Board of Governors; Sunshine Act Meeting, 5841 [2013-01756]

Download as PDF tkelley on DSK3SPTVN1PROD with Federal Register / Vol. 78, No. 18 / Monday, January 28, 2013 / Notices 2012, the licensee conducted a Final Status Survey (FSS) in the soils of the building footprint per the NRC reviewed FSS Plan. The Class 1 survey unit consisted of the exposed soils in the building footprint and the Class 2 survey unit was the immediate area surrounding the excavation area. The U of IL submitted the FSS report with the request for license termination for the ATR on October 9, 2012 (ADAMS Accession No. ML12345A245). The NRC reviewed the FSS report and determined that the survey data was in accordance with the Decommissioning Plan and the FSS Plan. The report documented that compliance with the criteria in the NRC-approved decommissioning plan for both reactors had been demonstrated. Additionally, a confirmatory survey including soil samples and a gamma walkover survey was completed by the NRC Region III staff. Their conclusions, as noted in the NRC’s Inspection Report 05000151/12005 (ADAMS Accession No. ML12307A330), were that ‘‘the results of the confirmatory surveys were consistent with the licensee’s final status survey results and below the required cleanup levels, or DCGLs,’’ and ‘‘the licensee adequately classified the survey units and applied the correct DCGLs in accordance with the FSSP.’’ Pursuant to 10 CFR 50.82(b)(6), the NRC staff has concluded that ATR at the NRL has been decommissioned in accordance with the approved decommissioning plans and that the terminal radiation surveys and associated documentation demonstrate that the facilities and site are suitable for release in accordance with the criteria for decommissioning in 10 CFR part 20, subpart E. Further, on the basis of the decommissioning activities carried out by the U of IL, the NRC’s review of the licensee’s final status survey report, the results of the NRC’s inspections conducted at the NRL, and the results of confirmatory surveys, the NRC has concluded that the decommissioning process is complete and the facilities and sites may be released for unrestricted use. Therefore, Facility Operating License No. R–115 is terminated. The above referenced documents may be examined, and/or copied for a fee, at the NRC’s Public Document Room (PDR) at One White Flint North, 11555 Rockville Pike (first floor), Rockville, Maryland. Publicly available records will be accessible electronically from the Agencywide Documents Access and Management System (ADAMS) Public Reading Room on the Internet at the NRC’s Web site, https://www.nrc.gov/ reading-rm/adams.html. Persons who VerDate Mar<15>2010 17:13 Jan 25, 2013 Jkt 229001 do not have access to ADAMS or who have problems in accessing the documents in ADAMS should call the NRC PDR reference staff at 1–800–397– 4209 or 301–415–4737 or email pdr@nrc.gov. Dated at Rockville, Maryland, this 17th day of January 2013. For the Nuclear Regulatory Commission. Andrew Persinko, Deputy Director, Decommissioning and Uranium Recovery Licensing Directorate, Division of Waste Management and Environmental Protection, Office of Federal and State Materials and Environmental Management Programs. [FR Doc. 2013–01673 Filed 1–25–13; 8:45 am] BILLING CODE 7590–01–P POSTAL SERVICE Board of Governors; Sunshine Act Meeting Board Votes To Close January 10, 2013, Meeting By telephone vote on January 10, 2013, members of the Board of Governors of the United States Postal Service met and voted unanimously to close to public observation its meeting held in Washington, DC, via teleconference. The Board determined that no earlier public notice was possible. MATTERS CONSIDERED: 1. Strategic Issues. GENERAL COUNSEL CERTIFICATION: The General Counsel of the United States Postal Service has certified that the meeting was properly closed under the Government in the Sunshine Act. CONTACT PERSON FOR MORE INFORMATION: Requests for information about the meeting should be addressed to the Secretary of the Board, Julie S. Moore, at (202) 268–4800. Julie S. Moore, Secretary. [FR Doc. 2013–01756 Filed 1–24–13; 11:15 am] BILLING CODE 7710–12–P SECURITIES AND EXCHANGE COMMISSION [Investment Company Act Release No. 30353; File No. 812–14082] Symetra Life Insurance Company, et al.; Notice of Application January 22, 2013. Securities and Exchange Commission (the ‘‘Commission’’). ACTION: Notice of application for an order under section 12(d)(1)(J) of the Investment Company Act of 1940, as AGENCY: PO 00000 Frm 00071 Fmt 4703 Sfmt 4703 5841 amended (the ‘‘Act’’), for an exemption from sections 12(d)(1)(A) and (B) of the Act, under sections 6(c) and 17(b) of the Act for an exemption from section 17(a) of the Act, and under section 6(c) of the Act for an exemption from rule 12d1– 2(a) under the Act. SUMMARY OF THE APPLICATION: Applicants request an order that would (a) permit certain series of registered open-end management investment companies to acquire shares of other registered open-end management investment companies and unit investment trusts (‘‘UITs’’) that are within or outside the same ‘‘group of investment companies,’’ as defined in section 12(d)(1)(G)(ii) of the Act, as the acquiring company and (b) permit certain series of registered open-end management investment companies relying on rule 12d1–2 under the Act to invest in certain financial instruments. APPLICANTS: Symetra Life Insurance Company (‘‘Symetra’’), First Symetra National Life Insurance Company of New York (‘‘First Symetra of NY’’ and collectively with Symetra and any insurance company controlling, controlled by, or under common control with Symetra and First Symetra of NY, the ‘‘Insurance Companies’’), Symetra Investment Management, Inc. (the ‘‘Manager’’), Symetra Mutual Funds Trust (the ‘‘Trust’’), and Symetra Securities Inc. (the ‘‘Distributor’’). DATES: Filing Dates: The application was filed on October 3, 2012 and amended on January 8, 2013. 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 Commission’s Secretary 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 February 18, 2013, and should be accompanied by proof of service on applicants in the form of an affidavit or, for lawyers, a certificate of service. Hearing requests should state the nature of the writer’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 Commission’s Secretary. ADDRESSES: The Commission: Secretary, U.S. Securities and Exchange Commission, 100 F Street NE., Washington, DC 20549–1090; Applicants: Symetra Life Insurance Company, Symetra Investment Management, Inc., Symetra Mutual Funds Trust, and Symetra Securities, E:\FR\FM\28JAN1.SGM 28JAN1

Agencies

[Federal Register Volume 78, Number 18 (Monday, January 28, 2013)]
[Notices]
[Page 5841]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-01756]


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POSTAL SERVICE


Board of Governors; Sunshine Act Meeting

Board Votes To Close January 10, 2013, Meeting

    By telephone vote on January 10, 2013, members of the Board of 
Governors of the United States Postal Service met and voted unanimously 
to close to public observation its meeting held in Washington, DC, via 
teleconference. The Board determined that no earlier public notice was 
possible.

MATTERS CONSIDERED: 1. Strategic Issues.

GENERAL COUNSEL CERTIFICATION: The General Counsel of the United States 
Postal Service has certified that the meeting was properly closed under 
the Government in the Sunshine Act.

CONTACT PERSON FOR MORE INFORMATION: Requests for information about the 
meeting should be addressed to the Secretary of the Board, Julie S. 
Moore, at (202) 268-4800.

Julie S. Moore,
Secretary.
[FR Doc. 2013-01756 Filed 1-24-13; 11:15 am]
BILLING CODE 7710-12-P
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