Notice Pursuant to the National Cooperative Research and Production Act of 1993-R Consortium, Inc., 40350 [2016-14704]
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Federal Register / Vol. 81, No. 119 / Tuesday, June 21, 2016 / Notices
of Practice and Procedure (19 CFR
210.21(b)(1)), and that there are no
extraordinary circumstances that would
prevent the requested termination. The
Commission also finds that granting the
Corrected Joint Motion would not be
contrary to the public interest pursuant
to section 210.50(b)(2) of the
Commission’s Rules of Practice and
Procedure (19 CFR 210.50(b)(2)).
Accordingly, the Commission hereby
grants the Corrected Joint Motion. This
investigation is terminated.
The authority for the Commission’s
determination is contained in section
337 of the Tariff Act of 1930, as
amended (19 U.S.C. 1337), and in part
210 of the Commission’s Rules of
Practice and Procedure (19 CFR part
210).
By order of the Commission.
Issued: June 16, 2016.
Lisa R. Barton,
Secretary to the Commission.
[FR Doc. 2016–14657 Filed 6–20–16; 8:45 am]
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JOINT BOARD FOR THE
ENROLLMENT OF ACTUARIES
Meeting of the Advisory Committee;
Meeting
Joint Board for the Enrollment
of Actuaries.
ACTION: Notice of Federal Advisory
Committee meeting.
AGENCY:
The Executive Director of the
Joint Board for the Enrollment of
Actuaries gives notice of a meeting of
the Advisory Committee on Actuarial
Examinations (portions of which will be
open to the public) in Arlington, VA, on
July 14–15, 2016.
DATES: Thursday, July 14, 2016, from
9:00 a.m. to 5:00 p.m., and Friday, July
15, 2016, from 8:30 a.m. to 5:00 p.m.
ADDRESSES: The meeting will be held at
the Internal Revenue Service, 2345
Crystal Drive, Suite 400, Arlington, VA
22202.
FOR FURTHER INFORMATION CONTACT:
Patrick W. McDonough, Executive
Director of the Joint Board for the
Enrollment of Actuaries, 703–414–2173.
SUPPLEMENTARY INFORMATION: Notice is
hereby given that the Advisory
Committee on Actuarial Examinations
will meet at the Internal Revenue
Service, 2345 Crystal Drive, Suite 400,
Arlington, VA 22202, on Thursday, July
14, 2016, from 9:00 a.m. to 5:00 p.m.,
and Friday, July 15, 2016, from 8:30
a.m. to 5:00 p.m.
The purpose of the meeting is to
discuss topics and questions that may
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be recommended for inclusion on future
Joint Board examinations in actuarial
mathematics and methodology referred
to in 29 U.S.C. 1242(a)(1)(B) and to
review the May 2016 Pension (EA–2L)
and Basic (EA–1) Examinations in order
to make recommendations relative
thereto, including the minimum
acceptable pass scores. Topics for
inclusion on the syllabus for the Joint
Board’s examination program for the
November 2016 Pension (EA–2F)
Examination will be discussed.
A determination has been made as
required by section 10(d) of the Federal
Advisory Committee Act, 5 U.S.C. App.,
that the portions of the meeting dealing
with the discussion of questions that
may appear on the Joint Board’s
examinations and the review of the May
2016 Pension (EA–2L) and Basic (EA–1)
Examinations fall within the exceptions
to the open meeting requirement set
forth in 5 U.S.C. 552b(c)(9)(B), and that
the public interest requires that such
portions be closed to public
participation.
The portion of the meeting dealing
with the discussion of the other topics
will commence at 1:00 p.m. on July 14,
2016, and will continue for as long as
necessary to complete the discussion,
but not beyond 3:00 p.m. Time
permitting, after the close of this
discussion by Committee members,
interested persons may make statements
germane to this subject. Persons wishing
to make oral statements should notify
the Executive Director in writing prior
to the meeting in order to aid in
scheduling the time available and
should submit the written text, or at a
minimum, an outline of comments they
propose to make orally. Such comments
will be limited to 10 minutes in length.
