Data Collection Available for Public Comments and Recommendations, 36451-36452 [2010-15367]
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Federal Register / Vol. 75, No. 122 / Friday, June 25, 2010 / Notices
human environment. Accordingly, the
Commission has determined not to
prepare an environmental impact
statement for the proposed action.
Further Information
In accordance with 10 CFR 2.390 of
NRC’s ‘‘Rules of Practice,’’ NRC records
and documents related to this action,
including the application for exemption
and supporting documentation are
available electronically at the NRC’s
Electronic Reading Room, at: https://
www.nrc.gov/reading-rm/adams.html.
From this site, you can access NRC’s
ADAMS, which provides text and image
files of NRC’s public documents. The
ADAMS Accession Number for the
application, dated February 23, 2010, is
ML100610320.
If you do not have access to ADAMS,
or if there are problems in accessing the
documents located in ADAMS, contact
NRC’s Public Document Room (PDR)
Reference staff at 1–800–397–4209, 301–
415–4737, or by e-mail to
pdr.resource@nrc.gov.
These documents may also be viewed
electronically on the public computers
located at NRC’s PDR, O1–F21, One
White Flint North, 11555 Rockville
Pike, Rockville, MD 20852. The PDR
reproduction contractor will copy
documents, for a fee.
Dated at Rockville, Maryland, this 17th day
of June, 2010.
For the Nuclear Regulatory Commission.
Eric Benner,
Chief Licensing Branch, Division of Spent
Fuel Storage and Transportation, Office of
Nuclear Material Safety and Safeguards.
[FR Doc. 2010–15442 Filed 6–24–10; 8:45 am]
BILLING CODE 7590–01–P
RAILROAD RETIREMENT BOARD
Proposed Collection; Comment
Request
In accordance with the
requirement of Section 3506 (c)(2)(A) of
the Paperwork Reduction Act of 1995
which provides opportunity for public
comment on new or revised data
collections, the Railroad Retirement
Board (RRB) will publish periodic
summaries of proposed data collections.
Comments are invited on: (a) Whether
the proposed information collection is
necessary for the proper performance of
the functions of the agency, including
whether the information has practical
utility; (b) the accuracy of the RRB’s
estimate of the burden of the collection
of the information; (c) ways to enhance
the quality, utility, and clarity of the
information to be collected; and (d)
ways to minimize the burden related to
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SUMMARY:
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the collection of information on
respondents, including the use of
automated collection techniques or
other forms of information technology.
Title and purpose of information
collection:
Certification Regarding Rights to
Unemployment Benefits; OMB 3220–
0079. Under Section 4 of the Railroad
Unemployment Insurance Act (RUIA),
an employee who leaves work
voluntarily is disqualified for
unemployment benefits unless the
employee left work for good cause and
is not qualified for unemployment
benefits under any other law. RRB Form
UI–45, Claimant’s Statement—
Voluntary Leaving of Work, is used by
the RRB to obtain the claimant’s
statement when it is indicated by the
claimant, the claimant’s employer, or
another source that the claimant has
voluntarily left work. The RRB proposes
no changes to Form UI–45.
Completion of Form UI–45 is required
to obtain or retain benefits. One
response is received from each
respondent. The completion time for
Form UI–45 is estimated at 15 minutes
per response. The RRB estimates that
approximately 2,900 responses are
received annually.
Additional Information or Comments:
To request more information or to
obtain a copy of the information
collection justification, forms, and/or
supporting material, please call the RRB
Clearance Officer at (312) 751–3363 or
send an e-mail request to
Charles.Mierzwa@RRB.GOV. Comments
regarding the information collection
should be addressed to Patricia
Henaghan, Railroad Retirement Board,
844 North Rush Street, Chicago, Illinois
60611–2092 or send an e-mail to
Patricia.Henaghan@RRB.GOV. Written
comments should be received within 60
days of this notice.
Charles Mierzwa,
Clearance Officer.
