Integration of National Bank and Federal Savings Association Regulations: Licensing Rules, 31463-31466 [C1-2015-11229]
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Federal Register / Vol. 80, No. 106 / Wednesday, June 3, 2015 / Rules and Regulations
H. Congressional Review Act
This action pertains to agency
management and personnel and,
accordingly, is not a ‘‘rule’’ as that term
is used by the Congressional Review Act
(CRA) (Subtitle E of the Small Business
Regulatory Enforcement Fairness Act
(SBREFA)), 5 U.S.C. 804(3). Therefore,
the reports to Congress and the
Government Accountability Office
specified by 5 U.S.C. 801 are not
required.
List of Subjects in 8 CFR Part 1003
Administrative practice and
procedure, Aliens, Immigration, Legal
services, Organization and functions
(Government agencies).
Accordingly, for the reasons stated in
the preamble, the Attorney General is
amending part 1003 of chapter V of title
8 of the Code of Federal Regulations as
follows:
PART 1003—EXECUTIVE OFFICE FOR
IMMIGRATION REVIEW
1. The authority citation for Part 1003
continues to read as follows:
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Authority: 5 U.S.C. 301; 6 U.S.C. 521; 8
U.S.C. 1101, 1103, 1154, 1155, 1158, 1182,
1226, 1229, 1229a, 1229b, 1229c, 1231,
1254a, 1255, 1324d, 1330, 1361, 1362; 28
U.S.C. 509, 510, 1746; sec. 2 Reorg. Plan No.
2 of 1950; 3 CFR, 1949–1953 Comp., p. 1002;
section 203 of Pub.L. 105–100, 111 Stat.
2196–200; sections 1506 and 1510 of Pub.L.
106–386, 114 Stat. 1527–29, 1531–32; section
1505 of Pub.L. 106–554, 114 Stat. 2763A–326
to –328.
DEPARTMENT OF THE TREASURY
2. Amend § 1003.1 by revising the
third sentence of paragraph (a)(1) to
read as follows:
RIN 1557–AD80
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§ 1003.1 Organization, jurisdiction, and
powers of the Board of Immigration
Appeals.
Office of the Comptroller of the
Currency
12 CFR Parts 4, 5, 7, 14, 24, 32, 34, 100,
116, 143, 144, 145, 146, 150, 152, 159,
160, 161, 162, 163, 174, 192, 193
[Docket ID OCC–2014–0007]
Integration of National Bank and
Federal Savings Association
Regulations: Licensing Rules
Correction
(a)(1) * * * The Board shall consist of
17 members.* * *
*
*
*
*
*
Dated: May 28, 2015.
Loretta E. Lynch,
Attorney General.
In rule document 2015–11229
beginning on page 28346 in the issue of
Monday, May 18, 2015, make the
following correction:
Appendix 1 to Part 24 [Corrected]
[FR Doc. 2015–13459 Filed 6–2–15; 8:45 am]
BILLING CODE 4410–30–P
PO 00000
On pages 28475 through 28477, in
Appendix 1 to Part 24, the form should
appear as follows:
BILLING CODE 1505–01–D
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Federal Register / Vol. 80, No. 106 / Wednesday, June 3, 2015 / Rules and Regulations
Section 2- All Requests
1.
Please indicate how the bank's investment is consistent with Part 24 requirements for public welfare
investments, under 12 CFR 24.3.
a.
Check at least one of the following that applies to the bank's investment:
The investment primarily benefits low- and moderate-income individuals.
The investment primarily benefits low- and moderate-income areas.
D
The investment primarily benefits other areas targeted by a governmental entity for redevelopment.
D
The investment would receive consideration under 12 CFR 25.23 as a "qualified investment"
for purposes of the Community Reinvestment Act.
2.
D
D
Please indicate how the bank's investment is consistent with Part 24 requirements for investment
limits under 12 CFR 24.4 by responding to the following questions.
a.
Dollar amount of the bank's investment that is the subject of this submission:
b.
Percentage of the bank's capital and surplus represented by the bank's investment that is the subject of this
%.
submission:
c.
Percentage of the bank's capital and surplus represented by the aggregate outstanding Part 24 investments and
%.
commitments, including this investment:
d.
Does this investment expose the bank to unlimited liability?
Yes
No
3.
0
--------------------
0
(This investment cannot be made under Part 24.)
Please attach a brief description ofthe bank's investment. (See 12 CFR 24.5(a)(3)(i) and (b)(2)(i)).
Include the following information in the description.
The name of the community and economic development entity (CEDE) into which the bank's investment has
been (or will be) made.
b.
The type of bank investment (equity, debt, or other).
c.
The activity or activities of the CEDE in which the bank has invested (or will invest). (See examples of qualifying
investment activities described in 12 CFR 24.6 (a), (b), (c), and (d).)
d.
