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Federal Register / Vol. 75, No. 215 / Monday, November 8, 2010 / Notices
jlentini on DSKJ8SOYB1PROD with NOTICES
For details with respect to the
application for renewal, see the
licensee’s letter dated July 8, 1999
(ML080950435), as supplemented by
letters dated February 10 (ADAMS
Accession Nos. ML003683419,
ML052900533, ML053190234, and
ML053190384), and May 8, 2000
(ADAMS Accession No. ML081000625),
January 29, 2004 (ADAMS Accession
No. ML081000626), July 5 (ADAMS
Accession No. ML061930319), and
October 11, 2006 (ADAMS Accession
No. ML063340716), January 26, 2007
(ADAMS Accession No. ML070320555),
February 22 (ADAMS Accession No.
ML081000627), May 29 (ADAMS
Accession No. ML081560246), August
15 (ADAMS Accession No.
ML082350069), 21 (ADAMS Accession
No. ML082401050), and 26 (ADAMS
Accession No. ML082470562), October
6 (ADAMS Accession No.
ML082900488) and 7 (ADAMS
Accession No. ML082910241), and
December 1, 2008 (ADAMS Accession
No. ML083430006), May 26 (ADAMS
Accession No. ML091540202), August
27 (ADAMS Accession No.
ML092450427), October 5 (ADAMS
Accession No. ML092930273), October
9 (ADAMS Accession No.
ML092930278), and November 19, 2009
(ADAMS Accession No. ML093290155),
and March 30 (ADAMS Accession No.
ML100970368), August 6 (ADAMS
Accession No. ML102310032), and
August 26, 2010 (ADAMS Accession
No. ML102440122). Documents may be
examined, and/or copied for a fee, at the
NRC’s Public Document Room (PDR),
located at One White Flint North, 11555
Rockville Pike (first floor), Rockville,
Maryland. Publicly available records
will be accessible electronically from
the Agencywide Documents Access and
Management System (ADAMS) Public
Electronic Reading Room on the NRC
Web site, http://www.nrc.gov/readingrm/adams.html. Persons who do not
have access to ADAMS or who
encounter problems in accessing the
documents located in ADAMS should
contact the NRC PDR Reference staff at
1–800–397–4209 or 301–415–4737, or
send an e-mail to [email protected].
Dated at Rockville, Maryland, this 1st day
of November, 2010.
For the Nuclear Regulatory Commission.
Jessie Quichocho,
Chief, Research and Test Reactors Licensing
Branch, Division of Policy and Rulemaking,
Office of Nuclear Reactor Regulation.
[FR Doc. 2010–28130 Filed 11–5–10; 8:45 am]
BILLING CODE 7590–01–P
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NUCLEAR REGULATORY
COMMISSION
[NRC–2010–0002]
Sunshine Federal Register Notice
AGENCY HOLDING THE MEETINGS: Nuclear
Regulatory Commission.
DATE: Week of November 1, 2010.
PLACE: Commissioners’ Conference
Room, 11555 Rockville Pike, Rockville,
Maryland.
STATUS: Public and Closed.
Additional Items to be Considered:
reasonable accommodation will be
made on a case-by-case basis.
*
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*
This notice is distributed
electronically to subscribers. If you no
longer wish to receive it, or would like
to be added to the distribution, please
contact the Office of the Secretary,
Washington, DC 20555 (301–415–1969),
or send an e-mail to
[email protected].
Dated: November 3, 2010.
Richard J. Laufer,
Technical Coordinator, Office of the
Secretary.
Week of November 1, 2010
[FR Doc. 2010–28252 Filed 11–4–10; 4:15 pm]
Friday, November 5, 2010
BILLING CODE 7590–01–P
9:25 a.m.
Affirmation Session (Public Meeting)
(Tentative).
a. Entergy Nuclear Generation Co. and
Entergy Nuclear Operations, Inc.
(Pilgrim Nuclear Power Station) Pilgrim
Watch Motion Seeking Commission to
Order Board to Respond or to Respond
Itself to Pilgrim Watch Questions
(Tentative).
This meeting will be Webcast live at
the Web address—http://www.nrc.gov.
*
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* The schedule for Commission
meetings is subject to change on short
notice. To verify the status of meetings,
call (recording)—(301) 415–1292.
Contact person for more information:
Rochelle Bavol, (301) 415–1651.
