Identification of Nations Whose Fishing Vessels Are Engaged in Illegal, Unreported, or Unregulated Fishing and/or Bycatch of Protected Living Marine Resources, 17379-17380 [2010-7768]
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Federal Register / Vol. 75, No. 65 / Tuesday, April 6, 2010 / Notices
February 5, through February 12, 2010.
Thus, all deadlines in this segment of
the proceeding have been extended by
seven days. Therefore, the preliminary
results are currently due no later than
April 9, 2010. See Memorandum to the
Record from Ronald Lorentzen, DAS for
Import Administration, regarding
‘‘Tolling of Administrative Deadlines As
a Result of the Government Closure
During the Recent Snowstorm,’’ dated
February 12, 2010.
Extension of Time Limit for Preliminary
Results
Pursuant to section 751(a)(3)(A) of
Tariff Act of 1930, as amended (the Act),
the Department shall make a
preliminary determination in an
administrative review of an
antidumping order within 245 days after
the last day of the anniversary month of
the date of publication of the order.
Section 751(a)(3)(A) of the Act further
provides, however, that the Department
may extend the 245-day period to 365
days if it determines it is not practicable
to complete the review within the
foregoing time period. We determine
that it is not practicable to complete this
administrative review within the time
limits mandated by section 751(a)(3)(A)
of the Act because we require additional
time to analyze and verify the data
submitted by Chia Far, the sole
respondent selected for individual
examination. In accordance with section
751(a)(3)(A) of the Act, we have fully
extended the deadline for completing
the preliminary results until August 7,
2010. Because August 7, 2010, falls on
a weekend, the actual due date is now
August 9, 2010. The deadline for the
final results of the review continues to
be 120 days after the publication of the
preliminary results.
This notice is published in
accordance with sections 751(a)(3)(A)
and 777(i) of the Act.
Dated: March 31, 2010.
John M. Andersen,
Acting Deputy Assistant Secretary for
Antidumping and Countervailing Duty
Operations.
[FR Doc. 2010–7759 Filed 4–5–10; 8:45 am]
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DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric
Administration
RIN 0648–XG18
Identification of Nations Whose
Fishing Vessels Are Engaged in Illegal,
Unreported, or Unregulated Fishing
and/or Bycatch of Protected Living
Marine Resources
AGENCY: National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Reopening of request for
information period.
SUMMARY: NMFS is reopening the
request for information in order to
provide additional opportunities for
interested parties to provide information
regarding nations whose vessels are
engaged in illegal, unregulated, or
unreported (IUU) fishing or bycatch of
protected living marine resources
(PLMRs). Such information will be
reviewed for the purposes of the
identification of nations pursuant to the
High Seas Driftnet Fishing Moratorium
Protection Act (Moratorium Protection
Act). On March 5, 2010, NMFS
published a request for information,
with submissions requested by April 5,
2010. NMFS is now reopening the
request for information until April 23,
2010.
DATES: Information should be received
on or before April 23, 2010.
ADDRESSES: Information should be
submitted to NMFS Office of
International Affairs, Attn.: MSRA
Information, 1315 East-West Highway,
Silver Spring, MD 20910. E-mail
address: IUU.PLMR.INFO@noaa.gov or
fax (301) 713–9106.
FOR FURTHER INFORMATION CONTACT:
NMFS Office of International Affairs,
e-mail address:
IUU.PLMR.INFO@noaa.gov.
SUPPLEMENTARY INFORMATION: The
Magnuson-Stevens Fishery
Conservation and Management
Reauthorization Act of 2006 (MSRA)
amended the Moratorium Protection Act
(16 U.S.C. 1826d–k) to require actions
be taken by the United States to
strengthen international fishery
management organizations and address
IUU fishing and bycatch of PLMRs.
Specifically, the Moratorium Protection
Act requires the Secretary of Commerce
(Secretary) to identify in a biennial
report to Congress those nations whose
fishing vessels are engaged, or have
been engaged at any point during the
preceding 2 years, in IUU fishing. In this
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17379
context, IUU fishing is defined (16
U.S.C. 1826j; 50 CFR 300.200–201) as:
(1) Fishing activities that violate
conservation and management measures
required under an international fishery
management agreement to which the
United States is a party, including catch
limits or quotas, capacity restrictions,
and bycatch reduction requirements;
(2) Overfishing of fish stocks shared
by the United States, for which there are
no applicable international conservation
or management measures or in areas
with no applicable international fishery
management organization or agreement,
that has adverse impacts on such stocks;
and
(3) Fishing activity that has an
adverse impact on seamounts,
hydrothermal vents, and cold water
corals located beyond national
jurisdiction, for which there are no
applicable conservation or management
measures or in areas with no applicable
international fishery management
organization or agreement.
