Sunshine Act Meeting Notice, 56229 [2013-22341]

Download as PDF Federal Register / Vol. 78, No. 177 / Thursday, September 12, 2013 / Notices FEDERAL DEPOSIT INSURANCE CORPORATION Sunshine Act Meeting Notice Pursuant to the provisions of the ‘‘Government in the Sunshine Act’’ (5 U.S.C. 552b), notice is hereby given that at 10:16 a.m. on Tuesday, September 10, 2013, the Board of Directors of the Federal Deposit Insurance Corporation 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 Richard Cordray (Director, Consumer Financial Protection Bureau), Director Thomas J. Curry (Comptroller of the Currency), 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, D. C. Dated: September 10, 2013. Federal Deposit Insurance Corporation. Robert E. Feldman, Executive Secretary. [FR Doc. 2013–22341 Filed 9–10–13; 4:15 pm] BILLING CODE P FEDERAL MARITIME COMMISSION tkelley on DSK3SPTVN1PROD with NOTICES Ocean Transportation Intermediary License Applicants The Commission gives notice that the following applicants have filed an application for an Ocean Transportation Intermediary (OTI) license as a NonVessel-Operating Common Carrier (NVO) and/or Ocean Freight Forwarder (OFF) pursuant to section 19 of the Shipping Act of 1984 (46 U.S.C. 40101). Notice is also given of the filing of applications to amend an existing OTI license or the Qualifying Individual (QI) for a licensee. VerDate Mar<15>2010 19:54 Sep 11, 2013 Jkt 229001 Interested persons may contact the Office of Ocean Transportation Intermediaries, Federal Maritime Commission, Washington, DC 20573, by telephone at (202) 523–5843 or by email at OTI@fmc.gov. ATS Logistics, LLC (NVO & OFF), 19747 Highway 59 N, Suite 261, Humble, TX 77338, Officers: Lydia R. Ramos, Secretary (QI), Amit K. Gandhi, President, Application Type: New NVO & OFF License C Auto Group Inc. (OFF), 13224 Valley Blvd., La Puente, CA 91746, Officers: Lida Mov, Secretary (QI), Cindy P. Tang, CEO, Application Type: New OFF License DSX-Port, Inc. (NVO), 1450 W. Thorndale Avenue, Itasca, IL 60143, Officers: Jeff Aguilar, Vice President (QI), Michael Butterfield, President, Application Type: QI Change Eastern Logistics Services, Inc. (NVO & OFF), One Cross Island Plaza, Suite 111, Rosedale, NY 11422, Officer: Jimmy Wong, Director (QI), Application Type: New NVO & OFF License International Cargo Consolidators, Corp. (OFF), 10049 NW 89th Avenue, Bay 3, Medley, FL 33178, Officer: Maria (aka Teri) T. Rodriguez-Olivero, President (QI), Application Type: New OFF License Popi Trading, Inc. dba Liner American Services N.A. (NVO & OFF), 225 Broadway, Suite 2701, New York, NY 10007, Officers: Cristina Rodriguez, Treasurer (QI), Pablo J. Silva, President, Application Type: New NVO & OFF License Seascape Lines, Inc. (NVO), 15 Forbush Road, Dublin, NH 03444, Officers: Renee G. Rebolledo, President (QI), C. Wilson Sullivan, Secretary, Application Type: QI Change World Link Transport, Inc. (NVO & OFF), 1220 Kona Drive, Compton, CA 90220, Officers: Michael M. Goto, President (QI), Nanette Victoriano, Corporate Secretary, Application Type: New NVO & OFF License By the Commission. Dated: September 6, 2013. Karen V. Gregory, Secretary. 56229 revoked or terminated for the reason shown pursuant to section 19 of the Shipping Act of 1984 (46 U.S.C. 40101) effective on the date shown. License No.: 004306N. Name: International Transport Services, Inc. Address: 19987 Commerce Parkway, Cleveland, OH 44130. Date Revoked: August 9, 2013. Reason: Failed to maintain a valid bond. License No.: 004436NF. Name: Wimpex, Inc. Address: 1001 La Bore International Ct., Suite C, Vadnais Heights, MN 55110. Date Revoked: July 29, 2013. Reason: Voluntary Surrender of License. License No.: 020272NF. Name: CCT Corporation dba CCT Marine dba CCT Global Logistics. Address: 11250 NW 25th Street, Suite 114, Miami, FL 33172. Date Revoked: August 1, 2013. Reason: Failed to maintain valid bonds. License No.: 022827F. Name: Stella Maris International Trading, Inc. dba OP Shipping. Address: 1601 Sahlman Drive, Tampa, FL 33605. Date Revoked: July 24, 2013. Reason: Failed to maintain a valid bond. License No.: 023333NF. Name: Base Ventures International, Inc. dba Base Ventures Shipping Address: 160 1st Street, SE., Suite 201, New Brighton, MN 55112. Date Revoked: July 24, 2013. Reason: Failed to maintain valid bonds. License No.: 024023F. Name: OES Logistics, Inc Address: 10900 E. 183rd Street, #130, Cerritos, CA 90703. Date Revoked: July 16, 2013. Reason: Failed to maintain a valid bond. James A. Nussbaumer, Deputy Director, Bureau of Certification and Licensing. [FR Doc. 2013–22131 Filed 9–11–13; 8:45 am] BILLING CODE 6730–01–P [FR Doc. 2013–22133 Filed 9–11–13; 8:45 am] BILLING CODE 6730–01–P GENERAL SERVICES ADMINISTRATION FEDERAL MARITIME COMMISSION [OMB Control No. 3090–00XX; Docket No. 2013–0001; Sequence 7] Ocean Transportation Intermediary License Revocations and Terminations Information Collection; DigitalGov Customer Satisfaction Survey The Commission gives notice that the following Ocean Transportation Intermediary licenses have been AGENCY: PO 00000 Frm 00028 Fmt 4703 Sfmt 4703 Office of Citizen Services and Innovative Technologies (OCSIT), General Services Administration (GSA). E:\FR\FM\12SEN1.SGM 12SEN1

Agencies

[Federal Register Volume 78, Number 177 (Thursday, September 12, 2013)]
[Notices]
[Page 56229]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-22341]



[[Page 56229]]

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FEDERAL DEPOSIT INSURANCE CORPORATION


Sunshine Act Meeting Notice

    Pursuant to the provisions of the ``Government in the Sunshine 
Act'' (5 U.S.C. 552b), notice is hereby given that at 10:16 a.m. on 
Tuesday, September 10, 2013, the Board of Directors of the Federal 
Deposit Insurance Corporation 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 Richard Cordray (Director, 
Consumer Financial Protection Bureau), Director Thomas J. Curry 
(Comptroller of the Currency), 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, D. C.

    Dated: September 10, 2013.

Federal Deposit Insurance Corporation.
 Robert E. Feldman,
Executive Secretary.
[FR Doc. 2013-22341 Filed 9-10-13; 4:15 pm]
BILLING CODE P
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