Change in Bank Control Notices; Acquisitions of Shares of a Bank or Bank Holding Company, 32975-32976 [2011-13948]
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emcdonald on DSK2BSOYB1PROD with NOTICES
Federal Register / Vol. 76, No. 109 / Tuesday, June 7, 2011 / Notices
Deferment of Service Obligation and
Application for Review.
Type of Request: Extension of
currently approved information
collection.
OMB Control Number: 2133–0510.
Expiration Date of Approval: Three
years from date of approval by the
Office of Management and Budget.
Affected Public: U.S. Merchant
Marine Academy students and
graduates, and subsidized students and
graduates.
Form Numbers: MA–935, MA–936
and MA–937.
Abstract: This information collection
is essential for determining if a student
or graduate of the United States
Merchant Marine Academy (USMMA)
or subsidized student or graduate of a
State maritime academy has a waiveable
situation preventing them from fulfilling
the requirements of a service obligation
contract signed at the time of their
enrollment in a Federal maritime
training program. It also permits the
Maritime Administration (MARAD) to
determine if a graduate, who wishes to
defer the service obligation to attend
graduate school, is eligible to receive a
deferment. Their service obligation is
required by law.
Expiration Date of Approval: Three
years from date of approval by the
Office of Management and Budget.
Annual Estimated Burden Hours: 3.5
hours.
ADDRESSES: Send comments to the
Office of Information and Regulatory
Affairs, Office of Management and
Budget, 725 17th Street, NW.,
Washington, DC 20503, Attention:
MARAD Desk Officer.
Comments are invited on: Whether
the proposed collection of information
is necessary for the proper performance
of the functions of the agency, including
whether the information will have
practical utility; the accuracy of the
agency’s estimate of the burden of the
proposed information collection; ways
to enhance the quality, utility and
clarity of the information to be
collected; and ways to minimize the
burden of the collection of information
on respondents, including the use of
automated collection techniques or
other forms of information technology.
A comment to OMB is best assured of
having its full effect, if OMB receives it
within 30 days of publication.
Authority: 49 CFR 1.66.
Dated: May 31, 2011.
By Order of the Maritime Administrator.
Christine Gurland,
Secretary, Maritime Administration.
[FR Doc. 2011–14002 Filed 6–6–11; 8:45 am]
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DEPARTMENT OF TRANSPORTATION
Maritime Administration
[Docket No. MARAD 2011 0072]
Information Collection Available for
Public Comments and
Recommendations
Notice and request for
comments.
ACTION:
In accordance with the
Paperwork Reduction Act of 1995, this
notice announces the Maritime
Administration’s (MARAD’s) intention
to request extension of approval for
three years of a currently approved
information collection.
DATES: Comments should be submitted
on or before August 8, 2011.
FOR FURTHER INFORMATION CONTACT:
Joann Spittle, Maritime Administration,
1200 New Jersey Avenue, SE.,
Washington, DC 20590. Telephone:
202–366–5979; or e-mail
joann.spittle@dot.gov. Copies of this
collection also can be obtained from that
office.
SUPPLEMENTARY INFORMATION: Maritime
Administration (MARAD)
Title of Collection: Application for
Waiver of the Coastwise Trade Laws for
Small Passenger Vessels.
Type of Request: Extension of
currently approved information
collection.
OMB Control Number: 2133–0529.
Form Numbers: MA–1023, Request for
Administrative Waiver of the Jones Act
46 U.S.C. 12121, 46 CFR 388.
Expiration Date of Approval: Three
years from date of approval by the
Office of Management and Budget.
Summary of Collection of
Information: Owners of small passenger
vessels desiring waiver of the coastwise
trade laws affecting small passenger
vessels will be required to file a written
application and justification for waiver
to the Maritime Administration
(MARAD). The agency will review the
application and make a determination
whether to grant the requested waiver.
Need and Use of the Information:
MARAD requires the information in
order to process applications for waivers
of the coastwise trade laws and to
determine the effect of waivers of the
coastwise trade laws on United States
vessel builders and United States-built
vessel coastwise trade businesses.
Description of Respondents: Small
passenger vessel owners who desire to
operate in the coastwise trade.
Annual Responses: 75 responses.
Annual Burden: 75 hours.
Comments: Comments should refer to
the docket number that appears at the
SUMMARY:
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32975
top of this document. Written comments
may be submitted to the Docket Clerk,
U.S. DOT Dockets, Room W12–140,
1200 New Jersey Avenue, SE.,
Washington, DC 20590. Comments also
may be submitted by electronic means
via the Internet at https://
www.regulations.gov/search/index.jsp.
