Exemption of Records Systems Under the Privacy Act, 56852-56855 [2013-22370]
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56852
Federal Register / Vol. 78, No. 179 / Monday, September 16, 2013 / Proposed Rules
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previously guaranteed by the fund does
not exceed a total amount equal to 500
percent of the total costs of the assets
held by the fund as of December 16,
2009.
(ii) The Commissioner may, by
published guidance, set forth additional
circumstances under which guarantees
by certain perpetual trust funds will not
cause amounts in the fund to be treated
as replacement proceeds.
*
*
*
*
*
(k) [Reserved]
(l) Additional arbitrage guidance
updates—(1) In general. Sections 1.148–
1(b); 1.148–1(c)(4)(i)(B)(1); 1.148–
1(c)(4)(i)(B)(4); 1.148–1(c)(4)(ii); 1.148–
1(f); 1.148–2(e)(3)(i); 1.148–5(c)(3);
1.148–5(d)(2); 1.148–5(d)(3); 1.148–
5(d)(6)(i); 1.148–6(d)(4); 1.148–10(a)(4);
1.148–10(e); 1.148–11(d)(1)(i)(B); 1.148–
11(d)(1)(i)(D); 1.148–11(d)(1)(i)(F); and
1.148–11(d)(1)(ii) apply to bonds that
are sold on or after the date that is 90
days after the date of publication of final
regulations in the Federal Register.
(2) Section 1.148–4(h)(2)(viii) applies
to hedges that are entered into on or
after the date that is 90 days after the
date of publication of the final
regulations in the Federal Register.
(3) Section 1.148–4(h)(3)(iv)(A)
through (H) and (h)(4)(iv) apply to—
(i) Hedges that are entered into on or
after the date that is 90 days after the
date of publication of the final
regulations in the Federal Register;
(ii) Qualified hedges that are modified
on or after the date that is 90 days after
the date of publication of the final
regulations in the Federal Register with
respect to modifications on or after such
date; and
(iii) Qualified hedges on bonds that
are refunded on or after the date that is
90 days after the date of publication of
the final regulations in the Federal
Register with respect to the refunding
on or after such date.
■ Par. 13. Section 1.150–1 is amended
by:
■ 1. Adding a new paragraph (a)(2)(iii).
■ 2. Adding a definition for taxadvantaged bond in alphabetical order
to paragraph (b).
■ 3. Revising paragraph (c)(2).
■ 4. Adding a new paragraph (f).
The revisions and additions read as
follows:
§ 1.150–1
Definitions.
(a) * * *
(2) * * *
(iii) Special effective date for
definitions of tax-advantaged bond,
issue, and grant. The definition of taxadvantaged bond in paragraph (b) of
this section, the revisions to the
definition of issue in paragraph (c)(2) of
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this section, and the definition and rules
regarding the treatment of grants in
paragraph (f) of this section apply to
bonds that are sold on or after the date
that is 90 days after publication of final
regulations in the Federal Register.
*
*
*
*
*
(b) * * *
Tax-advantaged bond means a taxexempt bond, a taxable bond that
provides a Federal tax credit to the
investor with respect to the issuer’s
borrowing costs, a taxable bond that
provides a refundable Federal tax credit
payable directly to the issuer of the
bond for its borrowing costs under
section 6431, or any future similar bond
that provides a Federal subsidy for any
portion of the borrowing costs.
Examples of tax-advantaged bonds
include qualified tax credit bonds under
section 54A(d)(1) and build America
bonds under section 54AA.
*
*
*
*
*
(c) * * *
(2) Exceptions for different types of
tax-advantaged bonds and taxable
bonds. Each type of tax-advantaged
bond that has a different structure for
delivery of the borrowing subsidy or
different program eligibility
requirements is treated as part of a
different issue under this paragraph (c).
Further, tax-advantaged bonds and
bonds that are not tax-advantaged bonds
are treated as part of different issues
under this paragraph (c). The issuance
of tax-advantaged bonds in a transaction
with other non tax-advantaged bonds
must be tested under the arbitrage antiabuse rules under § 1.148–10(a) and
other applicable anti-abuse rules (for
example, limitations against window
maturity structures or unreasonable
allocations of bonds).
*
*
*
*
*
(f) Definition and treatment of
grants—(1) Definition. Grant means a
transfer for a governmental purpose of
money or property to a transferee that is
not a related party to or an agent of the
transferor. The transfer must not impose
any obligation or condition to directly
or indirectly repay any amount to the
transferor or a related party. Obligations
or conditions intended solely to assure
expenditure of the transferred moneys
in accordance with the governmental
purpose of the transfer do not prevent
a transfer from being a grant.
(2) Treatment. Except as otherwise
provided (for example, § 1.148–6(d)(4),
which treats proceeds used for grants as
spent for arbitrage purposes when the
grant is made), the character and nature
of a grantee’s use of proceeds are taken
into account in determining which rules
are applicable to the bond issue and
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whether the applicable requirements for
the bond issue are met.
For example, a grantee’s use of
proceeds generally determines whether
the proceeds are used for capital
projects or working capital expenditures
under section 148 and whether the
qualified purposes for the specific type
of bond issue are met.
