Submission for OMB Review; Comment Request; Extension: Rule 17f-2(d), 80968-80969 [2024-23003]
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80968
Federal Register / Vol. 89, No. 193 / Friday, October 4, 2024 / Notices
Commission’s consideration concerning
a negotiated service agreement. This
notice informs the public of the filing,
invites public comment, and takes other
administrative steps.
DATES: Comments are due: October 8,
2024.
Submit comments
electronically via the Commission’s
Filing Online system at https://
www.prc.gov. Those who cannot submit
comments electronically should contact
the person identified in the FOR FURTHER
INFORMATION CONTACT section by
telephone for advice on filing
alternatives.
ADDRESSES:
FOR FURTHER INFORMATION CONTACT:
David A. Trissell, General Counsel, at
202–789–6820.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Introduction
II. Docketed Proceeding(s)
khammond on DSKJM1Z7X2PROD with NOTICES
I. Introduction
Pursuant to 39 CFR 3041.405, the
Commission gives notice that the Postal
Service filed request(s) for the
Commission to consider matters related
to negotiated service agreement(s). The
request(s) may propose the addition or
removal of a negotiated service
agreement from the Market Dominant or
the Competitive product list, or the
modification of an existing product
currently appearing on the Market
Dominant or the Competitive product
list.
Section II identifies the docket
number(s) associated with each Postal
Service request, the title of each Postal
Service request, the request’s acceptance
date, and the authority cited by the
Postal Service for each request. For each
request, the Commission appoints an
officer of the Commission to represent
the interests of the general public in the
proceeding, pursuant to 39 U.S.C. 505
(Public Representative). Section II also
establishes comment deadline(s)
pertaining to each request.
The public portions of the Postal
Service’s request(s) can be accessed via
the Commission’s website (https://
www.prc.gov). Non-public portions of
the Postal Service’s request(s), if any,
can be accessed through compliance
with the requirements of 39 CFR
3011.301.1
The Commission invites comments on
whether the Postal Service’s request(s)
in the captioned docket(s) are consistent
1 See Docket No. RM2018–3, Order Adopting
Final Rules Relating to Non-Public Information,
June 27, 2018, Attachment A at 19–22 (Order No.
4679).
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17:26 Oct 03, 2024
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with the policies of title 39. For
request(s) that the Postal Service states
concern Market Dominant product(s),
applicable statutory and regulatory
requirements include 39 U.S.C. 3622, 39
U.S.C. 3642, 39 CFR part 3030, and 39
CFR part 3040, subpart B. For request(s)
that the Postal Service states concern
Competitive product(s), applicable
statutory and regulatory requirements
include 39 U.S.C. 3632, 39 U.S.C. 3633,
39 U.S.C. 3642, 39 CFR part 3035, and
39 CFR part 3040, subpart B. Comment
deadline(s) for each request appear in
section II.
II. Docketed Proceeding(s)
1. Docket No(s).: MC2024–767 and
K2024–60; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 406
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Kenneth R. Moeller;
Comments Due: October 7, 2024.
2. Docket No(s).: MC2024–768 and
K2024–61; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 407
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Kenneth R. Moeller;
Comments Due: October 7, 2024.
3. Docket No(s).: MC2024–769 and
K2024–62; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 408
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Jennaca D. Upperman;
Comments Due: October 7, 2024.
4. Docket No(s).: MC2024–770 and
K2024–63; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 409
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Kenneth R. Moeller;
Comments Due: October 7, 2024.
5. Docket No(s).: MC2024–771 and
K2024–64; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 410
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
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Frm 00114
Fmt 4703
Sfmt 4703
39 CFR 3035.105, and 3041.310; Public
Representative: Jennaca D. Upperman;
Comments Due: October 7, 2024.
