Energy Conservation Program: Energy Conservation Standards for Residential Furnaces and Residential Central Air Conditioners and Heat Pumps; Correction, 39245-39246 [2011-16884]
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39245
Rules and Regulations
Federal Register
Vol. 76, No. 129
Wednesday, July 6, 2011
This section of the FEDERAL REGISTER
contains regulatory documents having general
applicability and legal effect, most of which
are keyed to and codified in the Code of
Federal Regulations, which is published under
50 titles pursuant to 44 U.S.C. 1510.
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DEPARTMENT OF HOMELAND
SECURITY
Office of the Secretary
6 CFR Part 5
[Docket No. DHS–2011–0031]
Privacy Act of 1974: Implementation of
Exemptions; Department of Homeland
Security/U.S. Coast Guard—008 Courts
Martial Case Files System of Records;
Correction
Privacy Office, DHS.
Final rule; correction.
AGENCY:
ACTION:
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PART 5—DISCLOSURE OF RECORDS
AND INFORMATION
1. The authority citation for part 5
continues to read as follows:
■
Authority: Pub L. 107–296, 116 Stat. 2135;
(6 U.S.C. 101 et seq.); 5 U.S.C. 301.
Appendix C to Part 5—[Corrected]
The Department of Homeland
Security published in the Federal
Register of May 13, 2011 a final rule
that amended its regulations to exempt
portions of a Department of Homeland
Security/U.S. Coast Guard system of
records titled, ‘‘Department of
Homeland Security/U.S. Coast Guard—
008 Courts Martial Case Files System of
Records″ from certain provisions of the
Privacy Act. Inadvertently the wrong
paragraph number was designated in the
regulatory text. This document corrects
that error.
DATES: This final rule is effective July 6,
2011.
FOR FURTHER INFORMATION CONTACT: For
general questions please contact
Marilyn Scott-Perez (202–475–3515),
Privacy Officer, U.S. Coast Guard. For
privacy issues please contact Mary Ellen
Callahan (703–235–0780), Chief Privacy
Officer, Privacy Office, U.S. Department
of Homeland Security, Washington, DC
20528.
SUPPLEMENTARY INFORMATION: The
Department of Homeland Security
published a document in the Federal
Register of May 13, 2011, a final rule
that amended its regulations to exempt
portions of a Department of Homeland
Security/U.S. Coast Guard system of
records titled, ‘‘Department of
SUMMARY:
Homeland Security/U.S. Coast Guard
-008 Courts Martial Case Files System of
Records″ from certain provisions of the
Privacy Act. Specifically, the
Department amended Appendix C to 6
CFR part 5 to exempt portions of the
Department of Homeland Security/U.S.
Coast Guard—008 Courts Martial Case
Files System of Records from one or
more provisions of the Privacy Act
because of criminal, civil, and
administrative enforcement
requirements. Inadvertently the
paragraph designator ‘‘12’’ was used in
the regulatory text instead of ‘‘54.’’ This
document corrects that error.
Accordingly, 6 CFR part 5, appendix
C is corrected as follows:
2. In appendix C to part 5, the
paragraph ‘‘12’’ following paragraph 53
is redesignated as ‘‘54.’’
■
Dated: June 21, 2011.
Mary Ellen Callahan,
Chief Privacy Officer, Department of
Homeland Security.
[FR Doc. 2011–16805 Filed 7–5–11; 8:45 am]
BILLING CODE 9110–04–P
DEPARTMENT OF ENERGY
10 CFR Part 430
[Docket Number EERE–2011–BT–STD–
0011]
RIN 1904–AC06
Energy Conservation Program: Energy
Conservation Standards for
Residential Furnaces and Residential
Central Air Conditioners and Heat
Pumps; Correction
Office of Energy Efficiency and
Renewable Energy, U.S. Department of
Energy.
ACTION: Direct final rule; correction.
AGENCY:
This document corrects the
preamble to a direct final rule (DFR)
which was published in the Federal
Register on June 27, 2011, regarding the
Energy Conservation Program: Energy
SUMMARY:
PO 00000
Frm 00001
Fmt 4700
Sfmt 4700
Conservation Standards for Residential
Furnaces and Residential Central Air
Conditioners and Heat Pumps. This
correction revises the DFR’s discussion
of review under the Regulatory
Flexibility Act (RFA) in section V,
‘‘Procedural Issues and Regulatory
Review.’’