Beth Tucker,
Deputy Commissioner for Operations
Support.
[FR Doc. 2013–21880 Filed 9–13–13; 8:45 am]
BILLING CODE 4830–01–P
DEPARTMENT OF JUSTICE
28 CFR Part 16
[CPCLO Order No. 005–2013]
Exemption of Records Systems Under
the Privacy Act
Executive Office for Organized
Crime Drug Enforcement Task Forces
(OCDETF), Department of Justice.
ACTION: Notice of proposed rulemaking.
AGENCY:
The Department of Justice
(the Department or DOJ) proposes to
amend its Privacy Act regulations for
two systems of records entitled the
‘‘Drug Enforcement Task Force
Evaluation and Reporting System,
JUSTICE/DAG–003,’’ last published,
March 10, 1992 in the Federal Register,
and the ‘‘Organized Crime Drug
Enforcement Task Force Fusion Center
and International Organized Crime
Intelligence and Operations Center
System, JUSTICE/CRM–028,’’ last
published, June 3, 2009 in the Federal
Register. These Privacy Act regulations
are being amended to reflect a recent
reorganization of the Department
establishing the Executive Office for
OCDETF as a separate DOJ component,
and transferring responsibility for these
systems from the Office of the Deputy
Attorney General (ODAG) and the
Criminal Division to this component. In
light of this departmental
reorganization, JUSTICE/DAG–003 is
being renumbered to JUSTICE/
OCDETF–001 and will be renamed as
the ‘‘Organized Crime Drug Enforcement
Task Forces Management Information
System (OCDETF MIS).’’ JUSTICE/
CRM–028 is being renumbered to
JUSTICE/OCDETF–002 but will retain
its system name. When under the
responsibility of ODAG and the
Criminal Division, these systems were
exempted from certain provisions of the
Privacy Act of 1974 by exemptions
placed in the Code of Federal
Regulations (CFR) sections containing
SUMMARY:
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Federal Register / Vol. 78, No. 179 / Monday, September 16, 2013 / Proposed Rules
exemptions for ODAG’s and the
Criminal Division’s Privacy Act
systems. These proposed amendments
will remove references to these systems
from the CFR sections for ODAG and
Criminal Division exemptions and add
a new section for OCDETF exemptions.
Public comment is invited.
DATES: Comments must be received by
October 16, 2013.
ADDRESSES: Address all comments to
Privacy Analyst, Office of Privacy and
Civil Liberties, National Place Building,
1331 Pennsylvania Avenue NW., Suite
1000, Washington, DC 20530, or by
facsimile to 202–307–0693. To ensure
proper handling, please reference the
CPCLO Order Number on your
correspondence. You may review an
electronic version of the proposed rule
at https://www.regulations.gov, and you
may also comment by using that Web
site’s comment form for this regulation.
Please include the CPCLO Order
Number in the subject box.
Please note that the Department is
requesting that electronic comments be
submitted before midnight Eastern Time
on the day the comment period closes
because this is when https://
www.regulations.gov terminates the
public’s ability to submit comments.
Commenters in time zones other than
Eastern Time may want to consider this
so that their electronic comments are
received. All comments sent via regular
or express mail will be considered
timely if postmarked on or before the
day the comment period closes.
Posting of Public Comments: Please
note that all comments received are
considered part of the public record and
made available for public inspection
online at https://www.regulations.gov
and in the Department’s public docket.
Such information includes personally
identifying information (such as your
name, address, etc.) voluntarily
submitted by the commenter.
If you want to submit personally
identifying information (such as your
name, address, etc.) as part of your
comment, but do not want it to be
posted online or made available in the
public docket, you must include the
phrase ‘‘PERSONALLY IDENTIFYING
INFORMATION’’ in the first paragraph
of your comment. You must also place
all the personally identifying
information you do not want posted
online or made available in the public
docket in the first paragraph of your
comment and identify what information
you want redacted.
If you want to submit confidential
business information as part of your
comment, but do not want it to be
posted online or made available in the
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public docket, you must include the
phrase ‘‘CONFIDENTIAL BUSINESS
INFORMATION’’ in the first paragraph
of your comment. You must also
prominently identify confidential
business information to be redacted
within the comment. If a comment has
so much confidential business
information that it cannot be effectively
redacted, all or part of that comment
may not be posted online or made
available in the public docket.
Personally identifying information
and confidential business information
identified and located as set forth above
will be redacted and the comment, in
redacted form, will be posted online and
placed in the Department’s public
docket file. Please note that the Freedom
of Information Act applies to all
comments received. If you wish to
inspect the agency’s public docket file
in person by appointment, please see
the FOR FURTHER INFORMATION CONTACT
paragraph.
FOR FURTHER INFORMATION CONTACT: Jill
Aronica, Chief Information Systems
Section, Executive Office for OCDETF,
U.S. Department of Justice, 1331
Pennsylvania Avenue NW., Suite 1060,
Washington, DC 20530, phone 202–514–
1860.