Additionally, the Secretary must
identify in the biennial report those
nations whose fishing vessels are
engaged, or have been engaged during
the preceding calendar year, in fishing
activities either (1) in waters beyond
any national jurisdiction that result in
bycatch of a PLMR, or (2) beyond the
U.S. exclusive economic zone (EEZ) that
result in bycatch of a PLMR shared by
the United States. In this context,
PLMRs are defined as non-target fish,
sea turtles, or marine mammals that are
protected under U.S. law or
international agreement, including the
Marine Mammal Protection Act, the
Endangered Species Act, the Shark
Finning Prohibition Act, and the
Convention on International Trade in
Endangered Species of Wild Flora and
Fauna. PLMRs do not include species,
except sharks, managed under the
Magnuson-Stevens Fishery
Conservation and Management Act, the
Atlantic Tunas Convention Act, or any
international fishery management
agreement. A list of species considered
as PLMRs for this purpose is available
online at: https://www.nmfs.noaa.gov/
msa2007/docs/
list_of_protected_lmr_act_022610.pdf.
The first biennial report was
submitted to Congress in January 2009
and is available online at https://
www.nmfs.noaa.gov/msa2007/docs/
msra_biennial_report_011309.pdf. The
report identified six nations for IUU
fishing.
The Moratorium Protection Act also
requires the Secretary to establish
procedures to certify whether each
nation identified in the biennial report
is taking appropriate corrective action to
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17380
Federal Register / Vol. 75, No. 65 / Tuesday, April 6, 2010 / Notices
address IUU fishing and/or bycatch of
PLMRs by fishing vessels of that nation.
If a nation does not receive a positive
certification by the Secretary, they could
be subject to sanctions under the High
Seas Driftnet Fisheries Enforcement Act
(Enforcement Act) (16 U.S.C. 1826a). On
January 14, 2009, NMFS published a
proposed rule to implement both the
identification and certification
procedures. That proposed rule is
available online at https://
www.nmfs.noaa.gov/msa2007/docs/
iuu_bycatch_rule011409.pdf. The rule
provides information regarding the
identification process how the
information solicited here will be used
in that process.
In fulfillment of its requirements
under the Moratorium Protection Act,
NMFS is preparing the second biennial
report to Congress, which will identify
nations whose fishing vessels are
engaged in IUU fishing or fishing
practices that result in bycatch of
PLMRs. NMFS is soliciting information
from the public that could assist in its
identification of nations engaged in
activities that meet one or more of the
three criteria described above for IUU
fishing or one or more of the two criteria
described above for PLMR bycatch.
Information that may prove useful to
NMFS includes:
• Documentation (photographs, etc.)
of IUU activity or PLMR bycatch;
• Fishing vessel records;
• Reports from off-loading facilities,
port-side government officials,
enforcement agents, military personnel,
port inspectors, transshipment vessel
workers and fish importers;
• Government vessel registries;
• IUU vessel lists from RFMOs;
• RFMO catch documents and
statistical document programs;
• Appropriate certification programs;
and
• Reports from governments,
international organizations, or
nongovernmental organizations.
NMFS will consider all available
information, as appropriate, when
making a determination whether or not
to identify a particular nation in the
biennial report to Congress. NMFS is
particularly interested in information on
IUU fishing activity and bycatch of
PLMRs that occurred during 2009–2010.
NMFS will consider several criteria
when determining whether information
is appropriate for use in making
identifications, including but not
limited to:
• Corroboration of information;
• Whether multiple sources have
been able to provide information in
support of an identification;
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• The methodology used to collect
the information;
• Specificity of the information
provided; and
• Susceptibility of the information to
falsification and alteration; and
• Credibility of the individuals or
organization providing the information.
Information should be as specific as
possible as this will assist NMFS in its
review.
Dated: March 31, 2010.
Rebecca Lent,
Director, Office of International Affairs,
National Marine Fisheries Service.
[FR Doc. 2010–7768 Filed 4–5–10; 8:45 am]
BILLING CODE 3510–22–P
DEPARTMENT OF COMMERCE
United States Patent and Trademark
Office
[Docket No. PTO–P–2010–0012]
Patents Ombudsman Pilot Program
AGENCY: United States Patent and
Trademark Office, Commerce.
ACTION: Notice.
SUMMARY: The United States Patent and
Trademark Office (USPTO) published a
notice in the Federal Register seeking
public comments on a proposed
procedure for a Patents Ombudsman
Pilot Program. The majority of the
written comments from the patent
community were positive and supported
the implementation of such a program.
