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Federal Register / Vol. 88, No. 121 / Monday, June 26, 2023 / Notices
Notification to Interested Parties
This notice is issued and published in
accordance with sections 516A(c) and
(e) and 777(i)(1) of the Act.
Dated: June 20, 2023.
James Maeder,
Deputy Assistant Secretary for Antidumping
and Countervailing Duty Operations.
[FR Doc. 2023–13523 Filed 6–23–23; 8:45 am]
BILLING CODE 3510–DS–P
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric
Administration
Agency Information Collection
Activities; Submission to the Office of
Management and Budget (OMB) for
Review and Approval; Comment
Request; Reporting Requirements for
the Ocean Salmon Fishery Off the
Coasts of Washington, Oregon, and
California
National Oceanic &
Atmospheric Administration (NOAA),
Commerce.
ACTION: Notice of information collection,
request for comment.
AGENCY:
The Department of
Commerce, in accordance with the
Paperwork Reduction Act of 1995
(PRA), invites the general public and
other Federal agencies to comment on
proposed, and continuing information
collections, which helps us assess the
impact of our information collection
requirements and minimize the public’s
reporting burden. The purpose of this
notice is to allow for 60 days of public
comment preceding submission of the
collection to OMB.
DATES: To ensure consideration,
comments regarding this proposed
information collection must be received
on or before August 25, 2023.
ADDRESSES: Interested persons are
invited to submit written comments to
Adrienne Thomas, NOAA PRA Officer,
at [email protected]. Please
reference OMB Control Number 0648–
0433 in the subject line of your
comments. Do not submit Confidential
Business Information or otherwise
sensitive or protected information.
FOR FURTHER INFORMATION CONTACT:
Requests for additional information or
specific questions related to collection
activities should be directed to Shannon
Penna, National Marine Fisheries
Service (NMFS) West Coast Region,
7600 Sand Point Way NE, Seattle WA
98115; telephone: 562–980–4239; email:
[email protected].
SUPPLEMENTARY INFORMATION:
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I. Abstract
This request is for an extension of a
currently approved information
collection.
Ocean salmon fisheries conducted in
the U.S. exclusive economic zone, 3–
200 nautical miles off the West Coast
states of Washington, Oregon, and
California are managed by the Pacific
Fishery Management Council (Council)
and NOAA’s NMFS under the
Magnuson-Stevens Fishery
Conservation and Management Act
(MSA). Management measures for the
ocean salmon fisheries are set annually,
consistent with the Council’s Pacific
Coast Salmon Fishery Management Plan
(FMP). The FMP provides a framework
for managing the ocean salmon fisheries
in a sustainable manner, as required
under the MSA, through the use of
conservation objectives, annual catch
limits, and other reference points and
status determination criteria described
in the FMP. To meet these criteria,
annual management measures,
published in the Federal Register by
NMFS, specify regulatory areas, catch
restrictions, and landing restrictions
based on the stock abundance forecasts.
These catch and landing restrictions
include area- and species-specific
quotas for the commercial ocean salmon
fishery, and generally require catch and
landings to be reported to the
appropriate state and tribal agencies to
allow for timely and accurate
accounting of the season’s catch (50 CFR
660.404 and 50 CFR 660.408(o)). The
best available catch and effort data and
projections are presented by the state
fishery managers in telephone
conference calls involving the NMFS
Regional Administrator and
representatives of the Council. However,
NMFS acknowledges that unsafe
weather or mechanical problems could
prevent commercial fishermen from
making their landings at the times and
places specified, and the MSA requires
conservation and management measures
to promote the safety of human life at
sea. Therefore, the annual management
measures will include provisions to
exempt commercial salmon fishermen
from compliance with the landing
requirements when they experience
unsafe weather conditions or
mechanical problems at sea, so long as
the appropriate notifications are made
by, for example, at-sea radio and
cellular telephone, and information on
catch and other required information is
given, under this collection of
information.
The annual management measures
will specify the contents and procedure
of the notifications, and the entities
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receiving the notifications (e.g., U.S.
Coast Guard). Absent this requirement
by the Council, the state reporting
systems would not regularly collect this
specific type of in-season radio report.
These provisions, and this federal
collection of information, promote
safety at sea and provide practical
utility for sustainably managing the
fishery, and ensure regulatory
consistency across each state by
implementing the same requirements in
the territorial waters off each state. This
information collection is intended to be
general in scope by leaving the specifics
of the notifications for annual
determination, thus providing flexibility
in responding to salmon management
concerns in any given year.
II. Method of Collection
Notifications are made by at-sea radio
or cellular phone transmissions.
III. Data
OMB Control Number: 0648–0433.
Form Number(s): None.
Type of Review: Regular submission
(extension of a currently approved
collection).
Affected Public: Business or other forprofit organizations.
Estimated Number of Respondents:
40.
Estimated Time per Response: 15
minutes.
Estimated Total Annual Burden
Hours: 10 hours.
Estimated Total Annual Cost to
Public: $0 in recordkeeping/reporting
costs.
Respondent’s Obligation: Mandatory.
Legal Authority: Magnuson-Stevens
Fishery Conservation and Management
Act.
IV. Request for Comments
We are soliciting public comments to
permit the Department/Bureau to: (a)
Evaluate whether the proposed
information collection is necessary for
the proper functions of the Department,
including whether the information will
have practical utility; (b) Evaluate the
accuracy of our estimate of the time and
cost burden for this proposed collection,
including the validity of the
methodology and assumptions used; (c)
Evaluate ways to enhance the quality,
utility, and clarity of the information to
be collected; and (d) Minimize the
reporting burden on those who are to
respond, including the use of automated
collection techniques or other forms of
information technology.
