Negotiated Service Agreement, 49784-49785 [2013-19802]
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49784
Federal Register / Vol. 78, No. 158 / Thursday, August 15, 2013 / Notices
For the Nuclear Regulatory Commission.
Joseph Colaccino,
Chief, Policy Branch, Division of Advanced
Reactors and Rulemaking, Office of New
Reactors.
Other Changes to Draft Interim Staff
Guidance
emcdonald on DSK67QTVN1PROD with NOTICES
submittal of the LAR. It is recommended
that this timing aspect be addressed in
ISG–025.
NRC Response: The NRC staff does
not agree with this comment. A PAR
may be voluntarily submitted by a
licensee at any time prior to, concurrent
with or after the submittal of the related
LAR (although the NRC cannot issue a
PAR notification until the LAR is
submitted). The 1-year time frame
discussed is the expected processing
time allocated to the staff’s detailed
technical review of a LAR. No change
was made to the ISG as a result of this
comment.
AGENCY:
In addition to the changes made in
response to public comments, as
discussed above, this draft ISG–025
contains one substantial change which
was derived from the lessons learned
from the NRC staff’s administrative
practices during the past year of
processing PARs and LARs for the new
nuclear power plants under
construction.
The criteria for issuing a PAR
notification are dependent upon the
staff’s acceptance of the related LAR for
detailed technical review. The staff will
not issue the determination on the PAR
until after the staff has accepted the
related LAR for detailed technical
review. This repositioning of the staff’s
determination reduces the regulatory
burden on licensees by recognizing that
the licensee’s proposed basis for the
no—significant hazards determination
and the categorical exclusion from the
National Environmental Policy Act
evaluation is contained in the related
LAR.
Because these two aspects are
evaluated by the staff during the
acceptance review of the related LAR,
the provision for the licensee to submit
this information in the PAR, and the
staff’s examination of this information
during its consideration of the PAR
were removed from COL–ISG–025.
This draft COL–ISG–025 clarifies that
the staff will not issue a determination
on the PAR until two conditions are
satisfied; (1) The licensee submits the
related LAR and, (2) the staff has
accepted the related LAR for detailed
technical review.
Dated in Rockville, Maryland, this 7th day
of August 2013.
[FR Doc. 2013–19865 Filed 8–14–13; 8:45 am]
BILLING CODE 7590–01–P
NUCLEAR REGULATORY
COMMISSION
Pacific Gas and Electric Company,
Humboldt Bay Power Plant, Unit 3,
Notice of Public Meeting on the
License Termination Plan; Correction
Nuclear Regulatory
Commission.
ACTION: Application for license
amendment; public meeting; correction.
The U.S. Nuclear Regulatory
Commission (NRC) is correcting a notice
that was published in the Federal
Register on August 7, 2013 (78 FR
48203), that provided notice that the
NRC staff will conduct a public meeting
to discuss and accept public comments
on the Humboldt Bay Power Plant, Unit
3, License Termination Plan. This
document is necessary to correct an
incorrect NRC Docket ID appearing in
the heading of the notice.
FOR FURTHER INFORMATION CONTACT:
Cindy Bladey, Chief, Rules,
Announcements, and Directives Branch,
Office of Administration, Nuclear
Regulatory Commission, Washington,
DC 20555–0001, telephone: 301–287–
0949; email: Cindy.Bladey@nrc.gov.
SUMMARY:
Correction
In the Federal Register (FR) on
August 7, 2013, in FR Doc. 2013–19054,
on page 48203, the NRC Docket ID in
the heading is corrected to read
‘‘[Docket No. 50–133; NRC–2013–
0187].’’
Dated at Rockville, Maryland, this 9th day
of August 2013.
For the Nuclear Regulatory Commission.
Cindy Bladey,
Chief, Rules, Announcements, and Directives
Branch, Division of Administrative Services,
Office of Administration.
[FR Doc. 2013–19784 Filed 8–14–13; 8:45 am]
BILLING CODE 7590–01–P
POSTAL REGULATORY COMMISSION
[Docket No. CP2013–43; Order No. 1804]
Negotiated Service Agreement
ACTION:
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17:43 Aug 14, 2013
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Postal Regulatory Commission.