DATES: Effective October 25, 2011.
FOR FURTHER INFORMATION CONTACT: Mr.
Mohammed Khan (furnaces) or Mr.
Wesley Anderson (central air
conditioners and heat pumps), U.S.
Department of Energy, Office of Energy
Efficiency and Renewable Energy,
Building Technologies Program, EE–2J,
1000 Independence Avenue, SW.,
Washington, DC 20585–0121.
Telephone: (202) 586–7892 or (202)
586–7335. E-mail:
Mohammed.Khan@ee.doe.gov or
Wes.Anderson@ee.doe.gov.
Mr. Eric Stas or Ms. Jennifer
Tiedeman, U.S. Department of Energy,
Office of the General Counsel, GC–71,
1000 Independence Avenue, SW.,
Washington, DC 20585–0121.
Telephone: (202) 586–9507 or (202)
287–6111. E-mail: Eric.Stas@hq.doe.gov
or Jennifer.Tiedeman@hq.doe.gov.
Correction
In direct final rule document FR
2011–14557 appearing on page 37408,
in the issue of Monday, June 27, 2011,
the following corrections should be
made:
1. On page 37540, in the third
column, the first two paragraphs under
section B, ‘‘Review Under the
Regulatory Flexibility Act,’’ are
corrected to read as follows:
The Regulatory Flexibility Act (5
U.S.C. 601 et seq.) requires preparation
of an initial regulatory flexibility
analysis (IRFA) for any rule that by law
must be proposed for public comment,
unless the agency certifies that the rule,
if promulgated, will not have a
significant economic impact on a
substantial number of small entities. As
required by Executive Order 13272,
‘‘Proper Consideration of Small Entities
in Agency Rulemaking,’’ 67 FR 53461
(August 16, 2002), U.S. Department of
Energy (DOE) published procedures and
policies on February 19, 2003, to ensure
that the potential impacts of its rules on
small entities are properly considered
during the rulemaking process. 68 FR
7990. DOE has made its procedures and
policies available on the Office of the
E:\FR\FM\06JYR1.SGM
06JYR1
39246
Federal Register / Vol. 76, No. 129 / Wednesday, July 6, 2011 / Rules and Regulations
General Counsel’s Web site (https://
www.gc.doe.gov).
DOE reviewed today’s direct final rule
and corresponding NOPR pursuant to
the Regulatory Flexibility Act and the
procedures and policies published on
February 19, 2003. 68 FR 7990. Set forth
below is DOE’s initial regulatory
flexibility analysis for the standards
proposed in the NOPR, published
elsewhere in today’s Federal Register.
DOE will consider any comments on the
analysis or economic impacts of the rule
in determining whether to proceed with
the direct final rule. DOE will publish
its final regulatory flexibility analysis
(FRFA), including responses to any
comments received, in a separate notice
at the conclusion of the 110-day
comment period. A description of the
reasons why DOE is adopting the
standards in this rule and the objectives
of and legal basis for the rule are set
forth elsewhere in the preamble and not
repeated here.
Issued in Washington, DC, on June 29,
2011.
Kathleen B. Hogan,
Deputy Assistant Secretary for Energy
Efficiency, Office of Technology
Development, Energy Efficiency and
Renewable Energy.
[FR Doc. 2011–16884 Filed 7–5–11; 8:45 am]
BILLING CODE 6450–01–P
and also transfers to the OCC
rulemaking authority of the OTS and the
Director of the OTS, respectively,
relating to all savings associations.
Functions of the OTS relating to State
savings associations are transferred to
the FDIC. Section 316(c) of the Act
requires the OCC and the FDIC, after
consultation with one another, to
identify those regulations of the OTS
that are continued under Section 316(b)
of the Act that the OCC, with respect to
Federal savings associations, and the
FDIC, with respect to State savings
associations, will enforce, and to
publish a list of those regulations in the
Federal Register. This joint notice sets
out the required lists of both the OCC
and the FDIC.
FOR FURTHER INFORMATION CONTACT:
OCC: Andra Shuster, Senior Counsel,
Heidi Thomas, Special Counsel, or Mary
Gottlieb, Regulatory Specialist,
Legislative and Regulatory Activities
Division, (202) 874–5090, Office of the
Comptroller of the Currency, 250 E
Street, SW., Washington, DC 20219.
FDIC: Ann Johnson Taylor, Counsel,
(202) 898–3573; Rodney D. Ray,
Counsel, (202) 898–3556; or Martin P.
