Determination and Certification Under Section 490(b)(1)(A) of the Foreign Assistance Act Relating to the Largest Exporting and Importing Countries of Certain Precursor Chemicals, 18490-18491 [2015-07845]
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18490
Federal Register / Vol. 80, No. 65 / Monday, April 6, 2015 / Notices
tkelley on DSK4VPTVN1PROD with NOTICES
the execution and replenishment of a
Reserve Size Order ensures that the
process is indistinguishable to other
Participants from the execution of an
Order without Reserve Size followed by
the entry of a new Order; this processing
also ensures that only the displayed
portion of the Reserve Size Order is
treated as a Protected Quotation.
The Intermarket Sweep Order
attribute is a function of Regulation
NMS, which provides for an Order to
execute without respect to Protected
Quotations if it is designated as an ISO
and if one or more additional limit
orders, as necessary, are routed to
execute against the full displayed size of
any Protected Quotation with a price
that is superior to the price of the Order
identified as an ISO. As recently
reaffirmed by the Commission,
Regulation NMS allows such additional
orders to be routed by an exchange or
by the Participant that enters the ISO.77
Accordingly, the exchange receiving an
ISO may accept the receipt of the Order
as a representation that the Participant
entering it has satisfied its obligations;
provided, however, that the exchange
itself maintains a surveillance and
enforcement program to verify that the
Participant is not acting in violation of
this requirement. For this reason, it is
also consistent with the Act for a
Participant to designate an Order with a
Time-in-Force longer than IOC, or an
Order with functionality such as the
Post-Only Order, as an ISO.78
Specifically, attaching an ISO
designation to such Order reflects a
representation that the Participant has
determined that Protected Quotations at
the price of the Order have been
eliminated, such that the Order is
entitled to post and provide liquidity. In
the case of a Post-Only Order, however,
if the Order’s price is adjusted to avoid
executing against an Order on the
Exchange Book, the Exchange will not
consider the ISO designation in
determining whether the Post-Only
Order’s limit price level is now open,
since the Post-Only ISO itself is not
actually posting at that price.
Accordingly, in that circumstance the
use of a Post-Only ISO cannot be used
to open a price level to additional
Orders unless the Exchange ascertains
through market data provided by other
exchanges that the price level actually is
open.
B. Self-Regulatory Organization’s
Statement on Burden on Competition
The Exchange does not believe that
the proposed rule change will impose
77 SR–NYSE–2014–32
Approval Order.
78 Id.
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any burden on competition that is not
necessary or appropriate in furtherance
of the purposes of the Act. As
previously stated, the Exchange is not
proposing substantively to modify the
operation of any of its current Order
Types or Order Attributes or the
operation of the System; rather, the
proposed rule change is intended to
provide more detail regarding the
System’s functionality. The proposed
rule change is not designed to address
any competitive issues, but rather to
provide additional specificity and
transparency to Participants and the
investing public regarding the
Exchange’s Order Types, Order
Attributes, and System functionality.
Since the Exchange does not proposed
substantively to modify the operation of
Order Types, Order Attributes, or
System functionality, the proposed
changes will not impose any burden on
competition.
C. Self-Regulatory Organization’s
Statement on Comments on the
Proposed Rule Change Received From
Members, Participants, or Others
Written comments were neither
solicited nor received.
III. Date of Effectiveness of the
Proposed Rule Change and Timing for
Commission Action
Within 45 days of the date of
publication of this notice in the Federal
Register or within such longer period (i)
as the Commission may designate up to
90 days of such date if it finds such
longer period to be appropriate and
publishes its reasons for so finding or
(ii) as to which the Exchange consents,
the Commission shall: (a) By order
approve or disapprove such proposed
rule change, or (b) institute proceedings
to determine whether the proposed rule
change should be disapproved.
IV. Solicitation of Comments
Interested persons are invited to
submit written data, views, and
arguments concerning the foregoing,
including whether the proposed rule
change is consistent with the Act.
Comments may be submitted by any of
the following methods:
Electronic Comments
• Use the Commission’s Internet
comment form (https://www.sec.gov/
rules/sro.shtml); or
• Send an email to rule-comments@
sec.gov. Please include File Number SR–
BX–2015–015 on the subject line.
Paper Comments
• Send paper comments in triplicate
to Secretary, Securities and Exchange
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Commission, 100 F Street NE.,
Washington, DC 20549–1090.