All persons planning to attend the
public session should notify the
Executive Director in writing to obtain
building entry. Notifications of intent to
make an oral statement or to attend
must be sent electronically, by no later
than July 7, 2016, to nhqjbea@irs.gov.
Any interested person also may file a
written statement for consideration by
the Joint Board and the Committee by
sending it to: Internal Revenue Service;
Attn: Patrick W. McDonough, Executive
Director; Joint Board for the Enrollment
of Actuaries SE:RPO; REFM, Park 4,
Floor 4; 1111 Constitution Avenue NW.,
Washington, DC 20224.
Dated: June 13, 2016.
Patrick W. McDonough,
Executive Director, Joint Board for the
Enrollment of Actuaries.
[FR Doc. 2016–14542 Filed 6–20–16; 8:45 am]
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DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—R Consortium, Inc.
Notice is hereby given that, on May
23, 2016, pursuant to Section 6(a) of the
National Cooperative Research and
Production Act of 1993, 15 U.S.C. 4301
et seq. (‘‘the Act’’), R Consortium, Inc.
(‘‘R Consortium’’) has filed written
notifications simultaneously with the
Attorney General and the Federal Trade
Commission disclosing changes in its
membership. The notifications were
filed for the purpose of extending the
Act’s provisions limiting the recovery of
antitrust plaintiffs to actual damages
under specified circumstances.
Specifically, Avant, Inc., Chicago, IL,
has been added as a party to this
venture.
No other changes have been made in
either the membership or planned
activity of the group research project.
Membership in this group research
project remains open, and R Consortium
intends to file additional written
notifications disclosing all changes in
membership.
On September 15, 2015, R Consortium
filed its original notification pursuant to
Section 6(a) of the Act. The Department
of Justice published a notice in the
Federal Register pursuant to Section
6(b) of the Act on October 2, 2015 (80
FR 59815).
The last notification was filed with
the Department on December 3, 2015. A
notice was published in the Federal
Register pursuant to Section 6(b) of the
Act on January 11, 2016 (81 FR 1206).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
[FR Doc. 2016–14704 Filed 6–20–16; 8:45 am]
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DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—The Open Group, L.L.C.
Notice is hereby given that, on May
13, 2016, pursuant to Section 6(a) of the
National Cooperative Research and
Production Act of 1993, 15 U.S.C. 4301
et seq. (‘‘the Act’’), The Open Group,
L.L.C. (‘‘TOG’’) has filed written
notifications simultaneously with the
Attorney General and the Federal Trade
Commission disclosing changes in its
membership. The notifications were
E:\FR\FM\21JNN1.SGM
21JNN1
Agencies
[Federal Register Volume 81, Number 119 (Tuesday, June 21, 2016)]
[Notices]
[Page 40350]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-14704]
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DEPARTMENT OF JUSTICE
Antitrust Division
Notice Pursuant to the National Cooperative Research and
Production Act of 1993--R Consortium, Inc.
Notice is hereby given that, on May 23, 2016, pursuant to Section
6(a) of the National Cooperative Research and Production Act of 1993,
15 U.S.C. 4301 et seq. (``the Act''), R Consortium, Inc. (``R
Consortium'') has filed written notifications simultaneously with the
Attorney General and the Federal Trade Commission disclosing changes in
its membership. The notifications were filed for the purpose of
extending the Act's provisions limiting the recovery of antitrust
plaintiffs to actual damages under specified circumstances.
Specifically, Avant, Inc., Chicago, IL, has been added as a party to
this venture.
No other changes have been made in either the membership or planned
activity of the group research project. Membership in this group
research project remains open, and R Consortium intends to file
additional written notifications disclosing all changes in membership.
On September 15, 2015, R Consortium filed its original notification
pursuant to Section 6(a) of the Act. The Department of Justice
published a notice in the Federal Register pursuant to Section 6(b) of
the Act on October 2, 2015 (80 FR 59815).
The last notification was filed with the Department on December 3,
2015. A notice was published in the Federal Register pursuant to
Section 6(b) of the Act on January 11, 2016 (81 FR 1206).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust Division.
[FR Doc. 2016-14704 Filed 6-20-16; 8:45 am]
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