[FR Doc. 2010–15449 Filed 6–24–10; 8:45 am]
BILLING CODE 7905–01–P
SMALL BUSINESS ADMINISTRATION
Data Collection Available for Public
Comments and Recommendations
ACTION: Notice and request for
comments.
SUMMARY: In accordance with the
Paperwork Reduction Act of 1995, this
notice announces the Small Business
Administration’s intentions to request
approval on a new and/or currently
approved information collection.
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36451
DATES: Submit comments on or before
August 24, 2010.
ADDRESSES: Send all comments
regarding whether this information
collection is necessary for the proper
performance of the function of the
agency, whether the burden estimates
are accurate, and if there are ways to
minimize the estimated burden and
enhance the quality of the collection, to
Kirk McElwain, Web Director, Office of
Communications and Public Liaison,
Small Business Administration, 409 3rd
Street, 7th Floor, Washington, DC
20416.
FOR FURTHER INFORMATION CONTACT: Kirk
McElwain, Office of Communications
and Public Liaison, 202–205–6175
kirk.mcelwain@sba.gov, or Curtis B.
Rich, Management Analyst, 202–205–
7030, curtis.rich@sba.gov.
SBA plans
to make its SBA.gov Web site more usercentric and focused on the needs of
small businesses and lenders. The SBA
would like the new site to incorporate
innovative and meaningful online tools
and features that effectively deliver
information and services to lenders and
small businesses, and enable businesses
to gain necessary access to the capital
and tools they need to drive economic
recovery and create and retain jobs. It
will enable entrepreneurs, small
business owners, and lenders to save
time and money by providing them with
tools to find information they need from
local, state, and federal government and
a forum to learn from their peers and
industry experts. The content and
services delivered to SBA.gov users will
be most valuable if they are relevant and
specific to their needs. Without regular
program information collections, SBA
would be unable to determine these
needs and efficiently meet them.
Furthermore, this information collection
will allow the SBA to deliver the
Agency’s core values of customer
service, accountability, and
transparency and carry out the intent of
Executive Orders 12862. Absence of the
information provided by willing
participants would impact SBA’s ability
to carry out its mission and the
mandates of Executive Order 12862, as
well as President Obama’s January 21,
2009, memorandum on transparency
and open government.
Title: ‘‘SBA Direct and SBA Online
Community.’’
Description of Respondents: On
Occasion.
Form Number: N/A.
Annual Responses: 710,000.
SUPPLEMENTARY INFORMATION:
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36452
Federal Register / Vol. 75, No. 122 / Friday, June 25, 2010 / Notices
Annual Burden: 4,000.
Jacqueline White,
Chief, Administrative Information Branch.
[FR Doc. 2010–15367 Filed 6–24–10; 8:45 am]
BILLING CODE 8025–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IC–29302; File No. 812–13713]
Pruco Life Insurance Company, et al.;
Notice of Application
June 18, 2010.
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AGENCY: Securities and Exchange
Commission (‘‘SEC’’ or ‘‘Commission’’).
ACTION: Notice of application for an
order under Section 6(c) of the
Investment Company Act of 1940, as
amended (the ‘‘Act’’ or ‘‘1940 Act’’)
granting exemptions from the provisions
of Sections 2(a)(32), and 27(i)(2)(A) of
the Act and Rule 22c–1 thereunder.
APPLICANTS: Pruco Life Insurance
Company (‘‘Pruco Life’’), Pruco Life
Insurance Company of New Jersey
(‘‘PLNJ,’’ and collectively with Pruco
Life, the ‘‘Insurance Companies’’), Pruco
Life Flexible Premium Variable Annuity
Account (‘‘Pruco Life Account’’); Pruco
Life of New Jersey Flexible Premium
Variable Annuity Account (‘‘Pruco Life
of New Jersey Account,’’ and
collectively with Pruco Life Account,
the ‘‘Accounts’’), and Prudential
Annuities Distributors, Inc. (‘‘PAD’’, and
collectively with the Insurance
Companies, and the Accounts
‘‘Applicants’’).
