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Official portrait of Rep. Annunzio, Frank [D-IL-11]

Rep. Annunzio, Frank [D-IL-11]

United States · Official source

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2,178 records where Rep. Annunzio, Frank [D-IL-11] is listed as a sponsor, author, or other actor. Search with topics and years

Resolution· HCONRESH.Con.Res. 40 (101st)referred

Protect Medicare 90 Concurrent Resolution

United States · United States Congress · 31 January 1989

Protect Medicare 90 Concurrent Resolution - Expresses the sense of the Congress that Medicare (title XVIII of the Social Security Act) hospital payments for FY 1990 should not be reduced below levels set by current law for such fiscal year.

Bill· HRH.R. 614 (101st)referred

Equal Opportunity for Medical Licensure and Reciprocity Act of 1989

United States · United States Congress · 24 January 1989

Equal Opportunity for Medical Licensure and Reciprocity Act of 1989 - Prohibits discrimination against any person who graduated from a medical school outside the United States and who is a licensed physician in the United States: (1) in equal access to practice medicine within any U.S. jurisdiction; (2) by law, regulation, policy, or requirements; and (3) by conditions or requirements which differ from the conditions or requirements as applied to graduates of U.S. medical schools. Applies the prohibition to any medical specialty as well as to the general practice of medicine. Prohibits the Secretary of Health and Human Services from making a grant, loan guarantee, or interest subsidy to, or for the benefit of, any school of medicine, unless the application contains assurances that the school will not discriminate against a graduate of a non-U.S. medical school. Requires States to adopt medical licensure and medical reciprocity standards which provide equal opportunity to any graduate of a non-U.S. medical school, as compared to any graduate of a U.S. medical school, provided the non-U.S. medical school graduate has completed the U.S. postgraduate training and obtained a license to practice medicine in any U.S. State.

Bill· HRH.R. 579 (101st)referred

Child Protection Act of 1989

United States · United States Congress · 20 January 1989

Child Protection Act of 1989 - Amends the Racketeer Influenced and Corrupt Organizations (RICO) statute to extend its coverage to the sexual exploitation of children. Allows any person injured personally or in his business or property by such violations to bring a civil suit for treble damages. Amends the Federal criminal code to require a mandatory life sentence in kidnapping offenses involving the murder of a minor. Establishes mandatory minimum sentences for the sexual exploitation of minors. Provides that the period of any applicable limitation for the commencement of prosecution for certain offenses involving the sexual exploitation of children shall not begin until the child has reached the age of 18 years. Directs the Attorney General to submit a report to the Congress detailing possible changes in the Federal Rules of Evidence, the Federal Rules of Civil Procedure, the Federal Rules of Criminal Procedure, and other procedures which would facilitate the participation of child witnesses in cases involving child abuse and sexual exploitation. Directs the Attorney General to modify the classification system used by the National Crime Information System and the Federal Bureau of Investigation with respect to offenses involving the sexual exploitation of children by: (1) including the age of the victim and the relationship of the victim to the offender; and (2) using a uniform definition of a child.

Bill· HRH.R. 509 (101st)open

United States Coast Guard Bicentennial Medal Act

United States · United States Congress · 19 January 1989

United States Coast Guard Bicentennial Medal Act - Directs the Secretary of the Treasury to design, strike, and sell a medal in commemoration of the bicentennial of the U.S. Coast Guard in 1990. Requires the design of the medal to be selected by the Secretary of the Treasury after consultation with the Secretary of Transportation and the Commission of Fine Arts.

Bill· HRH.R. 467 (101st)open

Brady Handgun Violence Prevention Act

United States · United States Congress · 4 January 1989

Brady Handgun Violence Prevention Act - Makes it unlawful for any licensed importer, manufacturer, or dealer to sell, deliver, or transfer a handgun to an unlicensed individual unless: (1) the transferor has notified the chief law enforcement officer for the individual's place of residence about the proposed transfer and either has received a response indicating that such transfer is not prohibited by law or has not received a response indicating otherwise within seven days; (2) the individual has presented to the transferor a statement from the officer indicating that the individual requires a handgun because of a threat to him or his family; or (3) the individual has a State handgun permit that is less than a year old which satisfies the same requirements. Requires any transferor who subsequently receives a report from such officer that receipt or possession of the handgun by the individual violates the law to: (1) furnish information about the transfer and the individual to the chief law enforcement officer of the transferor's place of business and the individual's place of residence; and (2) keep confidential any information received which is not otherwise available to the public, with exceptions. Requires a transferor to retain a copy of the individual's sworn statement for at least a year. Requires the law enforcement officer to destroy any copy of the individual's sworn statement and any record containing information derived from such statement within 30 days, unless such officer determines that the transaction would violate Federal, State, or local law. Provides that this Act shall not apply in any State that requires: (1) a seven-day waiting period for the transfer of a handgun to an unlicensed individual; or (2) a State law enforcement officer to verify an unlicensed individual's eligibility to receive a handgun. Sets penalties for violations of this Act.

