Notice of Agreements Filed

Published date14 April 2021
Citation86 FR 19619
Record Number2021-07644
SectionNotices
CourtFederal Maritime Commission
19619
Federal Register / Vol. 86, No. 70 / Wednesday, April 14, 2021 / Notices
the use of Consumer Signal Boosters on
their networks must establish a free
registration system for their subscribers.
At a minimum, providers must collect
(1) the name of the Consumer Signal
Booster owner and/or operator, if
different individuals; (2) the make,
model, and serial number of the device;
(3) the location of the device; and (4) the
date of initial operation. Otherwise, the
Commission permits providers to
develop their own registration systems
to facilitate provider control and
interference resolution, providers
should collect only such information
that is reasonably related to achieving
these dual goals. Wireless providers
may determine how to collect such
information and how to keep it up-to-
date. Section 90.219(d)(5)—This rule
requires operators of Part 90 Class B
signal boosters to register these devices
in a searchable on-line database that
will be maintained and operated by the
Wireless Telecommunications Bureau
via delegated authority from the
Commission. The Commission believes
this will be a valuable tool to resolve
interference should it occur.
Certification Requirements: Sections
20.3, 20.21(e)(2), 20.21(e)(8)(i)(G),
20.21(e)(9)(i)(H), 90.203—These rules,
in conjunction with the R&O, require
that signal booster manufacturers
demonstrate that they meet the new
technical specifications using the
existing and unchanged equipment
authorization application, including
submitting a technical document with
the application for FCC equipment
authorization that shows compliance of
all antennas, cables and/or coupling
devices with the requirements of
§ 20.21(e). The R&O further provides
that manufacturers must make certain
certifications when applying for device
certification. Manufacturers must
provide an explanation of all measures
taken to ensure that the technical
safeguards designed to inhibit harmful
interference and protect wireless
networks cannot be deactivated by the
user. The R&O requires that
manufacturers of Provider-Specific
Consumer Signal Boosters may only be
certificated with the consent of the
licensee so the manufacturer must
certify that it has obtained such consent
as part of the equipment certification
process. The R&O also requires that if a
manufacturer claims that a device will
not affect E911 communications, the
manufacturer must certify this claim
during the equipment certification
process. Note: The ‘‘application for
equipment’’ certification requirements
are met under OMB Control Number
3060–0057, FCC Form 731.
Antenna Kitting Documentation
Requirement: Sections 20.21(e)(8)(i)(G),
20.21(e)(9)(i)(H)—The rules require that
all consumer boosters must be sold with
user manuals specifying all antennas
and cables that meet the requirements of
this section. Part 90 Licensee Consent
Documentation Requirement: Section
90.219(b)(1)(i)—This rule requires that
non-licensees seeking to operate part 90
signal boosters must obtain the express
consent of the licensee(s) of the
frequencies for which the device or
system is intended to amplify. The rules
further require that such consent must
be maintained in a recordable format
that can be presented to a FCC
representative or other relevant licensee
investigating interference.
Cross-reference to Other Rule Parts:
Sections 22.9, 24.9, and 27.9—
Operation of a consumer signal booster
under Parts 22, 24, and 27 of the
Commission’s rules must also comply
with section 20.21 of the Commission’s
rules, including all relevant information
collections.
Federal Communications Commission.
Marlene Dortch,
Secretary, Office of the Secretary.
[FR Doc. 2021–07657 Filed 4–13–21; 8:45 am]
BILLING CODE 6712–01–P
FEDERAL DEPOSIT INSURANCE
CORPORATION
Privacy Act of 1974; System of
Records; Correction
AGENCY
: Federal Deposit Insurance
Corporation.
ACTION
: Notice of a modified systems of
records; correction.
SUMMARY
: The Federal Deposit
Insurance Corporation (FDIC) published
a System of Records Notice (SORN) in
the Federal Register of July 22, 2019,
that modified a System of Records titled
‘‘Financial Institution Investigative and
Enforcement Records, FDIC–30–64–
0002.’’ Subsequent to the publication of
the notice, FDIC discovered an error.
This notice corrects that error.
DATES
: This correction is effective on
April 14, 2021.
FOR FURTHER INFORMATION CONTACT
:
Shannon Dahn, Chief, Privacy Section,
(703) 516–1162, Privacy@fdic.gov, or
Gary Jackson, Counsel, (703) 562–2677,
gjackson@fdic.gov.
