Agency Information Collection Activities: Final Collection; Comment Request, 71431 [2010-29466]

Download as PDF Federal Register / Vol. 75, No. 225 / Tuesday, November 23, 2010 / Notices Changes in the Estimates: There is an increase of 42,045 hours in the total estimated burden currently identified in the OMB Inventory of Approved ICR Burdens. This increase is due to the addition of the LDR ‘‘No-Migration’’ Variance universe and revised estimates for the time required to respond. Dated: November 17, 2010. John Moses, Director, Collection Strategies Division. [FR Doc. 2010–29491 Filed 11–22–10; 8:45 am] BILLING CODE 6560–50–P ENVIRONMENTAL PROTECTION AGENCY [FRL–9230–1] Clean Water Act Section 303(d): Availability of List Decisions Correction Environmental Protection Agency (EPA). ACTION: Correction: Notice of Availability. AGENCY: This action corrects a Federal Register notice that published on November 9, 2010 at 75 FR 68783 announcing the availability of EPA decisions identifying water quality limited segments and associated pollutants in California to be listed pursuant to Clean Water Act section 303(d)(2), and requests public comment. This announcement corrects the previously published decision date and public comment deadline. Section 303(d)(2) requires that states submit and EPA approve or disapprove lists of waters for which existing technologybased pollution controls are not stringent enough to attain or maintain state water quality standards and for which total maximum daily loads (TMDLs) must be prepared. On November 12, 2010 EPA approved California’s 2008–2010 submitted 303(d) list of impaired waters and associated pollutants and disapproved California’s decisions not to list several water quality limited segments as impaired and additional associated pollutants for several others. EPA identified these additional water bodies and pollutants for inclusion on the State’s 2008–2010 section 303(d) list. The waterbodies and associated pollutants are identified in Table 3 of the decision document available at the Web site link provided below. EPA is providing the public the opportunity to review its decisions to add waters and pollutants to California’s 2008–2010 section 303(d) list, as required by EPA’s Public Participation mstockstill on DSKH9S0YB1PROD with NOTICES SUMMARY: VerDate Mar<15>2010 18:02 Nov 22, 2010 Jkt 223001 regulations. EPA will consider public comments received, and may revise its decision if appropriate. EPA solicits public comment only on the additional waters and associated pollutants for inclusion on California’s 2008–2010 Section 303(d) list. DATES: Comments must be submitted to EPA on or before December 23, 2010. FOR FURTHER INFORMATION CONTACT: Comments on the proposed decisions should be sent to Valentina Cabrera Stagno or Dave Guiliano, Water Division (WTR–2), U.S. Environmental Protection Agency Region IX, 75 Hawthorne Street, San Francisco, CA 94105, telephone (415) 972–3434 or (415) 947–4133, facsimile (415) 947– 3537, e-mail cabrerastagno.valentina@epa.gov or guiliano.dave@epa.gov. Oral comments will not be considered. Material concerning California’s 303(d) list which explain the rationale for EPA’s decisions are available on EPA Region IX’s Web site at https://www.epa.gov/ region9/water/tmdl/california.html or by writing or calling Valentina Cabrera Stagno or Dave Guiliano. Underlying documentation comprising the record for these decisions is available for public inspection at the above address. Dated: November 12, 2010. Alexis Strauss, Director, Water Division, Region IX. [FR Doc. 2010–29486 Filed 11–22–10; 8:45 am] BILLING CODE 6560–50–P EXPORT-IMPORT BANK OF THE U.S. [Public Notice 2010–0031] Agency Information Collection Activities: Final Collection; Comment Request Export-Import Bank of the U.S. Submission for OMB Review and Comments Request. AGENCY: ACTION: Form Title: Report of Premiums Payable for Financial Institutions Only (EIB 92–30). SUMMARY: The Export-Import Bank of the United States (Ex-Im Bank), as a part of its continuing effort to reduce paperwork and respondent burden, invites the general public and other Federal Agencies to comment on the proposed information collection, as required by the Paperwork Reduction Act of 1995. The Report of Premiums Payable for Financial Institutions Only is used to determine the eligibility of the shipment(s) and to calculate the premium due to Ex-Im Bank for its PO 00000 Frm 00020 Fmt 4703 Sfmt 9990 71431 support of the shipment(s) under its insurance program. Export-Import Bank customers will be able to submit this form on paper or electronically. The Export-Import Bank has made changes to incorporate additional flexibility in identifying eligible U.S. content, as well as adding an additional report (the Content Report) for use only in those cases where the company chooses to make use of some aspects of the additional flexibility. Customers who do not meet the eligibility requirements for the additional flexibility or who chose only to make use of the flexibility in the percentage of U.S. content do not need to complete the Content Report. In addition to the changes to reflect the additional content flexibility, we also deleted the option of ‘‘Ex-Im Bank Sole Risk’’ as an obligor type; added the option ‘‘CAD or SDDP’’ to the terms; deleted the ‘‘Sight Payments (non-letter of credit) from the terms, and further broke out the frequency of repayment terms to include: 1–30 Days, 31–60 Days, 61–90 Days, and 91–120 Days. DATES: Comments should be received on or before December 23, 2010 to be assured of consideration. ADDRESS: Comments may be submitted electronically on https:// www.regulations.gov or by mail to Office of Management and Budget, Office of Information and Regulatory Affairs, 725 17th Street, NW., Washington, DC 20038 attn: OMB 3048– 0021. SUPPLEMENTARY INFORMATION: Titles and Form Number: EIB 92–30. Report of Premiums Payable for Financial Institutions Only. OMB Number: 3048–0021. Type of Review: Regular. Need and Use: The information collected enables Ex-Im Bank to determine the eligibility of the shipment(s) and to calculate the premium due to Ex-Im Bank for its support of the shipment(s) under its insurance program. Affected Public: This form affects entities involved in the export of U.S goods and services. Annual Number of Respondents: 150. Estimated Time per Respondent: 20 minutes. Government Annual Burden Hours: 600 hours. Frequency of Reporting or Use: Monthly. Sharon A. Whitt, Agency Clearance Officer. [FR Doc. 2010–29466 Filed 11–22–10; 8:45 am] BILLING CODE 6690–01–P E:\FR\FM\23NON1.SGM 23NON1