Bill· HRH.R. 500 (101st)open

Recyclable Materials Science and Technology Development Act of 1989

United States · United States Congress · 4 January 1989

Recyclable Materials Science and Technology Development Act of 1989 - Directs the Secretary of Commerce to study and report to the Congress concerning: (1) means to increase the use of degradable materials in manufactured goods; (2) technologies for recycling nondurable consumer products; and (3) ways to expand the marketing of recycled products. Directs the Secretary of Health and Human Services to study and report to the Congress on the feasibility of recycling nondegradable medical supplies and of substituting degradable for nondegradable materials in medical equipment and supplies. Directs the Secretary of Defense to study and report to the Congress on the national defense and security implications of requiring the use of degradable materials in defense items. Instructs the Secretary of Agriculture to initiate a pilot project to develop and demonstrate viable technology for composting municipal waste and sewage sludge. Requires the Secretary to report project results to the Congress. Directs the Secretary of Commerce to appoint a Director of Recycling Research and Information to make grants to support research into innovative recycling technology. Authorizes appropriations for such purposes for FY 1990. Prohibits, effective five years after this Act's enactment, the production, manufacture, distribution, sale, or delivery of nonrecycled consumer goods, fast food in nondegradable containers, and packaging for specified purposes that contains any material that is not naturally degradable. Establishes both civil and criminal penalties for violations. Directs the Administrator of the Environmental Protection Agency and the Secretary of Commerce jointly to issue regulations to govern the designation of goods and materials for noncompliance purposes. Directs the Secretary to publish and periodically update lists of items and materials affected by the prohibition on activities involving nonrecyclable items.

Law· HRH.R. 215 (101st)enacted

To amend title 5, United States Code, with respect to the method by which premium pay is determined for irregular, unscheduled overtime duty performed by a Federal employee.

United States · United States Congress · 3 January 1989

Eliminates provisions of Federal law which restrict premium pay to the minimum rate of basic pay for GS-10 for Federal employees in a position in which: (1) the hours of duty cannot be controlled administratively; (2) a substantial amount of irregular, unscheduled overtime is required; and (3) the employee is generally responsible for recognizing circumstances which require the employee to remain on duty.

Bill· HRH.R. 222 (101st)referred

To amend the Omnibus Crime Control and Safe Streets Act of 1968 to require a 20 percent reduction in certain assistance under such Act to a law enforcement agency unless such agency has in effect a binding law enforcement officers' bill of rights.

United States · United States Congress · 3 January 1989

Amends the Omnibus Crime Control and Safe Streets Act of 1968 to require a 20 percent reduction in certain assistance under such Act for any law enforcement agency which fails to have in effect a law enforcement officer's bill of rights. Sets forth certain rights of State and local law enforcement officers with regard to: (1) engaging in political activity; (2) investigations for alleged malfeasance, misfeasance, or nonfeasance of official duty; (3) the representation of law enforcement officers on police complaint review boards; (4) legal assistance and the recovery of damages for civil suits brought for violations of these rights; (5) the disclosure of personal finances; and (6) notice of disciplinary actions to be taken against such officers.

Bill· HRH.R. 211 (101st)open

Federal Employees Health Care Freedom-of-Choice Act

United States · United States Congress · 3 January 1989

Federal Employees Health Care Freedom-of-Choice Act - Amends provisions relating to Federal employee health benefits to authorize direct payment or reimbursement for services performed by a: (1) chiropractor; (2) marriage family therapist; (3) nurse midwife, nurse practitioner, and any other nurse; and (4) mental health counselor. Declares that this Act does not supersede or preempt any State or local law which relates to licensing or certification of health practitioners.