SUPPLEMENTARY INFORMATION: In the
Notices section of today’s Federal
Register, the Department has published
two modified systems of records notices
for the ‘‘Organized Crime Drug
Enforcement Task Force Fusion Center
and International Organized Crime
Intelligence and Operations Center
System’’ (last published at 74 FR 26733
(June 3, 2009)) and the ‘‘Organized
Crime Drug Enforcement Task Forces
Management Information System’’ (last
published at 57 FR 8473 (March 10,
1992)). Previously, when these systems
were under the purview of ODAG and
of the Criminal Division, these systems
of records were exempted from certain
provisions of the Privacy Act pursuant
to 5 U.S.C. 552a(j) and (k). These
exemptions were promulgated in the
sections of the CFR for exemptions of
ODAG systems (28 CFR 16.71) and of
Criminal Division systems (28 CFR
16.91). The Department is now
proposing to establish a new section for
exemptions of OCDETF systems (28 CFR
16.135); to delete references to the
exemptions for the Drug Enforcement
Task Force Evaluation and Reporting
System, JUSTICE/DAG–003 in 28 CFR
16.71; and to delete references to the
Organized Crime Drug Enforcement
Task Force Fusion Center and
International Organized Crime
Intelligence and Operations Center
System, JUSTICE/CRM–028 in 28 CFR
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56853
16.91. The Department intends that the
exemptions previously established
under 28 CFR 16.71 and 28 CFR 16.91
will continue to apply to these systems
and all their records until the effective
date of 28 CFR 16.135.
Regulatory Flexibility Act
This proposed rule relates to
individuals, as opposed to small
business entities. Nevertheless,
pursuant to the requirements of the
Regulatory Flexibility Act, 5 U.S.C. 601–
612, the proposed rule will not have a
significant economic impact on a
substantial number of small entities.
Small Entity Inquiries
The Small Business Regulatory
Enforcement Fairness Act of 1996
(SBREFA), 5 U.S.C. 801 et seq., requires
the Executive Office for OCDETF to
comply with small entity requests for
information and advice about
compliance with statutes and
regulations within the Executive Office
for OCDETF’s jurisdiction. Any small
entity that has a question regarding this
document may contact the person listed
in FOR FURTHER INFORMATION CONTACT.
Persons can obtain further information
regarding SBREFA on the Small
Business Administration’s Web page at
https://www.sba.gov/advocacy/825.
Paperwork Reduction Act
The Paperwork Reduction Act of
1995, 44 U.S.C. 3507(d), requires that
the Executive Office for OCDETF
consider the impact of paperwork and
other information collection burdens
imposed on the public. There are no
current or new information collection
requirements associated with this
proposed rule. The records that are
contributed to this system would be
created in any event by law enforcement
entities and their sharing of this
information electronically will not
increase the paperwork burden on these
entities.
Analysis of Regulatory Impacts
This proposed rule is not a
‘‘significant regulatory action’’ within
the meaning of Executive Order 12866
and therefore further regulatory
evaluation is not necessary. This
proposed rule will not have a significant
economic impact on a substantial
number of small entities, because it
applies only to information about
individuals.
Unfunded Mandates
Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA), Public
Law 104–4, 109 Stat. 48, requires
Federal agencies to assess the effects of
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certain regulatory actions on State,
local, and tribal governments, and the
private sector. UMRA requires a written
statement of economic and regulatory
alternatives for proposed and final rules
that contain Federal mandates. A
‘‘Federal mandate’’ is a new or
additional enforceable duty imposed on
any State, local, or tribal government or
the private sector. If any Federal
mandate causes those entities to spend,
in aggregate, $100 million or more in
any one year, the UMRA analysis is
required. This proposed rule would not
impose Federal mandates on any State,
local, or tribal government or the private
sector.
List of Subjects in 28 CFR Part 16
Administrative practice and
procedure, Courts, Freedom of
information, Privacy, Sunshine Act.
Pursuant to the authority vested in the
Attorney General by 5 U.S.C. 552a and
delegated to me by Attorney General
Order 2940–2008, the Department of
Justice proposes to amend 28 CFR part
16 as follows:
PART 16—[AMENDED]
1. The authority citation for part 16
continues to read as follows:
■
Authority: 5 U.S.C. 301, 552, 552a,
552b(g), 553; 18 U.S.C. 4203(a)(1); 28 U.S.C.
509, 510, 534; 31 U.S.C. 3717, 9701.
Subpart E—Exemption of Records
Systems Under the Privacy Act
§ 16.71
[Amended]
2. Amend § 16.71 as follows:
a. Remove the existing paragraphs
(c)(1) and (c)(2) and amend paragraph
(c) to read as follows: ‘‘The General
Files System of the Office of the Deputy
Attorney General (JUSTICE/DAG–013)
is exempt from 5 U.S.C. 552a(c)(3) and
(4); (d); (e)(1), (2), (3) and (5); and (g).’’
■ b. Remove the first two sentences of
paragraph (d);
■ c. Remove existing paragraph (e)(7);
and
■ d. Redesignate paragraph (e)(8) as
paragraph (e)(7).
