Region II Buffalo District Advisory Council; Public Meeting, 16204-16205 [2010-6816]

Download as PDF 16204 Federal Register / Vol. 75, No. 61 / Wednesday, March 31, 2010 / Notices Federal Official (DFO), Zena Abdullahi (Telephone: 301–415–8716, E-mail: Zena.Abdullahi@nrc.gov) five days prior to the meeting, if possible, so that appropriate arrangements can be made. Thirty-five hard copies of each presentation or handout should be provided to the DFO thirty minutes before the meeting. In addition, one electronic copy of each presentation should be emailed to the DFO one day before the meeting. If an electronic copy cannot be provided within this timeframe, presenters should provide the DFO with a CD containing each presentation at least thirty minutes before the meeting. Electronic recordings will be permitted only during those portions of the meeting that are open to the public. Detailed procedures for the conduct of and participation in ACRS meetings were published in the Federal Register on October 14, 2009 (74 FR 58268–58269). Detailed meeting agendas and meeting transcripts are available on the NRC Web site at https://www.nrc.gov/readingrm/doc-collections/acrs. Information regarding topics to be discussed, changes to the agenda, whether the meeting has been canceled or rescheduled, and the time allotted to present oral statements can be obtained from the Web site cited above or by contacting the identified DFO. Moreover, in view of the possibility that the schedule for ACRS meetings may be adjusted by the Chairman as necessary to facilitate the conduct of the meeting, persons planning to attend should check with these references if such rescheduling would result in major inconvenience. Dated: March 25, 2010. Antonio F. Dias, Branch Chief, Reactor Safety Branch B, Advisory Committee on Reactor Safeguards. [FR Doc. 2010–7188 Filed 3–30–10; 8:45 am] BILLING CODE 7590–01–P SMALL BUSINESS ADMINISTRATION Reporting and Recordkeeping Requirements Under OMB Review Small Business Administration. Notice of reporting requirements submitted for OMB review. AGENCY: jlentini on DSKJ8SOYB1PROD with NOTICES ACTION: SUMMARY: Under the provisions of the Paperwork Reduction Act (44 U.S.C. Chapter 35), agencies are required to submit proposed reporting and recordkeeping requirements to OMB for review and approval, and to publish a notice in the Federal Register notifying the public that the agency has made such a submission. VerDate Nov<24>2008 19:40 Mar 30, 2010 Jkt 220001 DATES: Submit comments on or before April 30, 2010. If you intend to comment but cannot prepare comments promptly, please advise the OMB Reviewer and the Agency Clearance Officer before the deadline. Copies: Request for clearance (OMB 83–1), supporting statement, and other documents submitted to OMB for review may be obtained from the Agency Clearance Officer. ADDRESSES: Address all comments concerning this notice to: Agency Clearance Officer, Jacqueline White, Small Business Administration, 409 3rd Street, SW., 5th Floor, Washington, DC 20416; and OMB Reviewer, Office of Information and Regulatory Affairs, Office of Management and Budget, New Executive Office Building, Washington, DC 20503. FOR FURTHER INFORMATION CONTACT: Jacqueline White, Agency Clearance Officer, (202) 205–7044. SUPPLEMENTARY INFORMATION: Title: SBA Express and Pilot Loan Program Export Express Community Express and Patriot Express. Frequency: On occasion. SBA Form Numbers: 1919, 1920SX, A, B, C 2237, 2238. Description of Respondents: Small Business Clients. Responses: 98,200. Annual Burden: 52,474. Title: Lenders Disbursement & Collection Report. Frequency: On occasion. SBA Form Number: 1502R. Description of Respondents: Eligible Dealers associated with the Dealer floor plan. Responses: 300. Annual Burden: 140. Title: Form of Detached assignment for U.S. Small Business Administration Loan Pool or Guaranteed Interest Certificate. Frequency: On occasion. SBA Form Number: 1088. Description of Respondents: Secondary market participants. Responses: 6,500. Annual Burden: 9,750. Title: Federal Agency Comment Forms. Frequency: On occasion. SBA Form Number: 1993. Description of Respondents: Small business owners and farmers. Responses: 350. Annual Burden: 263. Title: Federal Cash Transaction Report, Financial Status Report, Program Income Report, Narrative Program Report. Frequency: On occasion. PO 00000 Frm 00139 Fmt 4703 Sfmt 4703 SBA Form Numbers: SF 269, SF–272, SBA Form 