Additional Identifying Information Associated With Persons Whose Property and Interests in Property Are Blocked Pursuant to Executive Order 13572 of April 29, 2011, “Blocking Property of Certain Persons With Respect to Human Rights Abuses in Syria”, 27377-27378 [2011-11556]
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Federal Register / Vol. 76, No. 91 / Wednesday, May 11, 2011 / Notices
monitoring checklist completed by the
treating endocrinologist as well as an
annual checklist with a comprehensive
medical evaluation; (2) that each
individual reports within 2 business
days of occurrence, all episodes of
severe hypoglycemia, significant
complications, or inability to manage
diabetes; also, any involvement in an
accident or any other adverse event in
a CMV or personal vehicle, whether or
not it is related to an episode of
hypoglycemia; (3) that each individual
provide a copy of the ophthalmologist’s
or optometrist’s report to the medical
examiner at the time of the annual
medical examination; and (4) that each
individual provide a copy of the annual
medical certification to the employer for
retention in the driver’s qualification
file, or keep a copy in his/her driver’s
qualification file if he/she is selfemployed. The driver must also have a
copy of the certification when driving,
for presentation to a duly authorized
Federal, State, or local enforcement
official.
Discussion of Comment
FMCSA received one comment in this
proceeding. The comment was
considered and discussed below.
The Pennsylvania Department of
Transportation stated that it had
reviewed the driving record for Edward
D. Boyer and are in favor of granting
him a Federal diabetes exemption.
mstockstill on DSKH9S0YB1PROD with NOTICES
These seventeen applicants have had
ITDM over a range of 1 to 28 years.
These applicants report no severe
hypoglycemic reactions resulting in loss
of consciousness or seizure, requiring
the assistance of another person, or
resulting in impaired cognitive function
that occurred without warning
symptoms, in the past 12 months and no
recurrent (2 or more) severe
hypoglycemic episodes in the past 5
years. In each case, an endocrinologist
verified that the driver has
demonstrated a willingness to properly
monitor and manage his/her diabetes
mellitus, received education related to
diabetes management, and is on a stable
insulin regimen. These drivers report no
other disqualifying conditions,
including diabetes-related
complications. Each meets the vision
standard at 49 CFR 391.41(b)(10).
The qualifications and medical
condition of each applicant were stated
and discussed in detail in the March 29,
2011, Federal Register notice and they
will not be repeated in this notice.
Conclusion
Basis for Exemption Determination
Under 49 U.S.C. 31136(e) and 31315,
FMCSA may grant an exemption from
the diabetes standard in 49 CFR
391.41(b)(3) if the exemption is likely to
achieve an equivalent or greater level of
safety than would be achieved without
the exemption. The exemption allows
the applicants to operate CMVs in
interstate commerce.
To evaluate the effect of these
exemptions on safety, FMCSA
considered medical reports about the
applicants’ ITDM and vision, and
reviewed the treating endocrinologists’
medical opinion related to the ability of
the driver to safely operate a CMV while
using insulin.
Consequently, FMCSA finds that in
each case exempting these applicants
from the diabetes standard in 49 CFR
391.41(b)(3) is likely to achieve a level
of safety equal to that existing without
the exemption.
Conditions and Requirements
The terms and conditions of the
exemption will be provided to the
applicants in the exemption document
and they include the following: (1) That
each individual submit a quarterly
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17:18 May 10, 2011
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Based upon its evaluation of the
seventeen exemption applications,
FMCSA exempts, Peter N. Amendola,
Edward D. Boyer, Steven V. Callison,
Douglas A. Carroll, Bradley J. Frazier,
Tamara S. Folsom, Gerald W. Fryar,
Richard P. Inott, Ernest Martinelli,
Jonathan C. Morgan, Benjamin D.
Phelps, Richard J. Rasch, Philip J.
Regan, Paul E. Regelin, II, David R.
Smith, Adam J. Stegenga and Donald D.
Willard from the ITDM standard in 49
CFR 391.41(b)(3), subject to the
conditions listed under ‘‘Conditions and
Requirements’’ above.
In accordance with 49 U.S.C. 31136(e)
and 31315 each exemption will be valid
for two years unless revoked earlier by
FMCSA. The exemption will be revoked
if: (1) The person fails to comply with
the terms and conditions of the
exemption; (2) the exemption has
resulted in a lower level of safety than
was maintained before it was granted; or
(3) continuation of the exemption would
not be consistent with the goals and
objectives of 49 U.S.C. 31136(e) and
31315. If the exemption is still effective
at the end of the 2-year period, the
person may apply to FMCSA for a
renewal under procedures in effect at
that time.
