Notice of Applications for Deregistration Under Section 8(f) of the Investment Company Act of 1940, 78111-78112 [2014-30278]
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78111
Federal Register / Vol. 79, No. 248 / Monday, December 29, 2014 / Notices
• Minimize the burden of the
collection of information on those who
are to respond, through the use of
appropriate automated, electronic,
mechanical, or other technological
collection techniques or other forms of
information technology, e.g., permitting
electronic submissions of responses.
Type of Review: Extension of a
currently approved collection.
Agency: Bureau of Labor Statistics.
functions of the agency, including
whether the information will have
practical utility.
• Evaluate the accuracy of the
agency’s estimate of the burden of the
proposed collection of information,
including the validity of the
methodology and assumptions used.
• Enhance the quality, utility, and
clarity of the information to be
collected.
Total
respondents
Affected public
Title: Job Openings and Labor
Turnover Survey.
OMB Number: 1220–0170.
Affected Public: Federal Government;
State, Local, or Tribal governments;
Businesses or other for-profit; Not-forprofit institutions; Small businesses and
organizations.
Total
responses
Frequency
Average time
per response
(min.)
Estimated total
burden
Private ...............................................
State, Local, & Tribal Gov’t ...............
Federal Gov’t ....................................
9,017
1,415
393
Monthly .............................................
Monthly .............................................
Monthly .............................................
108,204
16,980
4,716
10
10
10
18,034
2,830
786
TOTALS .....................................
10,825
Monthly .............................................
129,899
10
21,650
Total Burden Cost (capital/startup):
$0.
Total Burden Cost (operating/
maintenance): $0.
Comments submitted in response to
this notice will be summarized and/or
included in the request for Office of
Management and Budget approval of the
information collection request; they also
will become a matter of public record.
Signed at Washington, DC, this 19th day of
December 2014.
Eric Molina,
Acting Chief, Division of Management
Systems, Bureau of Labor Statistics.
[FR Doc. 2014–30249 Filed 12–24–14; 8:45 am]
BILLING CODE 4510–24–P
NUCLEAR REGULATORY
COMMISSION
[NRC–2014–0001]
Sunshine Act Meeting Notice
December 29, 2014; January 5, 12,
19, 26, February 2, 2015.
PLACE: Commissioners’ Conference
Room, 11555 Rockville Pike, Rockville,
Maryland.
STATUS: Public.
DATE:
Week of December 29, 2014
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There are no meetings scheduled for
the week of December 29, 2014.
Week of January 5, 2015—Tentative
There are no meetings scheduled for
the week of January 5, 2015.
Week of January 12, 2015—Tentative
There are no meetings scheduled for
the week of January 12, 2015.
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Week of January 19, 2015—Tentative
There are no meetings scheduled for
the week of January 19, 2015.
Week of January 26, 2015—Tentative
Thursday, January 29, 2015
9 a.m. Briefing on Foreign Ownership,
Control, and Domination (Public
Meeting) (Contact: Shawn Harwell,
301–415–1309)
This meeting will be webcast live at
the Web address—https://www.nrc.gov/.
Week of February 2, 2015—Tentative
Monday, February 2, 2015
1 p.m. Discussion of International
Activities (Closed—Ex. 9)
Wednesday, February 4, 2015
8:30 a.m. Hearing on Combined
License for Fermi, Unit 3 (Public
Meeting) (Contact: Adrian Muniz,
301–415–4093)
This meeting will be webcast live at
the Web address—https://www.nrc.gov/.
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The schedule for Commission
meetings is subject to change on short
notice. For more information or to verify
the status of meetings, contact Glenn
Ellmers at (301) 415–0442 or via email
at Glenn.Ellmers@nrc.gov.
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The NRC Commission Meeting
Schedule can be found on the Internet
at: https://www.nrc.gov/public-involve/
public-meetings/schedule.html.
*
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The NRC provides reasonable
accommodation to individuals with
disabilities where appropriate. If you
need a reasonable accommodation to
participate in these public meetings, or
need this meeting notice or the
transcript or other information from the
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public meetings in another format (e.g.
braille, large print), please notify
Kimberly Meyer, NRC Disability
Program Manager, at 301–287–0727, by
videophone at 240–428–3217, or by
email at Kimberly.Meyer-Chambers@
nrc.gov. Determinations on requests for
reasonable accommodation will be
made on a case-by-case basis.
