Deepwater Port License Application: Liberty Natural Gas LLC, Port Ambrose Deepwater Port, 42588 [2013-17051]
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Federal Register / Vol. 78, No. 136 / Tuesday, July 16, 2013 / Notices
DEPARTMENT OF TRANSPORTATION
DEPARTMENT OF THE TREASURY
Maritime Administration
[Docket No. USCG–2013–0363]
Deepwater Port License Application:
Liberty Natural Gas LLC, Port Ambrose
Deepwater Port
Report by the President’s Working
Group on Financial Markets on the
Long-Term Availability and
Affordability of Insurance for Terrorism
Risk
AGENCY:
Maritime Administration,
Department of Transportation.
AGENCY:
Notice of intent; notice of public
meeting; request for comments;
correction.
The Maritime Administration
(MarAd) published a Notice of Intent,
Notice of Public Meeting, and Request
for Comments regarding the Port
Ambrose Deepwater Port License
Application in the June 24, 2013,
Federal Register. Shortly thereafter, on
July 9, 2013, a correction was published
in the Federal Register. In that
correction, MarAd extended the closing
date for receipt of materials in response
to the request for comments to July 23,
2013. This notice corrects that
publication and extends the closing date
for receipt of materials in response to
the request for comments to August 22,
2013.
SUMMARY:
Mr.
Roddy Bachman, U.S. Coast Guard,
telephone: 202–372–1451, email:
Roddy.C.Bachman@uscg.mil, or Ms.
Tracey Ford, Maritime Administration,
telephone: 202–366–0321, email:
Tracey.Ford@dot.gov. For questions
regarding viewing the Docket, call Ms.
Barbara Hairston, Program Manager,
Docket Operations, telephone 202–366–
9826.
FOR FURTHER INFORMATION CONTACT:
emcdonald on DSK67QTVN1PROD with NOTICES
Correction
In the Federal Register of June 24,
2013, in FR Doc. 2013–0363, on page
37878, in the second column, under the
section captioned DATES in the last
sentence of the second paragraph
replace ‘‘July 14, 2013’’ with ‘‘August
22, 2013’’ so that the sentence reads:
‘‘Additionally, materials submitted in
response to the request for comments on
the license application must reach the
Docket Management Facility as detailed
below, by August 22, 2013.’’
Dated: July 10, 2013.
By Order of the Maritime Administrator.
T. Mitchell Hudson, Jr.,
Assistant Secretary, Maritime Administration.
BILLING CODE 4910–81–P
VerDate Mar<15>2010
18:49 Jul 15, 2013
Jkt 229001
The Terrorism Risk Insurance
Act of 2002 (TRIA),1 as amended by
Section 5(c) of the Terrorism Risk
Insurance Program Reauthorization Act
of 2007,2 requires the President’s
Working Group on Financial Markets
(President’s Working Group) to perform
an ongoing analysis of, and to submit a
report to Congress 3 on, the long-term
availability and affordability of
insurance for terrorism risk. The
Secretary of the Treasury, or his
designee, chairs the President’s Working
Group. The Department of the Treasury
(Treasury) issues this notice seeking
public comment to assist the President’s
Working Group in its report.
DATES: Comments must be in writing
and received by September 16, 2013.
Early submissions are encouraged.
ADDRESSES: Please submit comments
electronically through the Federal
eRulemaking Portal: https://
www.regulations.gov, or by mail (if hard
copy, preferably an original and two
copies) to the Federal Insurance Office,
Attention: Kevin Meehan, Room 1319
MT, Department of the Treasury, 1500
Pennsylvania Avenue NW., Washington,
DC 20220. Because postal mail may be
subject to processing delay, it is
recommended that comments be
submitted electronically. All comments
should be captioned with ‘‘President’s
Working Group on Financial Markets:
Terrorism Risk Insurance Analysis.’’
Please include your name, group
affiliation, address, email address and
telephone number(s) in your comment.
Where appropriate, a comment should
include a short Executive Summary (no
more than five single-spaced pages).
In general, comments received will be
posted on https://www.regulations.gov
without change, including any business
or personal information provided.
Comments received, including
attachments and other supporting
materials, will be part of the public
record and subject to public disclosure.
SUMMARY:
ACTION:
[FR Doc. 2013–17051 Filed 7–15–13; 8:45 am]
Department of the Treasury,
Departmental Offices.
ACTION: Notice; Request for comments.
1 Pub. L. 107–297, 116 Stat. 2322, 15 U.S.C. 6701
note.
2 Pub. L. 110–160, 121 Stat. 1839, 1842.
3 The report is to be submitted to the Committee
on Banking, Housing, and Urban Affairs of the
Senate and the Committee on Financial Services of
the House of Representatives.