■
■
§ 16.91
[Amended]
3. Amend § 16.91 by removing
paragraphs (u) and (v)
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■
§ 16.135
[Added]
4. Add § 16.135 to subpart E to read
as follows:
■
§ 16.135 Exemptions of Executive Office
for Organized Crime Drug Enforcement
Task Forces Systems.
(a) The following systems of records
are exempt from 5 U.S.C. 552a(c)(3) and
(4); (d)(1), (2), (3), and (4); (e)(1), (2), (3),
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(4)(G), (H), and (I), (5), and (8); (f); and
(g):
(1) The Organized Crime Drug
Enforcement Task Forces Management
Information System (OCDETF MIS)
(JUSTICE/OCDETF–001); and
(2) The Organized Crime Drug
Enforcement Task Force Fusion Center
and International Organized Crime
Intelligence and Operations Center
System (JUSTICE/OCDETF–002).
(b) These exemptions apply only to
the extent that information is subject to
exemption under 5 U.S.C. 552a(j) and/
or (k).
(c) Exemptions from the particular
subsections are justified for the
following reasons:
(1) From subsection (c)(3) because to
provide the subject with an accounting
of disclosures of records in these
systems could inform that individual of
the existence, nature, or scope of an
actual or potential law enforcement or
counterintelligence investigation by the
Organized Crime Drug Enforcement
Task Forces, the Organized Crime Drug
Enforcement Task Force Fusion Center,
the International Organized Crime
Intelligence and Operations Center, or
the recipient agency, and could permit
that individual to take measures to
avoid detection or apprehension, to
learn of the identity of witnesses and
informants, or to destroy evidence, and
would therefore present a serious
impediment to law enforcement or
counterintelligence efforts. In addition,
disclosure of the accounting would
amount to notice to the individual of the
existence of a record. Moreover, release
of an accounting may reveal information
that is properly classified pursuant to
Executive Order.
(2) From subsection (c)(4) because this
subsection is inapplicable to the extent
that an exemption is being claimed for
subsections (d)(1), (2), (3), and (4).
(3) From subsection (d)(1) because
disclosure of records in the system
could alert the subject of an actual or
potential criminal, civil, or regulatory
violation of the existence of that
investigation, of the nature and scope of
the information and evidence obtained
as to his or her activities, of the identity
of confidential witnesses and
informants, of the investigative interest
of the Organized Crime Drug
Enforcement Task Forces, the Organized
Crime Drug Enforcement Task Force
Fusion Center, the International
Organized Crime Intelligence and
Operations Center, and other
intelligence or law enforcement
agencies (including those responsible
for civil proceedings related to laws
against drug trafficking or related
financial crimes or international
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organized crime); could lead to the
destruction of evidence, improper
influencing of witnesses, fabrication of
testimony, and/or flight of the subject;
could reveal the details of a sensitive
investigative or intelligence technique,
or the identity of a confidential source;
or could otherwise impede,
compromise, or interfere with
investigative efforts and other related
law enforcement and/or intelligence
activities. In addition, disclosure could
invade the privacy of third parties and/
or endanger the life, health, and
physical safety of law enforcement
personnel, confidential informants,
witnesses, and potential crime victims.
Access to records could also result in
the release of information properly
classified pursuant to Executive Order.
(4) From subsection (d)(2) because
amendment of the records thought to be
inaccurate, irrelevant, incomplete, or
untimely would also interfere with
ongoing investigations, criminal or civil
law enforcement proceedings, and other
law enforcement activities; would
impose an impossible administrative
burden by requiring investigations,
analyses, and reports to be continuously
reinvestigated and revised; and may
impact information properly classified
pursuant to Executive Order.
(5) From subsections (d)(3) and (4)
because these subsections are
inapplicable to the extent that
exemption is claimed from subsections
(d)(1) and (2) and for the reasons stated
in paragraphs (b)(3) and (b)(4), above.
(6) From subsection (e)(1) because, in
the course of their acquisition, collation,
and analysis of information under the
statutory authority granted, the
Organized Crime Drug Enforcement
Task Forces, the Organized Crime Drug
Enforcement Task Force Fusion Center,
and the International Organized Crime
Intelligence and Operations Center will
occasionally obtain information,
including information properly
classified pursuant to Executive Order,
that concerns actual or potential
violations of law that are not strictly
within their statutory or other authority
or may compile and maintain
information which may not be relevant
to a specific investigation or
prosecution. This is because it is
impossible to determine in advance
what information collected during an
investigation or in support of these
mission activities will be important or
crucial to an investigation. In the
interests of effective law enforcement, it
is necessary to retain such information
in this system of records because it can
aid in establishing patterns of criminal
activity of a suspect and can provide
valuable leads for federal and other law
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enforcement agencies. This
consideration applies equally to
information acquired from, or collated
or analyzed for, both law enforcement
agencies and agencies of the U.S. foreign
intelligence community and military
community.
(7) From subsection (e)(2) because in
a criminal, civil, or regulatory
investigation, prosecution, or
proceeding, the requirement that
information be collected to the greatest
extent practicable from the subject
individual would present a serious
impediment to law enforcement because
the subject of the investigation,
prosecution, or proceeding would be
placed on notice as to the existence and
nature of the investigation, prosecution,
or proceeding and would therefore be
able to avoid detection or apprehension,
to influence witnesses improperly, to
destroy evidence, or to fabricate
testimony. Moreover, thorough and
effective investigation and prosecution
may require seeking information from a
number of different sources.
