Sunshine Act Meetings, 75919-75920 [2013-29765]
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Federal Register / Vol. 78, No. 240 / Friday, December 13, 2013 / Notices
Mitigation Measures
In the Final Hanford Comprehensive
Land-Use Plan Environmental Impact
Statement (Hanford Comprehensive
Land-Use Plan EIS (DOE/EIS–0222,
September 1, 1999) DOE identified
specific mitigation measures, policies,
and management controls that direct
land use at Hanford. DOE committed to
these mitigation measures, as
documented in the Hanford
Comprehensive Land-Use Plan EIS ROD
(64 FR 61615 November 12, 1999),
which were reaffirmed in the
Supplement Analysis, Hanford
Comprehensive Land-Use Plan EIS
(EIS–0222–SA–02, June 2, 2008) and in
the amended ROD (73 FR 55824,
September 26, 2008). These mitigation
measures will continue to be
implemented, as applicable, for the tank
waste retrieval and treatment activities
discussed in the TC&WM EIS. The
TC&WM EIS did not identify any
mitigation measures for the short-term
resource areas that are needed in
addition to those in the Supplement
Analysis, Hanford Comprehensive Land
Use Plan EIS and its amended ROD.
DOE has continued to evaluate
potential mitigation measures for the
contaminated soil at Hanford for several
years. Most recently, DOE published the
Long-Range Deep Vadose Zone Program
Plan in October 2010. This program
plan summarizes the current state of
knowledge regarding deep vadose zone
remediation challenges beneath the
Central Plateau at Hanford and DOE’s
approach to solving these challenges.
The challenges to implementing deep
vadose zone remediation are the result
of contaminant depth and spread; the
presence of multiple contaminants and
comingled waste chemistries; physical,
chemical, and biological fate and
transport mechanisms; uncertain
contaminant behavior; limited
availability and effectiveness of cleanup
remedies; and the unknown efficacy of
remediation performance over the
periods and spatial scales needed for
making decisions.
Nevertheless, all practicable means to
avoid or minimize environmental harm
for the decisions identified have been
adopted. DOE will prepare and
implement a Mitigation Action Plan to
address long-term impact areas. Longterm mitigation measures related to SST
closure will be refined and presented in
the TC&WM EIS Mitigation Action Plan,
which will be posted on the Hanford
and DOE NEPA Web sites identified in
ADDRESSES. DOE will periodically
revisit and update the Mitigation Action
Plan as appropriate prior to initiating
actions pursuant to this ROD.
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Jkt 232001
Issued in Washington, DC, on December 6,
2013.
David Huizenga,
Senior Advisor for Environmental
Management.
[FR Doc. 2013–29734 Filed 12–12–13; 8:45 am]
BILLING CODE 6450–01–P
ENVIRONMENTAL PROTECTION
AGENCY
[ER–FRL–9012–5]
Environmental Impact Statements;
Notice of Availability
Responsible Agency: Office of Federal
Activities, General Information (202)
564–7146 or https://www.epa.gov/
compliance/nepa/.
Weekly receipt of Environmental Impact
Statements filed 12/02/2013 through
12/06/2013 pursuant to 40 CFR
1506.9.
Notice
Section 309(a) of the Clean Air Act
requires that EPA make public its
comments on EISs issued by other
Federal agencies. EPA’s comment letters
on EISs are available at: https://
www.epa.gov/compliance/nepa/
eisdata.html.
EIS No. 20130356, Final EIS, FRA, MS,
Tupelo Railroad Relocation Planning
and Environmental Study, Review
Period Ends: 01/13/2014, Contact:
John Winkle 202–493–6067
EIS No. 20130357, Final EIS, FHWA,
VA, Interstate 66 Corridor Tier 1 Final
Environmental Impact Statement and
Tier 1 Record of Decision, Contact:
John Simkins 804–775–3347. Under
MAP–21 section 1319, FHWA has
issued a single FEIS and ROD.
Therefore, the 30-day wait/review
period under NEPA does not apply to
this action
EIS No. 20130358, Final EIS, FHWA,
VA, Interstate 64 Peninsula, from
Interstate 95 in the City of Richmond
to Interstate 664, Review Period Ends:
01/27/2014, Contact: John Simkins
804–775–3320
EIS No. 20130359, Final EIS, AFS, CA,
Kelsey Peak Timber Sale and
Fuelbreak Project, Review Period
Ends: 01/27/2014, Contact: Jeff Jones
707–441–3553
EIS No. 20130360, Final EIS, USFS, AZ,
Rosemont Copper Project, Proposed
Mining Operation, Review Period
Ends: 01/29/2014, Contact: Mindy
Vogel 520–388–8300
EIS No. 20130361, Draft Supplement,
USACE, MN, NorthMet Mining
Project and Land Exchange, Comment
Period Ends: 03/13/2014, Contact:
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75919
Douglas Bruner 651–290–5378. The
U.S. Army Corps of Engineers and the
U.S. Department of Agriculture’s
Forest Service are joint lead agencies
for the above project.
