60 Day FRN, Vol. 79, No. 157, Thursday, August 14, 2014, Pages 47693-47694

OF 306, 60 Day Federal Register, Vol. 79, No. 157, Thursday, August 14, 2014, Pages 47693-47694.pdf

Declaration for Federal Employment (OF 306)

60 Day FRN, Vol. 79, No. 157, Thursday, August 14, 2014, Pages 47693-47694

OMB: 3206-0182

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Federal Register / Vol. 79, No. 157 / Thursday, August 14, 2014 / Notices
Dated at Rockville, Maryland, this 8th day
of August 2014.
For the Nuclear Regulatory Commission.
Lisa M. Regner,
Acting Chief, Plant Licensing Branch II–2,
Division of Operating Reactor Licensing,
Office of Nuclear Reactor Regulation.
[FR Doc. 2014–19282 Filed 8–13–14; 8:45 am]
BILLING CODE 7590–01–P

(if that document is available in
ADAMS) is provided in the table in
Section iii, ‘‘Availability of
Documents.’’
• NRC’s PDR: You may examine and
purchase copies of public documents at
the NRC’s PDR, Room O1–F21, One
White Flint North, 11555 Rockville
Pike, Rockville, Maryland 20852.
Paul
J. Rebstock, Office of Nuclear Regulatory
Research, U.S. Nuclear Regulatory
Commission, Washington, DC 20555–
0001; telephone: 301–251–7488; email
[email protected].

FOR FURTHER INFORMATION CONTACT:

NUCLEAR REGULATORY
COMMISSION
[NRC–2014–0163]

Setpoints for Safety-Related
Instrumentation

SUPPLEMENTARY INFORMATION:

Nuclear Regulatory
Commission.
ACTION: Draft regulatory guide, public
meeting.
AGENCY:

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For the Nuclear Regulatory Commission.
Thomas H. Boyce,
Chief, Regulatory Guidance and Generic
Issues Branch, Division of Engineering, Office
of Nuclear Regulatory Research.
[FR Doc. 2014–19220 Filed 8–13–14; 8:45 am]
BILLING CODE 7590–01–P

OFFICE OF PERSONNEL
MANAGEMENT
Submission for Renewal: Information
Collection 3206–0182; Declaration for
Federal Employment, Optional Form
(OF) 306
U.S. Office of Personnel
Management.
ACTION: 60-Day Notice and request for
comments.
AGENCY:

I. Background

The U.S. Nuclear Regulatory
Commission (NRC) plans to hold a
public meeting to review draft
regulatory guide (DG) 1141, ‘‘Setpoints
for Safety-Related Instrumentation.’’
This DG is proposed Revision 4 of
Regulatory Guide (RG) 1.105, ‘‘Setpoints
for Safety-Related Instrumentation.’’
DATES: The public meeting will be held
on August 14, 2014. See Section II,
Public Meeting, of this document for
more information on the meeting.
ADDRESSES: Please refer to Docket ID
NRC–2014–0163 when contacting the
NRC about the availability of
information regarding this document.
You may obtain publicly-available
information related to this document
using any of the following methods:
• Federal Rulemaking Web site: Go to
http://www.regulations.gov and search
for Docket ID NRC–2014–0163. Address
questions about NRC dockets to Carol
Gallagher; telephone: 301–287–3422;
email: [email protected]. For
technical questions, contact the
individual listed in the FOR FURTHER
INFORMATION CONTACT section of this
document.
• NRC’s Agencywide Documents
Access and Management System
(ADAMS): You may obtain publiclyavailable documents online in the
ADAMS Public Documents collection at
http://www.nrc.gov/reading-rm/
adams.html. To begin the search, select
‘‘ADAMS Public Documents’’ and then
select ‘‘Begin Web-based ADAMS
Search.’’ For problems with ADAMS,
please contact the NRC’s Public
Document Room (PDR) reference staff at
1–800–397–4209, 301–415–4737, or by
email to [email protected]. The
ADAMS accession number for each
document referenced in this document
SUMMARY:

47693

Draft regulatory guide DG–1141
describes practices and criteria that the
staff of the NRC considers acceptable for
compliance with NRC requirements for
ensuring that setpoints for safety related
instruments are initially within, and
should remain within, technical
specification limits. This DG also
presents practices and criteria for
establishing those technical
specification limits and ensuring that
those limits will adequately support the
proper operation of the associated
systems—that is, that establishing and
maintaining setpoints in accordance
with those limits will provide adequate
assurance that a plant will operate as
described in the plant safety analyses.