How the investment is structured so that it does not expose the bank to unlimited liability, such as by describing
the structure of the CEDE (e.g., CDC subsidiary, multi-bank CDC, multi-investor CDC, limited partnership,
limited liability company, community development bank, community development financial institution, community
development entity, community development venture capital fund, community development lending consortia,
community development closed-end mutual funds, non-diversified closed-end investment companies, or any
other CEDE) and by providing any other relevant information.
e.
The geographic area served by the CEDE.
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a.
Federal Register / Vol. 80, No. 106 / Wednesday, June 3, 2015 / Rules and Regulations
31465
f.
g.
4.
The total funding or other support by community development partners involved in the project (e.g., government
or public agencies, nonprofits, other investors), if known.
Supplemental information (e.g., prospectus, annual report, Web address that contains information about the
CEDE in which the investment is or will be made), if available.
Evidence of qualification is readily available for examination purposes.
The bank maintains information concerning this investment in a form readily accessible and available for examination
that supports the certifications contained in this form and demonstrates that the investment meets the standards set out
in 12 CFR 24.3, including, where applicable, the criteria of 12 CFR 25.23.
Yes
D NoD
6. Certification
The undersigned hereby certifies that the foregoing information in this form is accurate and complete. It is further certified
that the undersigned is authorized to file this form on Part 24 investments for the bank.
Name:
---------------------------------------
Title: - - - - - - - - - - - - - - - - - - - - - - Signature:
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Date:
31466
Federal Register / Vol. 80, No. 106 / Wednesday, June 3, 2015 / Rules and Regulations
and Drugs, and redelegated to the
Director, Office of Food Additive Safety,
we are giving notice that no objections
or requests for a hearing were filed in
response to the March 20, 2015, final
rule. Accordingly, the amendments
issued thereby became effective April
21, 2015.
[FR Doc. C1–2015–11229 Filed 6–2–15; 8:45 am]
BILLING CODE 1505–01–C
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
[Docket No. FDA–2013–C–1008]
Listing of Color Additives Exempt
From Certification; Synthetic Iron
Oxide; Confirmation of Effective Date
Dated: May 28, 2015.
Susan Bernard,
Director, Office of Regulations, Policy and
Social Sciences, Center for Food Safety and
Applied Nutrition.
[FR Doc. 2015–13457 Filed 6–2–15; 8:45 am]
21 CFR Part 73
AGENCY:
BILLING CODE 4164–01–P
Food and Drug Administration,
HHS.
ACTION:
Final rule; confirmation of
effective date.
DEPARTMENT OF HOMELAND
SECURITY
The Food and Drug
Administration (FDA or we) is
confirming the effective date of April
21, 2015, for the final rule that appeared
in the Federal Register of March 20,
2015, and that amended the color
additive regulations to expand the
permitted uses of synthetic iron oxide as
a color additive to include use in soft
and hard candy, mints, and chewing
gum.
Coast Guard
Effective date of final rule
published in the Federal Register of
March 20, 2015 (80 FR 14839)
confirmed: April 21, 2015.
FOR FURTHER INFORMATION CONTACT:
Laura A. Dye, Center for Food Safety
and Applied Nutrition (HFS–265), Food
and Drug Administration, 5100 Paint
Branch Pkwy., College Park, MD 20740–
3835, 240–402–1275.
SUPPLEMENTARY INFORMATION: In the
Federal Register of March 20, 2015 (80
FR 14839), we amended the color
additive regulations in § 73.200
Synthetic iron oxide (21 CFR 73.200) to
expand the permitted uses of synthetic
iron oxide as a color additive to include
use in soft and hard candy, mints, and
chewing gum.
We gave interested persons until
April 20, 2015, to file objections or
requests for a hearing. We received no
objections or requests for a hearing on
the final rule. Therefore, we find that
the effective date of the final rule that
published in the Federal Register of
March 20, 2015, should be confirmed.
SUMMARY:
SUMMARY:
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DATES:
List of Subjects in 21 CFR Part 73
Color additives, Cosmetics, Drugs,
Foods, Medical devices.
Therefore, under the Federal Food,
Drug, and Cosmetic Act (21 U.S.C. 321,
341, 342, 343, 348, 351, 352, 355, 361,
362, 371, 379e) and under authority
delegated to the Commissioner of Food
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33 CFR Part 117
[Docket No. USCG–2015–0460]
Drawbridge Operation Regulation;
Columbia River, Vancouver, WA
Coast Guard, DHS.
Notice of deviation from
drawbridge regulation.