PO 00000
Frm 00103
Fmt 4703
Sfmt 4703
Do not enclose any information in your
comment or supporting materials that
you consider confidential or
inappropriate for public disclosure.
FOR FURTHER INFORMATION CONTACT:
Kevin Meehan, Policy Advisor, Federal
Insurance Office, 202–622–7009 (not a
toll free number).
SUPPLEMENTARY INFORMATION:
I. Background
TRIA was enacted to address
disruptions in the market for insurance
for terrorism risk, to help ensure the
continued widespread availability and
affordability of commercial property
and casualty insurance for terrorism
risk, and to allow for the private markets
to stabilize and build insurance capacity
to absorb any future losses for terrorism
events. Title I of TRIA creates the
Terrorism Risk Insurance Program
(Program) that provides shared public
and private compensation for privately
insured commercial property and
casualty losses resulting from certified
acts of terrorism. Pursuant to TRIA, the
Secretary of the Treasury administers
the Program. The Federal Insurance
Office assists the Secretary in
administering the Program, as
authorized by the Dodd-Frank Wall
Street Reform and Consumer Protection
Act.4 The Program is scheduled to
expire on December 31, 2014.
TRIA was originally set to terminate
on December 31, 2005. The Terrorism
Risk Insurance Extension Act of 2005 5
extended the Program for two additional
years, with expiration set for December
31, 2007. Section 108(e) of TRIA, as
amended by the Terrorism Risk
Insurance Extension Act of 2005,
required the President’s Working Group
to issue a report to the Committee on
Banking, Housing, and Urban Affairs of
the Senate and the Committee on
Financial Services of the House of
Representatives about the long-term
availability and affordability of
terrorism risk, including group life
coverage and coverage for nuclear,
biological, chemical, and radiological
events.6 The President’s Working Group
issued its report in September 2006.7
4 31
U.S.C. 313(c)(1)(D).
Law 109–144, 119 Stat. 2660.
6 The President’s Working Group is composed of
the Secretary of the Treasury, the Chairman of the
Board of Governors of the Federal Reserve System,
the Chairman of the Securities and Exchange
Commission, and the Chairman of the Commodity
Futures Trading Commission (or their respective
designees). The Secretary of the Treasury, or his
designee, is the Chairman of the President’s
Working Group. Exec. Order 12,631, 53 FR 9421
(Mar. 18, 1988).
7 President’s Working Group, Terrorism Risk
Insurance (2006), available at https://
5 Public
E:\FR\FM\16JYN1.SGM
16JYN1
Agencies
[Federal Register Volume 78, Number 136 (Tuesday, July 16, 2013)]
[Notices]
[Page 42588]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-17051]
[[Page 42588]]
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DEPARTMENT OF TRANSPORTATION
Maritime Administration
[Docket No. USCG-2013-0363]
Deepwater Port License Application: Liberty Natural Gas LLC, Port
Ambrose Deepwater Port
AGENCY: Maritime Administration, Department of Transportation.
ACTION: Notice of intent; notice of public meeting; request for
comments; correction.
-----------------------------------------------------------------------
SUMMARY: The Maritime Administration (MarAd) published a Notice of
Intent, Notice of Public Meeting, and Request for Comments regarding
the Port Ambrose Deepwater Port License Application in the June 24,
2013, Federal Register. Shortly thereafter, on July 9, 2013, a
correction was published in the Federal Register. In that correction,
MarAd extended the closing date for receipt of materials in response to
the request for comments to July 23, 2013. This notice corrects that
publication and extends the closing date for receipt of materials in
response to the request for comments to August 22, 2013.
FOR FURTHER INFORMATION CONTACT: Mr. Roddy Bachman, U.S. Coast Guard,
telephone: 202-372-1451, email: Roddy.C.Bachman@uscg.mil, or Ms. Tracey
Ford, Maritime Administration, telephone: 202-366-0321, email:
Tracey.Ford@dot.gov. For questions regarding viewing the Docket, call
Ms. Barbara Hairston, Program Manager, Docket Operations, telephone
202-366-9826.
Correction
In the Federal Register of June 24, 2013, in FR Doc. 2013-0363, on
page 37878, in the second column, under the section captioned DATES in
the last sentence of the second paragraph replace ``July 14, 2013''
with ``August 22, 2013'' so that the sentence reads: ``Additionally,
materials submitted in response to the request for comments on the
license application must reach the Docket Management Facility as
detailed below, by August 22, 2013.''
Dated: July 10, 2013.
By Order of the Maritime Administrator.
T. Mitchell Hudson, Jr.,
Assistant Secretary, Maritime Administration.
[FR Doc. 2013-17051 Filed 7-15-13; 8:45 am]
BILLING CODE 4910-81-P