Sunshine Act Meeting, 10617-10618 [2013-03579]
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Federal Register / Vol. 78, No. 31 / Thursday, February 14, 2013 / Notices
Description: TC Offshore LLC submits
tariff filing per 154.203: Compliance to
RP13–365–000 to be effective 12/3/
2012.
Filed Date: 2/7/13.
Accession Number: 20130207–5131.
Comments Due: 5 p.m. ET 2/19/13.
Any person desiring to protest in any
the above proceedings must file in
accordance with Rule 211 of the
Commission’s Regulations (18 CFR
385.211) on or before 5:00 p.m. Eastern
time on the specified comment date.
The filings are accessible in the
Commission’s eLibrary system by
clicking on the links or querying the
docket number.
eFiling is encouraged. More detailed
information relating to filing
requirements, interventions, protests,
and service can be found at: https://
www.ferc.gov/docs-filing/efiling/filingreq.pdf. For other information, call (866)
208–3676 (toll free). For TTY, call (202)
502–8659.
Dated: February 8, 2013.
Nathaniel J. Davis, Sr.,
Deputy Secretary.
[FR Doc. 2013–03429 Filed 2–13–13; 8:45 am]
BILLING CODE 6717–01–P
DEPARTMENT OF ENERGY
Federal Energy Regulatory
Commission
[Project No. 6764–036]
A copy of the EA is available for
review at the Commission in the Public
Reference Room 2–A of the
Commission’s offices at 888 First Street
NE., Washington, DC 20426. The EA
also may be viewed on the
Commission’s Internet Web site at
https://www.ferc.gov using the
‘‘eLibrary’’ link. Enter the docket
number excluding the last three digits in
the docket number field to access the
document. For assistance with eLibrary,
contact FERC Online Support at
FERCOnlineSupport@ferc.gov or tollfree at (866) 208–3676, or for TTY
contact (202) 502–8695.
Any comments should be filed within
60 days from the date of this notice.
Comments may be filed electronically
via the Internet. See 18 CFR
385.200(a)(1)(iii) and instructions on the
Commission’s Web site at https://
ferc.gov.docs/efiling.asp. Commenters
can submit brief comments up to 6,000
characters, without prior registration,
using the eComment system at https://
www.ferc.gov/docsfiling/ecomment.asp.
You must include your name and
contact information at the end of your
comments. For assistance, please
contact FERC Online Support. Although
the Commission strongly encourages
electronic filings, documents may also
be paper-filed. To paper-file, mail an
original and seven copies to: Kimberly
D. Bose, Secretary, Federal Energy
Regulatory Commission, 888 First Street
NE., Washington, DC 20426.
sroberts on DSK5SPTVN1PROD with NOTICES
BMB Enterprises, Inc.; Notice of
Availability of Environmental
Assessment
Dated: February 7, 2013.
Kimberly D. Bose,
Secretary.
In accordance with the National
Environmental Policy Act of 1969 and
the Federal Energy Regulatory
Commission’s (Commission or FERC)
regulations, 18 CFR part 380,
Commission staff has reviewed the
application for amendment of license
for the partially constructed but not
operating Sixmile Creek Project (FERC
No. 6764) and has prepared an
environmental assessment (EA). The
project is located on the Sixmile Creek
in Sanpete County, Utah. The project
would occupy 10.86 acres of federal
lands administered by the U.S.
Department of Agriculture, Forest
Service.
The EA contains the Commission
staff’s analysis of the potential
environmental effects of the proposed
addition of new generating capacity and
concludes that authorizing the
amendment, with appropriate
environmental protective measures,
would not constitute a major federal
action that would significantly affect the
quality of the human environment.
[FR Doc. 2013–03367 Filed 2–13–13; 8:45 am]
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BILLING CODE 6717–01–P
DEPARTMENT OF ENERGY
Federal Energy Regulatory
Commission
[Docket No. ER13–899–000]
Abest Power & Gas, LLC;
Supplemental Notice That Initial
Market-Based Rate Filing Includes
Request for Blanket Section 204
Authorization
This is a supplemental notice in the
above-referenced proceeding, of Abest
Power & Gas, LLC’s application for
market-based rate authority, with an
accompanying rate schedule, noting that
such application includes a request for
blanket authorization, under 18 CFR
part 34, of future issuances of securities
and assumptions of liability.
Any person desiring to intervene or to
protest should file with the Federal
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10617
Energy Regulatory Commission, 888
First Street NE., Washington, DC 20426,
in accordance with Rules 211 and 214
of the Commission’s Rules of Practice
and Procedure (18 CFR 385.211 and
385.214). Anyone filing a motion to
intervene or protest must serve a copy
of that document on the Applicant.
Notice is hereby given that the
deadline for filing protests with regard
to the applicant’s request for blanket
authorization, under 18 CFR part 34, of
future issuances of securities and
assumptions of liability is February 28,
2013.
