Sunshine Act Meetings, 28897-28898 [2013-11816]
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Federal Register / Vol. 78, No. 95 / Thursday, May 16, 2013 / Notices
reference section to facilitate public
access to the documents.
Environmental assessment and
finding of no significant impact for
license amendment, correction.
ACTION:
II. Backfitting and Issue Finality
Issuance of this final regulatory guide
does not constitute backfitting as
defined in 10 CFR 50.109 (the Backfit
Rule) and is not otherwise inconsistent
with the issue finality provisions in 10
CFR part 52. The changes in Revision 2
of RG 1.57 are limited to editorial
changes to improve clarity and the
correction of a title. These changes do
not fall within the kinds of agency
actions that constitute backfitting or are
subject to limitations in the issue
finality provisions of part 52.
Accordingly, the NRC did not address
the Backfit Rule or issue finality
provisions of part 52.
III. Congressional Review Act
This regulatory guide is a rule as
designated in the Congressional Review
Act (5 U.S.C. 801–808). However, the
Office of Management and Budget has
not found it to be a major rule as
designated in the Congressional Review
Act.
IV. Submitting Suggestions for
Improvement of Regulatory Guides
Revision 2 of RG 1.57 is being issued
without public comment. However, you
may at any time submit suggestions to
the NRC for improvement of existing
regulatory guides or for the
development of new regulatory guides
to address new issues. Suggestions can
be submitted by the form available
online at https://www.nrc.gov/readingrm/doc-collections/reg-guides/
contactus.html. Suggestions will be
considered in future updates and
enhancements of the regulatory guide.
Dated at Rockville, Maryland, this 8th day
of May, 2013.
For the Nuclear Regulatory Commission.
Thomas H. Boyce,
Chief, Regulatory Guide Development Branch,
Division of Engineering, Office of Nuclear
Regulatory Research.
[FR Doc. 2013–11710 Filed 5–15–13; 8:45 am]
BILLING CODE 7590–01–P
tkelley on DSK3SPTVN1PROD with NOTICES
NUCLEAR REGULATORY
COMMISSION
[Docket No. 040–09068; License SUA–1598;
NRC–2008–0391]
Lost Creek ISR, LLC, Lost Creek
Uranium In-Situ Recovery Project;
Sweetwater County, Wyoming
Nuclear Regulatory
Commission.
AGENCY:
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This document corrects a
notice appearing in the Federal Register
on April 3, 2013 [78 FR 20146], that
listed, in tabular format, documents that
related to the notice. This action will
correct an incorrect listing of an
Agencywide Document Access and
Management System (ADAMS)
Accession Number contained in the
table found on page 20147.
FOR FURTHER INFORMATION CONTACT: Mr.
Alan B. Bjornsen, Project Manager,
Office of Federal and State Materials
and Environmental Management
Programs, U.S. Nuclear Regulatory
Commission, Washington, DC 20555–
0001; telephone: 301–415–1195; email:
Alan.Bjornsen@nrc.gov.
SUMMARY:
On page
20147, in the table found at the bottom
of the page, the item ‘‘Letter WDEQ,
Request for Comments, ADAMS
Accession No. ML12305A410’’ was
inadvertently included, and should be
removed. The document contains preconditional information that was not to
be made publicly available.
SUPPLEMENTARY INFORMATION:
Dated at Rockville, Maryland, this 9th day
of May, 2013.
For the Nuclear Regulatory Commission.
Kevin Hsueh,
Chief, Environmental Review Branch,
Division of Waste Management and
Environmental Protection, Office of Federal
and State Materials and Environmental
Management Programs.