2113. Description of Respondents: Eligible Dealers associated with the Dealer floor plan. Responses: 126. Annual Burden: 8,568. Title: Application for 8(a) Business Development (BD) and Small Disadvantaged Business (SDB) Certification. Frequency: On occasion. SBA Form Numbers: 1010, 1010–IND, 1010–AIT, 1010–ANC, 1010–CDC, 1010–NHO, 1010–REP, 1010–RECERT and 1010C. Description of Respondents: Eligible Small Disadvantage Businesses and 8(a) businesses. Responses: 9,971. Annual Burden: 36,210. Jacqueline White, Chief, Administrative Information Branch. [FR Doc. 2010–7247 Filed 3–30–10; 8:45 am] BILLING CODE 8025–01–P SMALL BUSINESS ADMINISTRATION Region II Buffalo District Advisory Council; Public Meeting AGENCY: U.S. Small Business Administration. ACTION: Notice of open Federal advisory committee meeting. SUMMARY: The SBA is issuing this notice to announce the location, date, time, and agenda for the next meeting of the Region II Buffalo District Advisory Council. The meeting will be open to the public. DATES: The meeting will be held on April 14, 2010 from approximately 9:30 a.m. to 11:30 a.m. Eastern Standard Time. ADDRESSES: The meeting will be held at the Canisius College Amherst Conference Center, 300 Corporate Parkway, Amherst, New York 14226. SUPPLEMENTARY INFORMATION: Pursuant to section 10(a)(2) of the Federal Advisory Committee Act (5 U.S.C., Appendix 2), SBA announces the meeting of the Region II Buffalo District Advisory Council. The Region II Buffalo District Advisory Council is tasked with providing information of public interest. The purpose of the meeting is so the council can provide advice and opinions regarding the effectiveness of and need for SBA programs, particularly the local districts which members represent. The agenda will include: District office, SBA programs and services, ARRA, government contracting, disaster updates, lending E:\FR\FM\31MRN1.SGM 31MRN1 Federal Register / Vol. 75, No. 61 / Wednesday, March 31, 2010 / Notices activity reports, small business week, event announcements, and roundtable discussion on small business issues. FOR FURTHER INFORMATION CONTACT: The meeting is open to the public however advance notice of attendance is requested. Anyone wishing to attend and/or make a presentation to the Region II Buffalo District Advisory Council must contact Franklin J. Sciortino, District Director, Buffalo District Office by October 8, by fax or email in order to be placed on the agenda. Franklin J. Sciortino, District Director, Buffalo District Office, U.S. Small Business Administration, 540 Niagara Center, 130 S. Elmwood Avenue, Buffalo, New York 14202; telephone (716) 551–4301 or fax (716) 551–4418. Additionally, if you need accommodations because of a disability or require additional information, please contact Kelly Lotempio, BDS/PIO, Buffalo District Office, U.S. Small Business Administration, 540 Niagara Center, 130 S. Elmwood Avenue, Buffalo, New York 14202; telephone (716) 551–4301, kelly.lotempio@sba.gov or fax (716) 551–4418. For more information, please visit our Web site at https://www.sba.gov/ny/ buffalo. Meghan Burdick, Deputy Chief of Staff/Committee Management Officer. [FR Doc. 2010–6816 Filed 3–30–10; 8:45 am] BILLING CODE P SECURITIES AND EXCHANGE COMMISSION [Release No. IC–29190; File No. 812–13700] MetLife Insurance Company of Connecticut, et al. March 25, 2010. jlentini on DSKJ8SOYB1PROD with NOTICES AGENCY: Securities and Exchange Commission (‘‘Commission’’). ACTION: Notice of application for an order pursuant to Section 26(c) of the Investment Company Act of 1940 (the ‘‘Act’’) approving certain substitutions of securities and an order of exemption pursuant to Section 17(b) of the Act from Section 17(a) of the Act. Applicants: MetLife Insurance Company of Connecticut (‘‘MetLife of CT’’), MetLife of CT Separate Account Eleven for Variable Annuities (‘‘Separate Account Eleven’’), MetLife of CT Separate Account QPN for Variable Annuities (‘‘Separate Account QPN’’), MetLife of CT Fund UL for Variable Life Insurance (‘‘Fund UL’’), MetLife Investors Insurance Company (‘‘MetLife VerDate Nov<24>2008 19:40 Mar 30, 2010 Jkt 220001 Investors’’), MetLife Investors Variable Annuity Account One (‘‘VA Account One’’), MetLife Investors Variable Life Account One (‘‘VL Account One’’), MetLife Investors Variable Life Account Eight (‘‘VL Account Eight’’), First MetLife Investors Insurance Company (‘‘First MetLife Investors’’), First MetLife Investors Variable