Notice Pursuant to the National Cooperative Research and Production Act of 1993-Robotics Technology Consortium, Inc., 13896-13897 [2013-04727]
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13896
Federal Register / Vol. 78, No. 41 / Friday, March 1, 2013 / Notices
violation of subsection (a)(1)(B) of
section 337 in the importation into the
United States, the sale for importation,
or the sale within the United States after
importation of certain wireless
communications base stations and
components thereof by reason of
infringement of one or more of claims 1,
2, 4, 9, 13–16, 20, 21, 31, 32, 34, and 41
of the ’808 patent, and whether an
industry in the United States exists as
required by subsection (a)(2) of section
337;
(2) Pursuant to Commission Rule
210.50(b)(1), 19 CFR 210.50(b)(1), the
presiding administrative law judge shall
take evidence or other information and
hear arguments from the parties and
other interested persons with respect to
the public interest in this investigation,
as appropriate, and provide the
Commission with findings of fact and a
recommended determination on this
issue, which shall be limited to the
statutory public interest factors, 19
U.S.C. 1337(d)(1), (f)(1), (g)(1)
(3) For the purpose of the
investigation so instituted, the following
are hereby named as parties upon which
this notice of investigation shall be
served:
(a) The complainant is: Adaptix, Inc.,
4100 Midway Road, Suite 2010,
Carrolton, TX 75007.
(b) The respondents are the following
entities alleged to be in violation of
section 337, and are the parties upon
which the complaint is to be served:
Telefonaktiebolaget LM Ericsson,
Torshamnsgatan 23, Kista, 164 83
Stockholm, Sweden.
Ericsson Inc., 6300 Legacy Drive, Plano,
TX 75024.
(c) The Office of Unfair Import
Investigations, U.S. International Trade
Commission, 500 E Street SW., Suite
401, Washington, DC 20436; and
(4) For the investigation so instituted,
the Chief Administrative Law Judge,
U.S. International Trade Commission,
shall designate the presiding
Administrative Law Judge.
Responses to the complaint and the
notice of investigation must be
submitted by the named respondents in
accordance with section 210.13 of the
Commission’s Rules of Practice and
Procedure, 19 CFR 210.13. Pursuant to
19 CFR 201.16(d)–(e) and 210.13(a),
such responses will be considered by
the Commission if received not later
than 20 days after the date of service by
the Commission of the complaint and
the notice of investigation. Extensions of
time for submitting responses to the
complaint and the notice of
investigation will not be granted unless
good cause therefor is shown.
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Failure of a respondent to file a timely
response to each allegation in the
complaint and in this notice may be
deemed to constitute a waiver of the
right to appear and contest the
allegations of the complaint and this
notice, and to authorize the
administrative law judge and the
Commission, without further notice to
the respondent, to find the facts to be as
alleged in the complaint and this notice
and to enter an initial determination
and a final determination containing
such findings, and may result in the
issuance of an exclusion order or a cease
and desist order or both directed against
the respondent.
Issued: February 25, 2013.
By order of the Commission.
Lisa R. Barton,
Acting Secretary to the Commission.
[FR Doc. 2013–04764 Filed 2–28–13; 8:45 am]
BILLING CODE 7020–02–P
DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—Connected Media
Experience, Inc.
Notice is hereby given that, on
February 5, 2013, pursuant to Section
6(a) of the National Cooperative
Research and Production Act of 1993,
15 U.S.C. 4301 et seq. (‘‘the Act’’),
Connected Media Experience, Inc.
(‘‘CMX’’) filed written notifications
simultaneously with the Attorney
General and the Federal Trade
Commission disclosing changes in its
membership. The notifications were
filed for the purpose of extending the
Act’s provisions limiting the recovery of
antitrust plaintiffs to actual damages
under specified circumstances.
Specifically, Omediae, LLC a.k.a
Pypeline, Kapaa, HI, has withdrawn as
a party to this venture.
No other changes have been made in
either the membership or planned
activity of the group research project.
Membership in this group research
project remains open, and CMX intends
to file additional written notifications
disclosing all changes in membership.
