30-Day FRN

30-day FRN 3038-0066 (2-27-18).pdf

Financial Resource Requirements for Derivatives Clearing Organizations

30-Day FRN

OMB: 3038-0066

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Federal Register / Vol. 83, No. 39 / Tuesday, February 27, 2018 / Notices

• Fate of the animal(s); and
• Photographs or video footage of the
animal(s).
Activities shall not resume until
NMFS is able to review the
circumstances of the prohibited take.
NMFS will work with Harvest to
determine what measures are necessary
to minimize the likelihood of further
prohibited take and ensure MMPA
compliance. Harvest may not resume
their activities until notified by NMFS.
In the event that Harvest discovers an
injured or dead marine mammal, and
the lead observer determines that the
cause of the injury or death is unknown
and the death is relatively recent (e.g.,
in less than a moderate state of
decomposition), Harvest shall
immediately report the incident to the
Office of Protected Resources, NMFS,
and the Alaska Region Stranding
Coordinator, NMFS.
The report must include the same
information identified in 6(b)(i) of this
IHA. Activities may continue while
NMFS reviews the circumstances of the
incident. NMFS will work with Harvest
to determine whether additional
mitigation measures or modifications to
the activities are appropriate.
In the event that Harvest discovers an
injured or dead marine mammal, and
the lead observer determines that the
injury or death is not associated with or
related to the activities authorized in the
IHA (e.g., previously wounded animal,
carcass with moderate to advanced
decomposition, or scavenger damage),
Harvest shall report the incident to the
Office of Protected Resources, NMFS,
and the Alaska Region Stranding
Coordinator, NMFS, within 24 hours of
the discovery. Harvest shall provide
photographs or video footage or other
documentation of the stranded animal
sighting to NMFS.
This Authorization may be modified,
suspended or withdrawn if the holder
fails to abide by the conditions
prescribed herein, or if NMFS
determines the authorized taking is
having more than a negligible impact on
the species or stock of affected marine
mammals.

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Request for Public Comments
We request comment on our analyses,
the proposed authorization, and any
other aspect of this Notice of Proposed
IHA for the proposed [action]. We also
request comment on the potential for
renewal of this proposed IHA as
described in the paragraph below.
Please include with your comments any
supporting data or literature citations to
help inform our final decision on the
request for MMPA authorization.

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On a case-by-case basis, NMFS may
issue a second one-year IHA without
additional notice when 1) another year
of identical or nearly identical activities
as described in the Specified Activities
section is planned or 2) the activities
would not be completed by the time the
IHA expires and a second IHA would
allow for completion of the activities
beyond that described in the Dates and
Duration section, provided all of the
following conditions are met:
• A request for renewal is received no
later than 60 days prior to expiration of
the current IHA.
• The request for renewal must
include the following:
(1) An explanation that the activities
to be conducted beyond the initial dates
either are identical to the previously
analyzed activities or include changes
so minor (e.g., reduction in pile size)
that the changes do not affect the
previous analyses, take estimates, or
mitigation and monitoring
requirements.
(2) A preliminary monitoring report
showing the results of the required
monitoring to date and an explanation
showing that the monitoring results do
not indicate impacts of a scale or nature
not previously analyzed or authorized.
• Upon review of the request for
renewal, the status of the affected
species or stocks, and any other
pertinent information, NMFS
determines that there are no more than
minor changes in the activities, the
mitigation and monitoring measures
remain the same and appropriate, and
the original findings remain valid.
Donna S. Wieting,
Director, Office of Protected Resources,
National Marine Fisheries Service.
[FR Doc. 2018–03885 Filed 2–26–18; 8:45 am]
BILLING CODE 3510–22–P

COMMODITY FUTURES TRADING
COMMISSION
Agency Information Collection
Activities Under OMB Review
Commodity Futures Trading
Commission.
ACTION: Notice.
AGENCY:

In compliance with the
Paperwork Reduction Act of 1995
(PRA), this notice announces that the
Information Collection Request (ICR)
abstracted below has been forwarded to
the Office of Management and Budget
(OMB) for review and comment. The
ICR describes the nature of the
information collection and its expected
costs and burden.