28897
operating licenses for Sequoyah Nuclear
Plant, Units 1 and 2, which are located
in Soddy-Daisy, Tennessee. The current
Unit 1 and Unit 2 operating licenses
expire, respectively, on September 17,
2020 and September 15, 2021. In
response to a ‘‘Notice of Acceptance for
Docketing of Application and Notice of
Opportunity for Hearing Regarding
Renewal of Sequoyah Nuclear Plants,
Units 1 and 2,’’ see 78 Fed. Reg. 14,362
(Mar. 5, 2013), a ‘‘Petition for Leave to
Intervene and Request for Hearing’’ was
filed on May 6, 2013 by the Blue Ridge
Environmental Defense League,
Bellefonte Efficiency and Sustainability
Team, and Mothers Against Tennessee
River Radiation.
The Board is comprised of the
following administrative judges:
Alex S. Karlin, Chairman, Atomic Safety
and Licensing Board Panel, U.S.
Nuclear Regulatory Commission,
Washington, DC 20555–0001
Dr. Paul B. Abramson, Atomic Safety
and Licensing Board Panel, U.S.
Nuclear Regulatory Commission,
Washington, DC 20555–0001
Dr. Gary S. Arnold, Atomic Safety and
Licensing Board Panel, U.S. Nuclear
Regulatory Commission, Washington,
DC 20555–0001
All correspondence, documents, and
other materials shall be filed in
accordance with the NRC E-Filing rule.
See 10 CFR. 2.302.
[FR Doc. 2013–11709 Filed 5–15–13; 8:45 am]
Issued at Rockville, Maryland, this 10th
day of May 2013.
E. Roy Hawkens,
Chief Administrative Judge, Atomic Safety
and Licensing Board Panel.
BILLING CODE 7590–01–P
[FR Doc. 2013–11712 Filed 5–15–13; 8:45 am]
BILLING CODE 7590–01–P
NUCLEAR REGULATORY
COMMISSION
[Docket Nos. 50–327–LR, 50–328–LR;
ASLBP No. 13–927–01–LR–BD01]
Tennessee Valley Authority;
Establishment of Atomic Safety and
Licensing Board
Pursuant to delegation by the
Commission dated December 29, 1972,
see 37 FR 28710 (1972), and the
Commission’s regulations, see, e.g., 10
CFR 2.104, 2.105, 2.300, 2.309, 2.313,
2.318, and 2.321, notice is hereby given
that an Atomic Safety and Licensing
Board (Board) is being established to
preside over the following proceeding:
Tennessee Valley Authority (Sequoyah
Nuclear Plant, Units 1 and 2)
This proceeding involves an
application by Tennessee Valley
Authority to renew for twenty years its
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OVERSEAS PRIVATE INVESTMENT
CORPORATION
Sunshine Act Meetings
2:00 p.m., Wednesday,
June 5, 2013.
PLACE: Offices of the Corporation,
Twelfth Floor Board Room, 1100 New
York Avenue NW., Washington, DC.
STATUS: Hearing OPEN to the Public at
2:00 p.m.
PURPOSE: Public Hearing in conjunction
with each meeting of OPIC’s Board of
Directors, to afford an opportunity for
any person to present views regarding
the activities of the Corporation.
PROCEDURES:
Individuals wishing to address the
hearing orally must provide advance
notice to OPIC’s Corporate Secretary no
later than 5 p.m. Friday, May 31, 2013.
TIME AND DATE:
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28898
Federal Register / Vol. 78, No. 95 / Thursday, May 16, 2013 / Notices
The notice must include the
individual’s name, title, organization,
address, and telephone number, and a
concise summary of the subject matter
to be presented.
Oral presentations may not exceed ten
(10) minutes. The time for individual
presentations may be reduced
proportionately, if necessary, to afford
all participants who have submitted a
timely request an opportunity to be
heard.
Participants wishing to submit a
written statement for the record must
submit a copy of such statement to
OPIC’s Corporate Secretary no later than
5 p.m. Friday, May 31, 2013. Such
statement must be typewritten, doublespaced, and may not exceed twenty-five
(25) pages.
Upon receipt of the required notice,
OPIC will prepare an agenda, which
will be available at the hearing, that
identifies speakers, the subject on which
each participant will speak, and the
time allotted for each presentation.