Thompson, Senior Review Examiner,
(202) 898–6767, Federal Deposit
Insurance Corporation, 550 17 St. NW.,
Washington, DC 20429.
The Act,
signed into law on July 21, 2010,1
transfers all functions of the OTS and
the Director as well as all of the powers,
authorities, rights, and duties vested in
the OTS and the Director of the OTS
relating to the transferred functions to
the OCC, FDIC and the Board of
Governors of the Federal Reserve
System (the Board). All functions,
powers, authorities, rights, and duties
relating to Federal savings associations
are transferred to the OCC and the
Comptroller of the Currency; all
functions, powers, authorities, rights,
and duties relating to State savings
associations are transferred to the FDIC;
and all functions, powers, authorities,
rights, and duties relating to the
supervision of savings and loan holding
companies (SLHCs) and any
subsidiaries of such SLHCs other than
depository institutions are transferred to
the Board. The Act transfers rulemaking
authority of the OTS and the Director of
the OTS relating to savings associations
to the OCC and the Comptroller of the
Currency, and transfers rulemaking
authority of the OTS and the Director of
the OTS relating to SLHCs to the
SUPPLEMENTARY INFORMATION:
DEPARTMENT OF THE TREASURY
Office of the Comptroller of the
Currency
12 CFR Chapter I
[Docket ID OCC–2011–0017]
FEDERAL DEPOSIT INSURANCE
CORPORATION
12 CFR Chapter III
RIN 3064–ZA01
List of Office of Thrift Supervision
Regulations to be Enforced by the
Office of the Comptroller of the
Currency and the Federal Deposit
Insurance Corporation Pursuant to the
Dodd-Frank Wall Street Reform and
Consumer Protection Act
Office of the Comptroller of the
Currency, Treasury (OCC); Federal
Deposit Insurance Corporation (FDIC).
ACTION: Joint notice.
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AGENCY:
The Dodd-Frank Wall Street
Reform and Consumer Protection Act
(Act), transfers to the OCC the functions
of the Office of Thrift Supervision (OTS)
relating to Federal savings associations
SUMMARY:
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1 Public Law 111–203, 124 Stat. 1376 (July 21,
2010).
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Board.2 The transfer of OTS functions
will take place on July 21, 2011. The Act
abolishes the OTS 90 days after the
transfer date.
Section 316(b) of the Act provides for
the continuation of OTS regulations and
enforcement of such regulations that
have been issued in performance of the
functions transferred by Title III of the
Act. Section 316(c) of the Act requires
the OCC and FDIC, after consultation
with each other, to identify those
regulations of the OTS that are
continued under Section 316(b) of the
Act that will be enforced by each agency
and publish a list of those regulations in
the Federal Register.3 This list must be
published no later than the transfer
date.
This joint notice sets out both the
OCC’s and the FDIC’s lists of OTS
regulations that each agency will
enforce beginning on the transfer date:
The OCC, with respect to Federal
savings associations; and the FDIC, with
respect to State savings associations.4
This joint notice is not intended to have
any substantive effect on the regulations
at issue; rather it provides a reference
for Federal savings associations that will
be regulated and supervised by the OCC
beginning on the transfer date and for
State savings associations that will be
regulated and supervised by the FDIC
beginning on the transfer date.5
Separately, the OCC also plans to issue
an interim final rule with a request for
comment, effective on the transfer date,
that republishes those OTS regulations
the OCC will enforce as of the transfer
date. These regulations will be added to
Chapter I of Title 12 of the Code of
Federal Regulations and renumbered
accordingly as OCC rules, with
nomenclature and other technical
amendments to reflect OCC supervision.
The OCC will consider more
comprehensive substantive amendments
to former OTS regulations, as
2 Section 312(c) of the Act designated the FDIC as
the ‘‘appropriate Federal banking agency’’ for State
savings associations. Under those statutes (and
others using similar terminology) for which the
‘‘appropriate Federal banking agency’’ is authorized
to issue regulations, the FDIC will issue regulations
for State savings associations.
3 Separately, the Act requires the Board to
identify the OTS regulations continued under
Section 316(b) that the Board will enforce after the
transfer date and to publish a list in the Federal
Register.
4 As set out in the tables below, certain provisions
have been excluded because they relate to the
supervision of SLHCs, which will be supervised by
the Board, or are superseded by the Act.
