Notice of Filing of Complaint and Assignment, 85564-85565 [2016-28474]
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85564
Federal Register / Vol. 81, No. 228 / Monday, November 28, 2016 / Notices
primarily staff at respondent banks or
bank customers. The information is
used to improve the way FDIC relates to
its clients, to develop agendas for
regulatory or statutory change, and in
some cases simply to learn how
particular policies or programs are
working, or are perceived in particular
cases.
4. Title: Interagency Guidance on
Sound Incentive Compensation
Practices.
OMB Number: 3064–0175.
Form Number: None.
Affected Public: Insured State
Nonmember Banks and State Savings
Associations.
Burden Estimate:
Type of burden
Annual maintenance of policies
and procedures.
Estimated
number of
respondents
Estimated
number of
responses
Estimated
time per
response
(hours)
Frequency
of
response
Total annual
estimated
burden
(hours)
Recordkeeping .......
3,878
1
40
Annual ...............
155,120
General Description of Collection: The
Guidance on Sound Incentive
Compensation Practices helps ensure
that incentive compensation policies at
insured state nonmember banks and
state savings associations do not
encourage excessive risk-taking and are
consistent with the safety and
soundness of the organization. Under
the Guidance, banks are required to: (i)
Have policies and procedures that
identify and describe the role(s) of the
personnel and units authorized to be
involved in incentive compensation
arrangements, identify the source of
significant risk-related inputs, establish
appropriate controls governing these
inputs to help ensure their integrity, and
identify the individual(s) and unit(s)
whose approval is necessary for the
establishment or modification of
incentive compensation arrangements;
(ii) create and maintain sufficient
documentation to permit an audit of the
organization’s processes for incentive
compensation arrangements; (iii) have
any material exceptions or adjustments
to the incentive compensation
arrangements established for senior
executives approved and documented
by its board of directors; and (iv) have
its board of directors receive and
review, on an annual or more frequent
basis operation of the organization’s
incentive compensation system in
providing risk-taking incentives that are
consistent with the organization’s safety
and soundness.
mstockstill on DSK3G9T082PROD with NOTICES
Request for Comment
Comments are invited on: (a) Whether
the collections of information are
necessary for the proper performance of
the FDIC’s functions, including whether
the information has practical utility; (b)
the accuracy of the estimates of the
burden of the information collections,
including the validity of the
methodology and assumptions used; (c)
ways to enhance the quality, utility, and
clarity of the information to be
collected; and (d) ways to minimize the
burden of the collections of information
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21:15 Nov 25, 2016
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on respondents, including through the
use of automated collection techniques
or other forms of information
technology. All comments will become
a matter of public record.
Dated at Washington, DC, this 22nd day of
November 2016.
Federal Deposit Insurance Corporation.
Robert E. Feldman,
Executive Secretary.
[FR Doc. 2016–28468 Filed 11–25–16; 8:45 am]
FEDERAL MARITIME COMMISSION
[Docket No. 16–17]
Notice of Filing of Complaint and
Assignment
Connie Lane Christy and Christy Collection
International Inc. on behalf of the Annie
Grace Foundation for the Children of Bali
Indonesia v. Air 7 Seas Transport Logistics
Inc.
BILLING CODE 6714–01–P
FEDERAL ELECTION COMMISSION
Sunshine Act Meetings
Federal Election Commission.
Thursday, December 1,
2016 at 10:00 a.m.
PLACE: 999 E Street NW., Washington,
DC (Ninth Floor)
STATUS: This meeting will be open to
the public.
ITEMS TO BE DISCUSSED:
Draft Advisory Opinion 2016–20:
Christoph Mlinarchik, JD, CFCM.
Draft Advisory Opinion 2016–21:
Great America PAC.
Proposed Amendments to Directive
52.
Proposed Final Audit Report on the
Utah Republican Party (A13–16).
2016 Legislative Recommendations.
Management and Administrative
Matters.
Individuals who plan to attend and
require special assistance, such as sign
language interpretation or other
reasonable accommodations, should
contact Shelley E. Garr, Deputy
Secretary, at (202) 694–1040, at least 72
hours prior to the meeting date.
PERSON TO CONTACT FOR INFORMATION:
Judith Ingram, Press Officer, Telephone:
(202) 694–1220.
AGENCY:
DATE AND TIME:
Shelley E. Garr,
Deputy Secretary of the Commission.
