Ssa Sorn 60-058 2/13/2014

SSA SORN 60-058 79FR8780_13FEB2014.pdf

Application for Employment Authorization

SSA SORN 60-058 2/13/2014

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8780

Federal Register / Vol. 79, No. 30 / Thursday, February 13, 2014 / Notices

temporarily suspend such rule change if
it appears to the Commission that such
action is necessary or appropriate in the
public interest, for the protection of
investors, or otherwise in furtherance of
the purposes of the Act. If the
Commission takes such action, the
Commission will institute proceedings
to determine whether the proposed rule
change should be approved or
disapproved.
IV. Solicitation of Comments
Interested persons are invited to
submit written data, views and
arguments concerning the foregoing,
including whether the proposed rule
change is consistent with the Act.
Comments may be submitted by any of
the following methods:

emcdonald on DSK67QTVN1PROD with NOTICES

Electronic Comments
• Use the Commission’s Internet
comment form (http://www.sec.gov/
rules/sro.shtml); or
• Send an email to rule-comments@
sec.gov. Please include File Number SR–
CBOE–2014–013 on the subject line.
Paper Comments
• Send paper comments in triplicate
to Elizabeth M. Murphy, Secretary,
Securities and Exchange Commission,
100 F Street NE., Washington, DC
20549–1090.
All submissions should refer to File
Number SR–CBOE–2014–013. This file
number should be included on the
subject line if email is used. To help the
Commission process and review your
comments more efficiently, please use
only one method. The Commission will
post all comments on the Commission’s
Internet Web site (http://www.sec.gov/
rules/sro.shtml). Copies of the
submission, all subsequent
amendments, all written statements
with respect to the proposed rule
change that are filed with the
Commission, and all written
communications relating to the
proposed rule change between the
Commission and any person, other than
those that may be withheld from the
public in accordance with the
provisions of 5 U.S.C. 552, will be
available for Web site viewing and
printing in the Commission’s Public
Reference Room, 100 F Street NE.,
Washington, DC 20549, on official
business days between the hours of
10:00 a.m. and 3:00 p.m. Copies of the
filing also will be available for
inspection and copying at the principal
office of the Exchange. All comments
received will be posted without change;
the Commission does not edit personal
identifying information from
submissions. You should submit only

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information that you wish to make
available publicly. All submissions
should refer to File Number SR–CBOE–
2014–013 and should be submitted on
or before March 6, 2014.
For the Commission, by the Division of
Trading and Markets, pursuant to delegated
authority.9
Kevin M. O’Neill,
Deputy Secretary.
[FR Doc. 2014–03129 Filed 2–12–14; 8:45 am]
BILLING CODE 8011–01–P

SECURITIES AND EXCHANGE
COMMISSION
[File No. 500–1]

Centor Energy, Inc.; Order of
Suspension of Trading
February 11, 2014.

It appears to the Securities and
Exchange Commission that there is a
lack of current and accurate information
concerning the securities of Centor
Energy, Inc. (‘‘Centor’’) because of
questions regarding the accuracy of
assertions by Centor, and by others, in
press releases and promotional
materials concerning, among other
things, the company’s assets, operations,
and financial prospects. Centor is a
Nevada company based in Florida. The
company’s common stock is quoted on
the OTC Link under the symbol CNTO.
The Commission is of the opinion that
the public interest and the protection of
investors require a suspension of trading
in the securities of the above-listed
company.
Therefore, it is ordered, pursuant to
Section 12(k) of the Securities Exchange
Act of 1934, that trading in the
securities of the above-listed company is
suspended for the period from 9:30 a.m.
EST on February 11, 2014 through 11:59
p.m. EST on February 25, 2014.
By the Commission.
Kevin M. O’Neill,
Deputy Secretary.
[FR Doc. 2014–03259 Filed 2–11–14; 4:15 pm]
BILLING CODE 8011–01–P

SOCIAL SECURITY ADMINISTRATION
[Docket No. SSA–2014–0007]

Privacy Act of 1974, As Amended:
Proposed New Routine Use
AGENCY:

Social Security Administration

(SSA).
ACTION:

9 17

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Proposed New Routine Use.

CFR 200.30–3(a)(12).

