Reporting and Recordkeeping Requirements Under OMB Review, 61266-61267 [2015-25822]
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61266
Federal Register / Vol. 80, No. 196 / Friday, October 9, 2015 / Notices
10. Each Regulated Fund will
maintain the records required by section
57(f)(3) of the Act as if each of the
Regulated Funds were a BDC and each
of the investments permitted under
these Conditions were approved by the
Required Majority under section 57(f) of
the Act.
11. No Non-Interested Director of a
Regulated Fund will also be a director,
general partner, managing member or
principal, or otherwise an ‘‘affiliated
person’’ (as defined in the Act) of an
Affiliated Fund.
12. The expenses, if any, associated
with acquiring, holding or disposing of
any securities acquired in a CoInvestment Transaction (including,
without limitation, the expenses of the
distribution of any such securities
registered for sale under the Securities
Act) will, to the extent not payable by
the Advisers under their respective
investment advisory agreements with
Affiliated Funds and the Regulated
Funds, be shared by the Regulated
Funds and the Affiliated Funds in
proportion to the relative amounts of the
securities held or to be acquired or
disposed of, as the case may be.
13. Any transaction fee (including
break-up or commitment fees but
excluding broker’s fees contemplated by
section 17(e) or 57(k) of the Act, as
applicable), received in connection with
a Co-Investment Transaction will be
distributed to the participating
Regulated Funds and Affiliated Funds
on a pro rata basis based on the amounts
they invested or committed, as the case
may be, in such Co-Investment
Transaction. If any transaction fee is to
be held by an Adviser pending
consummation of the transaction, the
fee will be deposited into an account
maintained by such Adviser at a bank or
banks having the qualifications
prescribed in section 26(a)(1) of the Act,
and the account will earn a competitive
rate of interest that will also be divided
pro rata among the participating
Regulated Funds and Affiliated Funds
based on the amounts they invest in
such Co-Investment Transaction. None
of the Affiliated Funds, the Advisers,
the other Regulated Funds or any
affiliated person of the Regulated Funds
or Affiliated Funds will receive
additional compensation or
remuneration of any kind as a result of
or in connection with a Co-Investment
Transaction (other than (a) in the case
of the Regulated Funds and the
Affiliated Funds, the pro rata
transaction fees described above and
fees or other compensation described in
Condition 2(c)(iii)(C); and (b) in the case
of an Adviser, investment advisory fees
paid in accordance with the agreement
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between the Adviser and the Regulated
Fund or Affiliated Fund.
14. The JMPG Proprietary Accounts
will not be permitted to invest in a
Potential Co-Investment Transaction
except to the extent the aggregate
demand from the Regulated Funds and
the other Affiliated Funds is less than
the total investment opportunity.
15. Each Adviser will maintain
written policies and procedures
reasonably designed to ensure
compliance with the foregoing
Conditions. These policies and
procedures will require, among other
things, that each Adviser will be
notified of all Potential Co-Investment
Transactions that fall within the thencurrent Objectives and Strategies of any
Regulated Fund it advises and will be
given sufficient information to make its
independent determination and
recommendations under Conditions 1,
2(a), 7 and 8.
16. If the Holders own in the aggregate
more than 25% of the outstanding
Shares of a Regulated Fund, then the
Holders will vote such Shares as
directed by an independent third party
(such as the trustee of a voting trust or
a proxy adviser) when voting on (1) the
election of directors; (2) the removal of
one or more directors; or (3) any matters
requiring approval by the vote of a
majority of the outstanding voting
securities, as defined in section 2(a)(42)
of the Act.
For the Commission, by the Division of
Investment Management, under delegated
authority.
Robert W. Errett,
Deputy Secretary.
[FR Doc. 2015–25760 Filed 10–8–15; 8:45 am]
BILLING CODE 8011–01–P
SMALL BUSINESS ADMINISTRATION
Audit and Financial Management
Advisory Committee (AFMAC)
U.S. Small Business
Administration.
ACTION: Notice of open Federal advisory
committee meeting.
AGENCY:
The SBA is issuing this notice
to announce the location, date, time,
and agenda for the next meeting of the
Audit and Financial Management
Advisory Committee (AFMAC).
The meeting will be open to the
public.
DATES: The meeting will be held on
Thursday, October 29, 2015, starting at
1:00 p.m. until approximately 3:00 p.m.
Eastern Time.
ADDRESSES: The meeting will be held at
the U.S. Small Business Administration,
SUMMARY:
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409 3rd Street SW., Office of
Performance Management and Chief
Financial Officer Conference Room, 6th
Floor, Washington, DC 20416.
SUPPLEMENTARY INFORMATION: Pursuant
to section 10(a)(2) of the Federal
Advisory Committee Act (5 U.S.C.,
Appendix 2), SBA announces the
meeting of the AFMAC. The AFMAC is
tasked with providing recommendation
and advice regarding the Agency’s
financial management, including the
financial reporting process, systems of
internal controls, audit process and
process for monitoring compliance with
relevant laws and regulations.