6. Docket No(s).: MC2024–772 and
K2024–65; Filing Title: USPS Request to
Add Priority Mail & USPS Ground
Advantage Contract 367 to the
Competitive Product List and Notice of
Filing Materials Under Seal; Filing
Acceptance Date: September 27, 2024;
Filing Authority: 39 U.S.C. 3642, 39 CFR
3035.105, and 3041.310; Public
Representative: Nikki Brendemuehl;
Comments Due: October 7, 2024.
7. Docket No(s).: MC2024–773 and
K2024–66; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 411
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Christopher C. Mohr;
Comments Due: October 7, 2024.
8. Docket No(s).: MC2024–774 and
K2024–67; Filing Title: USPS Request to
Add Priority Mail Express, Priority Mail
& USPS Ground Advantage Contract 412
to the Competitive Product List and
Notice of Filing Materials Under Seal;
Filing Acceptance Date: September 27,
2024; Filing Authority: 39 U.S.C. 3642,
39 CFR 3035.105, and 3041.310; Public
Representative: Christopher C. Mohr;
Comments Due: October 7, 2024.
This Notice will be published in the
Federal Register.
Erica A. Barker,
Secretary.
[FR Doc. 2024–22901 Filed 10–3–24; 8:45 am]
BILLING CODE 7710–FW–P
SECURITIES AND EXCHANGE
COMMISSION
[SEC File No. 270–36, OMB Control No.
3235–0028]
Submission for OMB Review;
Comment Request; Extension: Rule
17f–2(d)
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of FOIA Services,
100 F Street NE, Washington, DC
20549–2736
Notice is hereby given that pursuant
to the Paperwork Reduction Act of 1995
(‘‘PRA’’) (44 U.S.C. 3501 et seq.), the
Securities and Exchange Commission
(‘‘Commission’’) has submitted to the
Office of Management and Budget
(‘‘OMB’’) a request for approval of
extension of the previously approved
collection of information provided for in
Rule 17f–2(d) (17 CFR 240.17f–2(d)),
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04OCN1
khammond on DSKJM1Z7X2PROD with NOTICES
Federal Register / Vol. 89, No. 193 / Friday, October 4, 2024 / Notices
under the Securities Exchange Act of
1934 (15 U.S.C. 78a et seq.).
Rule 17f–2(d) requires that records
created pursuant to the fingerprinting
requirements of Section 17(f)(2) of the
Act be maintained and preserved by
every member of a national securities
exchange, broker, dealer, registered
transfer agent and registered clearing
agency (‘‘covered entities’’ or
‘‘respondents’’); permits, under certain
circumstances, the records required to
be maintained and preserved by a
member of a national securities
exchange, broker, or dealer to be
maintained and preserved by a selfregulatory organization that is also the
designated examining authority for that
member, broker or dealer; and permits
the required records to be preserved on
microfilm. The general purpose of Rule
17f–2 is to: (i) identify security risk
personnel; (ii) provide criminal record
information so that employers can make
fully informed employment decisions;
and (iii) deter persons with criminal
records from seeking employment or
association with covered entities. The
rule enables the Commission or other
examining authority to ascertain
whether all covered persons are being
fingerprinted and whether proper
procedures regarding fingerprinting are
being followed. Retention of these
records for a period of not less than
three years after termination of a
covered person’s employment or
relationship with a covered entity
ensures that law enforcement officials
will have easy access to fingerprint
cards on a timely basis. This in turn acts
as an effective deterrent to employee
misconduct.
Approximately 3,800 respondents are
subject to the recordkeeping
requirements of the rule. Each
respondent maintains approximately 68
new records per year, each of which
takes approximately 2 minutes per
record to maintain, for an annual
burden of approximately 2.2666667
hours (68 records times 2 minutes). The
total annual time burden for all
respondents is approximately 8,613
hours (3,800 respondents times
2.2666667 hours). As noted above, all
records maintained subject to the rule
must be retained for a period of not less
than three years after termination of a
covered person’s employment or
relationship with a covered entity. In
addition, we estimate the total annual
cost burden to respondents is
approximately $38,000 in third party
storage costs.
