Submission for OMB Review: Comment Request, 8750-8751 [2010-3789]
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Federal Register / Vol. 75, No. 37 / Thursday, February 25, 2010 / Notices
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Respondent also holds both an
allopathic physician’s license and a
controlled substance registration as an
allopathic physician which have been
issued by the Rhode Island Board of
Medical Licensure and Discipline. On
January 24, 2008, Respondent entered
into a consent order with the Rhode
Island Board; the order suspended
Respondent’s Rhode Island licenses
based on the July 30, 2007 order of the
New York Department of Health, State
Board of Professional Medical Conduct,
which had revoked his New York
medical license on fourteen different
grounds. The Rhode Island Board’s
order became effective on February 13,
2008. According to the online records of
the Rhode Island Board, the suspension
remains in effect as of the date of this
Decision and Final Order. The Rhode
Island Board’s online records further
indicate that Respondent’s state
controlled substances registration is
inactive, because a prerequisite (i.e., his
state medical license) is inactive. I
therefore find that Respondent is not
currently authorized under Rhode
Island law to dispense controlled
substances.
Discussion
Under the Controlled Substances Act
(CSA), a practitioner must be currently
authorized to handle controlled
substances in ‘‘the jurisdiction in which
he practices’’ in order to maintain a DEA
registration. See 21 U.S.C. 802(21)
(‘‘[t]he term ‘practitioner’ means a
physician * * * licensed, registered, or
otherwise permitted, by * * * the
jurisdiction in which he practices * * *
to distribute, dispense, [or] administer
* * * a controlled substance in the
course of professional practice’’). See
also id. § 823(f) (‘‘The Attorney General
shall register practitioners * * * if the
applicant is authorized to dispense
* * * controlled substances under the
laws of the State in which he
practices.’’). As these provisions make
plain, possessing authority under state
law to handle controlled substances is
an essential condition for holding a DEA
registration.
Accordingly, DEA has held repeatedly
that the CSA requires the revocation of
a registration issued to a practitioner
whose state license has been suspended
or revoked. Scott Sandarg, 74 FR 17528,
17529 (2009); Sheran Arden Yeates, 71
FR 39130, 39131 (2006); Dominick A.
Ricci, 58 FR 51104, 51105 (1993); Bobby
Watts, 53 FR 11919, 11920 (1988). See
also 21 U.S.C. 824(a)(3) (authorizing the
revocation of a registration ‘‘upon a
finding that the registrant * * * has had
his State license or registration
suspended [or] revoked * * * and is no
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16:34 Feb 24, 2010
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longer authorized by State law to engage
in the * * * distribution [or] dispensing
of controlled substances’’).
As found above, Respondent currently
lacks authority to dispense controlled
substances in Rhode Island, the State in
which he holds his DEA registration.
Because Respondent no longer meets
the CSA’s fundamental requirement for
holding a registration, see 21 U.S.C.
823(f), his registration will be revoked.
Order
Pursuant to the authority vested in me
by 21 U.S.C. 823(f) & 824(a), as well as
28 CFR 0.100(b) & 0.104, I order that
DEA Certificate of Registration,
BW6030857, issued to Dwayne LaFrantz
Wilson, M.D., be, and it hereby is,
revoked. I further order that any
pending application of Dwayne
LaFrantz Wilson, M.D., to renew or
modify his registration, be, and it hereby
is, denied. This Order is effective March
29, 2010.
Dated: February 13, 2010.
Michele M. Leonhart,
Deputy Administrator.
[FR Doc. 2010–3766 Filed 2–24–10; 8:45 am]
BILLING CODE 4410–09–P
DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review:
Comment Request
February 19, 2010.
The Department of Labor (DOL)
hereby announces the submission of the
following public information collection
requests (ICR) to the Office of
Management and Budget (OMB) for
review and approval in accordance with
the Paperwork Reduction Act of 1995
(Pub. L. 104–13, 44 U.S.C. chapter 35).
A copy of each ICR, with applicable
supporting documentation; including
among other things a description of the
likely respondents, proposed frequency
of response, and estimated total burden
may be obtained from the RegInfo.gov
Web site at https://www.reginfo.gov/
public/do/PRAMain or by contacting
Darrin King on 202–693–4129 (this is
not a toll-free number)/e-mail:
DOL_PRA_PUBLIC@dol.gov.