Comments that you submit in
response to this notice are a matter of
public record. We will include or
summarize each comment in our request
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Federal Register / Vol. 88, No. 121 / Monday, June 26, 2023 / Notices
to OMB to approve this ICR. 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 may 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.
Sheleen Dumas,
Department PRA Clearance Officer, Office of
the Under Secretary for Economic Affairs,
Commerce Department.
[FR Doc. 2023–13509 Filed 6–23–23; 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 Information and Regulatory
Affairs (OIRA), of 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.
DATES: Comments must be submitted on
or before July 26, 2023.
ADDRESSES: Written comments and
recommendations for the proposed
information collection should be
submitted within 30 days of this
notice’s publication to OIRA, at https://
www.reginfo.gov/public/do/PRAMain.
Please find this particular information
collection by selecting ‘‘Currently under
30-day Review—Open for Public
Comments’’ or by using the website’s
search function. Comments can be
entered electronically by clicking on the
‘‘comment’’ button next to the
information collection on the ‘‘OIRA
Information Collections Under Review’’
page, or the ‘‘View ICR—Agency
Submission’’ page. A copy of the
supporting statement for the collection
of information discussed herein may be
obtained by visiting https://
www.reginfo.gov/public/do/PRAMain.
In addition to the submission of
comments to https://Reginfo.gov as
indicated above, a copy of all comments
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submitted to OIRA may also be
submitted to the Commodity Futures
Trading Commission (the
‘‘Commission’’ or ‘‘CFTC’’) by clicking
on the ‘‘Submit Comment’’ box next to
the descriptive entry for OMB Control
No. 3038–0090, at https://
comments.cftc.gov/FederalRegister/
PublicInfo.aspx.
Or by either of the following methods:
• Mail: Christopher Kirkpatrick,
Secretary of the Commission,
Commodity Futures Trading
Commission, Three Lafayette Centre,
1155 21st Street NW, Washington, DC
20581.
• Hand Delivery/Courier: Same as
Mail above.
All comments must be submitted in
English, or if not, accompanied by an
English translation. Comments
submitted to the Commission should
include only information that you wish
to make available publicly. If you wish
the Commission to consider information
that you believe 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 established in § 145.9
of the Commission’s regulations.1 The
Commission reserves the right, but shall
have no obligation, to review, prescreen, filter, redact, refuse or remove
any or all of your submission from
https://www.cftc.gov that it may deem to
be inappropriate for publication, such as
obscene language. All submissions that
have been redacted or 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.
FOR FURTHER INFORMATION CONTACT: Lee
McFarland, Attorney Advisor, Market
Participants Division, Commodity
Futures Trading Commission, (202)
418–5368, email: [email protected].
SUPPLEMENTARY INFORMATION:
Title: Adaptation of Regulations to
Incorporate Swaps—Records of
Transactions; Exclusion of Utility
Operations Related Swaps with Utility
Special Entities from De minimis
Threshold for Swaps with Special
Entities (OMB Control No. 3038–0090).
This is a request for extension of a
currently approved information
collection.
Abstract: Title VII of the Dodd-Frank
Wall Street Reform and Consumer
Protection Act (Dodd-Frank Act, Pub. L.
1 17
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111–203, 124 Stat. 1376 (2010))
amended the Commodity Exchange Act
(CEA) to establish a comprehensive new
statutory framework for swaps. These
amendments required the Commodity
Futures Trading Commission (‘‘the
Commission’’) to amend several of its
regulations to implement the new
framework. The information collection
obligations imposed by the ‘‘Adaptation
of Regulations to Incorporate Swaps’’
final regulations 2 remain necessary to
implement section 721 of the DoddFrank Act, which amended the
definitions of futures commission
merchant (‘‘FCM’’) and introducing
broker (‘‘IB’’) to permit these
intermediaries to trade swaps on behalf
of customers. They also are necessary to
implement section 733 of the DoddFrank Act which introduced swap
execution facilities (‘‘SEFs’’) as a new
trading platform for swaps. As a result
of the enactment of sections 721 and
733, the Commission needed to amend
certain recordkeeping regulations
(§§ 1.31, 1.33, 1.35, 1.37, and 1.39) so
that records of swap transactions are
maintained analogously to how futures
transactions are maintained.
Further, the ‘‘Exclusion of Utility
Operations-Related Swaps With Utility
Special Entities from De Minimis
Threshold for Swaps With Special
Entities’’ 3 regulation amended the
Commission’s swap dealer definition to
permit a person to exclude ‘‘utility
operations-related swaps’’ with ‘‘utility
special entities’’ in their de minimis
threshold calculations. The regulation
requires a person claiming the exclusion
to maintain, in accordance with
Commission regulation 1.31, any
written representations that the person
receives from utility special entities
related to this exclusion.
The information collection burdens
associated with these regulations
(collectively, the ‘‘Swap Recordkeeping
Requirements’’) are restricted to the
costs associated with the recordkeeping
and reporting requirements that these
regulations impose upon affected
registrants, registered entities, those
registered entities’ members, and other
respondents covered by the final rules.
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
control number. On April 14, 2023, the
Commission published in the Federal
Register notice of the proposed
2 Adaptation of Regulations to Incorporate Swaps,
77 FR 66288 (Nov. 2, 2012).
3 Exclusion of Utility Operations-Related Swaps
with Utility Special Entities from De Minimis
Threshold for Swaps with Special Entities, 79 FR
57767 (Sept. 26, 2014).
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File Type | application/pdf |
File Modified | 2023-06-24 |
File Created | 2023-06-24 |