On March 12, 2010, CMX filed its
original notification pursuant to Section
6(a) of the Act. The Department of
Justice published a notice in the Federal
Register pursuant to Section 6(b) of the
Act on April 16, 2010 (75 FR 20003).
The last notification was filed with
the Department on November 23, 2012.
A notice was published in the Federal
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Register pursuant to Section 6(b) of the
Act on December 19, 2012 (77 FR
75190).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
[FR Doc. 2013–04729 Filed 2–28–13; 8:45 am]
BILLING CODE 4410–11–P
DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—Robotics Technology
Consortium, Inc.
Notice is hereby given that, on
February 5, 2013, pursuant to Section
6(a) of the National Cooperative
Research and Production Act of 1993,
15 U.S.C. 4301 et seq. (‘‘the Act’’),
Robotics Technology Consortium, Inc.
(‘‘RTC’’) has filed written notifications
simultaneously with the Attorney
General and the Federal Trade
Commission disclosing changes in its
membership. The notifications were
filed for the purpose of extending the
Act’s provisions limiting the recovery of
antitrust plaintiffs to actual damages
under specified circumstances.
Specifically, AM General LLC, Livonia,
MI; Auburn University, Auburn, AL;
DRS Sustainment Systems, Inc., St.
Louis, MO; Eurisko Institute LLC,
Monticello, FL; Humanistic Robotics,
Inc., Philadelphia, PA; Polaris Sales,
Inc., Medina, MN; TDC Acquisition
Holdings, Inc., Huntsville, AL; Tech
Wise, Colorado Springs, CO; University
of Arizona, Tuscon, AZ; University of
Texas at Arlington (Research Institute),
Fort Worth, TX; and Whitney, Bradley
& Brown, Inc., Reston, VA, have been
added as parties to this venture.
Also, Butterfly Haptics, LLC,
Pittsburgh, PA; EmergentViews, Inc.,
San Francisco, CA; International
Computer Science Institute, Berkley,
CA; L–3 Services Inc., Burlington, MA;
National Robotics Training Center
(NRTC) Florence Darlington Technical
College, Florence, SC; Neptec USA Inc.,
Houston, TX; Northwest UAV
Propulsion Systems, McMinnville, OR;
rChordata, LLC, Charlotte, NC; Sky
Research, Inc., Etna, NH; and TYZX,
Inc., Menlo Park, CA, have withdrawn
as parties to this venture.
No other changes have been made in
either the membership or planned
activity of the group research project.
Membership in this group research
project remains open, and RTC intends
to file additional written notifications
disclosing all changes in membership.
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Federal Register / Vol. 78, No. 41 / Friday, March 1, 2013 / Notices
On October 15, 2009, RTC filed its
original notification pursuant to Section
6(a) of the Act. The Department of
Justice published a notice in the Federal
Register pursuant to Section 6(b) of the
Act on November 30, 2009 (74 FR
62599).
The last notification was filed with
the Department on April 30, 2012. A
notice was published in the Federal
Register pursuant to Section 6(b) of the
Act on June 8, 2012 (77 FR 34067).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
[FR Doc. 2013–04727 Filed 2–28–13; 8:45 am]
BILLING CODE P
DEPARTMENT OF LABOR
Office of the Secretary
Bureau of International Labor Affairs;
Office of Trade and Labor Affairs;
Labor Affairs Council of the United
States-Korea Free Trade Agreement;
Notice of Public Session Meeting
International Labor Affairs
Bureau (ILAB), U.S. Department of
Labor.
ACTION: Notice of Public Session
Meeting, March 19, 2013.
AGENCY:
Pursuant to Article 19.5 of the
U.S.-Korea Free Trade Agreement
(KORUS FTA), the International Labor
Affairs Bureau (ILAB) of the U.S.
Department of Labor gives notice of the
public session of the meeting of the
Labor Affairs Council (‘‘Council’’ or
‘‘LAC’’). The LAC public session will be
held the morning of March 19, 2013.
