Completion of Claims Adjudication Program, 3026-3027 [2018-01047]
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Federal Register / Vol. 83, No. 14 / Monday, January 22, 2018 / Notices
activity of the group research project.
Membership in this group research
project remains open, and IVI
Foundation intends to file additional
written notifications disclosing all
changes in membership.
On May 29, 2001, IVI Foundation
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 July 30, 2001 (66 FR
39336).
The last notification was filed with
the Department on December 15, 2016.
A notice was published in the Federal
Register pursuant to Section 6(b) of the
Act on January 11, 2017 (82 FR 3361).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
Alliance, Inc. intends to file additional
written notifications disclosing all
changes in membership.
On May 28, 2009, Pistoia Alliance,
Inc. 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 July 15, 2009
(74 FR 34364).
The last notification was filed with
the Department on October 3, 2017. A
notice was published in the Federal
Register pursuant to Section 6(b) of the
Act on November 13, 2017 (82 FR
52318).
Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
[FR Doc. 2018–01060 Filed 1–19–18; 8:45 am]
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[FR Doc. 2018–01061 Filed 1–19–18; 8:45 am]
DEPARTMENT OF JUSTICE
DEPARTMENT OF JUSTICE
Antitrust Division
Antitrust Division
Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—PXI Systems Alliance,
Inc.
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Notice is hereby given that, on
December 14, 2017, pursuant to Section
6(a) of the National Cooperative
Research and Production Act of 1993,
15 U.S.C. 4301 et seq. (‘‘the Act’’),
Pistoia Alliance, Inc. 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, Vivenics, Oss, THE
NETHERLANDS; Francisco J. Fernandez
(individual member), Madrid, SPAIN;
Arxspan, Southborough, MA; Andrew
Conkie (individual member), Glasgow,
UNITED KINGDOM; Till Dettmering
(individual member), Frankfurt,
GERMANY; Healthcare Impact
Foundation, New York, NY; Medley
Genomics, Providence, RI; cubuslab
GmbH, Karlsruhe, GERMANY; grit42,
Copenhagen, DENMARK; and Phenomic
AI Inc., Toronto, CANADA, have been
added as parties to this venture.
Also, Instem, Melbourne, UNITED
KINGDOM, has withdrawn 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 Pistoia
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19:00 Jan 19, 2018
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Notice is hereby given that, on
December 18, 2017, pursuant to Section
6(a) of the National Cooperative
Research and Production Act of 1993,
15 U.S.C. 4301 et seq. (‘‘the Act’’), PXI
Systems Alliance, Inc. (‘‘PXI Systems’’)
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, Rohde & Schwarz GmbH &
Co KG, Munchen, GERMANY, has
withdrawn 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 PXI Systems
intends to file additional written
notifications disclosing all changes in
membership.
On November 22, 2000, PXI Systems
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 March 8, 2001 (66 FR
13971).
The last notification was filed with
the Department on September 26, 2017.
A notice was published in the Federal
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Patricia A. Brink,
Director of Civil Enforcement, Antitrust
Division.
[FR Doc. 2018–01062 Filed 1–19–18; 8:45 am]
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DEPARTMENT OF JUSTICE
Foreign Claims Settlement
Commission
Completion of Claims Adjudication
Program
Foreign Claims Settlement
Commission of the United States,
Justice.
ACTION: Notice.
AGENCY:
This notice announces the
completion date of the claims
adjudication program referred to the
Foreign Claims Settlement Commission
(‘‘Commission’’) by the Department of
State by letter dated November 27, 2013
(the ‘‘Libya III program’’), involving
claims of United States nationals against
the Government of Libya that were
settled under the ‘‘Claims Settlement
Agreement Between the United States of
America and the Great Socialist People’s
Libyan Arab Jamahiriya,’’ dated August
14, 2008. By prior notice, the
Commission announced the
commencement of the Libya III program
on December 13, 2013 (78 FR 75944).
DATES: The completion date of the Libya
III program is April 6, 2018. A petition
to reopen a claim filed in the Libya III
program must be filed not later than
February 5, 2018 (60 days before the
completion date). 45 CFR 509.5(l).
FOR FURTHER INFORMATION CONTACT:
Brian M. Simkin, Chief Counsel, Foreign
Claims Settlement Commission of the
United States, 600 E Street NW, Room
6002, Washington, DC 20579, Tel. (202)
616–6975, FAX (202) 616–6993.
SUMMARY:
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Notice Pursuant to the National
Cooperative Research and Production
Act of 1993—Pistoia Alliance, Inc.
Register pursuant to Section 6(b) of the
Act on October 17, 2017 (82 FR 48255).