Annuity Account One (‘‘First VA Account One’’), MetLife Investors USA Insurance Company (‘‘MetLife Investors USA’’), MetLife Investors USA Separate Account A (‘‘Separate Account A’’), Metropolitan Life Insurance Company (‘‘MetLife’’), Metropolitan Life Separate Account DCVL (‘‘Separate Account DCVL’’), Metropolitan Life Separate Account UL (‘‘Separate Account UL’’), Security Equity Separate Account Twenty-Six (‘‘SE Separate Account Twenty-Six’’), Security Equity Separate Account Twenty-Seven (‘‘SE Separate Account Twenty-Seven’’), Security Equity Separate Account No. 13S (‘‘SE Separate Account 13S’’), Security Equity Separate Account No. 485 (‘‘SE Separate Account 485’’), General American Life Insurance Company (‘‘General American’’) (together with MetLife of CT, MetLife Investors, First MetLife Investors, MetLife Investors USA and MetLife, the ‘‘Insurance Companies’’), General American Separate Account TwentyEight (‘‘GA Separate Account TwentyEight’’), General American Separate Account Twenty-Nine (‘‘GA Separate Account Twenty-Nine’’), (together with Separate Account Eleven, Separate Account QPN, Fund UL, VA Account One, VL Account One, VL Account Eight, First VA Account One, Separate Account A, Separate Account DCVL, Separate Account UL, SE Separate Account Twenty-Six, SE Separate Account Twenty-Seven, SE Separate Account 13S, SE Separate Account 485 and GA Separate Account Twenty-Eight, the ‘‘Separate Accounts’’), Met Investors Series Trust (‘‘MIST’’) and Metropolitan Series Fund, Inc. (‘‘Met Series Fund’’), (together with MIST, the ‘‘Investment Companies’’). The Insurance Companies and the Separate Accounts are referred to as the ‘‘Substitution Applicants.’’ The Insurance Companies, the Separate Accounts and the Investment Companies are referred to as the ‘‘Section 17 Applicants.’’ SUMMARY: Summary of Application: Applicants seek an order approving the substitution of certain series of the Investment Companies for shares of series of other unaffiliated registered investment companies held by the Separate Accounts to fund certain group and individual variable annuity PO 00000 Frm 00140 Fmt 4703 Sfmt 4703 16205 contracts and variable life insurance policies issued by the Insurance Companies (collectively, the ‘‘Contracts’’). The Section 17 Applicants seek an order pursuant to Section 17(b) of the Act to permit certain in-kind transactions in connection with certain of the Substitutions. DATES: Filing Date: The application was filed on September 21, 2009, and an amended and restated application was filed on March 23, 2010. Hearing or Notification of Hearing: An order granting the application will be issued unless the Commission orders a hearing. Interested persons may request a hearing by writing to the Secretary of the Commission and serving Applicants with a copy of the request personally or by mail. Hearing requests should be received by the Commission by 5:30 p.m. on April 19, 2010, and should be accompanied by proof of service on Applicants, in the form of an affidavit or for lawyers a certificate of service. Hearing requests should state the nature of the writer’s interest, the reason for the request and the issue contested. Persons may request notification of a hearing by writing to the Secretary of the Commission. ADDRESSES: Secretary, Securities and Exchange Commission, 100 F Street, NE., Washington, DC 20549–1090. Applicants c/o Paul G. Cellupica, Chief Counsel—Securities Regulation and Corporate Services, MetLife Group, 1095 Avenue of the Americas, 40th Floor, New York, NY 10036 and Robert N. Hickey, Esq., Sullivan & Worcester LLP, 1666 K Street, NW., Washington, DC 20006. FOR FURTHER INFORMATION CONTACT: Alison T. White, Senior Counsel, or Joyce M. Pickholz, Branch Chief, Office of Insurance Products, Division of Investment Management, at (202) 551– 6795. The following is a summary of the application. The complete application may be obtained via the Commission’s Web site by searching for the file number, or for an applicant using the Company name box, at https:// www.sec.gov/search/search.htm, or by calling (202) 551–8090. SUPPLEMENTARY INFORMATION: Applicants’ Representations 1. MetLife of CT is a stock life insurance company organized in 1863 under the laws of Connecticut. MetLife Investors is a stock life insurance company organized on August 17, 1981 under the laws of Missouri. First MetLife Investors is a stock life insurance company organized on E:\FR\FM\31MRN1.SGM 31MRN1