(8) From subsection (e)(3) because to
comply with the requirements of this
subsection during the course of an
investigation could impede the
information-gathering process, thus
hampering the investigation or
intelligence gathering. Disclosure to an
individual of investigative interest
would put the subject on notice of that
fact and allow the subject an
opportunity to engage in conduct
intended to impede that activity or
avoid apprehension. Disclosure to other
individuals would likewise put them on
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notice of what might still be a sensitive
law enforcement interest and could
result in the further intentional or
accidental disclosure to the subject or
other inappropriate recipients, convey
information that might constitute
unwarranted invasions of the personal
privacy of other persons, unnecessarily
burden law enforcement personnel in
information-collection activities, and
chill the willingness of witnesses to
cooperate.
(9) From subsections (e)(4)(G) and (H)
because this system is exempt from the
access and amendment provisions of
subsection (d).
(10) From subsection (e)(4)(I) to the
extent that this subsection could be
interpreted to require more detail
regarding system record sources than
has been published in the Federal
Register. Should this subsection be so
interpreted, exemption from this
provision is necessary to protect the
sources of law enforcement and
intelligence information and to protect
the privacy and safety of witnesses and
informants and other information
sources. Further, greater specificity
could compromise other sensitive law
enforcement information, techniques,
and processes.
(11) From subsection (e)(5) because
the acquisition, collation, and analysis
of information for law enforcement
purposes from various agencies does not
permit a determination in advance or a
prediction of what information will be
matched with other information and
thus whether it is accurate, relevant,
timely, and complete. With the passage
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56855
of time, seemingly irrelevant or
untimely information may acquire new
significance as further investigation
brings new details to light, and the
accuracy of such information can often
only be determined in a court of law.
The restrictions imposed by subsection
(e)(5) would restrict the ability of
trained investigators, intelligence
analysts, and government attorneys to
exercise their judgment in collating and
analyzing information and would
impede the development of criminal or
other intelligence necessary for effective
law enforcement.
(12) From subsection (e)(8) because
the individual notice requirements
could present a serious impediment to
law enforcement by revealing
investigative techniques, procedures,
evidence, or interest, and by interfering
with the ability to issue warrants or
subpoenas; could give persons sufficient
warning to evade investigative efforts;
and would pose an unacceptable
administrative burden on the
maintenance of these records and the
conduct of the underlying
investigations.
(13) From subsections (f) and (g)
because these subsections are
inapplicable to the extent that the
system is exempt from other specific
subsections of the Privacy Act.
Dated: August 21, 2013.
Joo Y. Chung,
Acting Chief Privacy and Civil Liberties
Officer, United States Department of Justice.
[FR Doc. 2013–22370 Filed 9–13–13; 8:45 am]
BILLING CODE 4410–NY–P
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Agencies
[Federal Register Volume 78, Number 179 (Monday, September 16, 2013)]
[Proposed Rules]
[Pages 56852-56855]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-22370]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF JUSTICE
28 CFR Part 16
[CPCLO Order No. 005-2013]
Exemption of Records Systems Under the Privacy Act
AGENCY: Executive Office for Organized Crime Drug Enforcement Task
Forces (OCDETF), Department of Justice.
ACTION: Notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: The Department of Justice (the Department or DOJ) proposes to
amend its Privacy Act regulations for two systems of records entitled
the ``Drug Enforcement Task Force Evaluation and Reporting System,
JUSTICE/DAG-003,'' last published, March 10, 1992 in the Federal
Register, and the ``Organized Crime Drug Enforcement Task Force Fusion
Center and International Organized Crime Intelligence and Operations
Center System, JUSTICE/CRM-028,'' last published, June 3, 2009 in the
Federal Register. These Privacy Act regulations are being amended to
reflect a recent reorganization of the Department establishing the
Executive Office for OCDETF as a separate DOJ component, and
transferring responsibility for these systems from the Office of the
Deputy Attorney General (ODAG) and the Criminal Division to this
component. In light of this departmental reorganization, JUSTICE/DAG-
003 is being renumbered to JUSTICE/OCDETF-001 and will be renamed as
the ``Organized Crime Drug Enforcement Task Forces Management
Information System (OCDETF MIS).'' JUSTICE/CRM-028 is being renumbered
to JUSTICE/OCDETF-002 but will retain its system name. When under the
responsibility of ODAG and the Criminal Division, these systems were
exempted from certain provisions of the Privacy Act of 1974 by
exemptions placed in the Code of Federal Regulations (CFR) sections
containing
[[Page 56853]]
exemptions for ODAG's and the Criminal Division's Privacy Act systems.
These proposed amendments will remove references to these systems from
the CFR sections for ODAG and Criminal Division exemptions and add a
new section for OCDETF exemptions. Public comment is invited.
DATES: Comments must be received by October 16, 2013.
