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ARB to review the decision in accordance with 29 CFR part 26. Copies of the petition must be served on all parties and on the ALJ. The ARB will decide whether to accept the petition within 30 calendar days of receipt. If the ARB declines to accept the petition, or if the ARB does not issue a notice accepting a petition within 30 calendar days after the receipt of a timely filing of the petition, the decision of the ALJ is the final agency action. If a petition for review is accepted, the decision
independently determine whether an EIS or an environmental assessment is required where: (1) A proposal for agency action is not covered by one of the typical classes of action above; or (2) For actions which are covered, the presence of extraordinary circumstances indicates that some other level of environmental review may be appropriate. {"origins":[{"level
(New Restrictions on Lobbying). (8) 34 CFR part 84 (Governmentwide Requirements for Drug-Free Workplace (Grants)). (9) [Reserved] (10) 34 CFR part 97 (Protection of Human Subjects).
consider comments or comment contents located outside of the primary submission (i.e., on the web, cloud, or other file sharing system). For additional submission methods, please contact the person identified in the FOR FURTHER INFORMATION CONTACT section. For the full EPA public comment policy, information about CBI or multimedia submissions, and general guidance on making effective comments, please visit https://www2.epa.gov/​dockets/​commenting-epa
UCSC/PISCO's research is conducted throughout the year. Most sites are sampled one to two times per year over a 1 to 2-day period (4-6 hours per site) during a negative low tide series (when tides are lower than the average). Due to the large number of research sites, scheduling constraints, the necessity for negative low tides and favorable weather/ocean conditions, exact survey dates are variable and difficult to predict. Some sampling
for employee stock ownership plans (A) In generalIf, upon an employer reversion from a qualified plan, any applicable amount is transferred from such plan to an employee stock ownership plan described in section 4975(e)(7) or a tax credit employee stock ownership plan (as described in
26 U.S.C. 3304 note)) in the State for a period to be determined by the Secretary. In developing such formula with respect to a State, the Secretary shall consider the importance of avoiding sharp reductions in grant funding to a State over time. (B) Base funding percentageFor purposes of subparagraph (A), the term "base funding percentage" means—
members in the same manner as the corresponding tax bracket of section 11(b)(1) is apportioned. For rules to apportion the section 11(b)(1) tax brackets among the component members of a controlled group, see §1.1561-3(b) or (c). (ii) Apportionment methods. Unless the component members of a controlled group elect to use the
not to exceed one hundred copies; to the House of Representatives Publications Distribution Service, three copies for each Representative and Resident Commissioner in Congress; and to the Clerk and the Sergeant at Arms of the House of Representatives, each, two copies; of the daily edition— to the Vice President, one hundred copies;
§19.171, and the proprietor wishes to continue the activity covered by the bond, the proprietor must file a superseding bond that becomes effective on or before the termination date of the existing bond. The superseding bond must show both its execution date and its effective date. (b) New bonds for existing proprietors— (1) General. Subject to paragraph
reasonably expected to decline (as opposed to a dividend rate that is reasonably expected to fluctuate or remain constant); or (B) It is issued for an amount that exceeds (by more than a de minimis amount, as determined under the principles of §1.1273-1(d)) the amount at which the holder can be compelled to dispose of the stock.
used to set the caps was arbitrary and capricious. The court remanded for further proceedings with respect to certain rate cap issues; remanded the ancillary service charge caps in that Order; and vacated one of the annual reporting requirements in that Order. 10. Because this procedural history is somewhat complicated, the Commission provides background on the relevant issues in turn below.
(a) It shall be unlawful for two or more persons to conspire to obstruct the enforcement of the criminal laws of a State or political subdivision thereof, with the intent to facilitate an illegal gambling business if— (1) one or more of such persons does any act to effect the object of such a conspiracy; (2) one or more of such persons is an official or employee, elected, appointed
free or no-cost account (or words of similar meaning) if— (1) in order to avoid fees or service charges for any period— (A) a minimum balance must be maintained in the account during such period; or (B) the number of transactions during such period may not exceed a maximum number; or (2) any regular service or transaction fee is imposed.
fee to cover the cost of providing any statement under paragraph (1) to any consumer in addition to the 1 free annual statement required under paragraph (3) if the amount of the charge for such additional statement is disclosed to the consumer before furnishing such statement. (d) DefinitionsFor the purpose of this section— (1) Actuarial methodThe term "actuarial method" means the method of
regulations.gov. If you send comments, the Board recommends that you confirm receipt of your delivered comments by contacting (202) 273-1940 (this is not a toll-free number). Individuals with hearing impairments may call 1-866-315-6572 (TTY/TDD). FOR FURTHER INFORMATION CONTACT: Roxanne L. Rothschild, Executive
stamps for such mailing. To prevent abuses of this provision, the Warden may impose restrictions on the free legal and administrative remedy mailings. (e) When requested by an inmate who has neither funds nor sufficient postage, and upon verification of this status by staff, the Warden shall provide the postage stamps for mailing a reasonable number of letters at government expense to enable the inmate to maintain community ties. To prevent abuses of this provision
(c) Real estate mortgage investment conduit. See §1.67-3T for rules regarding the application of section 67 to holders of interests in REMICs. (d) Common trust funds—(1) In general. For purposes of determining the taxable income of an
apportioned to a corporation for a separate return year pursuant to §1.1502-79A(a), and shall be subject to the limitations contained in paragraphs (c), (d), and (e) of this section and to the limitation contained in §1.1502-15A (or
§258.73(a) up to the rate of return for essentially risk free investments, net of inflation, under the following conditions: (a) The State Director determines that cost estimates are complete and accurate and the owner or operator has submitted a statement from a Registered Professional Engineer so stating; (b) The State finds the facility in compliance with applicable and appropriate permit conditions;
(a) Exemption from volume regulation. Reserve percentages shall not apply to lots of merchantable inshell walnuts which are of jumbo size or larger as defined in the then effective United States Standards for Walnuts in the Shell, or to such quantities as the Board may, with the approval of the Secretary, prescribe. (b) Exemptions from assessments and quality regulations—(1)
The grant programs under this part are subject to the provisions of other departmental regulations, including but not limited to the following departmental regulations, or their successors, as applicable: (a) Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards, 2 CFR part 200, as adopted by USDA through 2 CFR part 400; (b) Drug-Free Workplace Act of 1998 (
of a communicable disease. The Director may issue a controlled free pratique to the carrier stipulating what measures are to be met, but such issuance does not prevent the periodic boarding of a carrier and the inspection of persons and records to verify that the conditions have been met for granting the pratique.
(a) This subpart sets forth State plan requirements and exceptions that pertain to the following administrative requirements and provisions of the Act: (1) Statewideness—section 1902(a)(1); (2) Proper and efficient administration—section 1902(a)(4); (3) Comparability of services—section 1902(a)(10) (B)-(E); (4) Payment for services