Change in Bank Control Notices; Acquisitions of Shares of a Bank or Bank Holding Company, 10173-10174 [2013-03284]
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Federal Register / Vol. 78, No. 30 / Wednesday, February 13, 2013 / Notices
Anne Cornell and G. Ware Cornell, Jr.,
hereinafter ‘‘Complainants,’’ against
Princess Cruise Lines, Ltd (Corp),
Carnival plc, and Carnival Corporation
hereinafter ‘‘Respondents.’’
Complainant alleges that: Respondent
Princess Cruise Lines, Ltd (Corp) ‘‘is a
California corporation which operates
pursuant to the Shipping Act of 1984 as
a common carrier for hire of passengers
from ports in the United States;’’
Respondent Carnival plc ‘‘is a
corporation established under the laws
of the United Kingdom which does
business under the names of Cunard
Line, P&O Cruises, and P&O Cruises
Australia as a common carrier for hire
of passengers from ports in the United
States;’’ and Respondent Carnival
Corporation ‘‘is the parent corporation
of Princes and Carnival plc as well as
other cruise lines which operate as
common carriers for hire from ports in
the United States.’’
Complainant alleges that
Respondents, by banning Complainants
from traveling on ships operated by
Princess and Carnival plc and failing to
refund a deposit, violated 46 U.S.C.
41104(10) which provides that ‘‘[a]
common carrier, either alone or in
conjunction with any other person,
directly or indirectly, may not * * *
(10) unreasonably refuse to deal or
negotiate * * *’’
Complainant requests that ‘‘the
Commission issue appropriate relief,
including, but not limited to, entry of a
final order enjoining the refusal to deal
policy as to Lisa Cornell and Ware
Cornell, entry of final order restoring all
economic losses as set forth herein in
the amount of $33,1000.00 and a award
of fees and costs of action.’’
The full text of the complaint can be
found in the Commission’s Electronic
Reading Room at www.fmc.gov.
This proceeding has been assigned to
the Office of Administrative Law Judges.
The initial decision of the presiding
officer in this proceeding shall be issued
by February 10, 2014 and the final
decision of the Commission shall be
issued by June 9, 2014.
Karen V. Gregory,
Secretary.
[FR Doc. 2013–03322 Filed 2–12–13; 8:45 am]
mstockstill on DSK4VPTVN1PROD with NOTICES
BILLING CODE 6730–01–P
FEDERAL MARITIME COMMISSION
Ocean Transportation Intermediary
License Applicants
The Commission gives notice that the
following applicants have filed an
application for an Ocean Transportation
Intermediary (OTI) license as a Non-
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17:21 Feb 12, 2013
Jkt 229001
Vessel-Operating Common Carrier
(NVO) and/or Ocean Freight Forwarder
(OFF) pursuant to section 19 of the
Shipping Act of 1984 (46 U.S.C. 40101).
Notice is also given of the filing of
applications to amend an existing OTI
license or the Qualifying Individual (QI)
for a licensee.
Interested persons may contact the
Office of Ocean Transportation
Intermediaries, Federal Maritime
Commission, Washington, DC 20573, by
telephone at (202) 523–5843 or by email
at OTI@fmc.gov.
Agility Project Logistics, Inc. (OFF),
15600 Morales Road, Houston, TX
77032, Officers: Grant Wattman,
President (QI), Larry Weischwill,
Senior Vice President, Application
Type: QI Change.
Ally Logistics LLC (NVO & OFF), 387
Hatherly Road, Scituate, MA 02066,
Officers: Stephen J. Zambo, Member
(QI), Stephen A. Zambo, Member,
Application Type: New NVO & OFF
License.
Axiom Worldwide Logistix Inc. (OFF),
4251 W. John Carpenter Freeway,
#100, Irving, TX 75063, Officers:
Jeffrey S. Bell, President (QI), Nicki
Combs, Secretary, Application Type:
New OFF License.
Brisk Logistics Inc. (NVO & OFF), 1677
Elmhurst Road, Elk Grove Village, IL
60007, Officers: Joshua H. Chau,
President (QI), Bessie S. Chau,
Secretary, Application Type: New
NVO & OFF License.
Delmar International (N.Y.) Inc. dba
Delmar International dba Delmar
International (USA), (NVO & OFF),
One Cross Island Plaza, Suite 115,
Rosedale, NY 11422, Officers: Robert
Tayler, Vice President (QI), Robert
Cutler, President.
Direct Line Transportation, LLC (NVO),
9034 E. Easter Place, Suite #203,
Centennial, CO 80112, Officers: Eric
S. Bachman, Manager (QI), William F.
Vogel, Managing Member,
Application Type: New NVO License,
Application Type: QI Change.
Early Bird Pick Up and Delivery, LLC
(OFF), 128 Magnolia Street,
Bridgeport, CT 06610, Officer: Junior
Hart, Member (QI), Application Type:
New OFF License.