Bill· HRH.R. 8 (101st)open

Social Security Work Incentives Act of 1989

United States · United States Congress · 3 January 1989

Social Security Work Incentives Act of 1989 - Title I: Disabled and Working Status under Title II of the Social Security Act - Amends title II (Old Age, Survivors and Disability Insurance) (OASDI) of the Social Security Act to reduce monthly disability benefits by 50 percent of a beneficiary's monthly earnings in excess of $85. Limits the total amount by which an individual's OASDI disability benefits may be reduced if such individual is also eligible for benefits provided under title XVI (Supplemental Security Income) (SSI) of the Act to individuals who perform substantial gainful activity despite severe medical impairment. Prohibits deductions from disability-based child insurance benefits for the recovery of prior overpayments resulting from a failure to reduce such benefits on the basis of earnings. Extends to current OASDI disability beneficiaries the rule preventing reductions in the primary insurance amount for prior recipients. Continues an individual's entitlement to disability benefits while such individual is under disabled and working status, meaning that such individual is earning enough to be considered engaged in substantial gainful activity, but would otherwise continue to satisfy eligibility requirements. Sets a four-year limit on the Medicare hospital insurance eligibility (under part A of title XVIII of the Act) of individuals who owe their eligibility to their disabled and working status under the OASDI program. Amends the Medicare program to authorize such individuals to enroll for hospital insurance benefits upon the termination of such four-year limit. Amends title XIX (Medicaid) of the Act to cover Medicare cost-sharing amounts for individuals of disabled and working status who are entitled to enroll for Medicare hospital insurance benefits and whose income and resources do not exceed 300 percent of the Federal poverty level and the SSI resource eligibility limit, respectively. Requires States to collect a coinsurance percentage from such individuals pursuant to a sliding scale which increases such percentage from 0 to 100 percent in reasonable increments as incomes move from 150 to 300 percent of the Federal poverty level. Extends to all recipients of disability-based child's insurance benefits the rule permitting continued entitlement to Medicaid benefits of individuals who would remain eligible for SSI benefits but for their receipt of such child's insurance benefits. Title II: Amendments Relating to the Disabled and Working Status Program Under Title XVI of the Social Security Act - Amends the SSI program to exclude spousal income in determining a disabled and working individual's eligibility for SSI and Medicaid benefits. Excludes from such an individual's income, for SSI eligibility determinations: (1) earned income necessary for the costs of attendant care services; and (2) if such individual receives a State supplementary payment, impairment-related work expenses. Provides Medicaid coverage to individuals who become ineligible for SSI benefits by reason of a cost of living increase in OASDI benefits. Precludes the attainment of age 65 from serving as a basis for the termination of Medicaid eligibility under the SSI program. Includes State supplementary payments in determining a disabled and working individual's eligibility for SSI and Medicaid benefits. Treats royalties from the publication of an individual's work and scholarships which have not been excluded from income as earned income in determining the SSI and Medicaid eligibility of a disabled and working individual.