Notice.
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Submit comments
electronically via the Commission’s
Filing Online system at https://
www.prc.gov. Those who cannot submit
comments electronically should contact
the person identified in the FOR FURTHER
INFORMATION CONTACT section by
telephone for advice on filing
alternatives.
ADDRESSES:
[Docket No. 50–133; NRC–2013–0187]
AGENCY:
The Commission is noticing a
recent Postal Service filing concerning
the modification of Global Plus 1C
negotiated service agreement. This
notice informs the public of the filing,
invites public comment, and takes other
administrative steps.
DATES: Comments are due: August 16,
2013.
SUMMARY:
FOR FURTHER INFORMATION CONTACT:
Stephen L. Sharfman, General Counsel,
at 202–789–6820.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Introduction
II. Contents of Filing
III. Commission Action
IV. Ordering Paragraphs
I. Introduction
On August 8, 2013, the Postal Service
filed notice, pursuant to 39 CFR 3015.5,
that it has entered into a modification of
the Global Plus 1C agreement approved
in Docket No. CP2013–43 (Modification
One).1 Modification One consists of rate
changes to Annex 3 Prices for
Commercial ePacket service and a new
paragraph, in Article 6, addressing the
Postal Service’s obligation to provide its
contracting partner, on a periodic basis,
with a list of countries for which
Commercial ePacket service is available.
Notice at 1, Attachment 1 at 2. This
Order provides the public with notice of
Modification One, invites comments,
and takes other administrative steps.
II. Contents of Filing
In addition to the Notice, the Postal
Service filed three attachments in
support of Modification One:
• Attachment 1—a redacted copy of
Modification One;
• Attachment 2—a certification of
compliance with 39 U.S.C. 3633(a); and
• Attachment 3—a redacted copy of
Governors’ Decision No. 11–6,
authorizing the new product.
The Postal Service also filed
unredacted copies of the attachments
1 Notice of the United States Postal Service of
Filing Modification to Global Plus 1C Negotiated
Service Agreement, August 8, 2013 (Notice). The
Commission approved the underlying agreement in
Order No. 1642, Order Approving Additional
Global Plus 1C Negotiated Service Agreement,
January 28, 2013.
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Federal Register / Vol. 78, No. 158 / Thursday, August 15, 2013 / Notices
49785
and the supporting financial
workpapers under seal.
SECURITIES AND EXCHANGE
COMMISSION
of the most significant parts of such
statements.
III. Commission Action
[Release No. 34–70155; File No. SR–NYSE–
2013–57]
A. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change
The Commission reopens Docket No.
CP2013–43 to consider issues raised by
the Notice. The Commission invites
comments from interested persons on
whether Modification One is consistent
with 39 U.S.C. 3632, 3633, 3642, 39 CFR
3015.5, and 39 CFR part 3020, subpart
B. Comments are due no later than
August 16, 2013. The public portions of
the Postal Service’s filing can be
accessed via the Commission’s Web site
(https://www.prc.gov). Information on the
Commission’s treatment of non-public
materials, including how to request
access to them, appears in 39 CFR part
3007.
Allison J. Levy, previously designated
to serve as Public Representative in this
proceeding, will continue in that
capacity.2
IV. Ordering Paragraphs
It is ordered:
1. The Commission reopens Docket
No. CP2013–43 for consideration of
matters raised by the Postal Service’s
Notice.
2. Allison J. Levy, previously
designated to serve as an officer of the
Commission (Public Representative) to
represent the interests of the general
public in this proceeding, will continue
in that capacity.
3. Comments from interested persons
are due no later than August 16, 2013.
4. The Secretary shall arrange for
publication of this order in the Federal
Register.
By the Commission.
Shoshana M. Grove,
Secretary.
[FR Doc. 2013–19802 Filed 8–14–13; 8:45 am]
emcdonald on DSK67QTVN1PROD with NOTICES
BILLING CODE 7710–FW–P
17:43 Aug 14, 2013
August 9, 2013.
Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934
(‘‘Act’’) 1 and Rule 19b–4 thereunder,2
notice is hereby given that on July 31,
2013, New York Stock Exchange LLC
(‘‘NYSE’’ or ‘‘Exchange’’) filed with the
Securities and Exchange Commission
(‘‘Commission’’) the proposed rule
change as described in Items I and II
below, which Items have been prepared
by the Exchange. The Commission is
publishing this notice to solicit
comments on the proposed rule change
from interested persons.
I. Self-Regulatory Organization’s
Statement of the Terms of the Substance
of the Proposed Rule Change
The Exchange proposes to amend
Section 902.03 of the Listed Company
Manual (the ‘‘Manual’’) to specify how
the Initial Application Fee is treated for
certain issuers that do not immediately
list a security for which they already
paid an Initial Application Fee. In
addition to the substantive changes
proposed herein, the Exchange also
proposes to make certain nonsubstantive changes to Section 902.03.
The text of the proposed rule change is
available on the Exchange’s Web site at
www.nyse.com, at the principal office of
the Exchange, and at the Commission’s
Public Reference Room.
II. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change
In its filing with the Commission, the
self-regulatory organization included
statements concerning the purpose of,
and basis for, the proposed rule change
and discussed any comments it received
on the proposed rule change. The text
of those statements may be examined at
the places specified in Item IV below.
The Exchange has prepared summaries,
set forth in sections A, B, and C below,
2 See Order No. 1624, Notice and Order
Concerning an Additional Global Plus 1C Contract,
January 16, 2013.
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Self-Regulatory Organizations; New
York Stock Exchange LLC; Notice of
Filing and Immediate Effectiveness of
Proposed Rule Change Amending
Section 902.03 of the Listed Company
Manual To Specify How the Initial
Application Fee Is Treated for Certain
Issuers That Do Not Immediately List a
Security for Which They Already Paid
an Initial Application Fee
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1. Purpose
The Exchange proposes to amend
Section 902.03 of the Manual to specify
how the Initial Application Fee is
treated for certain issuers that do not
immediately list a security for which
they already paid an Initial Application
Fee. In addition to the substantive
changes proposed herein, the Exchange
also proposes to make certain nonsubstantive changes to Section 902.03.
Background
Section 902.03 of the Manual
provides for an Initial Application Fee
of $25,000 that is charged to an issuer
that applies to list certain securities on
the Exchange.3
An issuer applying to list a security
on the Exchange is subject to a
preliminary free confidential review by
NYSE Regulation, Inc. (‘‘NYSER’’), in
which NYSER determines the issuer’s
qualification for listing. As set forth in
Section 702.02 of the Manual, if NYSER
determines in connection with this
preliminary confidential review that the
issuer is qualified for listing, the issuer
is informed that it has been cleared as
eligible to list and that the Exchange
will accept a formal Original Listing
Application from the issuer. It is the
Exchange’s practice to notify the issuer
of its eligibility clearance and the
conditions to its listing by means of a
letter (the ‘‘pre-clearance’’ letter).4
For an issuer subject to the Initial
Application Fee, payment of the Initial
Application Fee is a prior condition to
eligibility clearance being granted. As a
practical matter, the Exchange
anticipates that an issuer would pay the
Initial Application Fee after NYSER has
completed its preliminary confidential
review and has determined that the
issuer is eligible to submit a formal
Original Listing Application, but before
3 See Securities Exchange Act Release No. 68470
(December 19, 2012), 77 FR 76116 (December 26,
2012) (SR–NYSE–2012–68). Certain issuers are not
required to pay an Initial Application Fee. See
Section 902.03.
4 The Exchange has submitted a rule filing to the
SEC that would revise the sections of the Manual
describing the listing application process and
would delete Section 702.02. However, new
Sections 104.00 and 702.00 will describe the
eligibility clearance process in a manner that is
substantively the same as that provided in this
filing. See 34–69565 (May 13, 2013), 78 FR 29165
(May 17, 2013) (SR–NYSE–2013–33). See also 34–
69878 (June 27, 2013) (extending until August 15,
2013 the Commission’s time to take action on the
listing application filing).