A written summary of the hearing will
be compiled, and such summary will be
made available, upon written request to
OPIC’s Corporate Secretary, at the cost
of reproduction.
Written summaries of the projects to
be presented at the June 13, 2013 Board
meeting will be posted on OPIC’s Web
site on or about Thursday, May 23,
2013.
CONTACT PERSON FOR INFORMATION:
Information on the hearing may be
obtained from Connie M. Downs at (202)
336–8438, via facsimile at (202) 408–
0297, or via email at
Connie.Downs@opic.gov.
Dated: May 14, 2013.
Connie M. Downs,
OPIC Corporate Secretary.
[FR Doc. 2013–11816 Filed 5–14–13; 4:15 pm]
BILLING CODE 3210–01–P
SECURITIES AND EXCHANGE
COMMISSION
Proposed Collection; Comment
Request
tkelley on DSK3SPTVN1PROD with NOTICES
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Rule 303; SEC File No. 270–450, OMB
Control No. 3235–0505.
Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995
(‘‘PRA’’) (44 U.S.C. 3501 et seq.), the
Securities and Exchange Commission
(‘‘Commission’’) is soliciting comments
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on the existing collection of information
provided for in Rule 303 (17 CFR
242.303) of Regulation ATS (17 CFR
242.300 et seq.) under the Securities and
Exchange Act of 1934 (‘‘Act’’) (15 U.S.C.
78a et seq.). The Commission plans to
submit this existing collection of
information to the Office of
Management and Budget (‘‘OMB’’) for
extension and approval.
Regulation ATS sets forth a regulatory
regime for ‘‘alternative trading systems’’
(‘‘ATSs’’), which are entities that carry
out exchange functions but which are
not required to register as national
securities exchanges under the Act. In
lieu of exchange registration, an ATS
can instead opt to register with the
Commission as a broker-dealer and, as
a condition to not having to register as
an exchange, must instead comply with
Regulation ATS. Rule 303 of Regulation
ATS (17 CFR 242.303) describes the
record preservation requirements for
ATSs. Rule 303 also describes how such
records must be maintained, what
entities may perform this function, and
how long records must be preserved.
Under Rule 303, ATSs are required to
preserve all records made pursuant to
Rule 302, which includes information
relating to subscribers, trading
summaries, and time-sequenced order
information. Rule 303 also requires
ATSs to preserve any notices provided
to subscribers, including, but not
limited to, notices regarding the ATSs
operations and subscriber access. For an
ATS subject to the fair access
requirements described in Rule
301(b)(5)(ii) of Regulation ATS, Rule
303 further requires the ATS to preserve
at least one copy of its standards for
access to trading, all documents relevant
to the ATS’s decision to grant, deny, or
limit access to any person, and all other
documents made or received by the ATS
in the course of complying with Rule
301(b)(5) of Regulation ATS. For an ATS
subject to the capacity, integrity, and
security requirements for automated
systems under Rule 301(b)(6) of
Regulation ATS, Rule 303 requires an
ATS to preserve all documents made or
received by the ATS related to its
compliance, including all
correspondence, memoranda, papers,
books, notices, accounts, reports, test
scripts, test results, and other similar
records. As provided in Rule 303(a)(1),
ATSs are required to keep all of these
records, as applicable, for a period of at
least three years, the first two in an
easily accessible place. In addition, Rule
303 requires ATSs to preserve records of
partnership articles, articles of
incorporation or charter, minute books,
stock certificate books, copies of reports
filed pursuant to Rule 301(b)(2), and
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records made pursuant to Rule 301(b)(5)
for the life of the ATS.
The information contained in the
records required to be preserved by Rule
303 will be used by examiners and other
representatives of the Commission, state
securities regulatory authorities, and the
self-regulatory organizations to ensure
that ATSs are in compliance with
Regulation ATS as well as other
applicable rules and regulations.