Bill· HRH.R. 13 (101st)open

Campaign Cost Reduction and Reform Act of 1989

United States · United States Congress · 3 January 1989

Campaign Cost Reduction and Reform Act of 1989 - Title I: Amendments to the Federal Election Campaign Act of 1971 - Amends the Federal Election Campaign Act of 1971 to define a "qualifying House of Representatives candidate" as one whose principal campaign committee includes in its statement of organization a declaration of the candidate's intention to abide by expenditure limitations under such Act, and to use broadcast time under the Communications Act of 1934 or to receive reduced postal rates. Includes in the definition of "contribution": (1) any gift, subscription, loan, advance, or deposit of money or anything of value made by any person for the purpose of encouraging any specific individual who is not a candidate to become a candidate; and (2) with respect to a political committee, any gift, subscription, loan, advance, or deposit of money or anything of value made by such committee with respect to a clearly identified candidate. Revises the exclusion of mailing costs from authorized contributions. Provides that the term "contribution" does not include the value of any advertising rate reduction made available to a qualifying House candidate by a newspaper or magazine, if such reduction is made available to any qualifying candidate during the 90-day period before the election. Includes in the definition of "expenditure": (1) any purchase, payment, distribution, loan, advance, deposit, or gift of money or anything of value made by any person for the purpose of encouraging any specific individual who is not a candidate to become a candidate; and (2) with respect to a political committee, any purchase, payment, distribution, loan, advance, deposit, or gift of money or anything of value made by such committee with respect to a clearly identified candidate. Prohibits a candidate for Federal office from establishing, maintaining, or controlling a political committee, other than an authorized committee of the candidate or a committee of a political party. Declares that an expenditure is not an independent expenditure if: (1) there is any arrangement, coordination, or direction with respect to the expenditure between the candidate and the person making the expenditure; (2) with respect to the election, the person making the expenditure was involved in the candidate's campaign; or (3) the person making the expenditure communicates with, advises, or counsels the candidate relating to such election. Prohibits the personal use of campaign funds after the date of enactment of this Act. Removes certain limitations regarding State-by-State spending by presidential candidates. Prohibits a candidate for the office of Representative from accepting any contribution from a multicandidate political committee which exceeds: (1) $75,000 for a primary, general, or special election; or (2) $25,000 for a runoff election. Prohibits a qualifying House candidate from making expenditures in excess of $50,000 of such candidate's personal funds for an election. Prohibits such candidate from spending in excess of $200,000 with respect to a primary or general election, or $100,000 with respect to a runoff election. Removes such limitation for all House candidates in an election if any candidate receives contributions or makes expenditures aggregating more than 50 percent of the limitation applicable to a qualifying House candidate. Establishes monetary penalties for qualifying House candidates who exceed expenditure limitations. Provides for the accountability of contributions made by intermediaries or conduits. Provides that contributions expended to encourage an individual to become a candidate shall be treated as contributions, whether or not such individual becomes a candidate. Increases from $1,000 to $2,500 the amount a person can contribute to a candidate for the office of President. Limits the use of separate segregated political funds affiliated with certain other organizations (such as labor unions, corporations, and trade associations) solely to the making of contributions. Requires, when independent expenditures are made for television broadcast communications, that a statement appear continuously during such broadcast showing the name of the person or committee making such expenditure. Requires any type of general public communication to include such statement. Prohibits any person from soliciting contributions by false representation as a candidate or as an agent of a candidate, a political candidate, a political committee, or a political party. Title II: Amendments to the Communications Act of 1934 and Title 39, United States Code - Amends the Communications Act of 1934 to authorize the Federal Communications Commission to revoke any station license or construction permit for willful or repeated discrimination against a candidate for Federal office in the amount, class, or period of time made available to such candidate on behalf of such candidacy. Requires broadcast stations to publish broadcast media rates which will be applicable to specified election periods. Requires such stations to give priority to legally qualified candidates in providing access to the use of such station. Exempts debates between candidates from the equal opportunity requirement. Establishes a special broadcast media rate for qualified House candidates. Provides for reduced postage rates for qualified House candidates. Title III: Effective Date and Sunset Provision - Specifies that certain provisions of this Act shall apply only during the period beginning on the date of the regularly scheduled general election of 1990 and ending on the date of the regularly scheduled general election of 1996.

Bill· HRH.R. 20 (101st)open

Hatch Act Reform Amendments of 1990

United States · United States Congress · 3 January 1989

Federal Employees' Political Activities Act of 1989 - Prohibits an employee from using or attempting to use official authority or influence to interfere with or affect the result of any election. Prohibits an employee from using or attempting to use official authority to intimidate, threaten, coerce, command, or influence: (1) any individual for the purpose of interfering with the right of any individual to vote as the individual may choose, or of causing any individual to vote, or not to vote, for any candidate or measure in any election; (2) any person to give or withhold any political contribution; or (3) any person to engage, or not to engage, in any form of political activity. Prohibits an employee from using, attempting to use, or permitting the use of any official information, unless such information is available to the general public. Prohibits an employee from: (1) giving or offering to give a political contribution to any individual either to vote or to refrain from voting, or to vote for or against any candidate or measure, in any election; (2) soliciting, accepting, or receiving a political contribution to vote or refrain from voting, or to vote for or against any candidate or measure, in any election; or (3) giving or handing over a political contribution to a superior of the employee. Prohibits an employee from soliciting, accepting, or receiving, or from being in any manner concerned with soliciting, accepting, or receiving, a political contribution: (1) from another employee (or a member of another employee's immediate family) with respect to whom the employee is a superior; or (2) in any room or building occupied in the discharge of official duties by a Federal employee or official or an individual receiving salary or compensation from the Treasury. Prohibits an employee from soliciting, accepting, or receiving a political contribution from, or giving a political contribution to, any person who: (1) has, or is seeking to obtain, contractual or other business or financial relations with the employing agency; (2) conducts operations or activities which are regulated by that agency; or (3) has interests which may be substantially affected by the performance of the employee's official duties. Directs the Special Counsel of the Merit Systems Protection Board to prescribe regulations which exempt employees from such prohibitions. Prohibits an employee from engaging in political activity: (1) while on duty; (2) in any room or building occupied in the discharge of official duties by a Federal employee or official; (3) while wearing a uniform or official insignia identifying the office or position of the employee; or (4) while using any vehicle owned or leased by the Government. Exempts certain high level political appointees from such prohibitions if the costs associated with the political activity are not paid for by money derived from the Treasury. Authorizes leave without pay or accrued annual leave to an employee who is a candidate, upon request, to allow such employee to engage in activities relating to that candidacy. Declares that such request may be denied if the exigencies of the public business so require. Declares that such employee may be required to take leave without pay or accrued annual leave in order to be a candidate if activities relating to the candidacy interfere with the employee's performance of duties. Applies this Act to postal employees and employees of the Postal Rate Commission.