AGENCY:
ACTION:
The Coast Guard has issued a
temporary deviation from the operating
schedule that governs the Interstate 5 (I–
5) Bridges across the Columbia River,
mile 106.5, between Portland, Oregon,
and Vancouver, Washington. The
deviation is necessary to facilitate the
movement of heavier than normal
roadway traffic associated with the
Independence Day fireworks show near
the I–5 Bridges. This deviation allows
the bridges to remain in the closed-tonavigation position during the event.
DATES: This deviation is effective from
9 p.m. to 11:59 p.m. on July 4, 2015.
ADDRESSES: The docket for this
deviation, [USCG–2015–0460] is
available at https://www.regulations.gov.
Type the docket number in the
‘‘SEARCH’’ box and click ‘‘SEARCH.’’
Click on Open Docket Folder on the line
associated with this deviation. You may
also visit the Docket Management
Facility in Room W12–140 on the
ground floor of the Department of
Transportation West Building, 1200
New Jersey Avenue SE., Washington,
DC 20590, between 9 a.m. and 5 p.m.,
Monday through Friday, except Federal
holidays.
FOR FURTHER INFORMATION CONTACT: If
you have questions on this temporary
deviation, call or email Mr. Steven
Fischer, Bridge Administrator,
Thirteenth Coast Guard District;
telephone 206–220–7282, email d13-pf-
PO 00000
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d13bridges@uscg.mil. If you have
questions on viewing the docket, call
Cheryl Collins, Program Manager,
Docket Operations, telephone 202–366–
9826.
SUPPLEMENTARY INFORMATION: The
Oregon Department of Transportation
has requested that the I–5 Bridges across
the Columbia River remain closed to
vessel traffic to facilitate heavier than
normal roadway traffic volume
associated with a fireworks show on
July 4, 2015 near the bridges. The I–5
Bridges cross the Columbia River at mile
106.5, and provide three designated
navigation channels with vertical
clearances ranging from 39 to 72 feet
above Columbia River Datum 0.0 while
the lift spans are in the closed-tonavigation position.
The normal operating schedule for the
I–5 Bridges are in accordance with 33
CFR 117.869, which states that the
draws shall open on signal except that
the draws need not open 6:30 a.m. to 9
a.m. and from 2:30 p.m. to 6 p.m.
Monday through Friday, excluding
federal holidays.
This deviation period is from 9 p.m.
to 11:59 p.m. on July 4, 2015. The
deviation allows the lift spans of the I–
5 Bridges across the Columbia River,
mile 106.5, to remain in the closed-tonavigation position and need not open
for maritime traffic from 9 p.m. to 11:59
p.m. on July 4, 2015.
The bridge shall operate in
accordance with 33 CFR 117.869 at all
other times. Waterway usage on this
part of the Columbia River includes
vessels ranging from commercial tug
and tow vessels to recreational pleasure
craft.
Vessels able to pass through the
bridge in the closed positions may do so
at anytime. The bridge will be able to
open for emergencies and there is no
immediate alternate route for vessels to
pass. The Coast Guard will also inform
the users of the waterways through our
Local and Broadcast Notices to Mariners
of the change in operating schedule for
the bridge so that vessels can arrange
their transits to minimize any impact
caused by the temporary deviation.
In accordance with 33 CFR 117.35(e),
the drawbridges must return to their
regular operating schedule immediately
at the end of the effective period of this
temporary deviation. This deviation
from the operating regulations is
authorized under 33 CFR 117.35.
Dated: May 28, 2015.
Steven M. Fischer,
Bridge Administrator, Thirteenth Coast Guard
District.
[FR Doc. 2015–13411 Filed 6–2–15; 8:45 am]
BILLING CODE 9110–04–P
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Agencies
[Federal Register Volume 80, Number 106 (Wednesday, June 3, 2015)]
[Rules and Regulations]
[Pages 31463-31466]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: C1-2015-11229]
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DEPARTMENT OF THE TREASURY
Office of the Comptroller of the Currency
12 CFR Parts 4, 5, 7, 14, 24, 32, 34, 100, 116, 143, 144, 145, 146,
150, 152, 159, 160, 161, 162, 163, 174, 192, 193
[Docket ID OCC-2014-0007]
RIN 1557-AD80
Integration of National Bank and Federal Savings Association
Regulations: Licensing Rules
Correction
In rule document 2015-11229 beginning on page 28346 in the issue of
Monday, May 18, 2015, make the following correction:
Appendix 1 to Part 24 [Corrected]
On pages 28475 through 28477, in Appendix 1 to Part 24, the form
should appear as follows:
BILLING CODE 1505-01-D
[[Page 31464]]
[GRAPHIC] [TIFF OMITTED] TR03JN15.000
[[Page 31465]]
[GRAPHIC] [TIFF OMITTED] TR03JN15.001
[[Page 31466]]
[FR Doc. C1-2015-11229 Filed 6-2-15; 8:45 am]
BILLING CODE 1505-01-C