*
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Additional Information
By a vote of 3–1 on November 2, 2010,
the Commission determined pursuant to
U.S.C. 552b(e) and ’9.107(a) of the
Commission’s rules that the above
referenced Affirmation be held on
November 5, 2010, with less than one
week notice to the public.
*
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The NRC Commission Meeting
Schedule can be found on the Internet
at: http://www.nrc.gov/about-nrc/policymaking/schedule.html.
*
*
*
*
*
The NRC provides reasonable
accommodation to individuals with
disabilities where appropriate. If you
need a reasonable accommodation to
participate in these public meetings, or
need this meeting notice or the
transcript or other information from the
public meetings in another format (e.g.
braille, large print), please notify Angela
Bolduc, Chief, Employee/Labor
Relations and Work Life Branch, at 301–
492–2230, TDD: 301–415–2100, or by email at [email protected].
Determinations on requests for
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PEACE CORPS
Information Collection Requests Under
OMB Review
November 3, 2010.
Peace Corps.
60-Day notice and request for
comments.
AGENCY:
ACTION:
SUMMARY: In accordance with the
Paperwork Reduction Act, this notice
invites the public to comment on the
proposed collection of information by
the Peace Corps’ Office of
Communications. The Peace Corps’
Office of Communications wishes to
collect feedback from Peace Corps
applicants and Returned Volunteers to
help understand which factors are
driving recruitment attrition, as well as
what information or education needs
would increase the conversion ratio.
Former applicants and Returned
Volunteers will be contacted by e-mail
and will be asked to complete a
quantitative online survey to better
understand candidate motivation to
serve as a volunteer, their perceptions of
Peace Corps and their experience with
Peace Corps’ recruitment and selection
process.
DATES: Submit comments on or before
January 7, 2011.
ADDRESSES: Comments should be
addressed to Denora Miller, FOIA
Officer, 1111 20th Street, NW., DC
20526. Denora Miller can be contacted
by telephone at 202–692–1236 or e-mail
at [email protected]. E-mail
comments must be made in text and not
in attachments.
FOR FURTHER INFORMATION CONTACT:
Denora Miller at Peace Corps address
above.
The
purpose of this survey is to collect
feedback from Peace Corps applicants
SUPPLEMENTARY INFORMATION:
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jlentini on DSKJ8SOYB1PROD with NOTICES
Federal Register / Vol. 75, No. 215 / Monday, November 8, 2010 / Notices
and Returned Volunteers to help
understand which factors are driving
recruitment attrition, as well as what
information or education needs would
increase the conversion ratio. An online
survey will be conducted among 1,200
Peace Corps applicants and Returned
Peace Corps Volunteers including 300
from each of the following segments:
Inquire—complete an initial inquiry but
do not begin or submit an application;
Begin application—but either do not
submit it or move forward; Submit
complete application—but then elect
not to proceed by stopping
communication or actively withdrawing
during the review process; Returned
Peace Corps Volunteers—who recently
closed Peace Corps service in the past
two years. Including Returned Peace
Corps Volunteers in the study will
provide information to understand what
is working in the application process
and will help guide the strategies for
correcting the conversion loss. There is
no statutory or regulatory requirement
for this information.
Method: The information will be
collected through an online survey.
Title: Peace Corps Conversion Loss
Survey.
OMB Control Number: [To be
assigned.]
Type of Review: New.
Affected Public: Former applicants to
the Peace Corps and Returned Peace
Corps Volunteers.
Respondents’ obligation to reply:
Voluntary.
Estimate of the total number of
respondents and the amount of time for
an average respondent to respond:
1,200.
Estimated time to complete survey: 20
minutes average on-line written
response time.
Estimate of the total public burden (in
hours) associated with this collection:
400 hours.
Frequency of Response: 1 time.
Estimated number of respondents:
1,200.
General description of collection: To
understand which factors are driving
recruitment attrition, as well as what
information or education needs would
increase the conversion ratio.
Request for Comment: Peace Corps
invites comments on whether the
proposed collection of information is
necessary for proper performance of the
functions of the Peace Corps, including
whether the information will have
practical use; the accuracy of the
agency’s estimate of the burden of the
proposed collection of information,
including the validity of the information
to be collected; and, ways to minimize
the burden of the collection of
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information on those who respond,
including through the use of automated
collection techniques, when
appropriate, and other forms of
information technology.
This notice issued in Washington, DC on
November 3, 2010.
Garry W. Stanberry,
Deputy Associate Director for Management.