ADDRESSES: Address all comments to Privacy Analyst, Office of Privacy
and Civil Liberties, National Place Building, 1331 Pennsylvania Avenue
NW., Suite 1000, Washington, DC 20530, or by facsimile to 202-307-0693.
To ensure proper handling, please reference the CPCLO Order Number on
your correspondence. You may review an electronic version of the
proposed rule at https://www.regulations.gov, and you may also comment
by using that Web site's comment form for this regulation. Please
include the CPCLO Order Number in the subject box.
Please note that the Department is requesting that electronic
comments be submitted before midnight Eastern Time on the day the
comment period closes because this is when https://www.regulations.gov
terminates the public's ability to submit comments. Commenters in time
zones other than Eastern Time may want to consider this so that their
electronic comments are received. All comments sent via regular or
express mail will be considered timely if postmarked on or before the
day the comment period closes.
Posting of Public Comments: Please note that all comments received
are considered part of the public record and made available for public
inspection online at https://www.regulations.gov and in the Department's
public docket. Such information includes personally identifying
information (such as your name, address, etc.) voluntarily submitted by
the commenter.
If you want to submit personally identifying information (such as
your name, address, etc.) as part of your comment, but do not want it
to be posted online or made available in the public docket, you must
include the phrase ``PERSONALLY IDENTIFYING INFORMATION'' in the first
paragraph of your comment. You must also place all the personally
identifying information you do not want posted online or made available
in the public docket in the first paragraph of your comment and
identify what information you want redacted.
If you want to submit confidential business information as part of
your comment, but do not want it to be posted online or made available
in the public docket, you must include the phrase ``CONFIDENTIAL
BUSINESS INFORMATION'' in the first paragraph of your comment. You must
also prominently identify confidential business information to be
redacted within the comment. If a comment has so much confidential
business information that it cannot be effectively redacted, all or
part of that comment may not be posted online or made available in the
public docket.
Personally identifying information and confidential business
information identified and located as set forth above will be redacted
and the comment, in redacted form, will be posted online and placed in
the Department's public docket file. Please note that the Freedom of
Information Act applies to all comments received. If you wish to
inspect the agency's public docket file in person by appointment,
please see the FOR FURTHER INFORMATION CONTACT paragraph.
FOR FURTHER INFORMATION CONTACT: Jill Aronica, Chief Information
Systems Section, Executive Office for OCDETF, U.S. Department of
Justice, 1331 Pennsylvania Avenue NW., Suite 1060, Washington, DC
20530, phone 202-514-1860.
SUPPLEMENTARY INFORMATION: In the Notices section of today's Federal
Register, the Department has published two modified systems of records
notices for the ``Organized Crime Drug Enforcement Task Force Fusion
Center and International Organized Crime Intelligence and Operations
Center System'' (last published at 74 FR 26733 (June 3, 2009)) and the
``Organized Crime Drug Enforcement Task Forces Management Information
System'' (last published at 57 FR 8473 (March 10, 1992)). Previously,
when these systems were under the purview of ODAG and of the Criminal
Division, these systems of records were exempted from certain
provisions of the Privacy Act pursuant to 5 U.S.C. 552a(j) and (k).
These exemptions were promulgated in the sections of the CFR for
exemptions of ODAG systems (28 CFR 16.71) and of Criminal Division
systems (28 CFR 16.91). The Department is now proposing to establish a
new section for exemptions of OCDETF systems (28 CFR 16.135); to delete
references to the exemptions for the Drug Enforcement Task Force
Evaluation and Reporting System, JUSTICE/DAG-003 in 28 CFR 16.71; and
to delete references to the Organized Crime Drug Enforcement Task Force
Fusion Center and International Organized Crime Intelligence and
Operations Center System, JUSTICE/CRM-028 in 28 CFR 16.91. The
Department intends that the exemptions previously established under 28
CFR 16.71 and 28 CFR 16.91 will continue to apply to these systems and
all their records until the effective date of 28 CFR 16.135.
Regulatory Flexibility Act
This proposed rule relates to individuals, as opposed to small
business entities. Nevertheless, pursuant to the requirements of the
Regulatory Flexibility Act, 5 U.S.C. 601-612, the proposed rule will
not have a significant economic impact on a substantial number of small
entities.
Small Entity Inquiries
The Small Business Regulatory Enforcement Fairness Act of 1996
(SBREFA), 5 U.S.C. 801 et seq., requires the Executive Office for
OCDETF to comply with small entity requests for information and advice
about compliance with statutes and regulations within the Executive
Office for OCDETF's jurisdiction. Any small entity that has a question
regarding this document may contact the person listed in FOR FURTHER
INFORMATION CONTACT. Persons can obtain further information regarding
SBREFA on the Small Business Administration's Web page at https://www.sba.gov/advocacy/825.
Paperwork Reduction Act
The Paperwork Reduction Act of 1995, 44 U.S.C. 3507(d), requires
that the Executive Office for OCDETF consider the impact of paperwork
and other information collection burdens imposed on the public. There
are no current or new information collection requirements associated
with this proposed rule. The records that are contributed to this
system would be created in any event by law enforcement entities and
their sharing of this information electronically will not increase the
paperwork burden on these entities.