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Pursuant to the Privacy Act of
1974, we are issuing public notice of our
intent to add a new routine use to an
existing system of records entitled:
Master Files of Social Security Number
(SSN) Holders and SSN Applications,
(60–0058) (the Enumeration System).
This system was last published in the
Federal Register, 75 FR 82121 (Dec. 29,
2010); a revision to the routine uses was
published, 78 FR 40,542 (July 5, 2013).
The new routine use will enable us to
verify information that the Corporation
for National and Community Services
(CNCS) requires in order to administer
the National and Community Service
Act (NCSA), 42 U.S.C. 12602.
Specifically, CNSC will use the
information we provide to verify
statements made by an individual
declaring that such individual is in
compliance with section 146 of the
NCSA. The new routine use is described
below. We will rely on this routine use
to disclose only those data elements
from our system of records that CNCS
has demonstrated are necessary for the
administration of the NCSA.

SUMMARY:

We invite public comment on
this proposal. In accordance with 5
U.S.C. 552a(e)(4) and (e)(11), the public
is given a 30-day period in which to
submit comments. Therefore, please
submit any comments by March 17,
2014.

DATES:

The public, Office of
Management and Budget (OMB), and
Congress may comment on this
publication by writing to the Executive
Director, Office of Privacy and
Disclosure, Office of the General
Counsel, Social Security
Administration, Room 617 Altmeyer
Building, 6401 Security Boulevard,
Baltimore, Maryland 21235–6401 or
through the Federal e-Rulemaking Portal
at http://www.regulations.gov. All
comments we receive will be available
for public inspection at the above
address.

ADDRESSES:

FOR FURTHER INFORMATION CONTACT:

Anthony Tookes, Government
Information Specialist, Privacy
Implementation Division, Office of
Privacy and Disclosure, Office of the
General Counsel, Social Security
Administration, Room 617 Altmeyer
Building, 6401 Security Boulevard,
Baltimore, Maryland 21235–6401,
telephone: (410) 966–0097, Email:
[email protected].
In accordance with 5 U.S.C. 552a(r),
we have provided a report to OMB and
Congress on the proposed new routine
use.

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Federal Register / Vol. 79, No. 30 / Thursday, February 13, 2014 / Notices
Dated: February 7, 2014.
Kirsten J. Moncada,
Executive Director, Office of Privacy and
Disclosure, Office of the General Counsel.

(Pub. L. 104–172) (50 U.S.C. 1701 note).
See 76 FR 56866 (September 24, 2011).
At that time, pursuant to section 5(a)
of ISA and the authority delegated to the
Secretary of State in the Presidential
Memorandum of September 23, 2010, 75
FR 67025 (the ‘‘Delegation
Memorandum’’), the Secretary
determined to impose on Associated
Shipbroking and any person in which
Associated Shipbroking has an interest
of fifty percent or more the following
sanctions described in section 6 of ISA:

Social Security Administration
SYSTEM NUMBER:

60–0058
SYSTEM NAME:

Master Files of Social Security
Number (SSN) Holders and SSN
Applications, Social Security
Administration (SSA)
*
*
*
*
*
ROUTINE USES OF RECORDS COVERED BY THE
SYSTEM, INCLUDING CATEGORIES OF USERS AND
THE PURPOSES OF SUCH USES:

*

*
*
*
*
46. To the Corporation for National
and Community Service (CNCS)
information required to Administer the
National and Community Service Act
(NCSA).
*
*
*
*
*
[FR Doc. 2014–03117 Filed 2–12–14; 8:45 am]
BILLING CODE 4191–02–P

DEPARTMENT OF STATE
[Public Notice 8629]

Bureau of Economic and Business
Affairs; Removal of Sanctions on
Person on Whom Sanctions Have Been
Imposed Under the Iran Sanctions Act
of 1996, as Amended
Department of State.
Notice.

AGENCY:
ACTION:

The Secretary of State has
determined that Associated Shipbroking
(a.k.a. SAM) is no longer engaging in
sanctionable activity described in
section 5(a) of the Iran Sanctions Act of
1996 (Pub. L. 104–172) (50 U.S.C. 1701
note) (‘‘ISA’’), as amended, and that this
person has provided reliable assurances
that it will not knowingly engage in
such activities in the future. Therefore,
certain sanctions that were imposed on
Associated Shipbroking on May 24,
2011 are hereby lifted.
DATES: Effective Date: The sanctions on
Associated Shipbroking are lifted
effective February 7, 2014.
FOR FURTHER INFORMATION CONTACT: On
general issues: Office of Sanctions
Policy and Implementation, Department
of State, Telephone: (202) 647–7489.
SUPPLEMENTARY INFORMATION: On May
24, 2011, the Secretary of State made a
determination to impose certain
sanctions on, inter alia, Associated
Shipbroking (a.k.a. SAM) under the Iran
Sanctions Act of 1996, as amended

emcdonald on DSK67QTVN1PROD with NOTICES

SUMMARY:

