval or
disapproval of 14 CFR Part 150 program
recommendations is measured
according to the standards expressed in
14 CFR Part 150 and the Act, and is
limited to the following determinations:
a. The Noise Compatibility Program
was developed in accordance with the
provisions and procedures of 14 CFR
Part 150;
b. Program measures are reasonably
consistent with achieving the goals of
reducing existing non-compatible land
uses around the airport and preventing
the introduction of additional noncompatible land uses;
c. Program measures would not create
an undue burden on interstate or foreign
commerce, unjustly discriminate against
types or classes of aeronautical uses,
violate the terms of airport grant
agreements, or intrude into areas
preempted by the Federal government;
and
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d. Program measures relating to the
use of flight procedures can be
implemented within the period covered
by the program without derogating
safety, adversely affecting the efficient
use and management of the navigable
airspace and air traffic control systems,
or adversely affecting other powers and
responsibilities of the Administrator
prescribed by law.
Specific limitations with respect to
FAA’s approval of an airport Noise
Compatibility Program are delineated in
14 CFR Part 150, Section 1505.
Approval is not a determination
concerning the acceptability of land
uses under Federal, state, or local law.
Approval does not by itself constitute an
FAA implementing action. A request for
Federal action or approval to implement
specific noise compatibility measures
may be required, and an FAA decision
on the request may require an
environmental assessment of the
proposed action. Approval does not
constitute a commitment by the FAA to
financially assist in the implementation
of the program nor a determination that
all measures covered by the program are
eligible for grant-in-aid funding from the
FAA. Where Federal funding is sought,
requests for program grants must be
submitted to the FAA Airports District
Office in Orlando, Florida.
Okaloosa County submitted to the
FAA on September 5, 2008, the Noise
Exposure Maps, descriptions, and other
documentation produced during the
noise compatibility planning study
conducted from June, 2004, through
July, 2008. The Destin-Ft. Walton Beach
Airport Noise Exposure Maps were
determined by FAA to be in compliance
with applicable requirements on
January 14, 2009. Notice of this
determination was published in the
Federal Register on January 14, 2009.
The Destin-Ft. Walton Beach Airport
study contains a proposed Noise
Compatibility Program comprised of
actions designed for phased
implementation by airport management
and adjacent jurisdictions from the year
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Agencies
[Federal Register Volume 74, Number 189 (Thursday, October 1, 2009)]
[Notices]
[Pages 50864-50865]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-23535]
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DEPARTMENT OF TRANSPORTATION
Pipeline and Hazardous Materials Safety Administration
Office of Hazardous Materials Safety; Notice of Application for
Special Permits
AGENCY: Pipeline and Hazardous Materials Safety Administration (PHMSA),
DOT.
ACTION: List of applications for special permits.
-----------------------------------------------------------------------
SUMMARY: In accordance with the procedures governing the application
for, and the processing of, special permits from the Department of
Transportation's Hazardous Material Regulations (49 CFR part 107,
subpart B), notice is hereby given that the Office of Hazardous
Materials Safety has received the application described herein. Each
mode of transportation for which a particular special permit is
requested is indicated by a number in the ``Nature of Application''
portion of the table below as follows: 1--Motor vehicle, 2--Rail
freight, 3--Cargo vessel, 4--Cargo aircraft only, 5--Passenger-carrying
aircraft.
DATES: Comments must be received on or before November 2, 2009.
Address Comments To: Record Center, Pipeline and Hazardous,
Materials Safety Administration, U.S. Department of Transportation,
Washington, DC 20590.
Comments should refer to the application number and be submitted in
triplicate. If confirmation of receipt of comments is desired, include
a self-addressed stamped postcard showing the special permit number.
FOR FURTHER INFORMATION CONTACT: Copies of the applications are
available for inspection in the Records Center, East Building, PHH-30,
1200 New Jersey Avenue, SE., Washington DC or at https://regulations.gov.
This notice of receipt of applications for special permit is
published in
[[Page 50865]]
accordance with Part 107 of the Federal hazardous materials
transportation law (49 U.S.C. 5117(b); 49 CFR 1.53(b)).
Issued in Washington, DC, on September 24, 2009.
Delmer F. Billings,
Director, Office of Hazardous Materials, Special Permits and Approvals.
----------------------------------------------------------------------------------------------------------------
Regulation(s) Nature of special
Application No. Docket No. Applicant affected permits thereof
----------------------------------------------------------------------------------------------------------------
14902-N........................ .............. Federal Aviation 49 CFR To authorize the
Administration. 171.2(k) transportation in
commerce of
packagings identified
as hazardous material
which are actually
non-hazardous for
purposes of shipping
and packaging drills
conducted by FAA for
air carriers. (modes
4,5)
----------------------------------------------------------------------------------------------------------------
[FR Doc. E9-23535 Filed 9-30-09; 8:45 am]
BILLING CODE 4909-60-M