Specifically address whether this
information collection is necessary for
proper performance of the functions of
the agency and will have practical
utility, accuracy of the burden
estimates, ways to minimize this
burden, and ways to enhance the
quality, utility, and clarity of the
information to be collected. All
comments received will be available for
examination at the above address
between 10 a.m. and 5 p.m. EDT (or
EST), Monday through Friday, except
Federal Holidays. An electronic version
of this document is available on the
World Wide Web at https://
www.regulations.gov/search/index.jsp.
Privacy Act: Anyone is able to search
the electronic form of all comments
received into any of our dockets by the
name of the individual submitting the
comment (or signing the comment, if
submitted on behalf of an association,
business, labor union, etc.). You may
review DOT’s complete Privacy Act
Statement in the Federal Register
published on April 11, 2000 (Volume
65, Number 70; Pages 19477–78) or you
may visit https://www.regulations.gov/
search/index.jsp.
Authority: 49 CFR 1.66.
Dated: May 31, 2011.
By Order of the Maritime Administrator.
Christine Gurland,
Secretary, Maritime Administration.
[FR Doc. 2011–14005 Filed 6–6–11; 8:45 am]
BILLING CODE 4910–81–P
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisitions of Shares of a Bank or
Bank Holding Company
The notificants listed below have
applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire shares of a bank
or bank holding company. The factors
that are considered in acting on the
notices are set forth in paragraph 7 of
the Act (12 U.S.C. 1817(j)(7)).
The notices are available for
immediate inspection at the Federal
Reserve Bank indicated. The notices
also will be available for inspection at
the offices of the Board of Governors.
Interested persons may express their
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32976
Federal Register / Vol. 76, No. 109 / Tuesday, June 7, 2011 / Notices
views in writing to the Reserve Bank
indicated for that notice or to the offices
of the Board of Governors. Comments
must be received not later than June 22,
2011.
A. Federal Reserve Bank of St. Louis
(Glenda Wilson, Community Affairs
Officer) P.O. Box 442, St. Louis,
Missouri 63166–2034:
1. Thomas R. Garrison, individually,
and in concert with, and as trustee of
the Thomas R. Garrison Trust U/W
Sheridan Garrison, the Thomas R.
Garrison 2005 Retained Annuity Trust,
and the Estate of F. S. Garrison, all of
Fayetteville, Arkansas; to gain control of
Pinnacle Bancshares, Inc., and thereby
indirectly gain control of Pinnacle Bank,
both in Rogers, Arkansas.
Board of Governors of the Federal Reserve
System, June 2, 2011.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 2011–13948 Filed 6–6–11; 8:45 am]
BILLING CODE 6210–01–P
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
[Docket No. FDA–2011–N–0425]
Agency Information Collection
Activities; Proposed Collection;
Comment Request; Infant Formula
Recall Regulations
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Notice.
The Food and Drug
Administration (FDA) is announcing an
opportunity for public comment on the
proposed collection of certain
information by the Agency. Under the
Paperwork Reduction Act of 1995 (the
PRA), Federal Agencies are required to
publish notice in the Federal Register
concerning each proposed collection of
information, including each proposed
extension of an existing collection of
information, and to allow 60 days for
public comment in response to the
notice. This notice solicits comments on
requirements related to the recall of
infant formula.
DATES: Submit either electronic or
written comments on the collection of
information by August 8, 2011.
ADDRESSES: Submit electronic
comments on the collection of
information to https://
www.regulations.gov. Submit written
comments on the collection of
information to the Division of Dockets
Management (HFA–305), Food and Drug
emcdonald on DSK2BSOYB1PROD with NOTICES
SUMMARY:
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Administration, 5630 Fishers Lane, rm.
1061, Rockville, MD 20852. All
comments should be identified with the
docket number found in brackets in the
heading of this document.
FOR FURTHER INFORMATION CONTACT:
Denver Presley, Jr., Office of Information
Management, Food and Drug
Administration, 1350 Piccard Dr., PI50–
400B, Rockville, MD 20850, 301–796–
3793.
SUPPLEMENTARY INFORMATION: Under the
PRA (44 U.S.C. 3501–3520), Federal
Agencies must obtain approval from the
Office of Management and Budget
(OMB) for each collection of
information they conduct or sponsor.
‘‘Collection of information’’ is defined in
44 U.S.C. 3502(3) and 5 CFR 1320.3(c)
and includes Agency requests or
requirements that members of the public
submit reports, keep records, or provide
information to a third party. Section
3506(c)(2)(A) of the PRA (44 U.S.C.
3506(c)(2)(A)) requires Federal Agencies
to provide a 60-day notice in the
Federal Register concerning each
proposed collection of information,
including each proposed extension of an
existing collection of information,
before submitting the collection to OMB
for approval. To comply with this
requirement, FDA is publishing notice
of the proposed collection of
information set forth in this document.