Analysis of Regulatory Impacts
This proposed rule is not a ``significant regulatory action''
within the meaning of Executive Order 12866 and therefore further
regulatory evaluation is not necessary. This proposed rule will not
have a significant economic impact on a substantial number of small
entities, because it applies only to information about individuals.
Unfunded Mandates
Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), Public
Law 104-4, 109 Stat. 48, requires Federal agencies to assess the
effects of
[[Page 56854]]
certain regulatory actions on State, local, and tribal governments, and
the private sector. UMRA requires a written statement of economic and
regulatory alternatives for proposed and final rules that contain
Federal mandates. A ``Federal mandate'' is a new or additional
enforceable duty imposed on any State, local, or tribal government or
the private sector. If any Federal mandate causes those entities to
spend, in aggregate, $100 million or more in any one year, the UMRA
analysis is required. This proposed rule would not impose Federal
mandates on any State, local, or tribal government or the private
sector.
List of Subjects in 28 CFR Part 16
Administrative practice and procedure, Courts, Freedom of
information, Privacy, Sunshine Act.
Pursuant to the authority vested in the Attorney General by 5
U.S.C. 552a and delegated to me by Attorney General Order 2940-2008,
the Department of Justice proposes to amend 28 CFR part 16 as follows:
PART 16--[AMENDED]
0
1. The authority citation for part 16 continues to read as follows:
Authority: 5 U.S.C. 301, 552, 552a, 552b(g), 553; 18 U.S.C.
4203(a)(1); 28 U.S.C. 509, 510, 534; 31 U.S.C. 3717, 9701.
Subpart E--Exemption of Records Systems Under the Privacy Act
Sec. 16.71 [Amended]
0
2. Amend Sec. 16.71 as follows:
0
a. Remove the existing paragraphs (c)(1) and (c)(2) and amend paragraph
(c) to read as follows: ``The General Files System of the Office of the
Deputy Attorney General (JUSTICE/DAG-013) is exempt from 5 U.S.C.
552a(c)(3) and (4); (d); (e)(1), (2), (3) and (5); and (g).''
0
b. Remove the first two sentences of paragraph (d);
0
c. Remove existing paragraph (e)(7); and
0
d. Redesignate paragraph (e)(8) as paragraph (e)(7).
Sec. 16.91 [Amended]
0
3. Amend Sec. 16.91 by removing paragraphs (u) and (v)
Sec. 16.135 [Added]
0
4. Add Sec. 16.135 to subpart E to read as follows:
Sec. 16.135 Exemptions of Executive Office for Organized Crime Drug
Enforcement Task Forces Systems.
(a) The following systems of records are exempt from 5 U.S.C.
552a(c)(3) and (4); (d)(1), (2), (3), and (4); (e)(1), (2), (3),
(4)(G), (H), and (I), (5), and (8); (f); and (g):
(1) The Organized Crime Drug Enforcement Task Forces Management
Information System (OCDETF MIS) (JUSTICE/OCDETF-001); and
(2) The Organized Crime Drug Enforcement Task Force Fusion Center
and International Organized Crime Intelligence and Operations Center
System (JUSTICE/OCDETF-002).
(b) These exemptions apply only to the extent that information is
subject to exemption under 5 U.S.C. 552a(j) and/or (k).
(c) Exemptions from the particular subsections are justified for
the following reasons:
(1) From subsection (c)(3) because to provide the subject with an
accounting of disclosures of records in these systems could inform that
individual of the existence, nature, or scope of an actual or potential
law enforcement or counterintelligence investigation by the Organized
Crime Drug Enforcement Task Forces, the Organized Crime Drug
Enforcement Task Force Fusion Center, the International Organized Crime
Intelligence and Operations Center, or the recipient agency, and could
permit that individual to take measures to avoid detection or
apprehension, to learn of the identity of witnesses and informants, or
to destroy evidence, and would therefore present a serious impediment
to law enforcement or counterintelligence efforts. In addition,
disclosure of the accounting would amount to notice to the individual
of the existence of a record. Moreover, release of an accounting may
reveal information that is properly classified pursuant to Executive
Order.
(2) From subsection (c)(4) because this subsection is inapplicable
to the extent that an exemption is being claimed for subsections
(d)(1), (2), (3), and (4).
(3) From subsection (d)(1) because disclosure of records in the
system could alert the subject of an actual or potential criminal,
civil, or regulatory violation of the existence of that investigation,
of the nature and scope of the information and evidence obtained as to
his or her activities, of the identity of confidential witnesses and
informants, of the investigative interest of the Organized Crime Drug
Enforcement Task Forces, the Organized Crime Drug Enforcement Task
Force Fusion Center, the International Organized Crime Intelligence and
Operations Center, and other intelligence or law enforcement agencies
(including those responsible for civil proceedings related to laws
against drug trafficking or related financial crimes or international
organized crime); could lead to the destruction of evidence, improper
influencing of witnesses, fabrication of testimony, and/or flight of
the subject; could reveal the details of a sensitive investigative or
intelligence technique, or the identity of a confidential source; or
could otherwise impede, compromise, or interfere with investigative
efforts and other related law enforcement and/or intelligence
activities. In addition, disclosure could invade the privacy of third
parties and/or endanger the life, health, and physical safety of law
enforcement personnel, confidential informants, witnesses, and
potential crime victims. Access to records could also result in the
release of information properly classified pursuant to Executive Order.