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Notice of Completion of Claims
Adjudication Program
Pursuant to the authority conferred
upon the Secretary of State and the
Commission under subsection 4(a)(1)(C)
of Title I of the International Claims
Settlement Act of 1949 (Pub. L. 455,
81st Cong., approved March 10, 1950, as
amended by Public Law 105–277,
approved October 21, 1998 (22 U.S.C.
1623(a)(1)(C))), the Foreign Claims
Settlement Commission hereby gives
notice that on April 6, 2018, the
Commission will complete the claims
adjudication programs referred to the
Commission by the Department of State
by letter dated November 27, 2013 (the
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22JAN1
Federal Register / Vol. 83, No. 14 / Monday, January 22, 2018 / Notices
‘‘Libya III program’’), involving claims
of United States nationals against the
Government of Libya that were settled
under the ‘‘Claims Settlement
Agreement Between the United States of
America and the Great Socialist People’s
Libyan Arab Jamahiriya,’’ dated August
14, 2008.
Brian M. Simkin,
Chief Counsel.
[FR Doc. 2018–01047 Filed 1–19–18; 8:45 am]
BILLING CODE 4410–01–P
DEPARTMENT OF LABOR
Mine Safety and Health Administration
Petitions for Modification of
Application of Existing Mandatory
Safety Standards
Mine Safety and Health
Administration, Labor.
ACTION: Notice.
AGENCY:
This notice is a summary of
petitions for modification submitted to
the Mine Safety and Health
Administration (MSHA) by the parties
listed below.
DATES: All comments on the petitions
must be received by MSHA’s Office of
Standards, Regulations, and Variances
on or before February 21, 2018.
ADDRESSES: You may submit your
comments, identified by ‘‘docket
number’’ on the subject line, by any of
the following methods:
1. Electronic Mail: zzMSHAcomments@dol.gov. Include the docket
number of the petition in the subject
line of the message.
2. Facsimile: 202–693–9441.
3. Regular Mail or Hand Delivery:
MSHA, Office of Standards,
Regulations, and Variances, 201 12th
Street South, Suite 4E401, Arlington,
Virginia 22202–5452, Attention: Sheila
McConnell, Director, Office of
Standards, Regulations, and Variances.
Persons delivering documents are
required to check in at the receptionist’s
desk in Suite 4E401. Individuals may
inspect copies of the petition and
comments during normal business
hours at the address listed above.
MSHA will consider only comments
postmarked by the U.S. Postal Service or
proof of delivery from another delivery
service such as UPS or Federal Express
on or before the deadline for comments.
FOR FURTHER INFORMATION CONTACT:
Barbara Barron, Office of Standards,
Regulations, and Variances at 202–693–
9447 (Voice), barron.barbara@dol.gov
(Email), or 202–693–9441 (Facsimile).
[These are not toll-free numbers.]
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SUMMARY:
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Section
101(c) of the Federal Mine Safety and
Health Act of 1977 and Title 30 of the
Code of Federal Regulations Part 44
govern the application, processing, and
disposition of petitions for modification.
SUPPLEMENTARY INFORMATION:
I. Background
Section 101(c) of the Federal Mine
Safety and Health Act of 1977 (Mine
Act) allows the mine operator or
representative of miners to file a
petition to modify the application of any
mandatory safety standard to a coal or
other mine if the Secretary of Labor
(Secretary) determines that:
1. An alternative method of achieving
the result of such standard exists which
will at all times guarantee no less than
the same measure of protection afforded
the miners of such mine by such
standard; or
2. That the application of such
standard to such mine will result in a
diminution of safety to the miners in
such mine.
In addition, the regulations at 30 CFR
44.10 and 44.11 establish the
requirements and procedures for filing
petitions for modification.
II. Petitions for Modification
Docket Number: M–2017–030–C.
Petitioner: Bronco Utah Operations,
LLC, P.O. Box 527, Emery, Utah 84522.
Mine: Emery Mine, MSHA I.D. No.
42–00079, located in Emery County,
Utah.
Regulation Affected: 30 CFR 75.500(d)
(Permissible electric equipment).
Modification Request: The petitioner
requests a modification of the existing
standard to permit the alternative
method of compliance to allow the use
of nonpermissible low-voltage or
battery-powered electronic testing or
diagnostic equipment in or inby the last
open crosscut.
The petitioner states that:
(1) The use of nonpermissible lowvoltage or battery-powered electronic
testing and diagnostic equipment will
be limited to laptop computers;
oscilloscopes; vibration analysis
machines; cable fault detectors; point
temperature probes; infrared
temperature devices; voltage, current,
and power measurement recorders;
pressure and flow measurement devices;
signal analyzer devices; ultrasonic
thickness gauges; electronic
tachometers; and nonpermissible
surveying equipment. Other testing and
diagnostic equipment may be used if
approved in advance by the MSHA
District Office.