All submissions should refer to File
Number SR–BX–2015–015. This file
number should be included on the
subject line if email is used. To help the
Commission process and review your
comments more efficiently, please use
only one method. The Commission will
post all comments on the Commission’s
Internet Web site (https://www.sec.gov/
rules/sro.shtml). Copies of the
submission, all subsequent
amendments, all written statements
with respect to the proposed rule
change that are filed with the
Commission, and all written
communications relating to the
proposed rule change between the
Commission and any person, other than
those that may be withheld from the
public in accordance with the
provisions of 5 U.S.C. 552, will be
available for Web site viewing and
printing in the Commission’s Public
Reference Room, 100 F Street NE.,
Washington, DC 20549, on official
business days between the hours of 10
a.m. and 3 p.m. Copies of such filing
also will be available for inspection and
copying at the principal offices of the
Exchange. All comments received will
be posted without change; the
Commission does not edit personal
identifying information from
submissions. You should submit only
information that you wish to make
available publicly. All submissions
should refer to File Number SR–BX–
2015–015, and should be submitted on
or before April 27, 2015.
For the Commission, by the Division of
Trading and Markets, pursuant to delegated
authority.79
Brent J. Fields,
Secretary.
[FR Doc. 2015–07750 Filed 4–3–15; 8:45 am]
BILLING CODE 8011–01–P
DEPARTMENT OF STATE
[Public Notice: 9080]
Determination and Certification Under
Section 490(b)(1)(A) of the Foreign
Assistance Act Relating to the Largest
Exporting and Importing Countries of
Certain Precursor Chemicals
Pursuant to Section 490(b)(1)(A) of
the Foreign Assistance Act of 1961, as
amended, I hereby determine and certify
that the top five exporting and
importing countries and economies of
pseudoephedrine and ephedrine (China,
Denmark, Egypt, Germany, India,
79 17
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CFR 200.30–3(a)(12).
06APN1
Federal Register / Vol. 80, No. 65 / Monday, April 6, 2015 / Notices
Indonesia, Singapore, South Korea,
Switzerland, Taiwan, and the United
Kingdom) have cooperated fully with
the United States, or have taken
adequate steps on their own, to achieve
full compliance with the goals and
objectives established by the 1988
United Nations Convention Against
Illicit Traffic in Narcotic Drugs and
Psychotropic Substances.
This determination and certification
shall be published in the Federal
Register, and copies shall be provided
to the Congress together with the
accompanying Memorandum of
Justification.
Dated: March 13, 2015.
Antony J. Blinken,
Deputy Secretary.
[FR Doc. 2015–07845 Filed 4–3–15; 8:45 am]
BILLING CODE 4710–17–P
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
Approval of Noise Compatibility
Program Update, Key West
International Airport, Key West, Florida
Federal Aviation
Administration, DOT.
ACTION: Notice.
AGENCY:
The Federal Aviation
Administration (FAA) announces its
findings on the Noise Compatibility
Program Update submitted by the
Monroe County Board of County
Commissioners under the provisions of
49 U.S.C. 47501 et seq. (the Aviation
Safety and Noise Abatement Act,
hereinafter referred to as ‘‘the Act’’) and
14 CFR part 150. These findings are
made in recognition of the description
of Federal and nonfederal
responsibilities in Senate Report No.
96–52 (1980). On December 19, 2013,
the FAA determined that the Noise
Exposure Maps submitted by the
Monroe County Board of County
Commissioners under Part 150 were in
compliance with applicable
requirements. On March 11, 2015, the
FAA approved the Key West
International Airport Noise
Compatibility Program Update. All of
the recommendations of the program
that requested FAA approval were
approved. No program elements relating
to new or revised flight procedures for
noise abatement were proposed by the
airport operator.
DATES: The effective date of the FAA’s
approval of the Key West International
Airport Noise Compatibility Program
Update is March 11, 2015.
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FOR FURTHER INFORMATION CONTACT:
Allan Nagy, Environmental Program
Specialist, Federal Aviation
Administration, Orlando Airports
District Office, 5950 Hazeltine National
Drive, Orlando, Florida 32822, phone
number: (407) 812–6331. Documents
reflecting this FAA action may be
reviewed at this same location by
appointment with the above contact.
SUPPLEMENTARY INFORMATION: This
notice announces that the FAA has
given its overall approval to the Noise
Compatibility Program Update for Key
West International Airport, effective
March 11, 2015.
Under Section 47504 of the Act, an
airport operator who has previously
submitted a Noise Exposure Map may
submit to the FAA a Noise
Compatibility Program which sets forth
the measures taken or proposed by the
airport Sponsor for the reduction of
existing non-compatible land uses and
prevention of additional non-compatible
land uses within the area covered by the
Noise Exposure Maps. The Act requires
such programs to be developed in
consultation with interested and
affected parties including local
communities, government agencies,
airport users, and FAA personnel.