EIS No. 20130362, Final EIS, USFS, MT,
Montana Snowbowl Expansion,
Review Period Ends: 01/21/2014,
Contact: Tami Paulsen 406–329–3731
EIS No. 20130363, Draft EIS, DOI, 00,
PROGRAMMATIC—Deepwater
Horizon Oil Spill Natural Resources
Damage Assessment, Phase III Early
Restoration Plan, Comment Period
Ends: 02/04/2014, Contact: Nanciann
Regalado 678–296–6805
EIS No. 20130364, Final EIS, USFS, OR,
Tollgate Fuels Reduction, Review
Period Ends: 01/13/2014, Contact:
Kimpton Cooper 509–522–6009
EIS No. 20130365, Draft EIS, NMFS, CA,
Bay Delta Conservation Plan,
Comment Period Ends: 04/14/2014,
Contact: Ryan Wulff 916–930–3733
The U.S. Department of the Interior’s
Bureau of Reclamation and Fish and
Wildlife Service, the U.S. Department of
Commerce’s National Marine Fisheries
Service are joint lead agencies for the
above project.
EIS No. 20130366, Draft EIS, USACE,
LA, PROGRAMMATIC—Southwest
Coastal Louisiana Project, Comment
Period Ends: 01/27/2014, Contact:
Nathan Dayan 504–862–2530
Dated: December 10, 2013.
Cliff Rader,
Director, NEPA Compliance Division, Office
of Federal Activities.
[FR Doc. 2013–29770 Filed 12–12–13; 8:45 am]
BILLING CODE 6560–50–P
FEDERAL DEPOSIT INSURANCE
CORPORATION
Sunshine Act Meetings
Pursuant to the provisions of the
‘‘Government in the Sunshine Act’’ (5
U.S.C. 552b), notice is hereby given that
the Federal Deposit Insurance
Corporation’s Board of Directors met in
open session at 10:00 a.m. on Tuesday,
December 10, 2013, to consider the
following matters:
Discussion Agenda: Memorandum
and resolution re: The Resolution of
Systemically Important Financial
Institutions: The Single Point of Entry
Strategy.
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
Thomas J. Curry (Comptroller of the
Currency), Director Richard Cordray
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Federal Register / Vol. 78, No. 240 / Friday, December 13, 2013 / Notices
(Director, Consumer Financial
Protection Bureau), and Chairman
Martin J. Gruenberg, that Corporation
business required its consideration of
the matters on less than seven days’
notice to the public; and that no earlier
notice of the meeting than that
previously provided on December 9,
2013, was practicable.
The meeting was held in the Board
Room on the sixth floor of the FDIC
Building located at 550 17th Street NW.,
Washington, DC.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
Dated: December 11, 2013.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
[FR Doc. 2013–29765 Filed 12–11–13; 11:15 am]
SUMMARY:
ehiers on DSK2VPTVN1PROD with NOTICES
Advisory Council on Government
Auditing Standards
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Centers for Disease Control and
Prevention
Notice of teleconference
meeting.
Pursuant to the provisions of the
‘‘Government in the Sunshine Act’’ (5
U.S.C. 552b), notice is hereby given that
at 11:34 a.m. on Tuesday, December 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
Thomas J. Curry (Comptroller of the
Currency), Director Richard Cordray
(Director, Consumer Financial
Protection Bureau), 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, DC.
Jkt 232001
BILLING CODE 1610–02–M
GOVERNMENT ACCOUNTABILITY
OFFICE
[30Day–14–0214]
ACTION:
Sunshine Act Meetings
13:32 Dec 12, 2013
[FR Doc. 2013–29756 Filed 12–12–13; 8:45 am]
U.S. Government
Accountability Office.
FEDERAL DEPOSIT INSURANCE
CORPORATION
VerDate Mar<15>2010
BILLING CODE P
James Dalkin,
Director, Financial Management and
Assurance, U.S. Government Accountability
Office.
AGENCY:
BILLING CODE 6714–01–P
Dated: December 11, 2013.