Agencies

[Federal Register Volume 75, Number 225 (Tuesday, November 23, 2010)]
[Notices]
[Page 71431]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-29466]


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EXPORT-IMPORT BANK OF THE U.S.

[Public Notice 2010-0031]


Agency Information Collection Activities: Final Collection; 
Comment Request

AGENCY: Export-Import Bank of the U.S.

ACTION: Submission for OMB Review and Comments Request.

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    Form Title: Report of Premiums Payable for Financial Institutions 
Only (EIB 92-30).
SUMMARY: The Export-Import Bank of the United States (Ex-Im Bank), as a 
part of its continuing effort to reduce paperwork and respondent 
burden, invites the general public and other Federal Agencies to 
comment on the proposed information collection, as required by the 
Paperwork Reduction Act of 1995.
    The Report of Premiums Payable for Financial Institutions Only is 
used to determine the eligibility of the shipment(s) and to calculate 
the premium due to Ex-Im Bank for its support of the shipment(s) under 
its insurance program. Export-Import Bank customers will be able to 
submit this form on paper or electronically.
    The Export-Import Bank has made changes to incorporate additional 
flexibility in identifying eligible U.S. content, as well as adding an 
additional report (the Content Report) for use only in those cases 
where the company chooses to make use of some aspects of the additional 
flexibility. Customers who do not meet the eligibility requirements for 
the additional flexibility or who chose only to make use of the 
flexibility in the percentage of U.S. content do not need to complete 
the Content Report. In addition to the changes to reflect the 
additional content flexibility, we also deleted the option of ``Ex-Im 
Bank Sole Risk'' as an obligor type; added the option ``CAD or SDDP'' 
to the terms; deleted the ``Sight Payments (non-letter of credit) from 
the terms, and further broke out the frequency of repayment terms to 
include: 1-30 Days, 31-60 Days, 61-90 Days, and 91-120 Days.

DATES: Comments should be received on or before December 23, 2010 to be 
assured of consideration.

ADDRESS: Comments may be submitted electronically on https://www.regulations.gov or by mail to Office of Management and Budget, 
Office of Information and Regulatory Affairs, 725 17th Street, NW., 
Washington, DC 20038 attn: OMB 3048-0021.

SUPPLEMENTARY INFORMATION:
    Titles and Form Number: EIB 92-30. Report of Premiums Payable for 
Financial Institutions Only.
    OMB Number: 3048-0021.
    Type of Review: Regular.
    Need and Use: The information collected enables Ex-Im Bank to 
determine the eligibility of the shipment(s) and to calculate the 
premium due to Ex-Im Bank for its support of the shipment(s) under its 
insurance program.
    Affected Public: This form affects entities involved in the export 
of U.S goods and services.
    Annual Number of Respondents: 150.
    Estimated Time per Respondent: 20 minutes.
    Government Annual Burden Hours: 600 hours.
    Frequency of Reporting or Use: Monthly.

Sharon A. Whitt,
Agency Clearance Officer.
[FR Doc. 2010-29466 Filed 11-22-10; 8:45 am]
BILLING CODE 6690-01-P
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