Fastgrow Logistics (Americas) Inc
(NVO), 17588 Rowland Street, Suite
266, City of Industry, CA 91748,
Officers: Peter Shih, Secretary (QI),
Guang Dong, President, Application
Type: New NVO License.
Jerome Okolo and David Newton dba
Emunah Global (NVO & OFF), 1904
Farnam Street, Suite 610, Omaha, NE
68102, Officers: David D. Newton,
Partner (QI), Jerome Okolo, Partner,
PO 00000
Frm 00047
Fmt 4703
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10173
Application Type: New NVO & OFF
License.
Jolly Forwarding USA, Inc. dba Jollibox
Cargo Express dba Pinoy Express
Cargo dba Chips R’US (NVO), 470
Cloverleaf Drive, Suite A&B, Baldwin
Park, CA 91706, Officers: Maria
Lourdes A. Timbol, President (QI),
Urdelia C. Linayao, Secretary,
Application Type: New NVO License.
Magnum-Ramstr Cargo LLC (NVO &
OFF), 2 Ethel Road, Suite 202C,
Edison, NJ 08817, Officers: Debora A.
Sacco-Alterisio, Secretary (QI), Dilip
Ram, President, Application Type:
New NVO & OFF License.
Trans World Freight System NYC Corp.
(NVO & OFF), 14530 156 Street, Suite
206, Jamaica, NY 11434, Officers:
Xiumin Wu, President (QI), Philip
Chee, Vice President, Application
Type: New NVO & OFF License.
Unity Cargo Management Services USA
Inc. (NVO), 9690 Telstar Avenue,
Suite 222A, El Monte, CA 91731,
Officers: Maggie Lok, Secretary (QI),
Yuhong aka Morny Lin, CEO,
Application Type: New NVO License.
Victoria Line LLC (NVO & OFF), 2000
N.W. 84th Avenue, Miami, FL 33122,
Officers: Alberto J. Marino, Managing
Member (QI), Jose R. DeVivero,
Member, Application Type: New NVO
& OFF License.
Western Direct Express, LLC (NVO &
OFF), 47602 Kato Road, Fremont, CA
94538, Officers: Efren G. Yap, Vice
President (QI), Anthony D. Zimmer,
President, Application Type: New
NVO & OFF License.
By the Commission.
Dated: February 8, 2013.
Karen V. Gregory,
Secretary.
[FR Doc. 2013–03320 Filed 2–12–13; 8:45 am]
BILLING CODE 6730–01–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.
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10174
Federal Register / Vol. 78, No. 30 / Wednesday, February 13, 2013 / Notices
Interested persons may express their
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 February
28, 2013.
A. Federal Reserve Bank of Kansas
City (Dennis Denney, Assistant Vice
President) 1 Memorial Drive, Kansas
City, Missouri 64198–0001:
1. Darryn W. Biggerstaff, Canon City,
Colorado; to retain voting shares of
Canon Bank Corporation, and thereby
indirectly retain voting shares of Canon
National Bank, both in Canon City,
Colorado.
Board of Governors of the Federal Reserve
System, February 8, 2013.
Margaret McCloskey Shanks,
Deputy Secretary of the Board.
issued on December 19, 2011 by the
Office of Management and Budget’s
Office of Federal Procurement Policy
(OFPP). OFPP’s guidance is available at:
https://www.whitehouse.gov/sites/
default/files/omb/procurement/memo/
service-contract-inventory-guidance.
The GSA has posted its inventory and
a summary of the inventory on the
GSA.Gov homepage at the following
link: https://www.gsa.gov/gsasci.
Dated: February 7, 2013.
Laura G. Auletta,
Acting Senior Procurement Executive &
Deputy Chief Acquisition Officer, Office of
Acquisition Policy, General Services
Administration.
[FR Doc. 2013–03279 Filed 2–12–13; 8:45 am]
BILLING CODE 6820–61–P
[FR Doc. 2013–03284 Filed 2–12–13; 8:45 am]
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
BILLING CODE 6210–01–P
Office of the Secretary
GENERAL SERVICES
ADMINISTRATION
[Document Identifier: HHS–OS–18774–60D]
[Notice-MV–2013–02; Docket No. 2013–
0002; Sequence 3]
Public Availability of General Services
Administration FY 2012 Service
Contract Inventory
General Services
Administration (GSA).
ACTION: Notice of Public Availability of
FY 2012 Service Contract Inventories.
AGENCY:
In accordance with Section
743 of Division C of Fiscal Year (FY)
2010 Consolidated Appropriations Act
Public Law 111–117, GSA is publishing
this notice to advise the public of the
availability of the FY 2012 Service
Contract Inventories.
DATES: February 13, 2013.
FOR FURTHER INFORMATION CONTACT:
Questions regarding the service contract
inventory should be directed to Mr. Paul
F. Boyle in the Office of Acquisition
Policy at 202–501–0324 or
Paul.Boyle@gsa.gov.