Issued on: May 5, 2011.
Larry W. Minor,
Associate Administrator of Policy.
[FR Doc. 2011–11573 Filed 5–10–11; 8:45 am]
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27377
DEPARTMENT OF THE TREASURY
Office of the Secretary
List of Countries Requiring
Cooperation With an International
Boycott
In accordance with section 999(a)(3)
of the Internal Revenue Code of 1986,
the Department of the Treasury is
publishing a current list of countries
which require or may require
participation in, or cooperation with, an
international boycott (within the
meaning of section 999(b)(3) of the
Internal Revenue Code of 1986).
On the basis of the best information
currently available to the Department of
the Treasury, the following countries
require or may require participation in,
or cooperation with, an international
boycott (within the meaning of section
999(b)(3) of the Internal Revenue Code
of 1986).
Kuwait, Lebanon, Libya, Qatar, Saudi
Arabia, Syria, United Arab
Emirates, Yemen, Republic of.
Iraq is not included in this list, but its
status with respect to future lists
remains under review by the
Department of the Treasury.
Dated: May 2, 2011.
Michael J. Caballero,
International Tax Counsel, Tax Policy.
[FR Doc. 2011–11307 Filed 5–10–11; 8:45 am]
BILLING CODE 4810–25–M
DEPARTMENT OF THE TREASURY
Office of Foreign Assets Control
Additional Identifying Information
Associated With Persons Whose
Property and Interests in Property Are
Blocked Pursuant to Executive Order
13572 of April 29, 2011, ‘‘Blocking
Property of Certain Persons With
Respect to Human Rights Abuses in
Syria’’
Office of Foreign Assets
Control, Treasury.
ACTION: Notice.
AGENCY:
The Treasury Department’s
Office of Foreign Assets Control
(‘‘OFAC’’) is publishing additional
identifying information associated with
the three individuals and two entities
listed in the Annex to Executive Order
13572 of April 29, 2011, ‘‘Blocking
Property of Certain Persons with
Respect to Human Rights Abuses in
Syria,’’ whose property and interests in
property are therefore blocked.
FOR FURTHER INFORMATION CONTACT:
Assistant Director, Compliance
SUMMARY:
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27378
Federal Register / Vol. 76, No. 91 / Wednesday, May 11, 2011 / Notices
Outreach & Implementation, Office of
Foreign Assets Control, Department of
the Treasury, 1500 Pennsylvania
Avenue, NW. (Treasury Annex),
Washington, DC 20220, Tel.: 202/622–
2490.
SUPPLEMENTARY INFORMATION:
Electronic and Facsimile Availability
This document and additional
information concerning OFAC are
available from OFAC’s Web site (https://
www.treas.gov/ofac) or via facsimile
through a 24-hour fax-on-demand
service, Tel.: 202/622–0077.
mstockstill on DSKH9S0YB1PROD with NOTICES
Background
On April 29, 2011, the President
issued Executive Order 13572,
‘‘Blocking Property of Certain Persons
with Respect to Human Rights Abuses
in Syria,’’ (the ‘‘Order’’) pursuant to,
inter alia, the International Emergency
Economic Powers Act (50 U.S.C. 1701–
06). In the Order, the President
expanded the scope of the national
emergency declared in Executive Order
13338 of May 11, 2004.
Section 1 of the Order blocks, with
certain exceptions, all property and
interests in property that are in the
United States, that come within the
United States, or that are or come within
the possession or control of any United
States person, of persons listed in the
Annex to the Order and of persons
determined by the Secretary of the
Treasury, in consultation with the
Secretary of State, to satisfy certain
criteria set forth in the Order.
The Annex to the Order lists three
individuals and two entities whose
property and interests in property are
blocked pursuant to the Order. OFAC is
publishing additional identifying
information associated with those
individuals and entities. As noted in the
listings below, the property and
interests in property of one of those
entities also are blocked pursuant to
other OFAC sanctions programs.
The listings for those individuals and
entities on OFAC’s list of Specially
Designated Nationals and Blocked
Persons appear as follows:
Individuals
1. AL-ASAD, Mahir (a.k.a. ASSAD,
Mahar; a.k.a. ASSAD, Maher); DOB
1968; Lieutenant Colonel; Position:
Brigade Commander in the Syrian
Army’s 4th Armored Division
(individual) [SYRIA.]