Interested parties are encouraged to
send comments to the Office of
Information and Regulatory Affairs,
Attn: OMB Desk Officer for the
Department of Labor—Employee
Benefits Security Administration
(EBSA), Office of Management and
Budget, Room 10235, Washington, DC
20503, Telephone: 202–395–7316/Fax:
202–395–5806 (these are not toll-free
PO 00000
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numbers), e-mail:
OIRA_submission@omb.eop.gov within
30 days from the date of this publication
in the Federal Register. In order to
ensure the appropriate consideration,
comments should reference the OMB
Control Number (see below).
The OMB is particularly interested in
comments which:
• Evaluate whether the proposed
collection of information is necessary
for the proper performance of the
functions of the agency, including
whether the information will have
practical utility;
• Evaluate the accuracy of the
agency’s estimate of the burden of the
proposed collection of information,
including the validity of the
methodology and assumptions used;
• Enhance the quality, utility, and
clarity of the information to be
collected; and
• Minimize the burden of the
collection of information on those who
are to respond, including through the
use of appropriate automated,
electronic, mechanical, or other
technological collection techniques or
other forms of information technology,
e.g., permitting electronic submission of
responses.
Agency: Employee Benefits Security
Administration.
Type of Review: Extension without
change of a currently approved
collection.
Title of Collection: Annual Report for
Multiple Employer Welfare
Arrangements (Form M–1).
OMB Control Number: 1210–0116.
Affected Public: Private sector.
Estimated Number of Respondents:
464.
Total Estimated Annual Burden
Hours: 62.
Total Estimated Annual Costs Burden
(excludes hourly wage costs): $44,000.
Description: The Health Insurance
Portability and Accountability Act of
1996 (HIPAA), codified as Part 7 of Title
I of the Employee Retirement Security
Act of 1974 (ERISA), was enacted to
improve the portability and continuity
of health care coverage for participants
and beneficiaries of group health plans.
To insure compliance with Part 7,
section 101(g) of ERISA, HIPAA permits
the Secretary of Labor (the Secretary) to
require multiple employer welfare
arrangements (MEWAs), as defined in
section 3(40) of ERISA, to report to the
Secretary in such form and manner as
the Secretary might determine. The
Department of Labor (the Department)
published a final rule providing for such
reporting on an annual basis, together
with a form (Form M–1) to be used by
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Federal Register / Vol. 75, No. 37 / Thursday, February 25, 2010 / Notices
MEWAs for the annual report. See 29
CFR 2520.101–2.
Pursuant to section 101(g) of ERISA,
the Form M–1 information is used by
governmental oversight entities to
determine the extent of compliance with
the requirements of Part 7 of ERISA by
MEWAs and ECEs under section 3(40)
of ERISA and to take appropriate
compliance assistance and enforcement
actions. For additional information, see
related notice published in the Federal
Register on November 27, 2009 (Vol. 74,
page 62350).
Agency: Employee Benefits Security
Administration.
Type of Review: Extension without
change of a currently approved
collection.
Title of Collection: ERISA Investment
Manager Electronic Registration.
OMB Control Number: 1210–0125.
Affected Public: Private sector.
Estimated Number of Respondents:
10.
Total Estimated Annual Burden
Hours: 12.
Total Estimated Annual Costs Burden
(excludes hourly wage costs): $730.
Description: The Department’s
regulation at 29 CFR 2510.3–38 provides
that, in order to meet the definition of
investment manager in section 3(38) of
the Employee Retirement Income
Security Act of 1974, State-registered
investment advisers must register
electronically through a centralized
electronic filing system established by
the Securities Exchange Commission
and State investment authorities called
the Investment Adviser Registration
Depository rather than providing a
paper copy of their State registration to
the Secretary of Labor. For additional
information, see related notice
published in the Federal Register on
November 27, 2009 (Vol. 74, page
62350).
Darrin A. King,
Departmental Clearance Officer.
[FR Doc. 2010–3789 Filed 2–24–10; 8:45 am]
BILLING CODE 4510–29–P
NATIONAL ARCHIVES AND RECORDS
ADMINISTRATION
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Records Schedules; Availability and
Request for Comments
AGENCY: National Archives and Records
Administration (NARA).
ACTION: Notice of availability of
proposed records schedules; request for
comments.