SUMMARY:
In
accordance with Section 743 of Division
C of Fiscal Year (FY) 2010 Consolidated
Appropriations Act Public Law 111–
117, GSA is publishing this notice to
advise the public of the availability of
the FY 2012 Service Contract
Inventories. These inventories provide
information on service contract actions
over $25,000 that were made in FY
2012. The information is organized by
function to show how contracted
resources are distributed throughout the
agency. The inventory has been
developed in accordance with guidance
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SUPPLEMENTARY INFORMATION:
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Agency Information Collection
Activities; Proposed Collection; Public
Comment Request
Office of the Secretary, HHS.
Notice.
AGENCY:
ACTION:
In compliance with section
3506(c)(2)(A) of the Paperwork
Reduction Act of 1995, the Office of the
Secretary (OS), Department of Health
and Human Services, announces plans
to submit a new Information Collection
Request (ICR), described below, to the
Office of Management and Budget
(OMB). Prior to submitting that ICR to
OMB, OS seeks comments from the
public regarding the burden estimate,
below, or any other aspect of the ICR.
DATES: Comments on the ICR must be
received on or before April 15, 2013.
ADDRESSES: Submit your comments to
Information.CollectionClearance
@hhs.gov or by calling (202) 690–6162.
FOR FURTHER INFORMATION CONTACT:
Information Collection Clearance staff,
Information.CollectionClearance
@hhs.gov or (202) 690–6162.
SUPPLEMENTARY INFORMATION: When
submitting comments or requesting
information, please include the
document identifier HHS–OS–18774–
60D for reference. Information
Collection Request Title: Survey of
Physician Time Use Patterns under the
Medicare Fee Schedule.
Abstract: This information collection
is a survey of physician providers in
five specialties (internal medicine,
radiology, cardiology, ophthalmology,
and orthopedics) to gather information
SUMMARY:
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on the clinical time spent in providing
selected services as well as related
information on the physician’s practice.
Need and Proposed Use of the
Information: The Office of the Assistant
Secretary for Planning and Evaluation is
currently conducting a number of
studies aimed at producing evidence
that will help to improve the accuracy
of the Medicare Physician Fee Schedule.
Under the Medicare Physician Fee
Schedule, payments are based in part on
the relative amount of physician work
associated with each service. For a
number of reasons, payment
differentials for Evaluation and
Management services relative to
procedures, rather than narrowing, have
continued to widen over time. While the
fee schedule’s relative values are
updated to reflect changes in medical
practice, technology and physician
productivity, some have questioned
whether the current process adequately
reflects these changes. The intended
data collection effort would be used to
gather information on the time data that
is used as an input in the fee schedule.
Analyses show that even though work is
defined as both time and intensity, final
work values are highly correlated with
the time measure, with time explaining
between 80 and 90 percent of the interservice variance in work. However,
several studies suggest potential flaws
in estimates of time associated with pre, post- and intra-service work,
demonstrating that the time estimates
used for many services exceed actual
times when objectively measured
through, for example, operating room
logs. The survey data will be used to
inform several gaps in knowledge
critical to improving the accuracy of the
fee schedule, including (i) the strength
of the correlation between physicianreported clinical time and fee-schedule
time values for surveyed services; (ii)
how consistent the relationships are
across services and across specialties;
(iii) whether the relationships vary
across physicians in different types of
practice settings, and (iv) whether this
approach to gathering time data is
feasible and could be scaled up for a
larger effort. Likely Respondents:
Practicing physicians in 5 specialties.
Burden Statement: Burden in this
context means the time expended by
persons to generate, maintain, retain,
disclose or provide the information
requested. This includes the time
needed to review instructions, to
develop, acquire, install and utilize
technology and systems for the purpose
of collecting, validating and verifying
information, processing and
maintaining information, and disclosing
and providing information, to train
E:\FR\FM\13FEN1.SGM
13FEN1
Agencies
[Federal Register Volume 78, Number 30 (Wednesday, February 13, 2013)]
[Notices]
[Pages 10173-10174]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-03284]
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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.
[[Page 10174]]
Interested persons may express their 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 February 28, 2013.
A. Federal Reserve Bank of Kansas City (Dennis Denney, Assistant
Vice President) 1 Memorial Drive, Kansas City, Missouri 64198-0001:
1. Darryn W. Biggerstaff, Canon City, Colorado; to retain voting
shares of Canon Bank Corporation, and thereby indirectly retain voting
shares of Canon National Bank, both in Canon City, Colorado.
Board of Governors of the Federal Reserve System, February 8,
2013.
Margaret McCloskey Shanks,
Deputy Secretary of the Board.
[FR Doc. 2013-03284 Filed 2-12-13; 8:45 am]
BILLING CODE 6210-01-P