SUMMARY:

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Comments must be submitted on
or before March 29, 2018.
ADDRESSES: Comments regarding the
burden estimate or any other aspect of
the information collection, including
suggestions for reducing the burden,
may be submitted to the Office of
Information and Regulatory Affairs
(OIA) in OMB within 30 days of this
notice’s publication by either of the
following methods. Please identify the
comments by ‘‘OMB Control No. 3038–
0066.’’
• By email addressed to:
[email protected] or
• By mail addressed to: the Office of
Information and Regulatory Affairs,
Office of Management and Budget,
Attention: Desk Officer for the
Commodity Futures Trading
Commission, 725 17th Street NW,
Washington, DC 20503.
A copy of all comments submitted to
OIRA should be sent to the Commodity
Futures Trading Commission (the
‘‘Commission’’) by any of the following
methods. The copies sent to the
Commission also should refer to ‘‘OMB
Control No. 3038–0066.’’
• The Agency’s website, via its
Comments Online process: http://
comments.cftc.gov/. Follow the
instructions for submitting comments
through the website.
• Mail: Christopher J. Kirkpatrick,
Secretary, Commodity Futures Trading
Commission, Three Lafayette Centre,
1155 21st Street NW, Washington, DC
20581.
• Hand Delivery/Courier: Same as
Mail above.
• Federal eRulemaking Portal: http://
www.regulations.gov/. Follow the
instructions for submitting comments.
Please submit your comments using
only one method. All comments must be
submitted in English, or if not,
accompanied by an English translation.
Comments will be posted as received to
http://www.cftc.gov. You should submit
only information that you wish to make
available publicly. If you wish the
Commission to consider information
that is exempt from disclosure under the
Freedom of Information Act, a petition
for confidential treatment of the exempt
information may be submitted according
to the procedures set forth in section
145.9 of the Commission’s regulations.1
The Commission reserves the right,
but shall have no obligation, to review,
pre-screen, filter, redact, refuse or
remove any or all of your submission
from http://www.cftc.gov that it may
deem inappropriate for publication,
such as obscene language. All
submissions that have been redacted or
DATES:

1 17

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CFR 145.9

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Federal Register / Vol. 83, No. 39 / Tuesday, February 27, 2018 / Notices
removed that contain comments on the
merits of the ICR will be retained in the
public comment file and will be
considered as required under the
Administrative Procedure Act and other
applicable laws, and may be accessible
under the Freedom of Information Act.
A copy of the supporting statements
for the collection of information
discussed herein may be obtained by
visiting http://RegInfo.gov.
FOR FURTHER INFORMATION CONTACT:
Jocelyn Partridge, Special Counsel,
Division of Clearing and Risk, (202)
418–5926, email: [email protected].
SUPPLEMENTARY INFORMATION:
Title: Financial Resource
Requirements for Derivatives Clearing
Organizations (OMB Control No. 3038–
0066). This is a request for an extension
of a currently approved information
collection.
Abstract: This collection of
information involves the financial
resource reporting requirements set
forth in section 39.11 of the
Commission’s regulations. Section
5b(c)(2) of the Commodity Exchange Act
(‘‘CEA’’ or ‘‘Act’’) 2 sets forth certain
core principles with which a derivatives
clearing organization (‘‘DCO’’) must
comply in order to become registered
with the Commission and to maintain
such registration. One of these core
principles, core principle B, sets forth
the financial resource requirements
applicable to DCOs. Section 5b(c)(2)
also requires DCOs to comply with the
regulations promulgated by the
Commission pursuant to section 8a(5) of
the Act.3 Section 39.11 of the
Commission’s regulations, which
implements core principle B, includes
the financial resource reporting
requirements that are the subject of this
information collection. The information
collection is necessary for, and would
be used by, the Commission to evaluate
a DCO’s compliance with the financial
resource requirements for DCOs
prescribed in the CEA, including core
principle B, and the Commission’s
regulations.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
number. On December 5, 2017, the
Commission published in the Federal
Register notice of the proposed
extension of this information collection
27

U.S.C. 7a–1(c)(2).
3 Section 8a(5) of the CEA authorizes the
Commission to promulgate such rules and
regulations as, in the judgement of the Commission,
are reasonably necessary to effectuate any of the
provisions or to accomplish any of the purposes of
the CEA. 7 U.S.C. 12a(5).