Federal Investigative Services
(FIS), U.S. Office of Personnel
Management (OPM) offers the general
public and other Federal agencies the
opportunity to comment on an expiring
information collection request (ICR),
Office of Management and Budget
(OMB) Control No. 3206–0182, for the
Declaration for Federal Employment,
Optional Form (OF) 306. OPM is
soliciting comments for this collection
under 44 U.S.C. 3506(c)(2). The Office
of Management and Budget (OMB) is
particularly interested in comments
that:
1. Evaluate whether the proposed
collection of information is necessary
for the proper performance of the
II. Public Meeting
functions of the agency, including
The public meeting will be held in
whether the information will have
North Bethesda, Maryland, at 11601
practical utility;
Landsdown Street in conference room
2. Evaluate the accuracy of the
1C05 of the 3 White Flint North
agency’s estimate of the burden of the
building adjacent to the White Flint
proposed collection of information,
metro station.
including the validity of the
methodology and assumptions used;
III. Availability of Documents
3. Enhance the quality, utility, and
clarity of the information to be
The NRC is making the documents
collected; and
identified in the following table
4. Minimize the burden of the
available to interested persons through
collection of information on those who
one or more of the following methods,
are to respond, including through the
as indicted.
use of appropriate automated,
electronic, mechanical, or other
ADAMS
accesDocument
sion No.
technological collection techniques or
other forms of information technology,
Draft regulatory guide
e.g., permitting electronic submissions
DG–1141, ‘‘Setpoints for
of responses.
Safety-Related Instrumentation’’ .....................
ML081630179 DATES: Comments are encouraged and
will be accepted until October 14, 2014.
Regulatory Analysis for
DG–1141 .......................
ML101820157 This process is conducted in accordance
with 5 CFR 1320.8(d).
Public Meeting Handout
for DG–1141 .................

ML14218A012

Dated at Rockville, Maryland, this 8th day
of August, 2014.

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SUMMARY:

Interested persons are
invited to submit written comments on
the proposed information collection to
the Federal Investigative Services, U.S.

ADDRESSES:

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47694

Federal Register / Vol. 79, No. 157 / Thursday, August 14, 2014 / Notices

Office of Personnel Management, 1900 E
Street NW., Washington, DC 20415,
Attention: Donna McLeod or sent by
email to [email protected].
A
copy of this ICR, with applicable
supporting documentation, may be
obtained by contacting the Federal
Investigative Services, U.S. Office of
Personnel Management, 1900 E Street
NW., Washington, DC 20415, Attention:
Donna McLeod or sent by email to
[email protected].

FOR FURTHER INFORMATION CONTACT:

The
Declaration for Federal Employment
Optional Form (OF) 306 is completed by
applicants who are under consideration
for Federal or Federal contract
employment. It collects information
about an applicant’s selective service
registration, military service, and
general background. The information
collected on this form is mainly used to
determine a person’s acceptability for
Federal and Federal contract
employment, and his or her retirement
status and life insurance enrollment.
However, if necessary, and usually in
conjunction with another form or forms,
the information on this form may be
used in conducting an investigation to
determine a person’s suitability or
ability to hold a security clearance, and
it may be disclosed to authorized
officials making similar, subsequent
determinations.
The OF 306 requests that the
applicant provide personal identifying
data, including past convictions,
imprisonments, probations, paroles or
military court martial, delinquency on a
Federal debt, Selective Service
Registration, United States military
service, Federal civilian or military
retirement benefits received or applied
for, and life insurance enrollment. It is
estimated that 265,385 individuals will
respond annually. Each form takes
approximately 15 minutes to complete.
The annual estimated burden is 66,346
hours.
OPM proposes no changes to the OF
306.

SUPPLEMENTARY INFORMATION:

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U.S. Office of Personnel Management.
Katherine Archuleta,
Director.
[FR Doc. 2014–19221 Filed 8–13–14; 8:45 am]
BILLING CODE 6325–53–P

SECURITIES AND EXCHANGE
COMMISSION

the most significant aspects of such
statements.

[Release No. 34–72796; File No. SR–Phlx–
2014–50]

A. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change

Self-Regulatory Organizations;
NASDAQ OMX PHLX LLC; Notice of
Filing and Immediate Effectiveness of
Proposed Rule Change Relating to
Simple Order Fees for Removing
Liquidity in SPY Options
August 8, 2014.