SUPPLEMENTARY INFORMATION
:
Correction
In the Federal Register of July 22,
2019, in FR Doc 2019–15280, on page
35188, in the first column, after
EXEMPTIONS PROMULGATED FOR
THE SYSTEM, please correct the
following:
Delete in entirety ‘‘None’’ and insert
‘‘Portions of the records in this system
of records were compiled for law
enforcement purposes and are exempt
from disclosure under 12 CFR 310.13
and 5 U.S.C. 552a(k)(2). Federal
criminal law enforcement investigatory
reports maintained as part of this system
may be the subject of exemptions
imposed by the originating agency
pursuant to 5 U.S.C. 552a(j)(2).’’
Federal Deposit Insurance Corporation.
Dated at Washington, DC, on April 5, 2021.
James P. Sheesley,
Assistant Executive Secretary.
[FR Doc. 2021–07591 Filed 4–13–21; 8:45 am]
BILLING CODE 6714–01–P
FEDERAL MARITIME COMMISSION
Notice of Agreements Filed
The Commission hereby gives notice
of the filing of the following agreements
under the Shipping Act of 1984.
Interested parties may submit
comments, relevant information, or
documents regarding the agreements to
the Secretary by email at Secretary@
fmc.gov, or by mail, Federal Maritime
Commission, Washington, DC 20573.
Comments will be most helpful to the
Commission if received within 12 days
of the date this notice appears in the
Federal Register. Copies of agreements
are available through the Commission’s
website (www.fmc.gov) or by contacting
the Office of Agreements at (202)-523–
5793 or tradeanalysis@fmc.gov.
Agreement No.: 201263–003.
Agreement Name: Maersk/MSC/Zim
Cooperative Working Agreement.
Parties: Maersk Line A/S;
Mediterranean Shipping Company S.A.;
and Zim Integrated Shipping Services
Ltd.
Filing Party: Wayne Rohde; Cozen
O’Connor.
Synopsis: The amendment authorizes
the parties to operate an additional
service string in the Agreement trade,
increase the size of vessels to be
deployed on the string, revise the
amount of space to be chartered, add a
provision on the deployment of extra
loaders, and make non-substantive
changes to the Agreement.
Proposed Effective Date: 5/22/21.
Location: https://www2.fmc.gov/
FMC.Agreements.Web/Public/
AgreementHistory/14256.
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19620
Federal Register / Vol. 86, No. 70 / Wednesday, April 14, 2021 / Notices
Dated: April 9, 2021.
Rachel E. Dickon,
Secretary.
[FR Doc. 2021–07644 Filed 4–13–21; 8:45 am]
BILLING CODE 6730–02–P
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisitions of Shares of a Bank or
Bank Holding Company
The notificants listed below have
applied under the Change in Bank
Control Act (Act) (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire shares of a bank
or bank holding company. The factors
that are considered in acting on the
applications are set forth in paragraph 7
of the Act (12 U.S.C. 1817(j)(7)).
The public portions of the
applications listed below, as well as
other related filings required by the
Board, if any, are available for
immediate inspection at the Federal
Reserve Bank(s) indicated below and at
the offices of the Board of Governors.
This information may also be obtained
on an expedited basis, upon request, by
contacting the appropriate Federal
Reserve Bank and from the Board’s
Freedom of Information Office at
https://www.federalreserve.gov/foia/
request.htm. Interested persons may
express their views in writing on the
standards enumerated in paragraph 7 of
the Act.
Comments regarding each of these
applications must be received at the
Reserve Bank indicated or the offices of
the Board of Governors, Ann E.
Misback, Secretary of the Board, 20th
Street and Constitution Avenue NW,
Washington DC 20551–0001, not later
than April 29, 2021.
A. Federal Reserve Bank of Kansas
City (Porcia Block, Vice President) 1
Memorial Drive, Kansas City, Missouri
64198–0001:
1. The Marian Olander Tutera Family
2021 Irrevocable Trust, John David
Cunningham, as trustee, the Anthony
Michael Mendolia Family 2021
Irrevocable Trust, and the John David
Cunningham Family 2021 Irrevocable
Trust, Joseph C. Tutera, as trustee of
both trusts, all of Kansas City, Missouri;
to join the Tutera Family Group, a group
acting in concert, to acquire voting
shares of Central Bancshares of Kansas
City, and thereby indirectly acquire
voting shares of Central Bank of Kansas
City, both of Kansas City, Missouri.
