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criminal conviction in the United States or in a foreign jurisdiction, whether entered on a verdict or plea, including a plea of nolo contendere, for which sentence has been imposed. Independent insurance company means an entity that is registered with any State and authorized by that State to conduct an insurance business including the issuance or underwriting of a service insurance policy
49 U.S.C. 1602a(b)). (4) The grantee agrees that the project facilities and equipment shall be used for the provision of mass transportation services within its urban area and that any other use of project facilities and equipment will be incidental to and shall not interfere with the use of such facilities and equipment in mass transportation service to the public.
(a) In general. (1) A trade-in vehicle accepted as part of an eligible transaction may be provided for disposal by a dealer either to a disposal facility or to a salvage auction, as described in and subject to the conditions of §599.201 of this part. (2) Dealers
(a) For any toll facility operating pursuant to authority under a 1604 toll program, the toll agency shall— (1) Identify the projected users of the facility; (2) Identify the predominant toll collection systems likely utilized by the users of the facility; and (3) Identify the noncash electronic technology likely to be in use within the next five years in that area
account for the receipt and use of all aircraft liquor and tobacco stores on which duty and/or tax has not been paid. (c) Airline employees. Any airline which has an authorized in-bond liquor store room at an airport shall give the port director: (1) A list of names of all airline employees authorized to break Customs seals on liquor kits in the in-bond liquor storeroom; and
(a) Introduction. Section 751(g) provides a mechanism for incorporating into an ongoing countervailing duty proceeding the results of certain subsidy-related disputes under the WTO Subsidies Agreement. Where the United States, in the WTO, has successfully challenged the “nonactionable” (e.g., noncountervailable) status of a foreign subsidy, or where the United States has successfully
(a) Name. The name of the viticultural area described in this section is “Guenoc Valley.” (b) Approved maps. The appropriate maps for determining the boundaries of the Guenoc Valley viticultural area are four USGS maps. They are titled: (1) “Middletown Quadrangle, California-Lake Co.,” 7.5 minute series;
(a) Name. The name of the viticultural area described in this section is “Texas High Plains.” (b) Approved maps. The appropriate maps for determining the boundary of the Texas High Plains viticultural area are six U.S.G.S. topographical maps of the 1:250,000 scale. They are titled: (1) “Clovis, New Mexico; Texas” 1954
(a) Name. The name of the viticultural area described in this section is “Yorkville Highlands.” (b) Approved maps. The appropriate maps for determining the boundary of the Yorkville Highlands viticultural area are the following six U.S.G.S. topographical maps (7.5 minute series, 1:24000 scale): (1) Gube Mountain, Calif
shipped; (i) The number of cigarette papers or tubes to be shipped; (j) The amount of the tax to be paid for each kind of article under this subpart; and (k) The name and address of the consignee in the United States to whom the products are to be shipped. (Approved by the Office of Management and Budget under control number 1513-0108)
paragraph (b) of this section, (i) Does not have to report bartered goods or services as program income or grant expenses in the Federal financial report; and(ii) Must disclose that barter transactions occurred and identify what was bartered in the Remarks section of the Federal financial report. (b) For purposes of paragraph (a)(4) of this section, cooperative farming or grazing is an arrangement
implemented under paragraph (d) of this section. (h) Fishing by a member of a Pacific Coast treaty Indian tribe outside that tribe's U&A fishing area, or for a species of HMS not covered by a treaty allocation or applicable Federal regulation, is subject to the HMS regulations applicable to non-treaty fisheries. [69 FR 18453, Apr. 7, 2004, as amended at 81 FR 36808, June 8, 2016]
(b) A show cause order, or a vacation, modification or termination of a notice or order, may be served on the person to whom it is issued in either manner provided in paragraph (a) of this section. (c) Designation by any person of an agent for service of notices and orders shall be made in a conspicuous, easy-to-read manner on the mine identification sign, or on the mine bulletin board posted by the minesite office.