[FR Doc. 2016–28727 Filed 11–23–16; 4:15 pm]
BILLING CODE 6715–01–P
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Notice is given that a Complaint has
been filed with the Federal Maritime
Commission (Commission) by Connie
Lane Christy and Christy Collection
International Inc. on behalf of The
Annie Grace Foundation for the
Children of Bali Indonesia, hereinafter
‘‘Complainants,’’ against Air 7 Seas
Transport Logistics Inc., hereinafter
‘‘Respondent.’’ Complainants alleges
that Respondent is an ocean freight
forwarder located in California.
Complainant alleges that Respondent
has violated the Shipping Act of 1984 in
connection with a shipment of personal
effects shipped from Charleston, South
Carolina to Bali, Indonesia.
Complainants allege they entered into a
contract for ‘‘door to door’’ service, but
such service was not provided, the
goods were never delivered and are now
‘‘lost’’. Complainant seeks reparations of
$520,000 ‘‘for the loss of goods, and the
loss of the efforts involved in forming
this Foundation.’’
Complainants allege that ‘‘the service
performed as an Ocean Freight
Forwarder were in violation of
definitions set forth in that Act.’’ The
complainant requests ‘‘the courts
judgement in this case.’’
The full text of the complaint can be
found in the Commission’s Electronic
Reading Room at www.fmc.gov/16-17.
This proceeding has been assigned to
the Office of Administrative Law Judges.
The initial decision of the presiding
officer in this proceeding shall be issued
by November 21, 2017 and the final
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Federal Register / Vol. 81, No. 228 / Monday, November 28, 2016 / Notices
decision of the Commission shall be
issued by June 4, 2018.
Rachel E. Dickon,
Assistant Secretary.
[FR Doc. 2016–28474 Filed 11–25–16; 8:45 am]
BILLING CODE 6731–AA–P
FEDERAL RESERVE SYSTEM
Formations of, Acquisitions by, and
Mergers of Bank Holding Companies
The companies listed in this notice
have applied to the Board for approval,
pursuant to the Bank Holding Company
Act of 1956 (12 U.S.C. 1841 et seq.)
(BHC Act), Regulation Y (12 CFR part
225), and all other applicable statutes
and regulations to become a bank
holding company and/or to acquire the
assets or the ownership of, control of, or
the power to vote shares of a bank or
bank holding company and all of the
banks and nonbanking companies
owned by the bank holding company,
including the companies listed below.
The applications listed below, as well
as other related filings required by the
Board, are available for immediate
inspection at the Federal Reserve Bank
indicated. The applications will also be
available for inspection at the offices of
the Board of Governors. Interested
persons may express their views in
writing on the standards enumerated in
the BHC Act (12 U.S.C. 1842(c)). If the
proposal also involves the acquisition of
a nonbanking company, the review also
includes whether the acquisition of the
nonbanking company complies with the
standards in section 4 of the BHC Act
(12 U.S.C. 1843). Unless otherwise
noted, nonbanking activities will be
conducted throughout the United States.
Unless otherwise noted, comments
regarding each of these applications
must be received at the Reserve Bank
indicated or the offices of the Board of
Governors not later than December 22,
2016.
A. Federal Reserve Bank of
Minneapolis (Jacquelyn K. Brunmeier,
Assistant Vice President) 90 Hennepin
Avenue, Minneapolis, Minnesota
55480–0291:
1. NATCOM Bancshares, Inc.,
Superior, Wisconsin; to acquire 49
percent of the shares of Republic
Bancshares, Inc., Duluth, Minnesota,
and thereby indirectly acquire Republic
Bank, Inc., Duluth, Minnesota.
B. Federal Reserve Bank of Cleveland
(Nadine Wallman, Vice President) 1455
East Sixth Street, Cleveland, Ohio
44101–2566. Comments can also be sent
electronically to
Comments.applications@clev.frb.org:
1. United Community Financial Corp,
Youngstown, Ohio; to become a bank
holding company by acquiring Ohio
Legacy Corp, North Canton, Ohio, and
thereby acquire Premier Bank and Trust
Company, North Canton, Ohio.
received at the Reserve Bank indicated
or the offices of the Board of Governors
not later than December 12, 2016.
A. Federal Reserve Bank of Kansas
City (Dennis Denney, Assistant Vice
President) 1 Memorial Drive, Kansas
City, Missouri 64198–0001:
1. Grand Capital Corporation, Tulsa,
Oklahoma; to engage in extending credit
and servicing loans, pursuant to section
225.28(b)(1).