With respect to the following
collection of information, FDA invites
comments on these topics: (1) Whether
the proposed collection of information
is necessary for the proper performance
of FDA’s functions, including whether
the information will have practical
utility; (2) the accuracy of FDA’s
estimate of the burden of the proposed
collection of information, including the
validity of the methodology and
assumptions used; (3) ways to enhance
the quality, utility, and clarity of the
information to be collected; and (4)
ways to minimize the burden of the
collection of information on
respondents, including through the use
of automated collection techniques,
when appropriate, and other forms of
information technology.
Infant Formula Recall Regulations—21
CFR 107.230, 107.240, 107.250, 107.260,
and 107.280 (OMB Control Number
0910–0188)—Extension
Section 412(e) of the Federal Food,
Drug, and Cosmetic Act (the FD&C Act)
(21 U.S.C. 350a(e)) provides that if the
manufacturer of an infant formula has
knowledge that reasonably supports the
conclusion that an infant formula
processed by that manufacturer has left
its control and may not provide the
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nutrients required in Section 412(i) of
the FD&C Act or is otherwise
adulterated or misbranded, the
manufacturer must promptly notify the
Secretary of Health and Human Services
(the Secretary). If the Secretary
determines that the infant formula
presents a risk to human health, the
manufacturer must immediately take all
actions necessary to recall shipments of
such infant formula from all wholesale
and retail establishments, consistent
with recall regulations and guidelines
issued by the Secretary. Section
412(f)(2) of the FD&C Act states that the
Secretary shall by regulation prescribe
the scope and extent of recalls of infant
formula necessary and appropriate for
the degree of risk to human health
presented by the formula subject to
recall. FDA’s infant formula recall
regulations in part 107 (21 CFR part
107) implement these statutory
provisions.
Section 107.230 requires each
recalling firm to conduct an infant
formula recall with the following
elements: (1) Evaluate the hazard to
human health, (2) devise a written recall
strategy, (3) promptly notify each
affected direct account (customer) about
the recall, and (4) furnish the
appropriate FDA district office with
copies of these documents. If the
recalled formula presents a risk to
human health, the recalling firm must
also request that each establishment that
sells the recalled formula post (at point
of purchase) a notice of the recall and
provide FDA with a copy of the notice.
Section 107.240 requires the recalling
firm to conduct an infant formula recall
with the following elements: (1) Notify
the appropriate FDA district office of
the recall by telephone within 24 hours,
(2) submit a written report to that office
within 14 days, and (3) submit a written
status report at least every 14 days until
the recall is terminated. Before
terminating a recall, the recalling firm is
required to submit a recommendation
for termination of the recall to the
appropriate FDA district office and wait
for written FDA concurrence
(§ 107.250). Where the recall strategy or
implementation is determined to be
deficient, FDA may require the firm to
change the extent of the recall, carry out
additional effectiveness checks, and
issue additional notifications
(§ 107.260). In addition, to facilitate
location of the product being recalled,
the recalling firm is required to
maintain distribution records for at least
1 year after the expiration of the shelf
life of the infant formula (§ 107.280).
The reporting and recordkeeping
requirements described previously are
designed to enable FDA to monitor the
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Agencies
[Federal Register Volume 76, Number 109 (Tuesday, June 7, 2011)]
[Notices]
[Pages 32975-32976]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-13948]
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FEDERAL RESERVE SYSTEM
Change in Bank Control Notices; Acquisitions of Shares of a Bank
or Bank Holding Company
The notificants listed below have applied under the Change in Bank
Control Act (12 U.S.C. 1817(j)) and Sec. 225.41 of the Board's
Regulation Y (12 CFR 225.41) to acquire shares of a bank or bank
holding company. The factors that are considered in acting on the
notices are set forth in paragraph 7 of the Act (12 U.S.C. 1817(j)(7)).
The notices are available for immediate inspection at the Federal
Reserve Bank indicated. The notices also will be available for
inspection at the offices of the Board of Governors. Interested persons
may express their
[[Page 32976]]
views in writing to the Reserve Bank indicated for that notice or to
the offices of the Board of Governors. Comments must be received not
later than June 22, 2011.
A. Federal Reserve Bank of St. Louis (Glenda Wilson, Community
Affairs Officer) P.O. Box 442, St. Louis, Missouri 63166-2034:
1. Thomas R. Garrison, individually, and in concert with, and as
trustee of the Thomas R. Garrison Trust U/W Sheridan Garrison, the
Thomas R. Garrison 2005 Retained Annuity Trust, and the Estate of F. S.
Garrison, all of Fayetteville, Arkansas; to gain control of Pinnacle
Bancshares, Inc., and thereby indirectly gain control of Pinnacle Bank,
both in Rogers, Arkansas.
Board of Governors of the Federal Reserve System, June 2, 2011.
Robert deV. Frierson,
Deputy Secretary of the Board.
[FR Doc. 2011-13948 Filed 6-6-11; 8:45 am]
BILLING CODE 6210-01-P