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and provided 60 days for public
comment on the proposed extension, 82
FR 57430, December 5, 2017 (‘‘60-Day
Notice’’). The Commission did not
receive any comments. Accordingly, it
has not altered the burden estimates set
forth in the 60-Day Notice.
Burden Statement
As noted above, this information
collection renewal involves the
financial reporting requirement
contained in section 39.11 of the
Commission’s regulations. Specifically,
it involves the requirements that a DCO
that is registered with the Commission
report certain information regarding the
DCO’s financial resources, the value
thereof, and the basis for these
calculations that is necessary to assess
the DCO’s compliance with the financial
resources requirements of the CEA and
Commission regulations. The
Commission has revised its estimate of
the total annual burden hours for this
collection to account for an increase in
the number of respondents (from 14 to
17), but has maintained the original
burden hour estimate of 10 hours per
quarterly report as the reporting
requirements have remain unchanged.
The respondent burden for this
information collection is estimated to be
as follows:
• Estimated Annual Number of
Respondents: 17.
• Estimated Annual Number of
Reports per Respondent: 4.
• Estimated Total Annual Number of
Responses: 68.
• Estimated Average Number of
Hours per Response: 10.
• Estimated Average Annual Burden
Hours per Respondent: 40.
• Estimated Total Annual Burden
Hours: 680 hours.
• Frequency of collection: Quarterly
and on occasion.
• Type of Respondents: derivatives
clearing organizations.
There are no capital or start-up costs
associated with this information
collection, nor are there any operating
or maintenance costs associated with
this information collection.
Authority: 44 U.S.C. 3501 et seq.
Dated: February 22, 2018.
Robert N. Sidman,
Deputy Secretary of the Commission.
[FR Doc. 2018–03950 Filed 2–26–18; 8:45 am]
BILLING CODE 6351–01–P

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CONSUMER PRODUCT SAFETY
COMMISSION
[CPSC Docket No. 18–1]

Britax Child Safety, Inc.; Complaints
Consumer Product Safety
Commission.
ACTION: Publication of a Complaint
under the Consumer Product Safety Act.
AGENCY:

Under provisions of its Rules
of Practice for Adjudicative Proceeding,
the Consumer Product Safety
Commission must publish in the
Federal Register Complaints which it
issues. Published below is a Complaint:
In the matter of Britax Child Safety,
Inc.1
SUPPLEMENTARY INFORMATION: The text of
the Complaint appears below.
SUMMARY:

Dated: February 22, 2018.
Alberta E. Mills,
Secretary, Consumer Product Safety
Commission.
United States of America
Consumer Product Safety Commission
In the Matter of: Britax Child Safety, Inc.
Respondent.
CPSC Docket No.: 18–1
COMPLAINT
Nature of the Proceedings
1. This is an administrative enforcement
proceeding pursuant to Section 15 of the
Consumer Product Safety Act (‘‘CPSA’’), as
amended, 15 U.S.C. § 2064, for public
notification and remedial action to protect
the public from the substantial risks of injury
presented by various models of single and
double occupant B.O.B. jogging strollers
designed with a dropout fork assembly and
quick release mechanism (‘‘Strollers’’), which
were imported and distributed by B.O.B.
Trailers, Inc. (‘‘B.O.B.’’) and Britax Child
Safety, Inc. (‘‘Respondent’’).
2. This proceeding is governed by the
Rules of Practice for Adjudicative
Proceedings before the Consumer Product
Safety Commission (the ‘‘Commission’’), 16
C.F.R. Part 1025.
Jurisdiction
3. This proceeding is instituted pursuant to
the authority contained in Sections 15(c), (d),
and (f) of the CPSA, 15 U.S.C. § 2064(c), (d),
and (f).
Parties
4. Complaint Counsel is the staff of the
Division of Compliance within the Office of
the General Counsel of the Commission
(‘‘Complaint Counsel’’). The Commission is
an independent federal regulatory agency
1 The Commission voted 3–1 to authorize
issuance of this Complaint. Commissioners Robert
S. Adler, Marietta S. Robinson, and Elliot F. Kaye
voted to authorize issuance of the Complaint.
Acting Chairman Buerkle voted to not authorize
issuance of the Complaint.

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