Agencies

[Federal Register Volume 75, Number 61 (Wednesday, March 31, 2010)]
[Notices]
[Pages 16204-16205]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-6816]


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SMALL BUSINESS ADMINISTRATION


Region II Buffalo District Advisory Council; Public Meeting

AGENCY: U.S. Small Business Administration.

ACTION: Notice of open Federal advisory committee meeting.

-----------------------------------------------------------------------

SUMMARY: The SBA is issuing this notice to announce the location, date, 
time, and agenda for the next meeting of the Region II Buffalo District 
Advisory Council. The meeting will be open to the public.

DATES: The meeting will be held on April 14, 2010 from approximately 
9:30 a.m. to 11:30 a.m. Eastern Standard Time.

ADDRESSES: The meeting will be held at the Canisius College Amherst 
Conference Center, 300 Corporate Parkway, Amherst, New York 14226.

SUPPLEMENTARY INFORMATION: Pursuant to section 10(a)(2) of the Federal 
Advisory Committee Act (5 U.S.C., Appendix 2), SBA announces the 
meeting of the Region II Buffalo District Advisory Council. The Region 
II Buffalo District Advisory Council is tasked with providing 
information of public interest.
    The purpose of the meeting is so the council can provide advice and 
opinions regarding the effectiveness of and need for SBA programs, 
particularly the local districts which members represent. The agenda 
will include: District office, SBA programs and services, ARRA, 
government contracting, disaster updates, lending

[[Page 16205]]

activity reports, small business week, event announcements, and 
roundtable discussion on small business issues.

FOR FURTHER INFORMATION CONTACT: The meeting is open to the public 
however advance notice of attendance is requested. Anyone wishing to 
attend and/or make a presentation to the Region II Buffalo District 
Advisory Council must contact Franklin J. Sciortino, District Director, 
Buffalo District Office by October 8, by fax or email in order to be 
placed on the agenda. Franklin J. Sciortino, District Director, Buffalo 
District Office, U.S. Small Business Administration, 540 Niagara 
Center, 130 S. Elmwood Avenue, Buffalo, New York 14202; telephone (716) 
551-4301 or fax (716) 551-4418.
    Additionally, if you need accommodations because of a disability or 
require additional information, please contact Kelly Lotempio, BDS/PIO, 
Buffalo District Office, U.S. Small Business Administration, 540 
Niagara Center, 130 S. Elmwood Avenue, Buffalo, New York 14202; 
telephone (716) 551-4301, kelly.lotempio@sba.gov or fax (716) 551-4418.
    For more information, please visit our Web site at https://www.sba.gov/ny/buffalo.

Meghan Burdick,
Deputy Chief of Staff/Committee Management Officer.
[FR Doc. 2010-6816 Filed 3-30-10; 8:45 am]
BILLING CODE P
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