The purpose of the meeting is to
discuss the SBA’s Financial Reporting,
Audit Findings Remediation, Ongoing
OIG Audits including the Information
Technology Audit, FMFIA Assurance/
A–123 Internal Control Program, Credit
Modeling, Performance Management,
Acquisition Division Update, Improper
Payments and current initiatives.
FOR FURTHER INFORMATION CONTACT: The
meeting is open to the public, however
advance notice of attendance is
requested. Anyone wishing to attend
and/or make a presentation to the
AFMAC must contact Tami Perriello by
fax or email, in order to be placed on the
agenda. Tami Perriello, Chief Financial
Officer, 409 3rd Street SW., 6th Floor,
Washington, DC 20416, phone: (202)
205–6449, fax: (202) 481–6194, email:
tami.perriello@sba.gov.
Additionally, if you need
accommodations because of a disability
or require additional information, please
contact Donna Wood at (202) 619–1608,
email: Donna.Wood@sba.gov; SBA,
Office of Chief Financial Officer, 409
3rd Street SW., Washington, DC 20416.
For more information, please visit our
Web site at https://www.sba.gov/
aboutsba/sbaprograms/cfo/.
Dated: September 30, 2015.
Miguel L’Heureux,
White House Liaison.
[FR Doc. 2015–25821 Filed 10–8–15; 8:45 am]
BILLING CODE 8025–01–P
SMALL BUSINESS ADMINISTRATION
Reporting and Recordkeeping
Requirements Under OMB Review
Small Business Administration.
30-Day notice.
AGENCY:
ACTION:
The Small Business
Administration (SBA) is publishing this
notice to comply with requirements of
the Paperwork Reduction Act (PRA) (44
U.S.C. Chapter 35), which requires
agencies to submit proposed reporting
SUMMARY:
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09OCN1
Federal Register / Vol. 80, No. 196 / Friday, October 9, 2015 / Notices
and recordkeeping requirements to
OMB for review and approval, and to
publish a notice in the Federal Register
notifying the public that the agency has
made such a submission. This notice
also allows an additional 30 days for
public comments.
Submit comments on or before
November 9, 2015.
Total Estimated Annual Hour Burden:
2975.50.
Curtis B. Rich,
Management Analyst.
[FR Doc. 2015–25822 Filed 10–8–15; 8:45 am]
BILLING CODE 8025–01–P
DATES:
Comments should refer to
the information collection by name and/
or OMB Control Number and should be
sent to: Agency Clearance Officer, Curtis
Rich, Small Business Administration,
409 3rd Street SW., 5th Floor,
Washington, DC 20416; and SBA Desk
Officer, Office of Information and
Regulatory Affairs, Office of
Management and Budget, New
Executive Office Building, Washington,
DC 20503.
ADDRESSES:
FOR FURTHER INFORMATION CONTACT:
Curtis Rich, Agency Clearance Officer,
(202) 205–7030 curtis.rich@sba.gov.
Copies: A copy of the Form OMB 83–
1, supporting statement, and other
documents submitted to OMB for
review may be obtained from the
Agency Clearance Officer.
All 8(a)
participants are required to provide
semiannual information on any agents,
representatives, attorneys, and accounts
receiving compensation to assist in
obtaining a Federal contract for the
participant. The information addresses
the amount of compensation received
and description of the activities
performed in return for such
compensation. The information is used
to ensure that participants do not engage
in any improper or illegal activity in
connection with obtaining a contract.
Solicitation of Public Comments:
Comments may be submitted on (a)
whether the collection of information is
necessary for the agency to properly
perform its functions; (b) whether the
burden estimates are accurate; (c)
whether there are ways to minimize the
burden, including through the use of
automated techniques or other forms of
information technology; and (d) whether
there are ways to enhance the quality,
utility, and clarity of the information.
Summary of Information Collections:
Title: Representatives Used and
Compensation Paid for Services in
Connection with Obtaining Federal
Contracts.
Description of Respondents: 8(a)
Program Participants.
Form Number: SBA Form 1790.
Total Estimated Annual Responses:
11,902.
tkelley on DSK3SPTVN1PROD with NOTICES
SUPPLEMENTARY INFORMATION:
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DEPARTMENT OF STATE
[Public Notice 9315]
Notice of Public Meeting
The Department of State will conduct
an open meeting at 9:00 a.m. on
Thursday, November 12, 2015, in Room
5L18–01 of the United States Coast
Guard Headquarters Building, 2703
Martin Luther King Jr. Ave. SE.,
Washington, DC 20593. The primary
purpose of the meeting is to prepare for
the 28th Extraordinary Council Session
(CES28), the 29th Assembly (A29), and
the 115th Council Session (C115) of the
International Maritime Organization
(IMO), to be held at the IMO
Headquarters, United Kingdom,
November 19–20; November 23–
December 2; and, December 3,
respectively.