After considering the written comments,
the USPTO has decided to implement
the Patents Ombudsman Pilot Program
as set forth in this notice for a period of
one year. The Patents Ombudsman Pilot
Program is intended to provide patent
applicants, attorneys and agents with
assistance with application-processing
issues regarding concerns with
advancement of prosecution (e.g.,
stalled applications). The Patents
Ombudsman Pilot Program is not
intended to circumvent normal
communication between pro se
applicants or applicants’ representatives
and examiners or Supervisory Patent
Examiners, and it is not intended to
supersede the authority of the
examiners or Supervisory Patent
Examiners. After the one-year period,
the USPTO may extend the pilot
program with appropriate modifications
based on the feedback from the
participants, the effectiveness of the
pilot program and the availability of
resources.
DATES: Effective Date: April 6, 2010.
Duration: The Patents Ombudsman
Pilot Program will run for twelve
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months from its effective date.
Therefore, any request under the Patents
Ombudsman Pilot Program must be
submitted before April 6, 2011.
FOR FURTHER INFORMATION CONTACT:
Mindy Fleisher, Special Programs
Advisor, Technology Center (TC) 2400,
at (571) 272–3365, or Pinchus M. Laufer,
Legal Advisor, Office of Patent Legal
Administration, Office of the Associate
Commissioner for Patent Examination
Policy, at (571) 272–7726.
Valencia Martin-Wallace, TC 2400
Director, available at (571) 272–4020,
will provide oversight of the Patents
Ombudsman Pilot Program.
SUPPLEMENTARY INFORMATION: The
majority of patent applications filed
with the USPTO proceed through the
examination process consistent with
established USPTO procedure.
However, some patent applicants,
attorneys, and agents have expressed
that their applications have not
proceeded in accordance with
established procedure. In some
situations, the patent applicants,
attorneys, and agents have felt that
examination has stalled and that their
efforts to move their applications
forward through the normal channels
have not been effective. Patent
applicants, attorneys, and agents have
suggested that there be a dedicated
resource they can turn to in such
instances. These suggestions led the
USPTO to consider implementing a
Patents Ombudsman Pilot Program and
to publish a notice in the Federal
Register seeking public comments on a
proposed procedure. See Request for
Comments on Patents Ombudsman Pilot
Program, 74 FR 55212 (Oct. 27, 2009),
1348 Off. Gaz. Pat. Office 418 (Nov. 24,
2009). The USPTO received fifteen
written comments from the public,
which are available on the USPTO Web
site at https://www.uspto.gov/patents/
law/comments/
ombudsmancomments.jsp. The majority
of the written comments from the patent
community were positive and supported
the implementation of such a program.
The USPTO considered the written
comments and decided to implement
the Patents Ombudsman Pilot Program
as set forth in this notice for the
duration of one year. After the one-year
period, the USPTO may extend the pilot
program with appropriate modifications
based on feedback from the participants,
the effectiveness of the pilot program
and the availability of resources.
The objectives for the Patents
Ombudsman Pilot Program are: (1) To
facilitate complaint-handling for pro se
applicants and applicant’s
representatives whose applications have
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Agencies
[Federal Register Volume 75, Number 65 (Tuesday, April 6, 2010)]
[Notices]
[Pages 17379-17380]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-7768]
-----------------------------------------------------------------------
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric Administration
RIN 0648-XG18
Identification of Nations Whose Fishing Vessels Are Engaged in
Illegal, Unreported, or Unregulated Fishing and/or Bycatch of Protected
Living Marine Resources
AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA), Commerce.
ACTION: Reopening of request for information period.
-----------------------------------------------------------------------
SUMMARY: NMFS is reopening the request for information in order to
provide additional opportunities for interested parties to provide
information regarding nations whose vessels are engaged in illegal,
unregulated, or unreported (IUU) fishing or bycatch of protected living
marine resources (PLMRs). Such information will be reviewed for the
purposes of the identification of nations pursuant to the High Seas
Driftnet Fishing Moratorium Protection Act (Moratorium Protection Act).
On March 5, 2010, NMFS published a request for information, with
submissions requested by April 5, 2010. NMFS is now reopening the
request for information until April 23, 2010.
DATES: Information should be received on or before April 23, 2010.
ADDRESSES: Information should be submitted to NMFS Office of
International Affairs, Attn.: MSRA Information, 1315 East-West Highway,
Silver Spring, MD 20910. E-mail address: IUU.PLMR.INFO@noaa.gov or fax
(301) 713-9106.
FOR FURTHER INFORMATION CONTACT: NMFS Office of International Affairs,
e-mail address: IUU.PLMR.INFO@noaa.gov.
SUPPLEMENTARY INFORMATION: The Magnuson-Stevens Fishery Conservation
and Management Reauthorization Act of 2006 (MSRA) amended the
Moratorium Protection Act (16 U.S.C. 1826d-k) to require actions be
taken by the United States to strengthen international fishery
management organizations and address IUU fishing and bycatch of PLMRs.