Board of Governors of the Federal Reserve
System, November 22, 2016.
Yao-Chin Chao,
Assistant Secretary of the Board.
Board of Governors of the Federal Reserve
System, November 22, 2016.
Yao-Chin Chao,
Assistant Secretary of the Board.
[FR Doc. 2016–28570 Filed 11–25–16; 8:45 am]
[FR Doc. 2016–28571 Filed 11–25–16; 8:45 am]
FEDERAL TRADE COMMISSION
BILLING CODE 6210–01–P
BILLING CODE 6210–01–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 section 4 of the
Bank Holding Company Act (12 U.S.C.
1843) (BHC Act) and Regulation Y, (12
CFR part 225) 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 listed in § 225.28 of Regulation Y
(12 CFR 225.28) or that the Board has
determined by Order to be closely
related to banking and permissible for
bank holding companies. 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 4 of the
BHC Act.
Unless otherwise noted, comments
regarding the applications must be
Granting of Request for Early
Termination of the Waiting Period
Under the Premerger Notification
Rules
Section 7A of the Clayton Act, 15
U.S.C. 18a, as added by Title II of the
Hart-Scott-Rodino Antitrust
Improvements Act of 1976, requires
persons contemplating certain mergers
or acquisitions to give the Federal Trade
Commission and the Assistant Attorney
General advance notice and to wait
designated periods before
consummation of such plans. Section
7A(b)(2) of the Act permits the agencies,
in individual cases, to terminate this
waiting period prior to its expiration
and requires that notice of this action be
published in the Federal Register.
The following transactions were
granted early termination—on the dates
indicated—of the waiting period
provided by law and the premerger
notification rules. The listing for each
transaction includes the transaction
number and the parties to the
transaction. The grants were made by
the Federal Trade Commission and the
Assistant Attorney General for the
Antitrust Division of the Department of
Justice. Neither agency intends to take
any action with respect to these
proposed acquisitions during the
applicable waiting period.
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EARLY TERMINATIONS GRANTED
[September 1, 2016 Thru September 30, 2016]
09/01/2016
20161610 ......
20161656 ......
20161662 ......
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S&P Global Inc.; Dr. Gary N. Ross; S&P Global Inc.
FR XIII Charlie AIV, L.P.; Chesapeake Energy Corporation; FR XIII Charlie AIV, L.P.
Exelon Corporation; Entergy Corporation; Exelon Corporation.
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Agencies
[Federal Register Volume 81, Number 228 (Monday, November 28, 2016)]
[Notices]
[Pages 85564-85565]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-28474]
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FEDERAL MARITIME COMMISSION
[Docket No. 16-17]
Notice of Filing of Complaint and Assignment
Connie Lane Christy and Christy Collection International Inc. on
behalf of the Annie Grace Foundation for the Children of Bali
Indonesia v. Air 7 Seas Transport Logistics Inc.
Notice is given that a Complaint has been filed with the Federal
Maritime Commission (Commission) by Connie Lane Christy and Christy
Collection International Inc. on behalf of The Annie Grace Foundation
for the Children of Bali Indonesia, hereinafter ``Complainants,''
against Air 7 Seas Transport Logistics Inc., hereinafter
``Respondent.'' Complainants alleges that Respondent is an ocean
freight forwarder located in California.
Complainant alleges that Respondent has violated the Shipping Act
of 1984 in connection with a shipment of personal effects shipped from
Charleston, South Carolina to Bali, Indonesia. Complainants allege they
entered into a contract for ``door to door'' service, but such service
was not provided, the goods were never delivered and are now ``lost''.
Complainant seeks reparations of $520,000 ``for the loss of goods, and
the loss of the efforts involved in forming this Foundation.''
Complainants allege that ``the service performed as an Ocean
Freight Forwarder were in violation of definitions set forth in that
Act.'' The complainant requests ``the courts judgement in this case.''
The full text of the complaint can be found in the Commission's
Electronic Reading Room at www.fmc.gov/16-17.
This proceeding has been assigned to the Office of Administrative
Law Judges. The initial decision of the presiding officer in this
proceeding shall be issued by November 21, 2017 and the final
[[Page 85565]]
decision of the Commission shall be issued by June 4, 2018.
Rachel E. Dickon,
Assistant Secretary.
[FR Doc. 2016-28474 Filed 11-25-16; 8:45 am]
BILLING CODE 6731-AA-P