The agenda items for CES28, to be
considered include:
—Adoption of the agenda
—Report of the Secretary-General on
credentials
—Strategy, planning and reform
—Resource management
—Results-based budget for the 2016–
2017 biennium
—Report on the 37th Consultative
Meeting of Contracting Parties to the
London Convention 1972 and the
10th Meeting of Contracting Parties to
the 1996 Protocol to the London
Convention
—Report of the Council to the Assembly
on the work of the Organization since
the twenty-eighth regular session of
the Assembly
—Protection of vital shipping lanes
—Periodic review of administrative
requirements in mandatory IMO
instruments
—External relations
—Report on the status of the Convention
and membership of the Organization
—Report on the status of conventions
and other multilateral instruments in
respect of which the Organization
performs functions
—Substantive items for inclusion in the
provisional agendas for the next two
sessions of the Council
—Supplementary agenda items, if any
The agenda items for A29, to be
considered include:
—Adoption of the agenda
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61267
—Election of the President and the VicePresidents of the Assembly
—Consideration of proposed
amendments to the Rules of
Procedure of the Assembly
—Application of Article 61 of the IMO
Convention—Report of the Council to
the Assembly on any requests by
Members for waiver
—Establishment of committees of the
Assembly
—Consideration of the reports of the
committees of the Assembly
—Report of the Council to the Assembly
on the work of the Organization since
the twenty-eighth regular session of
the Assembly
—Strategy, planning and reform
— IMO Member State Audit Scheme
—Consideration of the reports and
recommendations of the Maritime
Safety Committee
—Consideration of the reports and
recommendations of the Legal
Committee
—Consideration of the reports and
recommendations of the Marine
Environment Protection Committee
—Consideration of the reports and
recommendations of the Technical
Co-operation Committee
—Consideration of the reports and
recommendations of the Facilitation
Committee
—Convention on the Prevention of
Marine Pollution by Dumping of
Wastes and Other Matter, 1972 and
the 1996 Protocol thereto: report on
the performance of Secretariat
functions and other duties
—Progress report to the Assembly on
Periodic review of administrative
requirements in mandatory IMO
instruments
—Resource management
—Global maritime training institutions
—External relations
—Report on the status of the Convention
and membership of the Organization
—Report on the status of conventions
and other multilateral instruments in
respect of which the Organization
performs functions
—Election of Members of the Council,
as provided for in Articles 16 and 17
of the IMO Convention
—Election of Members of the IMO Staff
Pension Committee
—Appointment of the External Auditor
—Approval of the appointment of the
Secretary-General
—Date and place of the thirtieth session
of the Assembly
—Farewell to Mr. Sekimizu
—Supplementary agenda items, if any
No agenda was published for C115.
Members of the public may attend
this meeting up to the seating capacity
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Agencies
[Federal Register Volume 80, Number 196 (Friday, October 9, 2015)]
[Notices]
[Pages 61266-61267]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-25822]
-----------------------------------------------------------------------
SMALL BUSINESS ADMINISTRATION
Reporting and Recordkeeping Requirements Under OMB Review
AGENCY: Small Business Administration.
ACTION: 30-Day notice.
-----------------------------------------------------------------------
SUMMARY: The Small Business Administration (SBA) is publishing this
notice to comply with requirements of the Paperwork Reduction Act (PRA)
(44 U.S.C. Chapter 35), which requires agencies to submit proposed
reporting
[[Page 61267]]
and recordkeeping requirements to OMB for review and approval, and to
publish a notice in the Federal Register notifying the public that the
agency has made such a submission. This notice also allows an
additional 30 days for public comments.
DATES: Submit comments on or before November 9, 2015.
ADDRESSES: Comments should refer to the information collection by name
and/or OMB Control Number and should be sent to: Agency Clearance
Officer, Curtis Rich, Small Business Administration, 409 3rd Street
SW., 5th Floor, Washington, DC 20416; and SBA Desk Officer, Office of
Information and Regulatory Affairs, Office of Management and Budget,
New Executive Office Building, Washington, DC 20503.
FOR FURTHER INFORMATION CONTACT: Curtis Rich, Agency Clearance Officer,
(202) 205-7030 curtis.rich@sba.gov.
Copies: A copy of the Form OMB 83-1, supporting statement, and
other documents submitted to OMB for review may be obtained from the
Agency Clearance Officer.
SUPPLEMENTARY INFORMATION: All 8(a) participants are required to
provide semiannual information on any agents, representatives,
attorneys, and accounts receiving compensation to assist in obtaining a
Federal contract for the participant. The information addresses the
amount of compensation received and description of the activities
performed in return for such compensation. The information is used to
ensure that participants do not engage in any improper or illegal
activity in connection with obtaining a contract.
Solicitation of Public Comments:
Comments may be submitted on (a) whether the collection of
information is necessary for the agency to properly perform its
functions; (b) whether the burden estimates are accurate; (c) whether
there are ways to minimize the burden, including through the use of
automated techniques or other forms of information technology; and (d)
whether there are ways to enhance the quality, utility, and clarity of
the information.
Summary of Information Collections:
Title: Representatives Used and Compensation Paid for Services in
Connection with Obtaining Federal Contracts.
Description of Respondents: 8(a) Program Participants.
Form Number: SBA Form 1790.
Total Estimated Annual Responses: 11,902.
Total Estimated Annual Hour Burden: 2975.50.
Curtis B. Rich,
Management Analyst.
[FR Doc. 2015-25822 Filed 10-8-15; 8:45 am]
BILLING CODE 8025-01-P