Bill· HRH.R. 2 (101st)passed

Minimum Wage Restoration Act of 1989

United States · United States Congress · 3 January 1989

Fair Labor Standards Amendments of 1989 - Amends the Fair Labor Standards Act of 1938 (the Act) to increase the minimum wage per hour from $3.35 in 1989 to: (1) $3.85 in 1990; (2) $4.25 in 1991; and (3) $4.65 in 1992 and thereafter. Provides for biennial adjustments of the minimum wage beginning in 1994. Directs the Minimum Wage Review Board (established by this Act), during the 90-day period beginning January 1, 1994, to review current economic data on wages, prices, and other economic indicators and determine how the minimum wage rate should be adjusted. Directs the Board, by October 1, 1994, to transmit to the Congress a recommendation of the rate that should be placed in effect on January 1, 1995, including an estimate of the economic effects of doing so. Directs the Board to conduct such reviews and transmit such recommendations biennially. Establishes the Minimum Wage Review Board, composed of five members appointed by the President and certain congressional officers. Increases the small business exemption by revising the definition of an enterprise engaged in commerce for purposes of coverage under the Act ("the enterprise test"). Exempts from such coverage retail or service establishments whose annual gross volume of sales or business is less than $500,000 (currently $362,500), effective in 1989. Requires employers who were covered in 1988, but who are exempt under the new threshold, to continue to pay the $3.35 per hour minimum wage. Increases the tip credit under the Act from 40 percent to 45 percent for 1990 and to 50 percent for 1991 and thereafter. (The tip credit deems the amount paid to a tipped employee, for minimum wage purposes, to be increased by an amount determined by the employer, but not by an amount in excess of the specified percentage of the applicable minimum wage rate.)

Bill· HRH.R. 15 (101st)open

National Voter Registration Act of 1989

United States · United States Congress · 3 January 1989

National Voter Registration Act of 1989 - Requires each State to establish procedures with respect to presidential and congressional elections to permit voter registration by: (1) application in person simultaneous with application for a motor vehicle driver's license; (2) mail application; and (3) application in person at designated Federal, State, and private sector locations. Declares that this Act does not apply to any State that has no voter registration requirement with respect to presidential and congressional elections. Requires each State to: (1) assure that any eligible applicant who submits his or her application 25 days before the election is registered to vote in the election; (2) require the appropriate State election official to notify each applicant of the disposition of the application; and (3) provide that the name of a voter may not be removed from the official list of eligible voters except by reason of death, criminal conviction, mental incapacity, change in residence, failure to vote in two consecutive elections, or voter request. Requires each State to designate a chief State election official to coordinate State functions under this Act. Provides a private right of action for an individual aggrieved by a violation of this Act.

Bill· HRH.R. 18 (101st)referred

To amend title 3, United States Code, and the Uniform Time Act of 1966 to establish a single poll closing time in the continental United States for Presidential general elections.

United States · United States Congress · 3 January 1989

Establishes 9:00 p.m., eastern standard time, as the poll closing time for presidential elections. Allows polling places to close if all eligible voters have voted. Amends the Uniform Time Act of 1966 to extend daylight saving time in the Pacific time zone in the year of a presidential election to the first Sunday after the date of such election.

Bill· HRH.R. 56 (101st)referred

Credit Repair Organizations Act

United States · United States Congress · 3 January 1989

Credit Repair Organizations Act - Amends the Consumer Credit Protection Act to prohibit any credit repair organization (any person who provides a service for the purpose of improving a consumer's credit record) from: (1) charging or receiving any money prior to the completion of its services (unless it has obtained a $50,000 surety bond); (2) charging or receiving money solely for the referral of a customer to a retailer if the credit which may be extended to the buyer is upon substantially the same terms as those available to the general public; (3) advising any client to make an untrue or misleading statement; or (4) using any untrue or misleading statement. Requires the organization to provide the consumer with a written disclosure statement which includes a description of: (1) the consumer's rights; (2) the services to be provided by the organization; and (3) the total amount the consumer will be charged. Sets forth contract requirements and the rights of the consumer with regard to cancellation of such contract. Subjects any organization which fails to comply with any provision of this Act to Federal civil liability. Provides for the administrative enforcement of this Act by the Federal Trade Commission, as provided in the Federal Trade Commission Act.