(4) From subsection (d)(2) because amendment of the records thought
to be inaccurate, irrelevant, incomplete, or untimely would also
interfere with ongoing investigations, criminal or civil law
enforcement proceedings, and other law enforcement activities; would
impose an impossible administrative burden by requiring investigations,
analyses, and reports to be continuously reinvestigated and revised;
and may impact information properly classified pursuant to Executive
Order.
(5) From subsections (d)(3) and (4) because these subsections are
inapplicable to the extent that exemption is claimed from subsections
(d)(1) and (2) and for the reasons stated in paragraphs (b)(3) and
(b)(4), above.
(6) From subsection (e)(1) because, in the course of their
acquisition, collation, and analysis of information under the statutory
authority granted, the Organized Crime Drug Enforcement Task Forces,
the Organized Crime Drug Enforcement Task Force Fusion Center, and the
International Organized Crime Intelligence and Operations Center will
occasionally obtain information, including information properly
classified pursuant to Executive Order, that concerns actual or
potential violations of law that are not strictly within their
statutory or other authority or may compile and maintain information
which may not be relevant to a specific investigation or prosecution.
This is because it is impossible to determine in advance what
information collected during an investigation or in support of these
mission activities will be important or crucial to an investigation. In
the interests of effective law enforcement, it is necessary to retain
such information in this system of records because it can aid in
establishing patterns of criminal activity of a suspect and can provide
valuable leads for federal and other law
[[Page 56855]]
enforcement agencies. This consideration applies equally to information
acquired from, or collated or analyzed for, both law enforcement
agencies and agencies of the U.S. foreign intelligence community and
military community.
(7) From subsection (e)(2) because in a criminal, civil, or
regulatory investigation, prosecution, or proceeding, the requirement
that information be collected to the greatest extent practicable from
the subject individual would present a serious impediment to law
enforcement because the subject of the investigation, prosecution, or
proceeding would be placed on notice as to the existence and nature of
the investigation, prosecution, or proceeding and would therefore be
able to avoid detection or apprehension, to influence witnesses
improperly, to destroy evidence, or to fabricate testimony. Moreover,
thorough and effective investigation and prosecution may require
seeking information from a number of different sources.
(8) From subsection (e)(3) because to comply with the requirements
of this subsection during the course of an investigation could impede
the information-gathering process, thus hampering the investigation or
intelligence gathering. Disclosure to an individual of investigative
interest would put the subject on notice of that fact and allow the
subject an opportunity to engage in conduct intended to impede that
activity or avoid apprehension. Disclosure to other individuals would
likewise put them on notice of what might still be a sensitive law
enforcement interest and could result in the further intentional or
accidental disclosure to the subject or other inappropriate recipients,
convey information that might constitute unwarranted invasions of the
personal privacy of other persons, unnecessarily burden law enforcement
personnel in information-collection activities, and chill the
willingness of witnesses to cooperate.
(9) From subsections (e)(4)(G) and (H) because this system is
exempt from the access and amendment provisions of subsection (d).
(10) From subsection (e)(4)(I) to the extent that this subsection
could be interpreted to require more detail regarding system record
sources than has been published in the Federal Register. Should this
subsection be so interpreted, exemption from this provision is
necessary to protect the sources of law enforcement and intelligence
information and to protect the privacy and safety of witnesses and
informants and other information sources. Further, greater specificity
could compromise other sensitive law enforcement information,
techniques, and processes.
(11) From subsection (e)(5) because the acquisition, collation, and
analysis of information for law enforcement purposes from various
agencies does not permit a determination in advance or a prediction of
what information will be matched with other information and thus
whether it is accurate, relevant, timely, and complete. With the
passage of time, seemingly irrelevant or untimely information may
acquire new significance as further investigation brings new details to
light, and the accuracy of such information can often only be
determined in a court of law. The restrictions imposed by subsection
(e)(5) would restrict the ability of trained investigators,
intelligence analysts, and government attorneys to exercise their
judgment in collating and analyzing information and would impede the
development of criminal or other intelligence necessary for effective
law enforcement.
(12) From subsection (e)(8) because the individual notice
requirements could present a serious impediment to law enforcement by
revealing investigative techniques, procedures, evidence, or interest,
and by interfering with the ability to issue warrants or subpoenas;
could give persons sufficient warning to evade investigative efforts;
and would pose an unacceptable administrative burden on the maintenance
of these records and the conduct of the underlying investigations.
(13) From subsections (f) and (g) because these subsections are
inapplicable to the extent that the system is exempt from other
specific subsections of the Privacy Act.
Dated: August 21, 2013.
Joo Y. Chung,
Acting Chief Privacy and Civil Liberties Officer, United States
Department of Justice.
[FR Doc. 2013-22370 Filed 9-13-13; 8:45 am]
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