(2) Nonpermissible electronic testing
and diagnostic equipment will be used
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only when equivalent permissible
equipment does not exist.
(3) All other test and diagnostic
equipment used in or inby the last open
crosscut will be permissible.
(4) All nonpermissible electronic
testing and diagnostic equipment used
in or inby the last open crosscut will be
examined by a qualified person, as
defined in 30 CFR 75.153, prior to being
used to ensure the equipment is being
maintained in safe operating condition.
These examinations results will be
recorded in the weekly examination of
electrical equipment book and will be
made available to MSHA and the miners
at the mine.
(5) A qualified person, as defined in
30 CFR 75.151, will continuously
monitor for methane immediately before
and during the use of nonpermissible
electronic testing and diagnostic
equipment in or inby the last open
crosscut. The results of such
examination(s) will be recorded as a
special examination in the on-shift
examination record books immediately
after the shift on which the
examination(s) were performed.
(6) Nonpermissible electronic testing
and diagnostic equipment will not be
used if methane is detected in
concentrations at or above 1.0 percent.
When a 1.0 percent or more methane
concentration is detected while the
nonpermissible electronic equipment is
being used, the equipment will be
deenergized immediately and
withdrawn to outby the last open
crosscut.
(7) All hand-held methane detectors
will be MSHA-approved and
maintained in permissible and proper
operating condition as defined in 30
CFR 75.320.
(8) Except for the time necessary to
troubleshoot under actual mining
conditions, coal production in the miner
section will cease. However, coal may
remain in or on the equipment in order
to test and diagnose the equipment
under ‘‘load.’’
(9) Nonpermissible electronic testing
and diagnostic equipment will not be
used to test equipment when float coal
dust is in suspension.
(10) All electronic testing and
diagnostic equipment will be used in
accordance with the manufacturer’s
recommended safe use practices.
(11) Qualified personnel engaged in
the use of electronic testing and
diagnostic equipment will be properly
trained to recognize the hazards and
limitations associated with use of the
electronic testing and diagnostic
equipment.
(12) The petitioner will notify MSHA
before using nonpermissible electronic
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Agencies
[Federal Register Volume 83, Number 14 (Monday, January 22, 2018)]
[Notices]
[Pages 3026-3027]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2018-01047]
-----------------------------------------------------------------------
DEPARTMENT OF JUSTICE
Foreign Claims Settlement Commission
Completion of Claims Adjudication Program
AGENCY: Foreign Claims Settlement Commission of the United States,
Justice.
ACTION: Notice.
-----------------------------------------------------------------------
SUMMARY: This notice announces the completion date of the claims
adjudication program referred to the Foreign Claims Settlement
Commission (``Commission'') by the Department of State by letter dated
November 27, 2013 (the ``Libya III program''), involving claims of
United States nationals against the Government of Libya that were
settled under the ``Claims Settlement Agreement Between the United
States of America and the Great Socialist People's Libyan Arab
Jamahiriya,'' dated August 14, 2008. By prior notice, the Commission
announced the commencement of the Libya III program on December 13,
2013 (78 FR 75944).
DATES: The completion date of the Libya III program is April 6, 2018. A
petition to reopen a claim filed in the Libya III program must be filed
not later than February 5, 2018 (60 days before the completion date).
45 CFR 509.5(l).
FOR FURTHER INFORMATION CONTACT: Brian M. Simkin, Chief Counsel,
Foreign Claims Settlement Commission of the United States, 600 E Street
NW, Room 6002, Washington, DC 20579, Tel. (202) 616-6975, FAX (202)
616-6993.
Notice of Completion of Claims Adjudication Program
Pursuant to the authority conferred upon the Secretary of State and
the Commission under subsection 4(a)(1)(C) of Title I of the
International Claims Settlement Act of 1949 (Pub. L. 455, 81st Cong.,
approved March 10, 1950, as amended by Public Law 105-277, approved
October 21, 1998 (22 U.S.C. 1623(a)(1)(C))), the Foreign Claims
Settlement Commission hereby gives notice that on April 6, 2018, the
Commission will complete the claims adjudication programs referred to
the Commission by the Department of State by letter dated November 27,
2013 (the
[[Page 3027]]
``Libya III program''), involving claims of United States nationals
against the Government of Libya that were settled under the ``Claims
Settlement Agreement Between the United States of America and the Great
Socialist People's Libyan Arab Jamahiriya,'' dated August 14, 2008.
Brian M. Simkin,
Chief Counsel.
[FR Doc. 2018-01047 Filed 1-19-18; 8:45 am]
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