Without the data required by the Rule,
regulators would be limited in their
ability to comply with their statutory
obligations, provide for the protection of
investors, and promote the maintenance
of fair and orderly markets.
Respondents consist of ATSs that
choose to register as broker-dealers and
comply with the requirements of
Regulation ATS. There are currently 92
respondents. To comply with the record
preservation requirements of Rule 303,
these respondents will spend
approximately 1,380 hours per year (92
respondents at 15 burden hours/
respondent). At an average cost per
burden hour of $104.20, the resultant
total related cost of compliance for these
respondents is $143,796 per year (1,380
burden hours multiplied by $104.20/
hour).
Written comments are invited on (a)
Whether the proposed collection of
information is necessary for the proper
performance of the functions of the
Commission, including whether the
information shall have practical utility;
(b) the accuracy of the Commission’s
estimates of the burden of the proposed
collection of information; (c) ways to
enhance the quality, utility, and clarity
of the information collected; and (d)
ways to minimize the burden of the
collection of information on
respondents, including through the use
of automated collection techniques or
other forms of information technology.
Consideration will be given to
comments and suggestions submitted in
writing within 60 days of this
publication.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
under the PRA unless it displays a
currently valid OMB control number.
Please direct your written comments
to: Thomas Bayer, Director/Chief
Information Officer, Securities and
Exchange Commission, c/o Remi PavlikSimon, 6432 General Green Way,
Alexandria, VA 22312 or send an email
to: PRA_Mailbox@sec.gov.
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Agencies
[Federal Register Volume 78, Number 95 (Thursday, May 16, 2013)]
[Notices]
[Pages 28897-28898]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-11816]
=======================================================================
-----------------------------------------------------------------------
OVERSEAS PRIVATE INVESTMENT CORPORATION
Sunshine Act Meetings
TIME AND DATE: 2:00 p.m., Wednesday, June 5, 2013.
PLACE: Offices of the Corporation, Twelfth Floor Board Room, 1100 New
York Avenue NW., Washington, DC.
STATUS: Hearing OPEN to the Public at 2:00 p.m.
PURPOSE: Public Hearing in conjunction with each meeting of OPIC's
Board of Directors, to afford an opportunity for any person to present
views regarding the activities of the Corporation.
PROCEDURES:
Individuals wishing to address the hearing orally must provide
advance notice to OPIC's Corporate Secretary no later than 5 p.m.
Friday, May 31, 2013.
[[Page 28898]]
The notice must include the individual's name, title, organization,
address, and telephone number, and a concise summary of the subject
matter to be presented.
Oral presentations may not exceed ten (10) minutes. The time for
individual presentations may be reduced proportionately, if necessary,
to afford all participants who have submitted a timely request an
opportunity to be heard.
Participants wishing to submit a written statement for the record
must submit a copy of such statement to OPIC's Corporate Secretary no
later than 5 p.m. Friday, May 31, 2013. Such statement must be
typewritten, double-spaced, and may not exceed twenty-five (25) pages.
Upon receipt of the required notice, OPIC will prepare an agenda,
which will be available at the hearing, that identifies speakers, the
subject on which each participant will speak, and the time allotted for
each presentation.
A written summary of the hearing will be compiled, and such summary
will be made available, upon written request to OPIC's Corporate
Secretary, at the cost of reproduction.
Written summaries of the projects to be presented at the June 13,
2013 Board meeting will be posted on OPIC's Web site on or about
Thursday, May 23, 2013.
CONTACT PERSON FOR INFORMATION: Information on the hearing may be
obtained from Connie M. Downs at (202) 336-8438, via facsimile at (202)
408-0297, or via email at Connie.Downs@opic.gov.
Dated: May 14, 2013.
Connie M. Downs,
OPIC Corporate Secretary.
[FR Doc. 2013-11816 Filed 5-14-13; 4:15 pm]
BILLING CODE 3210-01-P