the use of explosives receive direction and on-the-job training from a blaster. (b) The regulatory authority shall ensure that courses are available to train persons responsible for the use of explosives in surface coal mining operations. The courses shall provide training and discuss practical applications of— (1) Explosives, including— (i) Selection of the type of explosive to be used;
November 2, 1990 Procedures for public participation, ranking and selection of reclamation projects, liens, bids and contracts. August 13, 1992 January 14, 1993 Ch. 961⁄2 , par. 8001.03; 8002.13
. A party's response to any written motion must be filed within 15 days after service of such motion. The movant's reply to any written response must be filed within 10 days after service of such response and shall be limited to issues raised in the response. The Presiding Officer or the Environmental Appeals Board may set a shorter or longer time for response or reply, or make other orders concerning the disposition of motions. The response or reply shall be accompanied by any affidavit
All requests (including variance requests), reports, submittals, and other communications to the Administrator pursuant to this regulation shall be submitted to the Regional Office of the EPA which serves the State or territory for the address that is listed on the aerosol coating product in question. These areas are indicated in the following list of EPA Regional Offices. EPA Region I (Connecticut, Maine, Massachusetts
(a) Each owner or operator of an affected facility shall install, calibrate, operate, and maintain a monitoring device that continually measures and records for each steel production cycle the various rates or levels of exhaust ventilation at each phase of the cycle through each duct of the secondary emission capture system. The monitoring device or devices are to be placed at locations near each capture point of the secondary emission capture system to monitor the
another subpart, the cited provisions will be delegated according to the delegation provisions of the referenced subpart. Where these standards reference another subpart and modify the requirements, the requirements shall be modified as described in this subpart. Delegation of the modified requirements will also occur according to the delegation provisions of the referenced subpart. (2) Approval of major alternatives to test methods for under
emission limitations or other requirements for the rubber processing affected source. (c) An affected source is a new affected source if construction of the affected source commenced after October 18, 2000, and it met the applicability criteria of §63.5981 at the time construction commenced. (d) An affected source is reconstructed if it
malfunction are violations, according to the provisions in §63.6(e). (3) By-passing the control device for maintenance activities is not considered a startup, shutdown, or malfunction event. [68 FR 70928, Dec. 19, 2003, as amended at 71 FR 20469, Apr. 20, 2006]
must demonstrate continuous compliance with each work practice standard specified in Table 3 to this subpart that applies to you according to the requirements specified in Table 9 to this subpart. (d) For each affected source that is equipped with an add-on APCD that is not addressed in Table 2 to this subpart or that is using process changes as a means of meeting the emission limits in Table 1 to this subpart, you must demonstrate continuous compliance with each
(f) 40 CFR part 61, subpart Y 61.270, 61.271(d)(2), and 61.274(a) 40 CFR part 61, subpart BB 61.300 and 61.301 40 CFR part 63, subpart G For process vents, group 1 storage vessels, and group 1 transfer racks
may be carried out jointly by the parties in justified cases; (e) If the matter has not been resolved by the Joint Sectoral Committee within 10 days of the notice of contestation, the matter shall be referred to the Joint Committee for a decision. If there is no Joint Sectoral Committee, the matter shall be referred directly to the Joint Committee. If no decision is reached by the Joint Committee within 10 days of the referral to it, the CAB shall be suspended upon
(2) Within a reasonable timeframe, provided that the preventive controls qualified individual prepares (or oversees the preparation of) a written justification for a timeframe that exceeds 90 calendar days after production of the applicable food first begins; (ii) Whenever a change to a control measure or combination of control measures could impact whether the control measure or combination of
food. (e) Ultrafiltration membranes identified in paragraph (a)(4) may be used to filter aqueous or acidic foods containing up to 13 percent of alcohol at temperatures not to exceed 21 °C (70 °F). (f) To assure safe use of the ultra-filtration membranes, the label or labeling shall include adequate directions for a pre-use treatment, consisting of conditioning and washing with a minimum of 8 gallons of potable water prior to their
(2) Within a reasonable timeframe, provided that the preventive controls qualified individual prepares (or oversees the preparation of) a written justification for a timeframe that exceeds 90 calendar days after production of the applicable animal food first begins; (ii) Whenever a change to a control measure or combination of control measures could impact whether the control measure
present information about a subset of FDA-approved cessation products or product categories while failing to mention other FDA-approved cessation products or product categories; (3) Not provide or otherwise encourage the use of any drug or other medical product that FDA has not approved for tobacco cessation; (4) Not encourage the use of any non-evidence-based smoking cessation practices; (5) Ensure