5 Further, publication of this list should not be
construed to restrict the OCC or the FDIC from
enforcing violations of OTS regulations by Federal
savings associations or State savings associations,
respectively, that occurred prior to the transfer date.
E:\FR\FM\06JYR1.SGM
06JYR1
Agencies
[Federal Register Volume 76, Number 129 (Wednesday, July 6, 2011)]
[Rules and Regulations]
[Pages 39245-39246]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-16884]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF ENERGY
10 CFR Part 430
[Docket Number EERE-2011-BT-STD-0011]
RIN 1904-AC06
Energy Conservation Program: Energy Conservation Standards for
Residential Furnaces and Residential Central Air Conditioners and Heat
Pumps; Correction
AGENCY: Office of Energy Efficiency and Renewable Energy, U.S.
Department of Energy.
ACTION: Direct final rule; correction.
-----------------------------------------------------------------------
SUMMARY: This document corrects the preamble to a direct final rule
(DFR) which was published in the Federal Register on June 27, 2011,
regarding the Energy Conservation Program: Energy Conservation
Standards for Residential Furnaces and Residential Central Air
Conditioners and Heat Pumps. This correction revises the DFR's
discussion of review under the Regulatory Flexibility Act (RFA) in
section V, ``Procedural Issues and Regulatory Review.''
DATES: Effective October 25, 2011.
FOR FURTHER INFORMATION CONTACT: Mr. Mohammed Khan (furnaces) or Mr.
Wesley Anderson (central air conditioners and heat pumps), U.S.
Department of Energy, Office of Energy Efficiency and Renewable Energy,
Building Technologies Program, EE-2J, 1000 Independence Avenue, SW.,
Washington, DC 20585-0121. Telephone: (202) 586-7892 or (202) 586-7335.
E-mail: Mohammed.Khan@ee.doe.gov or Wes.Anderson@ee.doe.gov.
Mr. Eric Stas or Ms. Jennifer Tiedeman, U.S. Department of Energy,
Office of the General Counsel, GC-71, 1000 Independence Avenue, SW.,
Washington, DC 20585-0121. Telephone: (202) 586-9507 or (202) 287-6111.
E-mail: Eric.Stas@hq.doe.gov or Jennifer.Tiedeman@hq.doe.gov.
Correction
In direct final rule document FR 2011-14557 appearing on page
37408, in the issue of Monday, June 27, 2011, the following corrections
should be made:
1. On page 37540, in the third column, the first two paragraphs
under section B, ``Review Under the Regulatory Flexibility Act,'' are
corrected to read as follows:
The Regulatory Flexibility Act (5 U.S.C. 601 et seq.) requires
preparation of an initial regulatory flexibility analysis (IRFA) for
any rule that by law must be proposed for public comment, unless the
agency certifies that the rule, if promulgated, will not have a
significant economic impact on a substantial number of small entities.
As required by Executive Order 13272, ``Proper Consideration of Small
Entities in Agency Rulemaking,'' 67 FR 53461 (August 16, 2002), U.S.
Department of Energy (DOE) published procedures and policies on
February 19, 2003, to ensure that the potential impacts of its rules on
small entities are properly considered during the rulemaking process.
68 FR 7990. DOE has made its procedures and policies available on the
Office of the
[[Page 39246]]
General Counsel's Web site (https://www.gc.doe.gov).
DOE reviewed today's direct final rule and corresponding NOPR
pursuant to the Regulatory Flexibility Act and the procedures and
policies published on February 19, 2003. 68 FR 7990. Set forth below is
DOE's initial regulatory flexibility analysis for the standards
proposed in the NOPR, published elsewhere in today's Federal Register.
DOE will consider any comments on the analysis or economic impacts of
the rule in determining whether to proceed with the direct final rule.
DOE will publish its final regulatory flexibility analysis (FRFA),
including responses to any comments received, in a separate notice at
the conclusion of the 110-day comment period. A description of the
reasons why DOE is adopting the standards in this rule and the
objectives of and legal basis for the rule are set forth elsewhere in
the preamble and not repeated here.
Issued in Washington, DC, on June 29, 2011.
Kathleen B. Hogan,
Deputy Assistant Secretary for Energy Efficiency, Office of Technology
Development, Energy Efficiency and Renewable Energy.
[FR Doc. 2011-16884 Filed 7-5-11; 8:45 am]
BILLING CODE 6450-01-P