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1. Foreign Exchange. Any transactions in
foreign exchange that are subject to the
jurisdiction of the United States in which
Associated Shipbroking has any interest shall
be prohibited.
2. Banking transactions. Any transfers of
credit or payments between financial
institutions or by, through, or to any financial
institutions, to the extent that such transfers
or payments are subject to the jurisdiction of
the United States and involve any interest of
Associated Shipbroking, shall be prohibited.
3. Property transactions. It shall be
prohibited to:
a. Acquire, hold, withhold, use, transfer,
withdraw, transport, import, or export any
property that is subject to the jurisdiction of
the United States and with respect to which
Associated Shipbroking has any interest;
b. Deal in or exercise any right, power, or
privilege with respect to such property.
c. Conduct any transactions involving such
property.

Pursuant to section 9(b)(2) of ISA and
the authority delegated to the Secretary
of State in the Delegation Memorandum,
the Secretary now has determined and
certified to Congress that Associated
Shipbroking is no longer engaging in
sanctionable activity described in
section 5(a) of ISA, and that this person
has provided reliable assurances that
they will not knowingly engage in such
activities in the future. The Secretary,
therefore, has determined to lift the
above-referenced sanctions imposed on
Associated Shipbroking.
The sanctions described above with
respect to Associated Shipbroking are
no longer in effect. Pursuant to the
authority delegated to the Secretary of
State in the Delegation Memorandum,
relevant agencies and instrumentalities
of the United States Government shall
take all appropriate measures within
their authority to carry out the
provisions of this notice.
The following constitutes a current, as
of this date, list of persons on whom
sanctions are imposed under ISA. The
particular sanctions imposed on an
individual person are identified in the
relevant Federal Register Notice.
—Belarusneft (see Public Notice 7408,
76 FR 18821, April 5, 2011)

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8781

—BimehMarkazi-Central Insurance of
Iran (See Public Notice 8268, 78 FR
21183, April 9, 2013)
—Cambis, Dimitris (See Public Notice
8268, 78 FR 21183, April 9, 2013)
—FAL Oil Company Limited (see Public
Notice 7776, 77 FR 4389, January 27,
2012)
—Ferland Company Limited (See Public
Notice 8352, 78 FR 35351, June 12,
2013)
—Impire Shipping (See Public Notice
8268, 78 FR 21183, April 9, 2013)
—Jam Petrochemical Company (See
Public Notice 8352 78 FR 35351, June
12, 2013)
—Kish Protection and Indemnity (a.k.a.
Kish P&I) (See Public Notice 8268, 78
FR 21183, April 9, 2013)
—Kuo Oil (S) Pte. Ltd. (see Public
Notice 7776, 77 FR 4389, January 27,
2012)
—NaftiranIntertrade Company (see
Public Notice 7197, 75 FR 62916,
October 13, 2010)
—Niksima Food and Beverage JLT (See
Public Notice 8352, 78 FR 35351, June
12, 2013)
—Petrochemical Commercial Company
International (a.k.a. PCCI) (see Public
Notice 7585, 76 FR 56866, September
14, 2011)
—Petro´leos de Venezuela S.A. (a.k.a.
PDVSA) (see Public Notice 7585, 76
FR 56866, September 14, 2011)
—Royal Oyster Group (see Public Notice
7585, 76 FR 56866, September 14,
2011)
—Speedy Ship (a.k.a. SPD) (see Public
Notice 7585, 76 FR 56866, September
14, 2011)
—Sytrol (see Public Notice 8040, 77 FR
59034, September 25, 2012)
—Zhuhai Zhenrong Company (see
Public Notice 7776, 77 FR 4389,
January 27, 2012)
Dated: January 7, 2014.
William E. Craft,
Acting Assistant Secretary, for Economic and
Business Affairs.
[FR Doc. 2014–03233 Filed 2–12–14; 8:45 am]
BILLING CODE 4710–07–P

DEPARTMENT OF TRANSPORTATION
Federal Highway Administration
Environmental Impact Statement
Adoption; Washington, DC
Federal Highway
Administration (FHWA), DOT.
ACTION: Notice of intent.
AGENCY:

The FHWA is issuing this
notice to advise the public of its intent
to adopt an existing Final
Environmental Impact Statement in

SUMMARY:

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