Pursuant to Section 19(b)(1) of the
Securities Exchange Act of 1934
(‘‘Act’’),1 and Rule 19b–4 thereunder,2
notice is hereby given that on July 28,
2014, NASDAQ OMX PHLX LLC
(‘‘Phlx’’ or ‘‘Exchange’’) filed with the
Securities and Exchange Commission
(‘‘SEC’’ or ‘‘Commission’’) the proposed
rule change as described in Items I, II,
and III, below, which Items have been
prepared by the Exchange. The
Commission is publishing this notice to
solicit comments on the proposed rule
change from interested persons.
I. Self-Regulatory Organization’s
Statement of the Terms of the Substance
of the Proposed Rule Change
The Exchange proposes to amend the
Exchange’s Pricing Schedule to amend
Simple Order pricing in Section I,
entitled Rebates and Fees for Adding
and Removing Liquidity in SPY.3
While the changes proposed herein
are effective upon filing, the Exchange
has designated that the amendments be
operative on August 1, 2014.
The text of the proposed rule change
is available on the Exchange’s Web site
at http://
nasdaqomxphlx.cchwallstreet.com/, at
the principal office of the Exchange, and
at the Commission’s Public Reference
Room.
II. Self-Regulatory Organization’s
Statement of the Purpose of, and
Statutory Basis for, the Proposed Rule
Change
In its filing with the Commission, the
Exchange included statements
concerning the purpose of and basis for
the proposed rule change and discussed
any comments it received on the
proposed rule change. The text of these
statements may be examined at the
places specified in Item IV below. The
Exchange has prepared summaries, set
forth in sections A, B, and C below, of
1 15

U.S.C. 78s(b)(1).
CFR 240.19b–4.
3 Options overlying Standard and Poor’s
Depositary Receipts/SPDRs (‘‘SPY’’) are based on
the SPDR exchange-traded fund (‘‘ETF’’), which is
designed to track the performance of the S&P 500
Index.
2 17

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1. Purpose
The Exchange is proposing to amend
the Simple Order Fees for Removing
Liquidity in Section I applicable to
transactions overlying SPY. The
Exchange currently assesses Customers
a $0.47 per contract Fee for Removing
Liquidity in SPY Simple Orders. The
Exchange is proposing to decrease the
Customer Fee for Removing Liquidity in
SPY Simple Orders from $0.47 to $0.43
per contract. The Exchange believes that
decreasing the SPY Simple Order Fee
for Removing Liquidity for Customers
will encourage market participants to
transact a greater number of Customer
orders in SPY options. The SPY Simple
Order Fee for Removing Liquidity for
Specialists,4 Market Makers,5 Firms,6
Broker-Dealers 7 and Professionals 8 will
remain at $0.49 per contract.
2. Statutory Basis
The Exchange believes that the
proposed rule change is consistent with
the provisions of Section 6 of the Act,9
in general, and with Section 6(b)(4) and
6(b)(5) of the Act,10 in particular, in that
it provides for the equitable allocation
of reasonable dues, fees and other
charges among members and issuers and
other persons using any facility or
system which the Exchange operates or
controls, and is not designed to permit
unfair discrimination between
customers, issuers, brokers, or dealers.
The Exchange’s proposal to decrease
the Customer Fee for Removing
Liquidity in Simple Orders for options
overlying SPY from $0.47 to $0.43 per
4 A ‘‘Specialist’’ is an Exchange member who is
registered as an options specialist pursuant to Rule
1020(a).
5 A ‘‘Market Maker’’ includes Registered Options
Traders (Rule 1014(b)(i) and (ii)), which includes
Streaming Quote Traders (see Rule 1014(b)(ii)(A))
and Remote Streaming Quote Traders (see Rule
1014(b)(ii)(B)).
6 The term ‘‘Firm’’ applies to any transaction that
is identified by a member or member organization
for clearing in the Firm range at The Options
Clearing Corporation.
7 The term ‘‘Broker-Dealer’’ applies to any
transaction which is not subject to any of the other
transaction fees applicable within a particular
category.
8 The term ‘‘Professional’’ means any person or
entity that (i) is not a broker or dealer in securities,
and (ii) places more than 390 orders in listed
options per day on average during a calendar month
for its own beneficial account(s). See Rule
1000(b)(14).
9 15 U.S.C. 78f.
10 15 U.S.C. 78f(b)(4) and (5).

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