The purpose of the public session is to
provide an opportunity for the Council
to meet with the public to discuss
matters related to the implementation of
Chapter 19 (the Labor Chapter) of the
KORUS FTA, including activities of the
Labor Cooperation Mechanism
established under Article 19.6 of the
FTA.
SUMMARY:
The LAC public session will be
held on Tuesday, March 19, 2013, from
9:00 a.m. to 11:30 a.m. ILAB requests
those interested in attending provide
their name, title, and any organizational
affiliation to Emma Laury, Office of
Trade and Labor Affairs, ILAB, U.S.
Department of Labor, 200 Constitution
Avenue NW., Room S–5303,
Washington, DC 20210; phone (202)
693–4811; fax (202) 693–4851 (This is
not a toll free number.);
Laury.Emma.2@dol.gov, by Monday,
March 4, 2013.
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DATES:
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The LAC will meet at the
U.S. Department of Labor, 200
Constitution Avenue NW., Washington,
DC 20210. Exact room information will
be provided upon arrival.
FOR FURTHER INFORMATION CONTACT:
Emma Laury, Office of Trade and Labor
Affairs, ILAB, U.S. Department of Labor,
200 Constitution Avenue NW., Room
S–5303, Washington, DC 20210; phone
(202) 693–4811; Laury.Emma.2@dol.gov.
Individuals with disabilities wishing to
attend the meeting should contact Ms.
Laury no later than March 4, 2013, to
obtain appropriate accommodations.
SUPPLEMENTARY INFORMATION: The LAC
meeting is open to the public on a firstcome, first-served basis, as seating is
limited. Attendees must present valid
identification and will be subject to
security screening to access the
Department of Labor for the meeting.
Agenda: Agenda items will include a
presentation by the Council on the
discussions held during the
intergovernmental LAC meeting and an
opportunity for questions from the
public on matters related to the
implementation of the Labor Chapter of
the KORUS FTA.
Public Participation: The LAC will
receive oral comments and questions
from the audience during the meeting.
The Department of Labor is also open to
written comments or questions,
submitted to Emma Laury at the contact
information listed above, by March 4,
2013. Such written submissions will be
provided to Council members and will
be included in the record of the
meeting.
ADDRESSES:
Signed at Washington, DC, the 25th day of
February, 2013.
Carol Pier,
Acting Deputy Undersecretary, Bureau of
International Labor Affairs.
[FR Doc. 2013–04916 Filed 2–27–13; 4:15 pm]
BILLING CODE 4510–28–P
DEPARTMENT OF LABOR
Employee Benefits Security
Administration
RIN 1210–AB51
Final Revision and Publication of the
2012 Form M–1, Notice
Employee Benefits Security
Administration, Department of Labor.
ACTION: Notice of 2012 Form M–1
Revisions and Availability.
AGENCY:
This document announces
revisions to the Form M–1, Report for
Multiple Employer Welfare
Arrangements (MEWAs) and Certain
SUMMARY:
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13897
Entities Claiming Exception (ECEs), and
its availability. The revisions can be
viewed on the Employee Benefits
Security Administration’s (EBSA) Web
site at www.dol.gov/ebsa. The revised
form is substantively different from
previous versions of the Form M–1.
Elsewhere in this edition of the Federal
Register, EBSA is publishing Final
Rules for Filings Required for Multiple
Employer Welfare Arrangements and
Certain Other Related Entities. These
rules amend the existing MEWA
regulations to implement the
registration requirement added to
section 101(g) of Title I of the Employee
Retirement Income Security Act of 1974,
(ERISA), as amended by the Patient
Protection and Affordable Care Act
(Affordable Care Act), as well as to
enhance compliance, enforcement, and
protection of employer-sponsored
health benefits. The form and the
accompanying instructions facilitate the
filing requirements for MEWAs and
ECEs under ERISA.
FOR FURTHER INFORMATION CONTACT: For
inquiries regarding the Form M–1 filing
requirement, contact Allison Goodman
or Suzanne Bach, Office of Health Plan
Standards and Compliance Assistance,
at (202) 693–8335. This is not a toll-free
number. For inquiries regarding how to
obtain or file a Form M–1, see the
SUPPLEMENTARY INFORMATION section
below.