[FR Doc. 2010–28128 Filed 11–5–10; 8:45 am]
BILLING CODE 6051–01–P
RAILROAD RETIREMENT BOARD
Sunshine Act; Notice of Public Hearing
Notice is hereby given that the
Railroad Retirement Board, acting
through its appointed Hearing
Examiner, will hold a hearing on
December 6, 2010, at 9 a.m., in Room 6A
in the Bryan Simpson United States
Courthouse at 300 North Hogan Street,
Jacksonville, Florida 32202. The hearing
will held at the order of the Board for
the purpose of taking evidence on the
question of whether certain individuals
who performed service for CSX Real
Property, Inc. prior to January 1, 2007,
are covered employees under the
Railroad Retirement and the Railroad
Unemployment Insurance Acts.
The entire hearing will be open to the
public. The person to contact for more
information is Karl Blank, Hearing
Examiner, phone number (312) 751–
4941, TDD (312) 751–4701.
Dated: November 3, 2010.
For the Board.
Beatrice Ezerski,
Secretary to the Board.
[FR Doc. 2010–28215 Filed 11–4–10; 11:15 am]
BILLING CODE 7905–01–P
SECURITIES AND EXCHANGE
COMMISSION
Submission for OMB Review;
Comment Request
Upon Written Request, Copies Available
From: Securities and Exchange
Commission, Office of Investor
Education and Advocacy,
Washington, DC 20549–0213.
Extension:
Rule 237; SEC File No. 270–465; OMB
Control No. 3235–0528.
Notice is hereby given that, pursuant
to the Paperwork Reduction Act of 1995
(44 U.S.C. 350l–3520), the Securities
and Exchange Commission (the
‘‘Commission’’) has submitted to the
Office of Management and Budget a
request for extension and approval of
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the collection of information discussed
below.
In Canada, as in the United States,
individuals can invest a portion of their
earnings in tax-deferred retirement
savings accounts (‘‘Canadian retirement
accounts’’). These accounts, which
operate in a manner similar to
individual retirement accounts in the
United States, encourage retirement
savings by permitting savings on a taxdeferred basis. Individuals who
establish Canadian retirement accounts
while living and working in Canada and
who later move to the United States
(‘‘Canadian-U.S. Participants’’ or
‘‘participants’’) often continue to hold
their retirement assets in their Canadian
retirement accounts rather than
prematurely withdrawing (or ‘‘cashing
out’’) those assets, which would result in
immediate taxation in Canada.
Once in the United States, however,
these participants historically have been
unable to manage their Canadian
retirement account investments. Most
securities that are ‘‘qualified
investments’’ for Canadian retirement
accounts are not registered under the
U.S. securities laws. Those securities,
therefore, generally cannot be publicly
offered and sold in the United States
without violating the registration
requirement of the Securities Act of
1933 (‘‘Securities Act’’).1
As a result of this registration
requirement, Canadian-U.S. Participants
previously were not able to purchase or
exchange securities for their Canadian
retirement accounts as needed to meet
their changing investment goals or
income needs.
The Commission issued a rulemaking
in 2000 that enabled Canadian-U.S.
Participants to manage the assets in
their Canadian retirement accounts by
providing relief from the U.S.
registration requirements for offers of
securities of foreign issuers to CanadianU.S. Participants and sales to Canadian
retirement accounts.2 Rule 237 under
the Securities Act 3 permits securities of
foreign issuers, including securities of
foreign funds, to be offered to Canadian1 15 U.S.C. 77. In addition, the offering and
selling of securities of investment companies
(‘‘funds’’) that are not registered pursuant to the
Investment Company Act of 1940 (‘‘Investment
Company Act’’) is generally prohibited by U.S.
securities laws. 15 U.S.C. 80a.
2 See Offer and Sale of Securities to Canadian
Tax-Deferred Retirement Savings Accounts, Release
Nos. 33–7860, 34–42905, IC–24491 (June 7, 2000)
[65 FR 37672 (June 15, 2000)]. This rulemaking also
included new Rule 7d-2 under the Investment
Company Act, permitting foreign funds to offer
securities to Canadian-U.S. Participants and sell
securities to Canadian retirement accounts without
registering as investment companies under the
Investment Company Act. 17 CFR 270.7d-2.
3 17 CFR 230.237.
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File Type | application/pdf |
File Title | Document |
Subject | Extracted Pages |
Author | U.S. Government Printing Office |
File Modified | 2010-12-22 |
File Created | 2010-12-22 |