August 14, 2014 – Federal Register Recent Federal Regulation Documents

Results 101 - 115 of 115
Pipeline Safety: Information Collection Activities, Revision to Gas Distribution Annual Report
Document Number: 2014-19186
Type: Notice
Date: 2014-08-14
Agency: Pipeline and Hazardous Materials Safety Administration, Department of Transportation
On April 28, 2014, in accordance with the Paperwork Reduction Act of 1995, the Pipeline and Hazardous Materials Safety Administration (PHMSA) published a notice in the Federal Register (79 FR 23403) of its intent to revise the gas distribution annual report (PHMSA F7100.1-1) to improve the granularity of the data collected. In addition to making several minor changes to the report, PHMSA will also request a new Office of Management and Budget (OMB) control number for this information collection. PHMSA received comments from one commenter in response to that notice. PHMSA is publishing this notice to respond to the comments, provide the public with an additional 30 days to comment on the proposed revisions to the forms and the instructions and announce that the revised information collection will be submitted to the OMB for approval.
Department of Defense (DoD) Civilian Physicians and Dentists Clinical Specialties and Tables; Correction
Document Number: 2014-19184
Type: Notice
Date: 2014-08-14
Agency: Department of Defense, Office of the Secretary
On Thursday, July 31, 2014 (79 FR 44426), the Department of Defense published a correction to a notice titled Department of Defense (DoD) Civilian Physicians and Dentists Clinical Specialties and Tables, which published in the Federal Register on Friday, July 25, 2014 (79 FR 43445- 43446). Subsequent to the publication of the correction notice, the Department of Defense realized that there was one other correction that needed to be made that was not included in the correction of Thursday, July 31, 2014. This notice corrects this error.
Notice of Agreements Filed
Document Number: 2014-19183
Type: Notice
Date: 2014-08-14
Agency: Federal Maritime Commission, Agencies and Commissions
Center for Mental Health Services; Notice of Meeting
Document Number: 2014-19182
Type: Notice
Date: 2014-08-14
Agency: Department of Health and Human Services, Substance Abuse and Mental Health Services Administration
Notice of Request for Revision to and Extension of Approval of an Information Collection; Importation of Fresh Pitaya Fruit From Central America Into the Continental United States
Document Number: 2014-19176
Type: Notice
Date: 2014-08-14
Agency: Department of Agriculture, Animal and Plant Health Inspection Service
In accordance with the Paperwork Reduction Act of 1995, this notice announces the Animal and Plant Health Inspection Service's intention to request a revision to and extension of approval of an information collection associated with the regulations for the importation of fresh pitaya fruit from Central America into the continental United States.
Notice of Request for Extension of Approval of an Information Collection; Importation of Baby Squash and Baby Courgettes From Zambia
Document Number: 2014-19174
Type: Notice
Date: 2014-08-14
Agency: Department of Agriculture, Animal and Plant Health Inspection Service
In accordance with the Paperwork Reduction Act of 1995, this notice announces the Animal and Plant Health Inspection Service's intention to request an extension of approval of an information collection associated with the regulations for the importation of baby squash and baby courgettes from Zambia into the continental United States.
Revisions to Defense Priorities and Allocations System Regulations
Document Number: 2014-19168
Type: Rule
Date: 2014-08-14
Agency: Department of Commerce, Bureau of Industry and Security
This rule clarifies existing standards and procedures by which the Bureau of Industry and Security (BIS) may require that certain contracts or orders that promote the national defense be given priority over other contracts or orders. It also sets new standards and procedures for such prioritization with respect to contracts or orders for emergency preparedness activities. Finally, this rule sets new standards and procedures by which BIS may allocate materials, services and facilities to promote the national defense. This rule implements provisions in the Defense Production Act Reauthorization of 2009 (September 30, 2009) (herein the Reauthorization Act) regarding publication of regulations providing standards and procedures for prioritization of contracts and orders and for allocation of materials, services, and facilities to promote the national defense under emergency and non-emergency conditions.
Early Warning Reporting, Foreign Defect Reporting, and Motor Vehicle and Equipment Recall Regulations; Delay of Effective Date; Correction
Document Number: 2014-19091
Type: Rule
Date: 2014-08-14
Agency: National Highway Traffic Safety Administration, Department of Transportation
On August 20, 2013, NHTSA published a final rule amending its Early Warning Rule (EWR) with an effective date of August 20, 2014. On July 28, 2014, NHTSA published a rule which, in part, attempted to delay the effective date of the provisions until January 1, 2015. However, the information in the DATES section of the July 28 rule did not adequately project that action. This document corrects that error.
Improve Tracking of Workplace Injuries and Illnesses
Document Number: 2014-19083
Type: Proposed Rule
Date: 2014-08-14
Agency: Department of Labor, Occupational Safety and Health Administration
On November 08, 2013, OSHA published a notice of proposed rulemaking to amend the agency's regulation on the annual OSHA injury and illness reporting requirements to add three new electronic reporting obligations. At a public meeting on the proposal, many stakeholders expressed concern that the proposal could motivate employers to under-record their employees' injuries and illnesses. They expressed concern that the proposal could promote an increase in workplace policies and procedures that deter or discourage employees from reporting work related injuries and illnesses. These include adopting unreasonable requirements for reporting injuries and illnesses and retaliating against employees who report injuries and illnesses. In order to protect the integrity of the injury and illness data, OSHA is considering adding provisions that will make it a violation for an employer to discourage employee reporting in these ways. To facilitate further evaluation of this issue, OSHA is extending the comment period for 60 days for public comment on this issue. In promulgating a final rule, OSHA will consider the comments already received as well as the information it receives in response to this notice.