The Commission encourages
electronic submission of protests and
interventions in lieu of paper, using the
FERC Online links at https://
www.ferc.gov. To facilitate electronic
service, persons with Internet access
who will eFile a document and/or be
listed as a contact for an intervenor
must create and validate an
eRegistration account using the
eRegistration link. Select the eFiling
link to log on and submit the
intervention or protests.
Persons unable to file electronically
should submit an original and 14 copies
of the intervention or protest to the
Federal Energy Regulatory Commission,
888 First Street NE., Washington, DC
20426.
The filings in the above-referenced
proceeding(s) are accessible in the
Commission’s eLibrary system by
clicking on the appropriate link in the
above list. They are also available for
review in the Commission’s Public
Reference Room in Washington, DC.
There is an eSubscription link on the
Web site that enables subscribers to
receive email notification when a
document is added to a subscribed
docket(s). For assistance with any FERC
Online service, please email
FERCOnlineSupport@ferc.gov, or call
(866) 208–3676 (toll free). For TTY, call
(202) 502–8659.
Dated: February 8, 2013.
Nathaniel J. Davis, Sr.,
Deputy Secretary.
[FR Doc. 2013–03432 Filed 2–13–13; 8:45 am]
BILLING CODE 6717–01–P
FEDERAL DEPOSIT INSURANCE
CORPORATION
Sunshine Act Meeting
Pursuant to the provisions of the
‘‘Government in the Sunshine Act’’ (5
U.S.C. 552b), notice is hereby given that
at 10:20 a.m. on Tuesday, February 12,
2013, the Board of Directors of the
Federal Deposit Insurance Corporation
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Federal Register / Vol. 78, No. 31 / Thursday, February 14, 2013 / Notices
met in closed session to consider
matters related to the Corporation’s
supervision, corporate, and resolution
activities.
In calling the meeting, the Board
determined, on motion of Vice
Chairman Thomas M. Hoenig, seconded
by Director Jeremiah O. Norton
(Appointive), concurred in by Director
Thomas J. Curry (Comptroller of the
Currency), Director Richard Cordray
(Director, Consumer Financial
Protection Bureau), and Chairman
Martin J. Gruenberg, that Corporation
business required its consideration of
the matters which were to be the subject
of this meeting on less than seven days’
notice to the public; that no earlier
notice of the meeting was practicable;
that the public interest did not require
consideration of the matters in a
meeting open to public observation; and
that the matters could be considered in
a closed meeting by authority of
subsections (c)(4), (c)(6), (c)(8),
(c)(9)(A)(ii), (c)(9)(B), and (c)(10) of the
‘‘Government in the Sunshine Act’’ (5
U.S.C. 552b(c)(4), (c)(6), (c)(8),
(c)(9)(A)(ii), (c)(9)(B), and (c)(10)).
The meeting was held in the Board
Room of the FDIC Building located at
550—17th Street NW., Washington, DC.
Dated: February 12, 2013.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
[FR Doc. 2013–03579 Filed 2–12–13; 4:15 pm]
BILLING CODE P
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Re-Establishment of the Advisory
Group on Prevention, Health
Promotion, and Integrative and Public
Health
Office of the Assistant
Secretary for Health, Office of the
Secretary, Department of Health and
Human Services.
ACTION: Notice.
AGENCY:
The U.S. Department of
Health and Human Services announces
re-establishment of the Advisory Group
on Prevention, Health Promotion, and
Integrative and Public Health (hereafter
referred to as ‘‘the Advisory Group’’).
Authorization to re-establish the
Advisory Group is given under
Executive Order 13631, dated December
7, 2012.
FOR FURTHER INFORMATION CONTACT:
Corinne Graffunder, Designated Federal
Officer (DFO) of the Advisory Group,
Office of the Associate Director for
sroberts on DSK5SPTVN1PROD with NOTICES
SUMMARY:
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Policy; Centers for Disease Control and
Prevention; 1600 Clifton Road NE., MS
D–28; Atlanta, GA 30329; Telephone:
(404) 639–7514; and/or the following
person may be contacted: Olga Nelson,
Committee Management Officer, Office
of the Assistant Secretary for Health;
Department of Health and Human
Services; 200 Independence Avenue
SW., Room 714B; Washington, DC
20201; Telephone: (202) 690–5205; Fax:
(202) 401–2222.
SUPPLEMENTARY INFORMATION: It was
mandated under the Patient Protection
and Affordable Care Act that the
President establish the Advisory Group.
The President complied with the statute
under Executive Order 13544, dated
June 10, 2010. The Advisory Group was
established as a non-discretionary
federal advisory committee. Functioning
as a federal advisory committee, the
Advisory Group is governed by
provisions of the Federal Advisory
Committee Act (FACA). FACA
stipulates that appropriate action must
be taken to renew the charter for a
federal advisory committee every two
years in order for the committee to
continue to operate. Under Executive
Order 13544, authorization was given
for the Advisory Group to operate for
two years, from June 10, 2010 to June
10, 2012. Since the Advisory Group was
established by Presidential directive, it
was necessary for appropriate action to
be taken by the President or agency
head to give authorization for the
Advisory Group to be continued. A
subsequent directive was issued,
Executive Order 13591, dated November
23, 2011, to give authorization for the
Advisory Group to continue to operate
until September 30, 2012. No action was
taken to continue the Advisory Group
after the designated termination date.