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Members of the public may request to
receive this information electronically.
If you would like to be added to the
distribution, please contact the Office of
the Secretary, Washington, DC 20555
(301–415–1969), or send an email to
Patricia.Jimenez@nrc.gov or
Brenda.Akstulewicz@nrc.gov.
Dated: December 23, 2014.
Glenn Ellmers,
Policy Coordinator, Office of the Secretary.
[FR Doc. 2014–30542 Filed 12–24–14; 11:15 am]
BILLING CODE 7590–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IC–31387]
Notice of Applications for
Deregistration Under Section 8(f) of the
Investment Company Act of 1940
December 19, 2014.
The following is a notice of
applications for deregistration under
section 8(f) of the Investment Company
Act of 1940 for the month of December
2014. A copy of each application may be
obtained via the Commission’s Web site
by searching for the file number, or for
an applicant using the Company name
box, at https://www.sec.gov/search/
search.htm or by calling (202) 551–
8090. An order granting each
application will be issued unless the
E:\FR\FM\29DEN1.SGM
29DEN1
78112
Federal Register / Vol. 79, No. 248 / Monday, December 29, 2014 / Notices
SEC orders a hearing. Interested persons
may request a hearing on any
application by writing to the SEC’s
Secretary at the address below and
serving the relevant applicant with a
copy of the request, personally or by
mail. Hearing requests should be
received by the SEC by 5:30 p.m. on
January 13, 2015, and should be
accompanied by proof of service on
applicants, in the form of an affidavit or,
for lawyers, a certificate of service.
Pursuant to Rule 0–5 under the Act,
hearing requests should state the nature
of the writer’s interest, any facts bearing
upon the desirability of a hearing on the
matter, the reason for the request, and
the issues contested. Persons who wish
to be notified of a hearing may request
notification by writing to the
Commission’s Secretary.
ADDRESSES: The Commission: Brent J.
Fields, Secretary, U.S. Securities and
Exchange Commission, 100 F Street NE.,
Washington, DC 20549–1090.
FOR FURTHER INFORMATION CONTACT:
Diane L. Titus at (202) 551–6810, SEC,
Division of Investment Management,
Chief Counsel’s Office, 100 F Street NE.,
Washington, DC 20549–8010.
tkelley on DSK3SPTVN1PROD with NOTICES
Morgan Creek Global Equity Long/Short
Fund [File No. 811–22460]
Summary: Applicant, a closed-end
investment company, seeks an order
declaring that it has ceased to be an
investment company. On June 30, 2012,
applicant made a liquidating
distribution to its shareholders, based
on net asset value. Applicant incurred
no expenses in connection with the
liquidation.
Filing Date: The application was filed
on December 10, 2014.
Applicant’s Address: 301 West Barbee
Chapel Rd., Suite 200, Chapel Hill, NC
27517.
WY Funds [File No. 811–21675]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. On September 26,
2014, applicant made a liquidating
distribution to its shareholders, based
on net asset value. Expenses of $2,400
incurred in connection with the
liquidation were paid by Wertz York
Capital Management Group, LLC,
applicant’s investment adviser.
Filing Date: The application was filed
on December 5, 2014.
Applicant’s Address: 5502 N.
Nebraska Ave., Tampa, FL 33604.
Pax World Funds Trust II [File No. 811–
22187]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant
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transferred its assets to Pax World
Funds Series Trust I, and on March 31,
2014, made a distribution to its
shareholders based on net asset value.
Expenses of approximately $419,000
incurred in connection with the
reorganization were paid by the
acquiring fund and Pax World
Management LLC, applicant’s
investment adviser.
Filing Date: The application was filed
on December 2, 2014.
Applicant’s Address: 30 Penhallow
Street, Suite 400, Portsmouth, NH
03801.
COUNTRY Mutual Funds Trust [File
No. 811–10475]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. On October 31,
2013, applicant made a liquidating
distribution to its shareholders, based
on net asset value. Expenses of $57,097
incurred in connection with the
liquidation were paid by applicant and
COUNTRY Fund Management,
applicant’s investment adviser.
Filing Date: The application was filed
on November 25, 2014.
Applicant’s Address: 1705 North
Towanda Ave., Bloomington, IL 61702.