SUMMARY: Summary of Application:
Applicants seek an order under Section
6(c) of the Act, exempting them from
Sections 2(a)(32), and 27(i)(2)(A) of the
Act and Rule 22c–1 thereunder, to
permit the recapture of credits
previously applied to purchase
payments under certain variable flexible
premium deferred annuity contracts
issued by the Insurance Companies.
DATES: Filing Date: The application was
filed on November 2, 2009 and amended
on June 18, 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 July 13,
2010, and should be accompanied by
proof of service on Applicants in the
form of an affidavit or, for lawyers, a
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certificate of service. Hearing requests
should state the nature of the requester’s
interest, the reason for the request, and
the issues contested. Persons who wish
to be notified of a hearing may request
notification by writing to the Secretary
of the Commission.
ADDRESSES: Secretary, SEC, 100 F Street,
NE., Washington, DC 20549–1090.
Applicants, c/o C. Christopher Sprague,
Esq., The Prudential Insurance
Company of America, 751 Broad Street,
Newark, NJ 07102.
FOR FURTHER INFORMATION CONTACT:
Sally Samuel, Senior Counsel, or Joyce
M. Pickholz, Branch Chief, Office of
Insurance Products, Division of
Investment Management, at (202) 551–
6795.
SUPPLEMENTARY INFORMATION: 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.
Applicants’ Representations
1. In this application, Applicants seek
the exemptions needed to recapture
purchase credits granted under the
Prudential Premier Retirement Variable
Annuity X Series annuity (the
‘‘Contract’’) to be issued by each of Pruco
Life and PLNJ, in the circumstances set
forth below. The Contract is a ‘‘bonus
annuity’’ registered on Form N–4 in
registration statements file nos. 333–
162673 and 333–162678. These Pruco
Life and PLNJ registration statements
are incorporated by reference into the
application to the extent necessary.
These Form N–4 registration statements
also describe other annuity classes that
do not offer purchase credits and thus
are not the subject of the exemptions
requested in this application.
Applicants also ask that the exemptions
requested extend to contracts that are
substantially similar in all material
respects to the Contracts (the ‘‘Future
Contracts’’) issued through the Accounts
or any other separate account of the
Insurance Companies created in the
future (a ‘‘Future Account’’) to support
Future Contracts.
2. Pruco Life is a stock life insurance
company organized under the laws of
the State of Arizona. PLNJ is a stock life
insurance company organized under the
laws of the State of New Jersey. PLNJ is
a wholly-owned subsidiary of Pruco
Life, which is itself a wholly-owned
subsidiary of The Prudential Insurance
Company of America (‘‘Prudential’’).
PAD, an affiliate of Prudential, is the
PO 00000
Frm 00107
Fmt 4703
Sfmt 4703
principal underwriter of the Contract.
PAD is registered with the Commission
as a broker-dealer under the Securities
Exchange Act of 1934, as amended (the
‘‘1934 Act’’) and is a member of FINRA.
3. Pruco Life is the issuer of the
Contracts funded through Pruco Life
Account and serves as depositor of the
Pruco Life Account. PLNJ is the issuer
of the Contracts funded through Pruco
Life of New Jersey Account and serves
as depositor of the Pruco Life of New
Jersey Account. Pruco Life and PLNJ
may in the future issue Future Contracts
through the Accounts, or through Future
Accounts for which they would also
serve as depositor.
4. Pruco Life Account is a segregated
asset account of Pruco Life (file no. 811–
07325), and Pruco Life of New Jersey
Account is a segregated asset account of
PLNJ (file no. 811–07975). The
respective Accounts will fund the
variable benefits available under the
Contracts. Each Account is registered
under the Act as a unit investment trust
and meets the definition of separate
account set forth in Section 2(a)(37) of
the Act. The same will be true of any
Future Account.
