60-day published FR notice

1014-0008 60-day FR exp 6.9.15.pdf

30 CFR 250, Subpart O-Well Control and Production Safety Training

60-day published FR notice

OMB: 1014-0008

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Federal Register / Vol. 80, No. 69 / Friday, April 10, 2015 / Notices

Estimated Reporting and
Recordkeeping Non-Hour Cost Burden:
We have identified seven non-hour cost
burdens, all of which are the cost
recovery fees required under 30 CFR
250, Subpart J. However, the actual fee
amounts are specified in 30 CFR
250.125, which provides a consolidated
table of all of the fees required under the
30 CFR 250 regulations. The total of the
non-hour cost burden (cost recovery
fees) in this IC request is an estimated
$1,508,968.
The non-hour cost burdens required
in 30 CFR 250, Subpart J (and respective
cost-recovery fee amount per
transaction) are required under:
§ 250.1000(b)—New Pipeline
Application (lease term)—$3,541,
§ 250.1000(b)—Pipeline Application
Modification (lease term)—$2,056,
§ 250.1000(b)—Pipeline Application
Modification (ROW)—$4,169,
§ 250.1008(e)—Pipeline Repair
Notification—$388, § 250.1015(a)—
Pipeline ROW Grant Application—
$2,771, § 250.1015(a)—Pipeline
Conversion from Lease Term to ROW—
$236, § 250.1018(b)—Pipeline ROW
Assignment—$201.
We have not identified any other nonhour cost burdens associated with this
collection of information.
Public Disclosure Statement: The PRA
(44 U.S.C. 3501, et seq.) provides that an
agency may not conduct or sponsor a
collection of information unless it
displays a currently valid OMB control
number. Until OMB approves a
collection of information, you are not
obligated to respond.
Comments: Before submitting an ICR
to OMB, PRA section 3506(c)(2)(A)
requires each agency ‘‘. . . to provide
notice . . . and otherwise consult with
members of the public and affected
agencies concerning each proposed
collection of information . . .’’.
Agencies must specifically solicit
comments to: (a) Evaluate whether the
collection is necessary or useful; (b)
evaluate the accuracy of the burden of
the proposed collection of information;
(c) enhance the quality, usefulness, and
clarity of the information to be
collected; and (d) minimize the burden
on the respondents, including the use of
technology.
Agencies must also estimate the nonhour paperwork cost burdens to
respondents or recordkeepers resulting
from the collection of information.
Therefore, if you have other than hour
burden costs to generate, maintain, and
disclose this information, you should
comment and provide your total capital
and startup cost components or annual
operation, maintenance, and purchase
of service components. For further

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information on this burden, refer to 5
CFR 1320.3(b)(1) and (2), or contact the
Bureau representative listed previously
in this notice.
We will summarize written responses
to this notice and address them in our
submission for OMB approval. As a
result of your comments, we will make
any necessary adjustments to the burden
in our submission to OMB.
Public Comment Procedures: Before
including your address, phone number,
email address, or other personal
identifying information in your
comment, you should be aware that
your entire comment—including your
personal identifying information—may
be made publicly available at any time.
While you can ask us in your comment
to withhold your personal identifying
information from public review, we
cannot guarantee that we will be able to
do so.
Douglas W. Morris,
Chief, Office of Offshore Regulatory Programs.
[FR Doc. 2015–08264 Filed 4–9–15; 8:45 am]
BILLING CODE 4310–VH–P

DEPARTMENT OF THE INTERIOR
Bureau of Safety and Environmental
Enforcement
[Docket ID BSEE–2015–0004; OMB Control
Number 1014–0008; 15XE1700DX
EEEE500000 EX1SF0000.DAQ000]

Information Collection Activities: Well
Control and Production Safety
Training; Proposed Collection;
Comment Request
ACTION:

60-day notice.

To comply with the
Paperwork Reduction Act of 1995
(PRA), BSEE is inviting comments on a
collection of information that we will
submit to the Office of Management and
Budget (OMB) for review and approval.
The information collection request (ICR)
concerns a renewal to the paperwork
requirements in the regulations under
Subpart O, Well Control and Production
Safety Training.
DATES: You must submit comments by
June 9, 2015.
ADDRESSES: You may submit comments
by either of the following methods listed
below.
• Electronically go to http://
www.regulations.gov. In the Search box,
enter BSEE–2015–0004 then click
search. Follow the instructions to
submit public comments and view all
related materials. We will post all
comments.
• Email [email protected].
Mail or hand-carry comments to the
SUMMARY:

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Department of the Interior; Bureau of
Safety and Environmental Enforcement;
Regulations and Standards Branch;
ATTN: Cheryl Blundon, 45600
Woodland Road, Sterling, VA 20166.
Please reference ICR 1014–0008 in your
comment and include your name and
return address.
FOR FURTHER INFORMATION CONTACT:
Cheryl Blundon, Regulations and
Standards Branch at (703) 787–1607 to
request additional information about
this ICR.
SUPPLEMENTARY INFORMATION:
Title: 30 CFR part 250, subpart O,
Well Control and Production Safety
Training.
OMB Control Number: 1014–0008.
Abstract: The Outer Continental Shelf
(OCS) Lands Act, as amended (43 U.S.C.
1331 et seq. and 43 U.S.C. 1801 et seq.),
authorizes the Secretary of the Interior
to prescribe rules and regulations
necessary for the administration of the
leasing provisions of the Act related to
mineral resources on the OCS. Such
rules and regulations will apply to all
operations conducted under a lease,
pipeline right-of-way, or a right-of-use
and easement. Operations on the OCS
must preserve, protect, and develop oil
and natural gas resources in a manner
that is consistent with the need to make
such resources available to meet the
Nation’s energy needs as rapidly as
possible; to balance orderly energy
resource development with protection
of human, marine, and coastal
environments; to ensure the public a fair
and equitable return on the resources of
the OCS; and to preserve and maintain
free enterprise competition.
In addition to the general rulemaking
authority of the OCSLA at 43 U.S.C.
1334, section 301(a) of the Federal Oil
and Gas Royalty Management Act
(FOGRMA), 30 U.S.C. 1751(a), grants
authority to the Secretary to prescribe
such rules and regulations as are
reasonably necessary to carry out
FOGRMA’s provisions. While the
majority of FOGRMA is directed to
royalty collection and enforcement,
some provisions apply to offshore
operations. For example, section 108 of
FOGRMA, 30 U.S.C. 1718, grants the
Secretary broad authority to inspect
lease sites for the purpose of
determining whether there is
compliance with the mineral leasing
laws. Section 109(c)(2) and (d)(1), 30
U.S.C. 1719(c)(2) and (d)(1), impose
substantial civil penalties for failure to
permit lawful inspections and for
knowing or willful preparation or
submission of false, inaccurate, or
misleading reports, records, or other
information. Because the Secretary has

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Federal Register / Vol. 80, No. 69 / Friday, April 10, 2015 / Notices
delegated some of the authority under
FOGRMA to BSEE, 30 U.S.C. 1751 is
included as additional authority for
these requirements.
Section 1332(6) of the OCS Lands Act
requires that ‘‘operations in the [O]uter
Continental Shelf should be conducted
in a safe manner by well trained
personnel using technology,
precautions, and other techniques
sufficient to prevent or minimize the
likelihood of blowouts, loss of well
control, fires, spillages, physical
obstructions to other users of the waters
or subsoil and seabed, or other
occurrences which may cause damage to
the environment or to property or
endanger life or health.’’
For your information, because of the
regulatory requirements in 30 CFR 250,
Subpart S (SEMS), 30 CFR 250, Subpart
O, audits ceased. The training audits fall
under the requirements defined in
§ 250.1915. However, BSEE keeps
Subpart O documents and regulations
active because the Subpart O regulatory
requirements give BSEE the authority
and ability to test employees on the
effectiveness of their own training
program.
Citation
30 CFR 250
Subpart O

Reporting and recordkeeping
requirement

1503(a), (c) .......

Develop training plans. Note: Existing lessees/respondents already
have training plans developed. This number reflects development
of plans for any new lessees.
Upon request, provide BSEE with copies of training documentation
for personnel involved in well control, deepwater well control, or
production safety operations within the past 5 years.
Upon request, provide BSEE with a copy of your training plan ..........
Employee oral interview conducted by BSEE ......................................

1503(d)(1) .........
1503(d)(2) .........
1507(b) .............

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Regulations implementing these
responsibilities are among those
delegated to BSEE. The regulations
under 30 CFR 250, Subpart O, pertain to
well control and production safety
training and pertain to training
requirements for certain personnel
working on the OCS and is the subject
of this collection. This request also
covers the related Notices to Lessees
and Operators (NTLs) that BSEE issues
to clarify, supplement, or provide
additional guidance on some aspects of
our regulations.
We will use the information collected
under Subpart O regulations to ensure
that workers in the OCS are properly
trained with the necessary skills to
perform their jobs in a safe and
pollution-free manner.
In some instances, we may conduct
oral interviews of offshore employees to
evaluate the effectiveness of a
company’s training program. The oral
interviews are used to gauge how
effectively the companies are
implementing their own training
program.
No questions of a sensitive nature are
asked. We protect proprietary