SUPPLEMENTARY INFORMATION:
I. Background
The Health Insurance Portability and
Accountability Act of 1996 (Pub. L.
104–191, 110 Stat. 1936) (HIPAA)
amended ERISA to provide for, among
other things, improved portability and
continuity of health insurance coverage.
HIPAA also added section 101(g) to
ERISA, 29 U.S.C. 1021(g), providing the
Secretary with the authority to require,
by regulation, annual reporting by
MEWAs that are not ERISA-covered
plans. The Patient Protection and
Affordable Care Act (Affordable Care
Act), Public Law 111–148, 124 Stat. 119
(2010), amended section 101(g) of
ERISA to require that such MEWAs
register with the Department prior to
operating in a State. Specifically, this
section now provides that the Secretary
shall, by regulation, require multiple
employer welfare arrangements
providing benefits consisting of medical
care (within the meaning of section
733(a)(2) of ERISA, 29 U.S.C.
1191b(a)(2)) which are not ERISAcovered group health plans to register
with the Secretary prior to operating in
a State and may, by regulation, require
such MEWAs to report, not more
E:\FR\FM\01MRN1.SGM
01MRN1
Agencies
[Federal Register Volume 78, Number 41 (Friday, March 1, 2013)]
[Notices]
[Pages 13896-13897]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-04727]
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DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National Cooperative Research and
Production Act of 1993--Robotics Technology Consortium, Inc.
Notice is hereby given that, on February 5, 2013, pursuant to
Section 6(a) of the National Cooperative Research and Production Act of
1993, 15 U.S.C. 4301 et seq. (``the Act''), Robotics Technology
Consortium, Inc. (``RTC'') has filed written notifications
simultaneously with the Attorney General and the Federal Trade
Commission disclosing changes in its membership. The notifications were
filed for the purpose of extending the Act's provisions limiting the
recovery of antitrust plaintiffs to actual damages under specified
circumstances. Specifically, AM General LLC, Livonia, MI; Auburn
University, Auburn, AL; DRS Sustainment Systems, Inc., St. Louis, MO;
Eurisko Institute LLC, Monticello, FL; Humanistic Robotics, Inc.,
Philadelphia, PA; Polaris Sales, Inc., Medina, MN; TDC Acquisition
Holdings, Inc., Huntsville, AL; Tech Wise, Colorado Springs, CO;
University of Arizona, Tuscon, AZ; University of Texas at Arlington
(Research Institute), Fort Worth, TX; and Whitney, Bradley & Brown,
Inc., Reston, VA, have been added as parties to this venture.
Also, Butterfly Haptics, LLC, Pittsburgh, PA; EmergentViews, Inc.,
San Francisco, CA; International Computer Science Institute, Berkley,
CA; L-3 Services Inc., Burlington, MA; National Robotics Training
Center (NRTC) Florence Darlington Technical College, Florence, SC;
Neptec USA Inc., Houston, TX; Northwest UAV Propulsion Systems,
McMinnville, OR; rChordata, LLC, Charlotte, NC; Sky Research, Inc.,
Etna, NH; and TYZX, Inc., Menlo Park, CA, have withdrawn as parties to
this venture.
No other changes have been made in either the membership or planned
activity of the group research project. Membership in this group
research project remains open, and RTC intends to file additional
written notifications disclosing all changes in membership.
[[Page 13897]]
On October 15, 2009, RTC filed its original notification pursuant
to Section 6(a) of the Act. The Department of Justice published a
notice in the Federal Register pursuant to Section 6(b) of the Act on
November 30, 2009 (74 FR 62599).
The last notification was filed with the Department on April 30,
2012. A notice was published in the Federal Register pursuant to
Section 6(b) of the Act on June 8, 2012 (77 FR 34067).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust Division.
[FR Doc. 2013-04727 Filed 2-28-13; 8:45 am]
BILLING CODE P