5. The Contracts are variable flexible
premium deferred annuity contracts.
Registered representatives of brokerdealers with which PAD has entered
into selling agreements will sell the
Contracts. The Contracts may be issued
on a non-tax qualified basis or in
connection with arrangements that
qualify for favorable Federal income tax
treatment under Internal Revenue Code
(e.g., IRAs). Certain of the features and
benefits under the Contracts described
below may differ, depending on the
State in which the Contract is issued
and the broker-dealer through which the
Contract is sold.
6. A Contract may be purchased with
a minimum initial payment of $10,000.
Unless prohibited by applicable State
law, the Insurance Companies presently
allow additional purchase payments,
provided that the payment is at least
$100 (a $50 minimum is imposed for
electronic fund transfer purchases). The
Insurance Companies reserve the right
to change these purchase payment
minimums. The Insurance Companies
reserve the right to refuse any initial or
additional purchase payment where the
total amount of purchase payments
equals $1,000,000 or more with respect
to the Contract and any other annuities
the annuity owner is purchasing from
the Insurance Companies and/or their
affiliates. The maximum issue age for a
Contract is 80.
7. The Contract offers variable
investment options and a companion
market-value adjustment option that has
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Agencies
[Federal Register Volume 75, Number 122 (Friday, June 25, 2010)]
[Notices]
[Pages 36451-36452]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-15367]
=======================================================================
-----------------------------------------------------------------------
SMALL BUSINESS ADMINISTRATION
Data Collection Available for Public Comments and Recommendations
ACTION: Notice and request for comments.
-----------------------------------------------------------------------
SUMMARY: In accordance with the Paperwork Reduction Act of 1995, this
notice announces the Small Business Administration's intentions to
request approval on a new and/or currently approved information
collection.
DATES: Submit comments on or before August 24, 2010.
ADDRESSES: Send all comments regarding whether this information
collection is necessary for the proper performance of the function of
the agency, whether the burden estimates are accurate, and if there are
ways to minimize the estimated burden and enhance the quality of the
collection, to Kirk McElwain, Web Director, Office of Communications
and Public Liaison, Small Business Administration, 409 3rd Street, 7th
Floor, Washington, DC 20416.
FOR FURTHER INFORMATION CONTACT: Kirk McElwain, Office of
Communications and Public Liaison, 202-205-6175 kirk.mcelwain@sba.gov,
or Curtis B. Rich, Management Analyst, 202-205-7030,
curtis.rich@sba.gov.
SUPPLEMENTARY INFORMATION: SBA plans to make its SBA.gov Web site more
user-centric and focused on the needs of small businesses and lenders.
The SBA would like the new site to incorporate innovative and
meaningful online tools and features that effectively deliver
information and services to lenders and small businesses, and enable
businesses to gain necessary access to the capital and tools they need
to drive economic recovery and create and retain jobs. It will enable
entrepreneurs, small business owners, and lenders to save time and
money by providing them with tools to find information they need from
local, state, and federal government and a forum to learn from their
peers and industry experts. The content and services delivered to
SBA.gov users will be most valuable if they are relevant and specific
to their needs. Without regular program information collections, SBA
would be unable to determine these needs and efficiently meet them.
Furthermore, this information collection will allow the SBA to deliver
the Agency's core values of customer service, accountability, and
transparency and carry out the intent of Executive Orders 12862.
Absence of the information provided by willing participants would
impact SBA's ability to carry out its mission and the mandates of
Executive Order 12862, as well as President Obama's January 21, 2009,
memorandum on transparency and open government.
Title: ``SBA Direct and SBA Online Community.''
Description of Respondents: On Occasion.
Form Number: N/A.
Annual Responses: 710,000.
[[Page 36452]]
Annual Burden: 4,000.
Jacqueline White,
Chief, Administrative Information Branch.
[FR Doc. 2010-15367 Filed 6-24-10; 8:45 am]
BILLING CODE 8025-01-P