information according to the Freedom of
Information Act (5 U.S.C. 552) and
DOI’s implementing regulations (43 CFR
2); and under regulations at 30 CFR
250.197, Data and information to be
made available to the public or for
limited inspection, and 30 CFR part 252,
Outer Continental Shelf (OCS) Oil and
Gas Information Program. Responses are
mandatory or are required to obtain or
retain benefits.
Frequency: On occasion.
Description of Respondents: Potential
respondents comprise Federal oil, gas,
or sulphur lessees and/or operators.
Estimated Reporting and
Recordkeeping Hour Burden: The
currently approved annual reporting
burden for this collection is 2,919 hours.
In this submission, we are requesting a
total of 202 burden hours. The following
chart details the individual components
and respective hour burden estimates of
this ICR. In calculating the burdens, we
assumed that respondents perform
certain requirements in the normal
course of their activities.
We consider these to be usual and
customary and took that into account in
estimating the burden.
Average number
of annual
responses

Hour burden

1507(c), (d);
1508; 1509.

Written testing conducted by BSEE or authorized representative .......

1510(b) .............
250.1500–1510

Revise training plan and submit to BSEE ............................................
General departure or alternative compliance requests not specifically
covered elsewhere in subpart O.

Annual
burden
hours

120

1

120

16

1

16

16
2

1
1

16
2

Not considered information collection
under 5 CFR 1320.3(h)(7).

0

40
8

1
1

40
8

Total Hour Burden ........................................................................................................................................

1

202

Estimated Reporting and
Recordkeeping Non-Hour Cost Burden:
We have identified no non-hour cost
burdens for this collection.
Public Disclosure Statement: The PRA
(44 U.S.C. 3501, et seq.) provides that an
agency may not conduct or sponsor a
collection of information unless it
displays a currently valid OMB control
number. Until OMB approves a
collection of information, you are not
obligated to respond.
Comments: Before submitting an ICR
to OMB, PRA section 3506(c)(2)(A)
requires each agency ‘‘* * * to provide
notice * * * and otherwise consult

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with members of the public and affected
agencies concerning each proposed
collection of information * * *’’.
Agencies must specifically solicit
comments to: (a) Evaluate whether the
collection is necessary or useful; (b)
evaluate the accuracy of the burden of
the proposed collection of information;
(c) enhance the quality, usefulness, and
clarity of the information to be
collected; and (d) minimize the burden
on the respondents, including the use of
technology.
Agencies must also estimate the nonhour paperwork cost burdens to
respondents or recordkeepers resulting

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from the collection of information.
Therefore, if you have other than hour
burden costs to generate, maintain, and
disclose this information, you should
comment and provide your total capital
and startup cost components or annual
operation, maintenance, and purchase
of service components. For further
information on this burden, refer to 5
CFR 1320.3(b)(1) and (2), or contact the
Bureau representative listed previously
in this notice.
We will summarize written responses
to this notice and address them in our
submission for OMB approval. As a
result of your comments, we will make

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Federal Register / Vol. 80, No. 69 / Friday, April 10, 2015 / Notices

any necessary adjustments to the burden
in our submission to OMB.
Public Comment Procedures: Before
including your address, phone number,
email address, or other personal
identifying information in your
comment, you should be aware that
your entire comment—including your
personal identifying information—may
be made publicly available at any time.
While you can ask us in your comment
to withhold your personal identifying
information from public review, we
cannot guarantee that we will be able to
do so.
Dated: April 7, 2015.
Douglas W. Morris,
Chief, Office of Offshore Regulatory Programs.
[FR Doc. 2015–08265 Filed 4–9–15; 8:45 am]
BILLING CODE 4310–VH–P

INTERNATIONAL TRADE
COMMISSION
[Investigation No. 337–TA–908]

Certain Soft-Edged Trampolines and
Components Thereof Notice of Final
Determination of No Violation;
Termination of the Investigation
U.S. International Trade
Commission.
ACTION: Notice.
AGENCY:

Notice is hereby given that
the U.S. International Trade
Commission has determined that no
violation of section 337 has been proven
in the above-captioned investigation.
The Commission’s determination is
final, and this investigation is
terminated.
FOR FURTHER INFORMATION CONTACT:
Lucy Grace D. Noyola, Office of the
General Counsel, U.S. International
Trade Commission, 500 E Street SW.,
Washington, DC 20436, telephone 202–
205–3438. Copies of non-confidential
documents filed in connection with this
investigation are or will be available for
inspection during official business
hours (8:45 a.m. to 5:15 p.m.) in the
Office of the Secretary, U.S.
International Trade Commission, 500 E
Street SW., Washington, DC 20436,
telephone 202–205–2000. General
information concerning the Commission
may also be obtained by accessing its
Internet server (http://www.usitc.gov).
The public record for this investigation
may be viewed on the Commission’s
electronic docket (EDIS) at http://
edis.usitc.gov. Hearing-impaired
persons are advised that information on
this matter can be obtained by
contacting the Commission’s TDD
terminal on 202–205–1810.