Board of Governors of the Federal Reserve
System, April 8, 2021.
Michele Taylor Fennell,
Deputy Associate Secretary of the Board.
[FR Doc. 2021–07643 Filed 4–13–21; 8:45 am]
BILLING CODE P
FEDERAL RESERVE SYSTEM
Change in Bank Control Notices;
Acquisitions of Shares of a Bank or
Bank Holding Company
The notificants listed below have
applied under the Change in Bank
Control Act (Act) (12 U.S.C. 1817(j)) and
§ 225.41 of the Board’s Regulation Y (12
CFR 225.41) to acquire shares of a bank
or bank holding company. The factors
that are considered in acting on the
applications are set forth in paragraph 7
of the Act (12 U.S.C. 1817(j)(7)).
The public portions of the
applications listed below, as well as
other related filings required by the
Board, if any, are available for
immediate inspection at the Federal
Reserve Bank(s) indicated below and at
the offices of the Board of Governors.
This information may also be obtained
on an expedited basis, upon request, by
contacting the appropriate Federal
Reserve Bank and from the Board’s
Freedom of Information Office at
https://www.federalreserve.gov/foia/
request.htm. Interested persons may
express their views in writing on the
standards enumerated in paragraph 7 of
the Act.
Comments regarding each of these
applications must be received at the
Reserve Bank indicated or the offices of
the Board of Governors, Ann E.
Misback, Secretary of the Board, 20th
Street and Constitution Avenue NW,
Washington, DC 20551–0001, not later
than April 29, 2021.
A. Federal Reserve Bank of Dallas
(Karen Smith, Director, Applications)
2200 North Pearl Street, Dallas, Texas
75201–2272:
1. Jane C. Wilemon, individually, and
as trustee of both the Wilemon Family
Trust and the Wilemon Survivors Trust,
all of Maypearl, Texas; to become the
Jane C. Wilemon Family Control Group,
a group acting in concert, to retain
voting shares of Maypearl Bancshares,
Inc., and thereby indirectly retain voting
shares of The Cowboy Bank of Texas,
both of Maypearl, Texas.
Board of Governors of the Federal Reserve
System, April 8, 2021.
Michele Taylor Fennell,
Deputy Associate Secretary of the Board.
[FR Doc. 2021–07603 Filed 4–13–21; 8:45 am]
BILLING CODE P
DEPARTMENT OF DEFENSE
GENERAL SERVICES
ADMINISTRATION
NATIONAL AERONAUTICS AND
SPACE ADMINISTRATION
[OMB Control No. 9000–0163; Docket No.
2021–0053; Sequence No. 2]
Submission for OMB Review; Small
Business Size Rerepresentation
AGENCY
: Department of Defense (DoD),
General Services Administration (GSA),
and National Aeronautics and Space
Administration (NASA).
ACTION
: Notice.
SUMMARY
: Under the provisions of the
Paperwork Reduction Act, the
Regulatory Secretariat Division has
submitted to the Office of Management
and Budget (OMB) a request to review
and approve a revision and renewal of
a previously approved information
collection requirement regarding small
business size rerepresentation.
DATES
: Submit comments on or before
May 14, 2021.
ADDRESSES
: Written comments and
recommendations for this information
collection should be sent within 30 days
of publication of this notice to
www.reginfo.gov/public/do/PRAMain.
Find this particular information
collection by selecting ‘‘Currently under
Review—Open for Public Comments’’ or
by using the search function.
Additionally, submit a copy to GSA
through http://www.regulations.gov and
follow the instructions on the site. This
website provides the ability to type
short comments directly into the
comment field or attach a file for
lengthier comments.
Instructions: All items submitted
must cite OMB Control No. 9000–0163,
Small Business Size Rerepresentation.
Comments received generally will be
posted without change to http://
www.regulations.gov, including any
personal and/or business confidential
information provided. To confirm
receipt of your comment(s), please
check www.regulations.gov,
approximately two-to-three days after
submission to verify posting. If there are
difficulties submitting comments,
contact the GSA Regulatory Secretariat
Division at 202–501–4755 or
GSARegSec@gsa.gov.
FOR FURTHER INFORMATION CONTACT
:
Zenaida Delgado, Procurement Analyst,
at telephone 202–969–7207, or
zenaida.delgado@gsa.gov.
SUPPLEMENTARY INFORMATION
:
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