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17:26 Oct 03, 2024
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An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
under the PRA unless it displays a
currently valid OMB control number.
The public may view background
documentation for this information
collection at the following website:
www.reginfo.gov. Find this particular
information collection by selecting
‘‘Currently under 30-day Review—Open
for Public Comments’’ or by using the
search function. Written comments and
recommendations for the proposed
information collection should be sent by
November 4, 2024 to (i)
www.reginfo.gov/public/do/PRAMain
and (ii) Austin Gerig, Director/Chief
Data Officer, Securities and Exchange
Commission, c/o Oluwaseun Ajayi, 100
F Street NE, Washington, DC 20549, or
by sending an email to: PRA_Mailbox@
sec.gov.
Dated: October 1, 2024.
Vanessa A. Countryman,
Secretary.
[FR Doc. 2024–23003 Filed 10–3–24; 8:45 am]
BILLING CODE 8011–01–P
SECURITIES AND EXCHANGE
COMMISSION
[SEC File No. 270–442, OMB Control No.
3235–0498]
Submission for OMB Review;
Comment Request; Extension: Rule
17a–12
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of FOIA Services,
100 F Street NE, Washington, DC
20549–2736
Notice is hereby given that pursuant
to the Paperwork Reduction Act of 1995
(‘‘PRA’’) (44 U.S.C. 3501 et seq.), the
Securities and Exchange Commission
(‘‘Commission’’) has submitted to the
Office of Management and Budget
(‘‘OMB’’) a request for approval of
extension of the previously approved
collection of information provided for in
Rule 17a–12 (17 CFR 240.17a–12) and
Part II of Form X–17A–5 (17 CFR
249.617) under the Securities Exchange
Act of 1934 (15 U.S.C. 78a et seq.).
Rule 17a–12 is the reporting rule
tailored specifically for over-the-counter
(‘‘OTC’’) derivatives dealers registered
with the Commission, and Part II of
Form X–17A–5, the Financial and
Operational Combined Uniform Single
(‘‘FOCUS’’) Report, is the basic
PO 00000
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Sfmt 4703
80969
document for reporting the financial
and operational condition of OTC
derivatives dealers. Rule 17a–12
requires registered OTC derivatives
dealers to file Part II of the FOCUS
Report quarterly. Rule 17a–12 also
requires that OTC derivatives dealers
file audited reports annually.
The reports required under Rule 17a–
12 provide the Commission with
information used to monitor the
operations of OTC derivatives dealers
and to enforce their compliance with
the Commission’s rules. These reports
also enable the Commission to review
the business activities of OTC
derivatives dealers and to anticipate,
where possible, how these dealers may
be affected by significant economic
events.
The Commission estimates that the
total hour burden under Rule 17a–12 is
approximately 540 hours per year, and
the total cost burden is approximately
$138,900 per year.
The retention period for the
recordkeeping requirement under Rule
17a–12 is not less than two years
following the date the notice is
submitted. The recordkeeping
requirement under this rule is
mandatory to assist the Commission in
monitoring OTC derivatives dealers.
This rule does not involve the collection
of confidential information.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
under the PRA unless it displays a
currently valid OMB control number.
The public may view background
documentation for this information
collection at the following website:
www.reginfo.gov. Find this particular
information collection by selecting
‘‘Currently under 30-day Review—Open
for Public Comments’’ or by using the
search function. Written comments and
recommendations for the proposed
information collection should be sent by
November 4, 2024 to (i)
www.reginfo.gov/public/do/PRAMain
and (ii) Austin Gerig, Director/Chief
Data Officer, Securities and Exchange
Commission, c/o Oluwaseun Ajayi, 100
F Street NE, Washington, DC 20549, or
by sending an email to: PRA_Mailbox@
sec.gov.