BlackRock Income Opportunity Trust,
Inc. [File No. 811–6443]
Summary: Applicant, a closed-end
investment company, seeks an order
declaring that it has ceased to be an
investment company. Applicant
transferred its assets to BlackRock Core
Bond Trust, and on November 10, 2014,
made a distribution to its shareholders
based on net asset value. Expenses of
approximately $409,641 incurred in
connection with the reorganization were
paid by applicant and BlackRock
Advisors, LLC, applicant’s investment
adviser.
Filing Date: The application was filed
on November 21, 2014.
Applicant’s Address: 100 Bellevue
Pkwy., Wilmington, DE 19809.
J.P. Morgan Series Trust II [File No.
811–8212]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant
transferred its assets to JPMorgan
Insurance Trust, and on April 24, 2009,
made distributions to its shareholders
based on net asset value. Expenses of
$676,471 incurred in connection with
the reorganization were paid by J.P.
Morgan Investment Management Inc.
and JPMorgan Funds Management, Inc.,
applicant’s investment adviser and
administrator, and JPMorgan Investment
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Advisors Inc., investment adviser to the
acquiring fund.
Filing Dates: The application was
filed on July 3, 2012, and amended on
September 13, 2012 and November 7,
2014.
Applicant’s Address: 270 Park Ave.,
New York, NY 10017.
For the Commission, by the Division of
Investment Management, pursuant to
delegated authority.
Kevin M. O’Neill,
Deputy Secretary.
[FR Doc. 2014–30278 Filed 12–24–14; 8:45 am]
BILLING CODE 8011–01–P
SECURITIES AND EXCHANGE
COMMISSION
[Release No. IA–3987/803–00217]
Crestview Advisors, L.L.C.; Notice of
Application
December 19, 2014.
Securities and Exchange
Commission (‘‘Commission’’).
ACTION: Notice of application for an
exemptive order under Section 206A of
the Investment Advisers Act of 1940
(the ‘‘Advisers Act’’) and Rule 206(4)–
5(e).
AGENCY:
Applicant: Crestview Advisors, L.L.C.
(‘‘Applicant’’).
Relevant Advisers Act Sections:
Exemption requested under section
206A of the Advisers Act and rule
206(4)–5(e) from rule 206(4)–5(a)(1)
under the Advisers Act.
Summary of Application: Applicant
requests that the Commission issue an
order under section 206A of the
Advisers Act and rule 206(4)–5(e)
exempting it from rule 206(4)–5(a)(1)
under the Advisers Act to permit
Applicant to receive compensation for
investment advisory services provided
to a government entity within the twoyear period following a contribution by
a covered associate of Applicant to an
official of the government entity.
Filing Dates: The application was
filed on November 14, 2012, and
amended and restated applications were
filed on March 26, 2014, July 11, 2014
and November 13, 2014.
Hearing or Notification of Hearing: An
order granting the application will be
issued unless the Commission orders a
hearing. Interested persons may request
a hearing by writing to the
Commission’s Secretary and serving
Applicant with a copy of the request,
personally or by mail. Hearing requests
should be received by the Commission
by 5:30 p.m. on January 13, 2015, and
should be accompanied by proof of
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Agencies
[Federal Register Volume 79, Number 248 (Monday, December 29, 2014)]
[Notices]
[Pages 78111-78112]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-30278]
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SECURITIES AND EXCHANGE COMMISSION
[Release No. IC-31387]
Notice of Applications for Deregistration Under Section 8(f) of
the Investment Company Act of 1940
December 19, 2014.
The following is a notice of applications for deregistration under
section 8(f) of the Investment Company Act of 1940 for the month of
December 2014. A copy of each application may be obtained via the
Commission's Web site by searching for the file number, or for an
applicant using the Company name box, at https://www.sec.gov/search/search.htm or by calling (202) 551-8090. An order granting each
application will be issued unless the
[[Page 78112]]
SEC orders a hearing. Interested persons may request a hearing on any
application by writing to the SEC's Secretary at the address below and
serving the relevant applicant with a copy of the request, personally
or by mail. Hearing requests should be received by the SEC by 5:30 p.m.
on January 13, 2015, and should be accompanied by proof of service on
applicants, in the form of an affidavit or, for lawyers, a certificate
of service. Pursuant to Rule 0-5 under the Act, hearing requests should
state the nature of the writer's interest, any facts bearing upon the
desirability of a hearing on the matter, the reason for the request,
and the issues contested. Persons who wish to be notified of a hearing
may request notification by writing to the Commission's Secretary.