The National Archives and
Records Administration (NARA)
SUMMARY:
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16:34 Feb 24, 2010
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publishes notice at least once monthly
of certain Federal agency requests for
records disposition authority (records
schedules). Once approved by NARA,
records schedules provide mandatory
instructions on what happens to records
when no longer needed for current
Government business. They authorize
the preservation of records of
continuing value in the National
Archives of the United States and the
destruction, after a specified period, of
records lacking administrative, legal,
research, or other value. Notice is
published for records schedules in
which agencies propose to destroy
records not previously authorized for
disposal or reduce the retention period
of records already authorized for
disposal. NARA invites public
comments on such records schedules, as
required by 44 U.S.C. 3303a(a).
DATES: Requests for copies must be
received in writing on or before March
29, 2010. Once the appraisal of the
records is completed, NARA will send
a copy of the schedule. NARA staff
usually prepare appraisal
memorandums that contain additional
information concerning the records
covered by a proposed schedule. These,
too, may be requested and will be
provided once the appraisal is
completed. Requesters will be given 30
days to submit comments.
ADDRESSES: You may request a copy of
any records schedule identified in this
notice by contacting the Life Cycle
Management Division (NWML) using
one of the following means:
Mail: NARA (NWML), 8601 Adelphi
Road, College Park, MD 20740–6001.
E-mail: request.schedule@nara.gov.
FAX: 301–837–3698.
Requesters must cite the control
number, which appears in parentheses
after the name of the agency which
submitted the schedule, and must
provide a mailing address. Those who
desire appraisal reports should so
indicate in their request.
FOR FURTHER INFORMATION CONTACT:
Laurence Brewer, Director, Life Cycle
Management Division (NWML),
National Archives and Records
Administration, 8601 Adelphi Road,
College Park, MD 20740–6001.
Telephone: 301–837–1539. E-mail:
records.mgt@nara.gov.
SUPPLEMENTARY INFORMATION: Each year
Federal agencies create billions of
records on paper, film, magnetic tape,
and other media. To control this
accumulation, agency records managers
prepare schedules proposing retention
periods for records and submit these
schedules for NARA’s approval, using
the Standard Form (SF) 115, Request for
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8751
Records Disposition Authority. These
schedules provide for the timely transfer
into the National Archives of
historically valuable records and
authorize the disposal of all other
records after the agency no longer needs
them to conduct its business. Some
schedules are comprehensive and cover
all the records of an agency or one of its
major subdivisions. Most schedules,
however, cover records of only one
office or program or a few series of
records. Many of these update
previously approved schedules, and
some include records proposed as
permanent.
The schedules listed in this notice are
media neutral unless specified
otherwise. An item in a schedule is
media neutral when the disposition
instructions may be applied to records
regardless of the medium in which the
records are created and maintained.
Items included in schedules submitted
to NARA on or after December 17, 2007,
are media neutral unless the item is
limited to a specific medium. (See 36
CFR 1225.12(e).)
No Federal records are authorized for
destruction without the approval of the
Archivist of the United States. This
approval is granted only after a
thorough consideration of their
administrative use by the agency of
origin, the rights of the Government and
of private persons directly affected by
the Government’s activities, and
whether or not they have historical or
other value.
Besides identifying the Federal
agencies and any subdivisions
requesting disposition authority, this
public notice lists the organizational
unit(s) accumulating the records or
indicates agency-wide applicability in
the case of schedules that cover records
that may be accumulated throughout an
agency. This notice provides the control
number assigned to each schedule, the
total number of schedule items, and the
number of temporary items (the records
proposed for destruction). It also
includes a brief description of the
temporary records. The records
schedule itself contains a full
description of the records at the file unit
level as well as their disposition. If
NARA staff has prepared an appraisal
memorandum for the schedule, it too
includes information about the records.
Further information about the
disposition process is available on
request
Schedules Pending
1. Department of Agriculture,
Departmental Administration (N1–16–
10–3, 1 item, 1 temporary item). Master
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Agencies
[Federal Register Volume 75, Number 37 (Thursday, February 25, 2010)]
[Notices]
[Pages 8750-8751]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-3789]
=======================================================================
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DEPARTMENT OF LABOR
Office of the Secretary
Submission for OMB Review: Comment Request
February 19, 2010.