Amendment and Revocation of Jet Routes; Northeast United States
Document Number: 2014-19043
Type: Rule
Date: 2014-08-14
Agency: Federal Aviation Administration, Department of Transportation
This action modifies jet routes J-64 and J-80, and removes jet route J-77, in the northeastern United States. The FAA is taking this action to remove segments that are receiving minimal to no usage due to other more efficient routes in the area. This action eliminates the unneeded route segments, reduces aeronautical chart clutter and improves chart readability.
Cokeville Meadows National Wildlife Refuge, Cokeville, Wyoming; Final Comprehensive Conservation Plan and Finding of No Significant Impact for Environmental Assessment
Document Number: 2014-18670
Type: Notice
Date: 2014-08-14
Agency: Fish and Wildlife Service, Department of the Interior
We, the U.S. Fish and Wildlife Service (Service), announce the availability of a final comprehensive conservation plan (CCP) and finding of no significant impact (FONSI) for the environmental assessment (EA) we prepared on the CCP for Cokeville Meadows National Wildlife Refuge. The final CCP describes how we intend to manage the refuge for the next 15 years.
Direct Investment Surveys: BE-10, Benchmark Survey of U.S. Direct Investment Abroad
Document Number: 2014-18623
Type: Proposed Rule
Date: 2014-08-14
Agency: Department of Commerce, Bureau of Economic Analysis
This proposed rule would amend regulations of the Department of Commerce's Bureau of Economic Analysis (BEA) to reinstate reporting requirements for the 2014 BE-10, Benchmark Survey of U.S. Direct Investment Abroad. Benchmark surveys are conducted every five years; the prior survey covered 2009. The benchmark survey covers the universe of U.S. direct investment abroad, and is BEA's most comprehensive survey of such investment in terms of subject matter. For the 2014 benchmark survey, BEA proposes changes in the data items collected. No changes are proposed to the reporting requirements for the survey. This mandatory survey would be conducted under the authority of the International Investment and Trade in Services Survey Act (the Act). Unlike most other BEA surveys conducted pursuant to the Act, a response would be required from persons subject to the reporting requirements of the BE-10, Benchmark Survey of U.S. Direct Investment Abroad, whether or not they are contacted by BEA, in order to insure that respondents subject to the requirements for U.S. direct investment abroad are identified.
Paroling, Recommitting and Supervising Federal Prisoners Prisoners Serving Sentences Under the United States and District of Columbia Codes
Document Number: 2014-18421
Type: Proposed Rule
Date: 2014-08-14
Agency: Department of Justice, Parole Commission
The United States Parole Commission proposes to revise its rules pertaining to decisions to revoke terms of supervision without a hearing. Specifically, we propose a rule that would allow a releasee charged with only administrative violations or specifically identified misdemeanor crimes to apply for a prison sanction of 8 months or less. If a releasee qualifies and applies for a sanction under this section, the Commission may approve a revocation decision that includes no more than 8 months of imprisonment without using its normal guidelines for decision-making.
Money Market Fund Reform; Amendments to Form PF
Document Number: 2014-17747
Type: Rule
Date: 2014-08-14
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (``Commission'' or ``SEC'') is adopting amendments to the rules that govern money market mutual funds (or ``money market funds'') under the Investment Company Act of 1940 (``Investment Company Act'' or ``Act''). The amendments are designed to address money market funds' susceptibility to heavy redemptions in times of stress, improve their ability to manage and mitigate potential contagion from such redemptions, and increase the transparency of their risks, while preserving, as much as possible, their benefits. The SEC is removing the valuation exemption that permitted institutional non-government money market funds (whose investors historically have made the heaviest redemptions in times of stress) to maintain a stable net asset value per share (``NAV''), and is requiring those funds to sell and redeem shares based on the current market-based value of the securities in their underlying portfolios rounded to the fourth decimal place (e.g., $1.0000), i.e., transact at a ``floating'' NAV. The SEC also is adopting amendments that will give the boards of directors of money market funds new tools to stem heavy redemptions by giving them discretion to impose a liquidity fee if a fund's weekly liquidity level falls below the required regulatory threshold, and giving them discretion to suspend redemptions temporarily, i.e., to ``gate'' funds, under the same circumstances. These amendments will require all non-government money market funds to impose a liquidity fee if the fund's weekly liquidity level falls below a designated threshold, unless the fund's board determines that imposing such a fee is not in the best interests of the fund. In addition, the SEC is adopting amendments designed to make money market funds more resilient by increasing the diversification of their portfolios, enhancing their stress testing, and improving transparency by requiring money market funds to report additional information to the SEC and to investors. Finally, the amendments require investment advisers to certain large unregistered liquidity funds, which can have many of the same economic features as money market funds, to provide additional information about those funds to the SEC.
Removal of Certain References to Credit Ratings and Amendment to the Issuer Diversification Requirement in the Money Market Fund Rule
Document Number: 2014-17746
Type: Proposed Rule
Date: 2014-08-14
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (``SEC'' or ``Commission'') is re-proposing certain amendments, initially proposed in March 2011, related to the removal of credit rating references in rule 2a-7, the principal rule that governs money market funds, and Form N-MFP, the form that money market funds use to report information to the Commission each month about their portfolio holdings, under the Investment Company Act of 1940 (``Investment Company Act'' or ``Act''). The re-proposed amendments would implement provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act (``Dodd-Frank Act''). We are issuing this re-proposal in consideration of comments received on our March 2011 proposal. In addition, we are proposing to amend rule 2a-7's issuer diversification provisions to eliminate an exclusion from these provisions that is currently available for securities subject to a guarantee issued by a non-controlled person.
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