ADDRESSES: The Commission: Brent J. Fields, Secretary, U.S. Securities
and Exchange Commission, 100 F Street NE., Washington, DC 20549-1090.
FOR FURTHER INFORMATION CONTACT: Diane L. Titus at (202) 551-6810, SEC,
Division of Investment Management, Chief Counsel's Office, 100 F Street
NE., Washington, DC 20549-8010.
Morgan Creek Global Equity Long/Short Fund [File No. 811-22460]
Summary: Applicant, a closed-end investment company, seeks an order
declaring that it has ceased to be an investment company. On June 30,
2012, applicant made a liquidating distribution to its shareholders,
based on net asset value. Applicant incurred no expenses in connection
with the liquidation.
Filing Date: The application was filed on December 10, 2014.
Applicant's Address: 301 West Barbee Chapel Rd., Suite 200, Chapel
Hill, NC 27517.
WY Funds [File No. 811-21675]
Summary: Applicant seeks an order declaring that it has ceased to
be an investment company. On September 26, 2014, applicant made a
liquidating distribution to its shareholders, based on net asset value.
Expenses of $2,400 incurred in connection with the liquidation were
paid by Wertz York Capital Management Group, LLC, applicant's
investment adviser.
Filing Date: The application was filed on December 5, 2014.
Applicant's Address: 5502 N. Nebraska Ave., Tampa, FL 33604.
Pax World Funds Trust II [File No. 811-22187]
Summary: Applicant seeks an order declaring that it has ceased to
be an investment company. Applicant transferred its assets to Pax World
Funds Series Trust I, and on March 31, 2014, made a distribution to its
shareholders based on net asset value. Expenses of approximately
$419,000 incurred in connection with the reorganization were paid by
the acquiring fund and Pax World Management LLC, applicant's investment
adviser.
Filing Date: The application was filed on December 2, 2014.
Applicant's Address: 30 Penhallow Street, Suite 400, Portsmouth, NH
03801.
COUNTRY Mutual Funds Trust [File No. 811-10475]
Summary: Applicant seeks an order declaring that it has ceased to
be an investment company. On October 31, 2013, applicant made a
liquidating distribution to its shareholders, based on net asset value.
Expenses of $57,097 incurred in connection with the liquidation were
paid by applicant and COUNTRY Fund Management, applicant's investment
adviser.
Filing Date: The application was filed on November 25, 2014.
Applicant's Address: 1705 North Towanda Ave., Bloomington, IL
61702.
BlackRock Income Opportunity Trust, Inc. [File No. 811-6443]
Summary: Applicant, a closed-end investment company, seeks an order
declaring that it has ceased to be an investment company. Applicant
transferred its assets to BlackRock Core Bond Trust, and on November
10, 2014, made a distribution to its shareholders based on net asset
value. Expenses of approximately $409,641 incurred in connection with
the reorganization were paid by applicant and BlackRock Advisors, LLC,
applicant's investment adviser.
Filing Date: The application was filed on November 21, 2014.
Applicant's Address: 100 Bellevue Pkwy., Wilmington, DE 19809.
J.P. Morgan Series Trust II [File No. 811-8212]
Summary: Applicant seeks an order declaring that it has ceased to
be an investment company. Applicant transferred its assets to JPMorgan
Insurance Trust, and on April 24, 2009, made distributions to its
shareholders based on net asset value. Expenses of $676,471 incurred in
connection with the reorganization were paid by J.P. Morgan Investment
Management Inc. and JPMorgan Funds Management, Inc., applicant's
investment adviser and administrator, and JPMorgan Investment Advisors
Inc., investment adviser to the acquiring fund.
Filing Dates: The application was filed on July 3, 2012, and
amended on September 13, 2012 and November 7, 2014.
Applicant's Address: 270 Park Ave., New York, NY 10017.
For the Commission, by the Division of Investment Management,
pursuant to delegated authority.
Kevin M. O'Neill,
Deputy Secretary.
[FR Doc. 2014-30278 Filed 12-24-14; 8:45 am]
BILLING CODE 8011-01-P