Specifically, the Moratorium Protection Act requires the Secretary of
Commerce (Secretary) to identify in a biennial report to Congress those
nations whose fishing vessels are engaged, or have been engaged at any
point during the preceding 2 years, in IUU fishing. In this context,
IUU fishing is defined (16 U.S.C. 1826j; 50 CFR 300.200-201) as:
(1) Fishing activities that violate conservation and management
measures required under an international fishery management agreement
to which the United States is a party, including catch limits or
quotas, capacity restrictions, and bycatch reduction requirements;
(2) Overfishing of fish stocks shared by the United States, for
which there are no applicable international conservation or management
measures or in areas with no applicable international fishery
management organization or agreement, that has adverse impacts on such
stocks; and
(3) Fishing activity that has an adverse impact on seamounts,
hydrothermal vents, and cold water corals located beyond national
jurisdiction, for which there are no applicable conservation or
management measures or in areas with no applicable international
fishery management organization or agreement.
Additionally, the Secretary must identify in the biennial report
those nations whose fishing vessels are engaged, or have been engaged
during the preceding calendar year, in fishing activities either (1) in
waters beyond any national jurisdiction that result in bycatch of a
PLMR, or (2) beyond the U.S. exclusive economic zone (EEZ) that result
in bycatch of a PLMR shared by the United States. In this context,
PLMRs are defined as non-target fish, sea turtles, or marine mammals
that are protected under U.S. law or international agreement, including
the Marine Mammal Protection Act, the Endangered Species Act, the Shark
Finning Prohibition Act, and the Convention on International Trade in
Endangered Species of Wild Flora and Fauna. PLMRs do not include
species, except sharks, managed under the Magnuson-Stevens Fishery
Conservation and Management Act, the Atlantic Tunas Convention Act, or
any international fishery management agreement. A list of species
considered as PLMRs for this purpose is available online at: https://www.nmfs.noaa.gov/msa2007/docs/list_of_protected_lmr_act_022610.pdf.
The first biennial report was submitted to Congress in January 2009
and is available online at https://www.nmfs.noaa.gov/msa2007/docs/msra_biennial_report_011309.pdf. The report identified six nations for IUU
fishing.
The Moratorium Protection Act also requires the Secretary to
establish procedures to certify whether each nation identified in the
biennial report is taking appropriate corrective action to
[[Page 17380]]
address IUU fishing and/or bycatch of PLMRs by fishing vessels of that
nation. If a nation does not receive a positive certification by the
Secretary, they could be subject to sanctions under the High Seas
Driftnet Fisheries Enforcement Act (Enforcement Act) (16 U.S.C. 1826a).
On January 14, 2009, NMFS published a proposed rule to implement both
the identification and certification procedures. That proposed rule is
available online at https://www.nmfs.noaa.gov/msa2007/docs/iuu_bycatch_rule011409.pdf. The rule provides information regarding the
identification process how the information solicited here will be used
in that process.
In fulfillment of its requirements under the Moratorium Protection
Act, NMFS is preparing the second biennial report to Congress, which
will identify nations whose fishing vessels are engaged in IUU fishing
or fishing practices that result in bycatch of PLMRs. NMFS is
soliciting information from the public that could assist in its
identification of nations engaged in activities that meet one or more
of the three criteria described above for IUU fishing or one or more of
the two criteria described above for PLMR bycatch. Information that may
prove useful to NMFS includes:
Documentation (photographs, etc.) of IUU activity or PLMR
bycatch;
Fishing vessel records;
Reports from off-loading facilities, port-side government
officials, enforcement agents, military personnel, port inspectors,
transshipment vessel workers and fish importers;
Government vessel registries;
IUU vessel lists from RFMOs;
RFMO catch documents and statistical document programs;
Appropriate certification programs; and
Reports from governments, international organizations, or
nongovernmental organizations.
NMFS will consider all available information, as appropriate, when
making a determination whether or not to identify a particular nation
in the biennial report to Congress. NMFS is particularly interested in
information on IUU fishing activity and bycatch of PLMRs that occurred
during 2009-2010. NMFS will consider several criteria when determining
whether information is appropriate for use in making identifications,
including but not limited to:
Corroboration of information;
Whether multiple sources have been able to provide
information in support of an identification;
The methodology used to collect the information;
Specificity of the information provided; and
Susceptibility of the information to falsification and
alteration; and
Credibility of the individuals or organization providing
the information.
Information should be as specific as possible as this will assist
NMFS in its review.
Dated: March 31, 2010.
Rebecca Lent,
Director, Office of International Affairs, National Marine Fisheries
Service.
[FR Doc. 2010-7768 Filed 4-5-10; 8:45 am]
BILLING CODE 3510-22-P