Notice of Proposals To Engage in or To Acquire Companies Engaged in Permissible Nonbanking Activities, 29321 [2015-12319]
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Federal Register / Vol. 80, No. 98 / Thursday, May 21, 2015 / Notices
available electronically at https://
www.regulations.gov or in person at the
Office of Pollution Prevention and
Toxics Docket (OPPT Docket),
Environmental Protection Agency
Docket Center (EPA/DC), West William
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the visitor instructions and additional
information about the docket available
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tkelley on DSK3SPTVN1PROD with NOTICES
IV. Test Data Received
This unit contains the information
required by TSCA section 4(d) for the
test data received by EPA.
A. 2-Butenedioic acid (2E)-, di-C8-18alkyl esters (CAS RN 68610–90–2)
1. Chemical Use(s): Industrial
manufacturing lubricant.
2. Applicable Test Rule: Chemical
testing requirements for third group of
high production volume chemicals
(HIPV3), 40 CFR (799.5089).
3. Test Data Received: The following
listing describes the nature of the test
data received. The test data will be
added to the docket for the applicable
TSCA section 4 test rule and can be
found by referencing the docket ID
number provided. EPA reviews of test
data will be added to the same docket
upon completion.
a. Physical/Chemical Properties (A1,
A2, A3, A3, A4, A4, A5). The docket ID
number assigned to this data is EPA–
HQ–OPPT–2009–0112.
b. Ready Biodegradation (B). The
docket ID number assigned to this data
is EPA–HQ–OPPT–2009–0112.
c. Aquatic Toxicity Studies (Fish)
(Daphnid) (Algal) (C1). The docket ID
number assigned to this data is EPA–
HQ–OPPT–2009–0112.
d. Mammalian Toxicity—Acute (D).
The docket ID number assigned to this
data is EPA–HQ–OPPT–2009–0112.
e. Mammalian Toxicity—Genotoxicity
Studies (E1, E2). The docket ID number
assigned to this data is EPA–HQ–OPPT–
2009–0112.
B. Phenol, 2,4-bis(1-methyl-1phenylethyl)-6-[2-(2nitrophenyl)diazenyl]- (CAS RN 70693–
50–4)
1. Chemical Use(s): UV absorber or
light stabilizer for plastics.
2. Applicable Test Rule: Chemical
testing requirements for third group of
high production volume chemicals
(HIPV3), 40 CFR (799.5089).
VerDate Sep<11>2014
20:28 May 20, 2015
Jkt 235001
3. Test Data Received: The following
listing describes the nature of the test
data received. The test data will be
added to the docket for the applicable
TSCA section 4 test rule and can be
found by referencing the docket ID
number provided. EPA reviews of test
data will be added to the same docket
upon completion.
a. Aquatic Toxicity (Algal) (C). The
docket ID number assigned to this data
is EPA–HQ–OPPT–2009–0112.
b. Aquatic Toxicity (Chronic Daphnid)
(C1). The docket ID number assigned to
this data is EPA–HQ–OPPT–2009–0112.
c. Mammalian Toxicity—Genotoxicity
Acute (E1). The docket ID number
assigned to this data is EPA–HQ–OPPT–
2009–0112.
d. Mammalian Toxicity—Genotoxicity
(E2). The docket ID number assigned to
this data is EPA–HQ–OPPT–2009–0112.
e. Mammalian Toxicity—Repeat
Dose/Reproductive/Developmental
Studies (F1). The docket ID number
assigned to this data is EPA–HQ–OPPT–
2009–0112.
f. Mammalian Toxicity—Acute (D).
The docket ID number assigned to this
data is EPA–HQ–OPPT–2009–0112.
g. IUCLID Data Summary containing
Physical and Chemical Properties,
Biodegradation, and Toxicity Endpoints
(A1–5) (B) (C) (C). The docket ID number
assigned to this data is EPA–HQ–OPPT–
2009–0112.
Authority: 15 U.S.C. 2601 et seq.
Dated: May 13, 2015.
Maria J. Doa,
Director, Chemical Control Division, Office
of Pollution Prevention and Toxics.
[FR Doc. 2015–12336 Filed 5–20–15; 8:45 am]
BILLING CODE 6560–50–P
FEDERAL RESERVE SYSTEM
Notice of Proposals To Engage in or
To Acquire Companies Engaged in
Permissible Nonbanking Activities
The companies listed in this notice
have given notice under the Home
Owners’ Loan Act (HOLA) (12 U.S.C.
1461 et seq.) and Regulation LL (12 CFR
part 238) or Regulation MM (12 CFR
part 239) to engage de novo, or to
acquire or control voting securities or
assets of a company, including the
companies listed below, that engages
either directly or through a subsidiary or
other company, in a nonbanking activity
that is described in § 238.53 or 238.54
of Regulation LL (12 CFR 238.53 or
238.54) or § 239.8 of Regulation MM (12
CFR 239.8). Unless otherwise noted,
these activities will be conducted
throughout the United States.
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29321
Each notice is available for inspection
at the Federal Reserve Bank indicated.
The notice also will be available for
inspection at the offices of the Board of
Governors. Interested persons may
express their views in writing on the
question whether the proposal complies
with the standards of section 10(c)(4)(B)
of HOLA (12 U.S.C. 1467a(c)(4)(B)).