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SUMMARY:

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The
Commission instituted this investigation
on January 30, 2014, based on a
complaint filed by Springfree
Trampoline, Inc. of Markham, Canada,
Springfree Trampoline USA Inc. of
Markham, Canada, and Spring Free
Limited Partnership of Markham,
Canada (collectively, ‘‘Springfree’’). 79
FR 4956 (Jan. 30, 2014). The complaint
alleges violations of section 337 of the
Tariff Act of 1930, as amended, 19
U.S.C. 1337, in the importation, sale for
importation, or sale within the United
States after importation of certain softedged trampolines and components
thereof by reason of infringement of
claims 1 and 13 of U.S. Patent No.
6,319,174 (‘‘the ’174 patent’’). Id. The
notice of investigation names Vuly
Trampolines Pty. Ltd. of Brisbane,
Australia (‘‘Vuly’’) as the sole
respondent. Id. at 4957. The Office of
Unfair Import Investigations did not
participate in the investigation. Id.
On December 5, 2014, the
administrative law judge (‘‘ALJ’’) issued
a final ID finding no violation of section
337. On December 18, 2014, the ALJ
issued a recommended determination
(‘‘RD’’) on remedy and bonding. On
December 22, 2014, Springfree and Vuly
filed petitions for review challenging
various findings in the final ID. On
January 2, 2015, the parties filed
responses. The Commission did not
receive any post-RD public interest
comments from the public or the
parties.
On February 5, 2015, the Commission
determined to review the final ID in part
and requested additional briefing from
the parties on certain issues. The
Commission also solicited briefing from
the parties and the public on the issues
of remedy, bonding, and the public
interest. On February 19, 2015, the
parties filed briefs addressing the
Commission’s questions and the issues
of remedy, bonding, and the public
interest. On March 2, 2015, the parties
filed reply briefs.
Having examined the record of this
investigation, including the ALJ’s final
ID and submissions from the parties, the
Commission has determined to affirm
the ALJ’s determination of no violation.
As explained more fully in the
forthcoming Commission opinion, the
Commission has determined to construe
‘‘flexible mat’’ in the first instance,
modify the ALJ’s construction of ‘‘first
retaining means,’’ and affirm, but on
modified grounds, the ALJ’s
construction of ‘‘flexible elongated rod.’’
The Commission has determined to
affirm, but on modified grounds, the
ALJ’s findings that Vuly’s products
infringe claim 13, that Springfree’s

SUPPLEMENTARY INFORMATION:

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products practice claim 13, that claim 1
is not invalid as anticipated by the prior
art, that claim 13 is invalid as
anticipated by the prior art, and that
claims 1 and 13 are not invalid due to
lack of enablement. The Commission
has determined to reverse the ALJ’s
findings that Vuly’s products infringe
claim 1, that Springfree’s products do
not practice claim 1, and that Springfree
did not satisfy the technical prong of the
domestic industry requirement as to
claims 1 and 13. The Commission has
determined to affirm the ALJ’s finding
that Springfree did not satisfy the
economic prong of the domestic
industry requirement. The Commission
has determined not to reach the issue of
whether claim 13 is obvious.
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: April 6, 2015.
Lisa R. Barton,
Secretary to the Commission.
[FR Doc. 2015–08223 Filed 4–9–15; 8:45 am]
BILLING CODE 7020–02–P

INTERNATIONAL TRADE
COMMISSION
[Investigation No. 731–TA–1269
(Preliminary)]

Silicomanganese from Australia;
Determination
On the basis of the record 1 developed
in the subject investigation, the United
States International Trade Commission
(‘‘Commission’’) determines, pursuant
to section 733(a) of the Tariff Act of
1930 (19 U.S.C. 1673b(a)) (‘‘the Act’’),
that there is a reasonable indication that
an industry in the United States is
materially injured by reason of imports
from Australia of silicomanganese,
provided for in subheading 7202.30.00
of the Harmonized Tariff Schedule of
the United States, that are alleged to be
sold in the United States at less than fair
value (‘‘LTFV’’).
Commencement of Final Phase
Investigation
Pursuant to section 207.18 of the
Commission’s rules, the Commission
also gives notice of the commencement
of the final phase of its investigation.
The Commission will issue a final phase
1 The record is defined in sec. 207.2(f) of the
Commission’s Rules of Practice and Procedure (19
CFR 207.2(f)).

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