[FR Doc. 2013–29766 Filed 12–11–13; 11:15 am]
Authority: Pub. L. 67–13, 42 Stat. 20 (June
10, 1921).
This notice informs the public
that the Advisory Council on
Government Auditing Standards will
hold a public meeting by teleconference
on December 17, 2013. The public is
invited to listen to the Council’s
discussion. Members of the public will
be provided an opportunity to address
the Council with a brief (five-minute)
presentation following the Council’s
discussion. The Advisory Council’s
primary purpose is to provide input and
recommendations to the Comptroller
General for revisions to the Government
Auditing Standards, to provide for
timely resolution of auditing issues, and
to maintain the relevance of the
standards.
The meeting will be held
December 17, 2013, from 3:00 p.m. to
4:00 p.m. EST. For information on how
to participate, please see
SUPPLEMENTARY INFORMATION below.
FOR FURTHER INFORMATION CONTACT: For
information on Government Auditing
Standards or the Advisory Council on
Government Auditing Standards, please
contact Eric Holbrook, Assistant
Director, Financial Management and
Assurance, telephone 202–512–5232,
441 G Street NW., Washington, DC
20548–0001.
SUPPLEMENTARY INFORMATION: This
meeting will allow GAO to obtain the
Advisory Council’s advice as GAO
determines the scope and content of
interpretative guidance relating to the
2011 Revision of Government Auditing
Standards. To participate, call toll free
1–888–469–1606. When prompted,
enter the following passcode: 61406.
Any interested person who plans to
attend the meeting as an observer
should contact Cecil Davis, Council
Administrator, 202–512–9362. For
further information or to obtain a copy
of the Council meeting agenda, please
contact Ms. Davis.
DATES:
PO 00000
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Agency Forms Undergoing Paperwork
Reduction Act Review
The Centers for Disease Control and
Prevention (CDC) publishes a list of
information collection requests under
review by the Office of Management and
Budget (OMB) in compliance with the
Paperwork Reduction Act (44 U.S.C.
Chapter 35). To request a copy of these
requests, call (404) 639–7570 or send an
email to omb@cdc.gov. Send written
comments to CDC Desk Officer, Office of
Management and Budget, Washington,
DC or by fax to (202) 395–5806. Written
comments should be received within 30
days of this notice.
Proposed Project
The National Health Interview Survey
(NHIS), (OMB No. 0920–0214,
Expiration 03/31/2016)—Revision—
National Center for Health Statistics
(NCHS), Centers for Disease Control and
Prevention (CDC).
Background and Brief Description
The annual National Health Interview
Survey is a major source of general
statistics on the health of the U.S.
population and has been in the field
continuously since 1957. Clearance is
sought for three years, to collect data for
2014, 2015, and 2016. This voluntary
and confidential household-based
survey collects demographic and healthrelated information on a nationally
representative sample of persons and
households throughout the country.
Personal identification information is
requested from survey respondents to
facilitate linkage of survey data with
health related administrative and other
records. Each year we collect
information from up to 55,000
households, which contain about
137,500 individuals.
Information is collected using
computer assisted personal interviews
(CAPI). A core set of data is collected
each year that remains largely
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Agencies
[Federal Register Volume 78, Number 240 (Friday, December 13, 2013)]
[Notices]
[Pages 75919-75920]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-29765]
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FEDERAL DEPOSIT INSURANCE CORPORATION
Sunshine Act Meetings
Pursuant to the provisions of the ``Government in the Sunshine
Act'' (5 U.S.C. 552b), notice is hereby given that the Federal Deposit
Insurance Corporation's Board of Directors met in open session at 10:00
a.m. on Tuesday, December 10, 2013, to consider the following matters:
Discussion Agenda: Memorandum and resolution re: The Resolution of
Systemically Important Financial Institutions: The Single Point of
Entry Strategy.
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 Thomas J. Curry (Comptroller of
the Currency), Director Richard Cordray
[[Page 75920]]
(Director, Consumer Financial Protection Bureau), and Chairman Martin
J. Gruenberg, that Corporation business required its consideration of
the matters on less than seven days' notice to the public; and that no
earlier notice of the meeting than that previously provided on December
9, 2013, was practicable.
The meeting was held in the Board Room on the sixth floor of the
FDIC Building located at 550 17th Street NW., Washington, DC.
Dated: December 11, 2013.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
[FR Doc. 2013-29765 Filed 12-11-13; 11:15 am]
BILLING CODE 6714-01-P