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Agencies
[Federal Register Volume 78, Number 158 (Thursday, August 15, 2013)]
[Notices]
[Pages 49784-49785]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-19802]
=======================================================================
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POSTAL REGULATORY COMMISSION
[Docket No. CP2013-43; Order No. 1804]
Negotiated Service Agreement
AGENCY: Postal Regulatory Commission.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: The Commission is noticing a recent Postal Service filing
concerning the modification of Global Plus 1C negotiated service
agreement. This notice informs the public of the filing, invites public
comment, and takes other administrative steps.
DATES: Comments are due: August 16, 2013.
ADDRESSES: Submit comments electronically via the Commission's Filing
Online system at https://www.prc.gov. Those who cannot submit comments
electronically should contact the person identified in the FOR FURTHER
INFORMATION CONTACT section by telephone for advice on filing
alternatives.
FOR FURTHER INFORMATION CONTACT: Stephen L. Sharfman, General Counsel,
at 202-789-6820.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Introduction
II. Contents of Filing
III. Commission Action
IV. Ordering Paragraphs
I. Introduction
On August 8, 2013, the Postal Service filed notice, pursuant to 39
CFR 3015.5, that it has entered into a modification of the Global Plus
1C agreement approved in Docket No. CP2013-43 (Modification One).\1\
Modification One consists of rate changes to Annex 3 Prices for
Commercial ePacket service and a new paragraph, in Article 6,
addressing the Postal Service's obligation to provide its contracting
partner, on a periodic basis, with a list of countries for which
Commercial ePacket service is available. Notice at 1, Attachment 1 at
2. This Order provides the public with notice of Modification One,
invites comments, and takes other administrative steps.
---------------------------------------------------------------------------
\1\ Notice of the United States Postal Service of Filing
Modification to Global Plus 1C Negotiated Service Agreement, August
8, 2013 (Notice). The Commission approved the underlying agreement
in Order No. 1642, Order Approving Additional Global Plus 1C
Negotiated Service Agreement, January 28, 2013.
---------------------------------------------------------------------------
II. Contents of Filing
In addition to the Notice, the Postal Service filed three
attachments in support of Modification One:
Attachment 1--a redacted copy of Modification One;
Attachment 2--a certification of compliance with 39 U.S.C.
3633(a); and
Attachment 3--a redacted copy of Governors' Decision No.
11-6, authorizing the new product.
The Postal Service also filed unredacted copies of the attachments
[[Page 49785]]
and the supporting financial workpapers under seal.
III. Commission Action
The Commission reopens Docket No. CP2013-43 to consider issues
raised by the Notice. The Commission invites comments from interested
persons on whether Modification One is consistent with 39 U.S.C. 3632,
3633, 3642, 39 CFR 3015.5, and 39 CFR part 3020, subpart B. Comments
are due no later than August 16, 2013. The public portions of the
Postal Service's filing can be accessed via the Commission's Web site
(https://www.prc.gov). Information on the Commission's treatment of non-
public materials, including how to request access to them, appears in
39 CFR part 3007.
Allison J. Levy, previously designated to serve as Public
Representative in this proceeding, will continue in that capacity.\2\
---------------------------------------------------------------------------
\2\ See Order No. 1624, Notice and Order Concerning an
Additional Global Plus 1C Contract, January 16, 2013.
---------------------------------------------------------------------------
IV. Ordering Paragraphs
It is ordered:
1. The Commission reopens Docket No. CP2013-43 for consideration of
matters raised by the Postal Service's Notice.
2. Allison J. Levy, previously designated to serve as an officer of
the Commission (Public Representative) to represent the interests of
the general public in this proceeding, will continue in that capacity.
3. Comments from interested persons are due no later than August
16, 2013.
4. The Secretary shall arrange for publication of this order in the
Federal Register.
By the Commission.
Shoshana M. Grove,
Secretary.
[FR Doc. 2013-19802 Filed 8-14-13; 8:45 am]
BILLING CODE 7710-FW-P