The Department of Labor (DOL) hereby announces the submission of
the following public information collection requests (ICR) to the
Office of Management and Budget (OMB) for review and approval in
accordance with the Paperwork Reduction Act of 1995 (Pub. L. 104-13, 44
U.S.C. chapter 35). A copy of each ICR, with applicable supporting
documentation; including among other things a description of the likely
respondents, proposed frequency of response, and estimated total burden
may be obtained from the RegInfo.gov Web site at https://www.reginfo.gov/public/do/PRAMain or by contacting Darrin King on 202-
693-4129 (this is not a toll-free number)/e-mail: DOL_PRA_PUBLIC@dol.gov.
Interested parties are encouraged to send comments to the Office of
Information and Regulatory Affairs, Attn: OMB Desk Officer for the
Department of Labor--Employee Benefits Security Administration (EBSA),
Office of Management and Budget, Room 10235, Washington, DC 20503,
Telephone: 202-395-7316/Fax: 202-395-5806 (these are not toll-free
numbers), e-mail: OIRA_submission@omb.eop.gov within 30 days from the
date of this publication in the Federal Register. In order to ensure
the appropriate consideration, comments should reference the OMB
Control Number (see below).
The OMB is particularly interested in comments which:
Evaluate whether the proposed collection of information is
necessary for the proper performance of the functions of the agency,
including whether the information will have practical utility;
Evaluate the accuracy of the agency's estimate of the
burden of the proposed collection of information, including the
validity of the methodology and assumptions used;
Enhance the quality, utility, and clarity of the
information to be collected; and
Minimize the burden of the collection of information on
those who are to respond, including through the use of appropriate
automated, electronic, mechanical, or other technological collection
techniques or other forms of information technology, e.g., permitting
electronic submission of responses.
Agency: Employee Benefits Security Administration.
Type of Review: Extension without change of a currently approved
collection.
Title of Collection: Annual Report for Multiple Employer Welfare
Arrangements (Form M-1).
OMB Control Number: 1210-0116.
Affected Public: Private sector.
Estimated Number of Respondents: 464.
Total Estimated Annual Burden Hours: 62.
Total Estimated Annual Costs Burden (excludes hourly wage costs):
$44,000.
Description: The Health Insurance Portability and Accountability
Act of 1996 (HIPAA), codified as Part 7 of Title I of the Employee
Retirement Security Act of 1974 (ERISA), was enacted to improve the
portability and continuity of health care coverage for participants and
beneficiaries of group health plans. To insure compliance with Part 7,
section 101(g) of ERISA, HIPAA permits the Secretary of Labor (the
Secretary) to require multiple employer welfare arrangements (MEWAs),
as defined in section 3(40) of ERISA, to report to the Secretary in
such form and manner as the Secretary might determine. The Department
of Labor (the Department) published a final rule providing for such
reporting on an annual basis, together with a form (Form M-1) to be
used by
[[Page 8751]]
MEWAs for the annual report. See 29 CFR 2520.101-2.
Pursuant to section 101(g) of ERISA, the Form M-1 information is
used by governmental oversight entities to determine the extent of
compliance with the requirements of Part 7 of ERISA by MEWAs and ECEs
under section 3(40) of ERISA and to take appropriate compliance
assistance and enforcement actions. For additional information, see
related notice published in the Federal Register on November 27, 2009
(Vol. 74, page 62350).
Agency: Employee Benefits Security Administration.
Type of Review: Extension without change of a currently approved
collection.
Title of Collection: ERISA Investment Manager Electronic
Registration.
OMB Control Number: 1210-0125.
Affected Public: Private sector.
Estimated Number of Respondents: 10.
Total Estimated Annual Burden Hours: 12.
Total Estimated Annual Costs Burden (excludes hourly wage costs):
$730.
Description: The Department's regulation at 29 CFR 2510.3-38
provides that, in order to meet the definition of investment manager in
section 3(38) of the Employee Retirement Income Security Act of 1974,
State-registered investment advisers must register electronically
through a centralized electronic filing system established by the
Securities Exchange Commission and State investment authorities called
the Investment Adviser Registration Depository rather than providing a
paper copy of their State registration to the Secretary of Labor. For
additional information, see related notice published in the Federal
Register on November 27, 2009 (Vol. 74, page 62350).
Darrin A. King,
Departmental Clearance Officer.
[FR Doc. 2010-3789 Filed 2-24-10; 8:45 am]
BILLING CODE 4510-29-P