Dated: October 1, 2024.
Vanessa A. Countryman,
Secretary.
[FR Doc. 2024–23004 Filed 10–3–24; 8:45 am]
BILLING CODE 8011–01–P
E:\FR\FM\04OCN1.SGM
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Agencies
[Federal Register Volume 89, Number 193 (Friday, October 4, 2024)]
[Notices]
[Pages 80968-80969]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2024-23003]
=======================================================================
-----------------------------------------------------------------------
SECURITIES AND EXCHANGE COMMISSION
[SEC File No. 270-36, OMB Control No. 3235-0028]
Submission for OMB Review; Comment Request; Extension: Rule 17f-
2(d)
Upon Written Request, Copies Available From: Securities and Exchange
Commission, Office of FOIA Services, 100 F Street NE, Washington, DC
20549-2736
Notice is hereby given that pursuant to the Paperwork Reduction Act
of 1995 (``PRA'') (44 U.S.C. 3501 et seq.), the Securities and Exchange
Commission (``Commission'') has submitted to the Office of Management
and Budget (``OMB'') a request for approval of extension of the
previously approved collection of information provided for in Rule 17f-
2(d) (17 CFR 240.17f-2(d)),
[[Page 80969]]
under the Securities Exchange Act of 1934 (15 U.S.C. 78a et seq.).
Rule 17f-2(d) requires that records created pursuant to the
fingerprinting requirements of Section 17(f)(2) of the Act be
maintained and preserved by every member of a national securities
exchange, broker, dealer, registered transfer agent and registered
clearing agency (``covered entities'' or ``respondents''); permits,
under certain circumstances, the records required to be maintained and
preserved by a member of a national securities exchange, broker, or
dealer to be maintained and preserved by a self-regulatory organization
that is also the designated examining authority for that member, broker
or dealer; and permits the required records to be preserved on
microfilm. The general purpose of Rule 17f-2 is to: (i) identify
security risk personnel; (ii) provide criminal record information so
that employers can make fully informed employment decisions; and (iii)
deter persons with criminal records from seeking employment or
association with covered entities. The rule enables the Commission or
other examining authority to ascertain whether all covered persons are
being fingerprinted and whether proper procedures regarding
fingerprinting are being followed. Retention of these records for a
period of not less than three years after termination of a covered
person's employment or relationship with a covered entity ensures that
law enforcement officials will have easy access to fingerprint cards on
a timely basis. This in turn acts as an effective deterrent to employee
misconduct.
Approximately 3,800 respondents are subject to the recordkeeping
requirements of the rule. Each respondent maintains approximately 68
new records per year, each of which takes approximately 2 minutes per
record to maintain, for an annual burden of approximately 2.2666667
hours (68 records times 2 minutes). The total annual time burden for
all respondents is approximately 8,613 hours (3,800 respondents times
2.2666667 hours). As noted above, all records maintained subject to the
rule must be retained for a period of not less than three years after
termination of a covered person's employment or relationship with a
covered entity. In addition, we estimate the total annual cost burden
to respondents is approximately $38,000 in third party storage costs.
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information under the PRA unless it
displays a currently valid OMB control number.
The public may view background documentation for this information
collection at the following website: www.reginfo.gov. Find this
particular information collection by selecting ``Currently under 30-day
Review--Open for Public Comments'' or by using the search function.
Written comments and recommendations for the proposed information
collection should be sent by November 4, 2024 to (i) www.reginfo.gov/public/do/PRAMain and (ii) Austin Gerig, Director/Chief Data Officer,
Securities and Exchange Commission, c/o Oluwaseun Ajayi, 100 F Street
NE, Washington, DC 20549, or by sending an email to:
[email protected].
Dated: October 1, 2024.
Vanessa A. Countryman,
Secretary.
[FR Doc. 2024-23003 Filed 10-3-24; 8:45 am]
BILLING CODE 8011-01-P