2. MAMLUK, Ali (a.k.a. MAMLUK,
’Ali); DOB 1947; POB Amara,
Damascus, Syria; Major General;
Position: Director, General
Intelligence Directorate (individual)
[SYRIA.]
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17:18 May 10, 2011
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3. NAJIB, Atif (a.k.a. NAJEEB, Atef;
a.k.a. NAJIB, Atef); POB Jablah,
Syria; Brigadier General; Position:
Former head of the Syrian Political
Security Directorate for Dar’a
Province (individual) [SYRIA.]
Entities
1. ISLAMIC REVOLUTIONARY GUARD
CORPS (IRGC)-QODS FORCE (a.k.a.
PASDARAN-E ENGHELAB-E
ISLAMI (PASDARAN); a.k.a.
SEPAH-E QODS (JERUSALEM
FORCE)) [SDGT] [SYRIA] [IRGC.]
2. SYRIAN GENERAL INTELLIGENCE
DIRECTORATE (a.k.a. IDERAT ALAMN AL-’AMM), Syria [SYRIA.]
Dated: May 4, 2011.
Adam Szubin,
Director, Office of Foreign Assets Control.
[FR Doc. 2011–11556 Filed 5–10–11; 8:45 am]
BILLING CODE 4810–AL–P
DEPARTMENT OF THE TREASURY
Office of Thrift Supervision
Request for Service Corporation
Activity
Office of Thrift Supervision
(OTS), Treasury.
ACTION: Notice and request for comment.
AGENCY:
The proposed information
collection request (ICR) described below
has been submitted to the Office of
Management and Budget (OMB) for
review and approval, as required by the
Paperwork Reduction Act of 1995, 44
U.S.C. 3507. OTS is soliciting public
comments on the proposal.
DATES: Submit written comments on or
before June 10, 2011. A copy of this ICR,
with applicable supporting
documentation, can be obtained from
RegInfo.gov at https://www.reginfo.gov/
public/do/PRAMain.
ADDRESSES: Send comments, referring to
the collection by title of the proposal or
by OMB approval number, to OMB and
OTS at these addresses: Office of
Information and Regulatory Affairs,
Attention: Desk Officer for OTS, U.S.
Office of Management and Budget, 725
17th Street, NW., Room 10235,
Washington, DC 20503, or by fax to
(202) 393–6974; and Information
Collection Comments, Chief Counsel’s
Office, Office of Thrift Supervision,
1700 G Street, NW., Washington, DC
20552, by fax to (202) 906–6518, or by
e-mail to
infocollection.comments@ots.treas.gov.
OTS will post comments and the related
index on the OTS Internet Site at
https://www.ots.treas.gov. In addition,
interested persons may inspect
SUMMARY:
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comments at the Public Reading Room,
1700 G Street, NW., Washington, DC
20552 by appointment. To make an
appointment, call (202) 906–5922, send
an e-mail to public.info@ots.treas.gov, or
send a facsimile transmission to (202)
906–7755.
FOR FURTHER INFORMATION CONTACT: For
further information or to obtain a copy
of the submission to OMB, please
contact Ira L. Mills at,
ira.mills@ots.treas.gov, or on (202) 906–
6531, or facsimile number (202) 906–
6518, Regulations and Legislation
Division, Chief Counsel’s Office, Office
of Thrift Supervision, 1700 G Street,
NW., Washington, DC 20552.
SUPPLEMENTARY INFORMATION: OTS may
not conduct or sponsor an information
collection, and respondents are not
required to respond to an information
collection, unless the information
collection displays a currently valid
OMB control number. As part of the
approval process, we invite comments
on the following information collection.
Title of Proposal: Request for Service
Corporation Activity.
OMB Number: 1550–0013.
Form Numbers: 1566 and 1562.
Description: The information will be
used by OTS to ensure that the
principles of safety and soundness are
adhered to in the issuance of securities.
It was determined that all supervisory
concerns would be satisfied if the
information previously reported is
available for inspection by OTS
examiners.
Type of Review: Extension of a
currently approved collection.
Affected Public: Business or other forprofit.
Estimated Number of Respondents:
19.
Estimated Frequency of Response: On
occasion.
Estimated Total Burden: 9.5 hours.
Clearance Officer: Ira L. Mills, (202)
906–6531, Office of Thrift Supervision,
1700 G Street, NW., Washington, DC
20552.
Dated: May 4, 2011.