Unless otherwise noted, comments
regarding the applications must be
received at the Reserve Bank indicated
or the offices of the Board of Governors
not later than June 5, 2015.
A. Federal Reserve Bank of New York
(Ivan Hurwitz, Vice President) 33
Liberty Street, New York, New York
10045–0001
1. Synchrony Financial, Stamford,
Connecticut; to retain the following
subsidiaries: Retail Finance Credit
Services, LLC, Stamford, Connecticut;
Retail Finance International Holdings,
Inc., Draper, Utah; Synchrony Holding
Company, Mississauga, Ontario,
Canada; Synchrony Financial Canada
Company, Mississauga, Ontario,
Canada; Synchrony Financial Canada,
Mississauga, Ontario, Canada;
Synchrony International Services
Private Limited, Madhapur, India;
Synchrony Global Services Philippines,
Inc., Muntinlupa City, Philippines;
CareCredit LLC, Costa Mesa, California;
Retail Finance Servicing, LLC, Draper,
Utah; Blue Trademark Holding, LLC,
Stamford, Connecticut; Synchrony
International Resource Management,
LLC, Draper, Utah; RFS Holding, Inc.,
Stamford, Connecticut; SBFE, LLC,
Beachwood, Ohio; and thereby
indirectly engage in extending credit
and servicing loans; servicing activities;
holding or managing properties used by
a subsidiary savings association;
community development activities;
commercial and other banking activities
outside the United States; financing,
including commercial financing,
consumer financing, mortgage banking,
and factoring outside the United States;
and furnishing or performing
management services for a subsidiary
savings association; pursuant to sections
238.51(b)(1), (4), and (6) of Regulation
LL. Synchrony Financial also proposes
to control a mobile commerce software
development company that engages in
data processing, pursuant to section
238.51(b)(6) of Regulation LL.
Board of Governors of the Federal Reserve
System, May 18, 2015.
Michael J. Lewandowski,
Associate Secretary of the Board.
[FR Doc. 2015–12319 Filed 5–20–15; 8:45 am]
BILLING CODE 6210–01–P
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Agencies
[Federal Register Volume 80, Number 98 (Thursday, May 21, 2015)]
[Notices]
[Page 29321]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-12319]
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FEDERAL RESERVE SYSTEM
Notice of Proposals To Engage in or To Acquire Companies Engaged
in Permissible Nonbanking Activities
The companies listed in this notice have given notice under the
Home Owners' Loan Act (HOLA) (12 U.S.C. 1461 et seq.) and Regulation LL
(12 CFR part 238) or Regulation MM (12 CFR part 239) to engage de novo,
or to acquire or control voting securities or assets of a company,
including the companies listed below, that engages either directly or
through a subsidiary or other company, in a nonbanking activity that is
described in Sec. 238.53 or 238.54 of Regulation LL (12 CFR 238.53 or
238.54) or Sec. 239.8 of Regulation MM (12 CFR 239.8). Unless
otherwise noted, these activities will be conducted throughout the
United States.
Each notice is available for inspection at the Federal Reserve Bank
indicated. The notice also will be available for inspection at the
offices of the Board of Governors. Interested persons may express their
views in writing on the question whether the proposal complies with the
standards of section 10(c)(4)(B) of HOLA (12 U.S.C. 1467a(c)(4)(B)).
Unless otherwise noted, comments regarding the applications must be
received at the Reserve Bank indicated or the offices of the Board of
Governors not later than June 5, 2015.
A. Federal Reserve Bank of New York (Ivan Hurwitz, Vice President) 33
Liberty Street, New York, New York 10045-0001
1. Synchrony Financial, Stamford, Connecticut; to retain the
following subsidiaries: Retail Finance Credit Services, LLC, Stamford,
Connecticut; Retail Finance International Holdings, Inc., Draper, Utah;
Synchrony Holding Company, Mississauga, Ontario, Canada; Synchrony
Financial Canada Company, Mississauga, Ontario, Canada; Synchrony
Financial Canada, Mississauga, Ontario, Canada; Synchrony International
Services Private Limited, Madhapur, India; Synchrony Global Services
Philippines, Inc., Muntinlupa City, Philippines; CareCredit LLC, Costa
Mesa, California; Retail Finance Servicing, LLC, Draper, Utah; Blue
Trademark Holding, LLC, Stamford, Connecticut; Synchrony International
Resource Management, LLC, Draper, Utah; RFS Holding, Inc., Stamford,
Connecticut; SBFE, LLC, Beachwood, Ohio; and thereby indirectly engage
in extending credit and servicing loans; servicing activities; holding
or managing properties used by a subsidiary savings association;
community development activities; commercial and other banking
activities outside the United States; financing, including commercial
financing, consumer financing, mortgage banking, and factoring outside
the United States; and furnishing or performing management services for
a subsidiary savings association; pursuant to sections 238.51(b)(1),
(4), and (6) of Regulation LL. Synchrony Financial also proposes to
control a mobile commerce software development company that engages in
data processing, pursuant to section 238.51(b)(6) of Regulation LL.
Board of Governors of the Federal Reserve System, May 18, 2015.
Michael J. Lewandowski,
Associate Secretary of the Board.
[FR Doc. 2015-12319 Filed 5-20-15; 8:45 am]
BILLING CODE 6210-01-P