Each airport Noise Compatibility
Program developed in accordance with
Title 14 Code of Federal Regulations
(CFR) Part 150 is a local program, not
a Federal program. The FAA does not
substitute its judgment for that of the
airport Sponsor with respect to which
measures should be recommended for
action. The FAA’s approval or
disapproval of each specific measure
proposed by an airport Sponsor in a
Record of Approval (ROA) is
determined by applying approval
criteria prescribed in 14 CFR 150.35(b).
The Administrator approves programs
under this part, if:
(1) It is found that the program
measures to be implemented would not
create an undue burden on interstate or
foreign commerce (including any unjust
discrimination) and are reasonably
consistent with achieving the goals of
reducing existing noncompatible land
uses around the airport and of
preventing the introduction of
additional noncompatible land uses;
(2) The program provides for revision
if made necessary by the revision of the
Noise Exposure Map (NEM); and
(3) Those aspects of programs relating
to the use of flight procedures for noise
control can be implemented within the
period covered by the program and
without:
(i) Reducing the level of aviation
safety provided;
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18491
(ii) Derogating the requisite level of
protection for aircraft, their occupants
and persons and property on the
ground;
(iii) Adversely affecting the efficient
use and management of the Navigable
Airspace and Air Traffic Control
Systems; or
(iv) Adversely affecting any other
powers and responsibilities of the
Administrator prescribed by law or any
other program, standard, or requirement
established in accordance with law.
Approval of a first time NCP or NCP
Update is not a determination
concerning the acceptability of land
uses under Federal, state, or local law.
Approval does not by itself constitute an
FAA implementing action. A request for
Federal action or approval to implement
specific noise compatibility measures
may be required, and an FAA decision
on the request may require an
environmental review of the proposed
action. Approval does not constitute a
commitment by the FAA to financially
assist in the implementation of the
program nor a determination that all
measures covered by the program are
eligible for grant-in-aid funding from the
FAA. Where Federal funding is sought,
requests for project grants must be
submitted to the FAA Airports District
Office in Orlando, Florida.
The Monroe County Board of County
Commissioners submitted to the FAA
on October 29, 2013, the Noise Exposure
Maps for the Key West International
Airport. The Noise Exposure Maps were
determined by FAA to be in compliance
with applicable requirements on
December 19, 2013. Notice of this
determination was published in the
Federal Register on December 27, 2013.
On September 15, 2014, the Monroe
County Board of County Commissioners
submitted to the FAA the descriptions
of the Sponsor’s proposed noise
compatibility measures and other
documentation produced during the
Noise Compatibility Program Update
study conducted from November, 2011
through February 11, 2015.
The Key West International Airport
study contains a proposed Noise
Compatibility Program Update
comprised of actions designed for
phased implementation by airport
management and adjacent jurisdictions
from September 15, 2014 beyond the
year 2015. It was requested that FAA
evaluate and approve this material as a
Noise Compatibility Program Update as
described in Section 47504 of the Act.
The FAA began its review of the Noise
Compatibility Program Update on
September 15, 2014, and was required
by provisions of the Act to approve or
disapprove the program within 180 days
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Agencies
[Federal Register Volume 80, Number 65 (Monday, April 6, 2015)]
[Notices]
[Pages 18490-18491]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-07845]
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DEPARTMENT OF STATE
[Public Notice: 9080]
Determination and Certification Under Section 490(b)(1)(A) of the
Foreign Assistance Act Relating to the Largest Exporting and Importing
Countries of Certain Precursor Chemicals
Pursuant to Section 490(b)(1)(A) of the Foreign Assistance Act of
1961, as amended, I hereby determine and certify that the top five
exporting and importing countries and economies of pseudoephedrine and
ephedrine (China, Denmark, Egypt, Germany, India,
[[Page 18491]]
Indonesia, Singapore, South Korea, Switzerland, Taiwan, and the United
Kingdom) have cooperated fully with the United States, or have taken
adequate steps on their own, to achieve full compliance with the goals
and objectives established by the 1988 United Nations Convention
Against Illicit Traffic in Narcotic Drugs and Psychotropic Substances.
This determination and certification shall be published in the
Federal Register, and copies shall be provided to the Congress together
with the accompanying Memorandum of Justification.
Dated: March 13, 2015.
Antony J. Blinken,
Deputy Secretary.
[FR Doc. 2015-07845 Filed 4-3-15; 8:45 am]
BILLING CODE 4710-17-P