Ira L. Mills,
Paperwork Clearance Officer, Office of Chief
Counsel, Office of Thrift Supervision.
[FR Doc. 2011–11492 Filed 5–10–11; 8:45 am]
BILLING CODE 6720–01–P
DEPARTMENT OF THE TREASURY
Office of Thrift Supervision
Notice and Request for Comment
Office of Thrift Supervision
(OTS), Treasury.
ACTION: Notice and request for comment.
AGENCY:
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Agencies
[Federal Register Volume 76, Number 91 (Wednesday, May 11, 2011)]
[Notices]
[Pages 27377-27378]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-11556]
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DEPARTMENT OF THE TREASURY
Office of Foreign Assets Control
Additional Identifying Information Associated With Persons Whose
Property and Interests in Property Are Blocked Pursuant to Executive
Order 13572 of April 29, 2011, ``Blocking Property of Certain Persons
With Respect to Human Rights Abuses in Syria''
AGENCY: Office of Foreign Assets Control, Treasury.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: The Treasury Department's Office of Foreign Assets Control
(``OFAC'') is publishing additional identifying information associated
with the three individuals and two entities listed in the Annex to
Executive Order 13572 of April 29, 2011, ``Blocking Property of Certain
Persons with Respect to Human Rights Abuses in Syria,'' whose property
and interests in property are therefore blocked.
FOR FURTHER INFORMATION CONTACT: Assistant Director, Compliance
[[Page 27378]]
Outreach & Implementation, Office of Foreign Assets Control, Department
of the Treasury, 1500 Pennsylvania Avenue, NW. (Treasury Annex),
Washington, DC 20220, Tel.: 202/622-2490.
SUPPLEMENTARY INFORMATION:
Electronic and Facsimile Availability
This document and additional information concerning OFAC are
available from OFAC's Web site (https://www.treas.gov/ofac) or via
facsimile through a 24-hour fax-on-demand service, Tel.: 202/622-0077.
Background
On April 29, 2011, the President issued Executive Order 13572,
``Blocking Property of Certain Persons with Respect to Human Rights
Abuses in Syria,'' (the ``Order'') pursuant to, inter alia, the
International Emergency Economic Powers Act (50 U.S.C. 1701-06). In the
Order, the President expanded the scope of the national emergency
declared in Executive Order 13338 of May 11, 2004.
Section 1 of the Order blocks, with certain exceptions, all
property and interests in property that are in the United States, that
come within the United States, or that are or come within the
possession or control of any United States person, of persons listed in
the Annex to the Order and of persons determined by the Secretary of
the Treasury, in consultation with the Secretary of State, to satisfy
certain criteria set forth in the Order.
The Annex to the Order lists three individuals and two entities
whose property and interests in property are blocked pursuant to the
Order. OFAC is publishing additional identifying information associated
with those individuals and entities. As noted in the listings below,
the property and interests in property of one of those entities also
are blocked pursuant to other OFAC sanctions programs.
The listings for those individuals and entities on OFAC's list of
Specially Designated Nationals and Blocked Persons appear as follows:
Individuals
1. AL-ASAD, Mahir (a.k.a. ASSAD, Mahar; a.k.a. ASSAD, Maher); DOB 1968;
Lieutenant Colonel; Position: Brigade Commander in the Syrian Army's
4th Armored Division (individual) [SYRIA.]
2. MAMLUK, Ali (a.k.a. MAMLUK, 'Ali); DOB 1947; POB Amara, Damascus,
Syria; Major General; Position: Director, General Intelligence
Directorate (individual) [SYRIA.]
3. NAJIB, Atif (a.k.a. NAJEEB, Atef; a.k.a. NAJIB, Atef); POB Jablah,
Syria; Brigadier General; Position: Former head of the Syrian Political
Security Directorate for Dar'a Province (individual) [SYRIA.]
Entities
1. ISLAMIC REVOLUTIONARY GUARD CORPS (IRGC)-QODS FORCE (a.k.a.
PASDARAN-E ENGHELAB-E ISLAMI (PASDARAN); a.k.a. SEPAH-E QODS (JERUSALEM
FORCE)) [SDGT] [SYRIA] [IRGC.]
2. SYRIAN GENERAL INTELLIGENCE DIRECTORATE (a.k.a. IDERAT AL-AMN AL-
'AMM), Syria [SYRIA.]
Dated: May 4, 2011.
Adam Szubin,
Director, Office of Foreign Assets Control.
[FR Doc. 2011-11556 Filed 5-10-11; 8:45 am]
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