Therefore, the Advisory Group was
terminated on September 30, 2012.
On December 7, 2012, Executive
Order 13631 was issued. This directive
gives authorization for the Advisory
Group to be re-established. A charter
was developed to re-establish the
Advisory Group. The charter was
approved by the Secretary of Health and
Human Services and filed with the
appropriate Congressional committees,
the Library of Congress, and the
Committee Management Secretariat
under the General Services
Administration (GSA) on February 6,
2013.
Objectives and Scope of Activities.
The Advisory Group provides
recommendations and advice to the
National Prevention, Health Promotion,
and Public Health Council (hereafter
referred to as the ‘‘Council’’). The
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Advisory Group provides assistance to
the Council in carrying out its mission.
The Advisory Group develops policy
and program recommendations and
advises the Council on lifestyle-based
chronic disease prevention and
management, integrative health care
practices, and health promotion.
Membership and Designation. The
Advisory Group is authorized to
consists of not more than 25 non-federal
members, who are appointed by the
President. In appointing members, the
President is to ensure that the Advisory
Group includes a diverse group of
licensed health professionals, including
integrative health practitioners who
have expertise in (1) Worksite health
promotion; (2) community services,
including community health centers; (3)
preventive medicine; (4) health
coaching; (5) public health education;
(6) geriatrics; and (7) rehabilitation
medicine.
The Advisory Group had 22 members
when it was terminated on September
30, 2012. It is stipulated under
Executive Order 13631 that the same
members who were serving on the
Advisory Group when it was terminated
shall be reappointed as if the Advisory
Group had continued without
termination. Members of the Advisory
Group are classified as special
Government employees (SGEs).
Administrative Management and
Support. HHS provides funding and
administrative support for the Advisory
Group to the extent permitted by law
within existing appropriations. Staff
within Office of the Assistant Secretary
for Health (OASH) provide management
and oversight for support services
provided to the Advisory Group. OASH
is a staff division within the Office of
the Secretary, HHS.
The Advisory Group reports to the
Surgeon General, U.S. Public Health
Service. The Office of the Surgeon
General is a program office that is
organizationally located within OASH.
A copy of the charter and information
on activities and accomplishments of
the Advisory Group can be obtained
from the designated contacts or by
accessing the FACA database that is
maintained by the GSA Committee
Management Secretariat. The Web site
for the FACA database is https://fido.gov/
facadatabase/.
Authority: Authority to establish the
Advisory Group was given under Executive
Order 13544, dated June 10, 2010, in
accordance with Section 4001 of the Patient
Protection and Affordable Care Act, Public
Law 111–148, dated March 23, 2010. The
Advisory Group was terminated on
September 30, 2012, by Executive Order
13591, dated November 23, 2011. Authority
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[Federal Register Volume 78, Number 31 (Thursday, February 14, 2013)]
[Notices]
[Pages 10617-10618]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-03579]
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FEDERAL DEPOSIT INSURANCE CORPORATION
Sunshine Act Meeting
Pursuant to the provisions of the ``Government in the Sunshine
Act'' (5 U.S.C. 552b), notice is hereby given that at 10:20 a.m. on
Tuesday, February 12, 2013, the Board of Directors of the Federal
Deposit Insurance Corporation
[[Page 10618]]
met in closed session to consider matters related to the Corporation's
supervision, corporate, and resolution activities.
In calling the meeting, the Board determined, on motion of Vice
Chairman Thomas M. Hoenig, seconded by Director Jeremiah O. Norton
(Appointive), concurred in by Director Thomas J. Curry (Comptroller of
the Currency), Director Richard Cordray (Director, Consumer Financial
Protection Bureau), and Chairman Martin J. Gruenberg, that Corporation
business required its consideration of the matters which were to be the
subject of this meeting on less than seven days' notice to the public;
that no earlier notice of the meeting was practicable; that the public
interest did not require consideration of the matters in a meeting open
to public observation; and that the matters could be considered in a
closed meeting by authority of subsections (c)(4), (c)(6), (c)(8),
(c)(9)(A)(ii), (c)(9)(B), and (c)(10) of the ``Government in the
Sunshine Act'' (5 U.S.C. 552b(c)(4), (c)(6), (c)(8), (c)(9)(A)(ii),
(c)(9)(B), and (c)(10)).
The meeting was held in the Board Room of the FDIC Building located
at 550--17th Street NW., Washington, DC.
Dated: February 12, 2013.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
[FR Doc. 2013-03579 Filed 2-12-13; 4:15 pm]
BILLING CODE P