Bill· HRH.R. 32 (101st)referred

Depository Institutions Enhanced Enforcement Powers Act of 1989

United States · United States Congress · 3 January 1989

Depository Institutions Enhanced Enforcement Powers Act of 1989 - Title I: Insider Abuse Prevention and Enhanced Enforcement Powers - Amends the Federal Deposit Insurance Act, the Home Owners' Loan Act of 1933, and the National Housing Act to subject employees, agents, and shareholders of banks and thrift institutions to administrative enforcement orders. Amends the Federal Credit Union Act to subject committee members, employees, or agents of an insured credit union to administrative orders. (Current law provides that only officers and directors of depository institutions are subject to such enforcement orders.) Revises the authority of the Federal Deposit Insurance Corporation (FDIC), the Federal Home Loan Bank Board (FHLBB), the Federal Savings and Loan Insurance Corporation (FSLIC), and the National Credit Union Administration (NCUA) to issue cease and desist orders concerning depository institutions within their respective jurisdictions. Allows such agencies to issue cease and desist orders to: (1) require affirmative action to correct conditions resulting from certain violations or practices, including making restitution or reimbursement, providing indemnification, rescinding contracts, or disposing of assets or loans; (2) limit the activities or functions of the depository institution or any director, officer, or other person participating in the conduct of institution affairs; and (3) require the cessation of certain activities if the depository institution's books and records are incomplete or inaccurate or require the restoration of books and records to a complete and accurate state. Revises rules concerning the suspension or removal by the FDIC, the FHLBB, the FSLIC, and the NCUA of a director or officer of a depository institution due to misconduct. Repeals the requirement that the regulatory agency must show misconduct by an officer or director which results in "substantial" financial loss or other damage to the depository institution. (Allows the temporary removal of an officer or director for misconduct pending a permanent removal if necessary for the protection of the institution or depositors). Provides for identical standards for such removal regardless of where the misconduct occurred. (Current law provides for different standards depending on whether the misconduct took place at another institution or business enterprise or at the particular institution from which removal is sought.) Allows the regulatory agency involved to seek such a suspension or removal in cases where an officer or director has violated any written agreement between the institution and the regulatory agency. Prohibits any person who has been removed or suspended from office or prohibited from participating in the affairs of a depository institution by an order of the FDIC, the FHLBB, the FSLIC, or the NCUA from holding any office in, or participating in the affairs of, any federally regulated depository institution or holding company or subsidiary. (Currently, the regulatory agency can only prohibit persons from participating in the affairs of the institution in which he or she is presently located.) Allows an exception to such prohibition upon written approval of the appropriate regulatory agency. Provides for the judicial review of denial of such an exception. Authorizes the FDIC, the FHLBB, the FSLIC, and the NCUA to provide notice of the intention to prohibit any person from participating in the affairs of any federally regulated depository institution, notwithstanding the fact that such person has ceased to hold the position of officer or director or has ceased to participate in the conduct of the affairs of such a depository institution before such notice is served. Increases from $1,000 per day to $2,500 per day the civil penalty for the violation of a cease and desist order or an order for the suspension or removal of an officer or director issued by a Federal banking regulatory agency. Imposes a $2,500 civil penalty (in addition to penalties for violations of such orders) for a violation of: (1) any law or regulation; (2) any written condition imposed by the appropriate Federal banking agency in connection with the grant of any application or other request; or (3) any written agreement between the depository institution and the appropriate Federal banking agency. Imposes criminal penalties upon any person who participates in the affairs of any federally regulated depository institution or holding company or subsidiary after having been suspended, removed from office, or prohibited from participating in the affairs of any depository institution by an order of the appropriate Federal banking regulatory agency. (Current law imposes criminal penalties only for participating in the affairs of the institution from which the person was prohibited, removed, or suspended.) Revises procedures for the termination of FDIC deposit insurance to delete provisions requiring 120 days' advance notice by the FDIC to the appropriate Federal and State banking regulatory agencies prior to such a termination. Increases from $100 per day to $2,500 per day the penalty for unauthorized participation in the affairs of a depository institution by any person who has been convicted of any criminal offense involving dishonesty or a breach of trust. Subjects both the depository institution and the individual involved to such penalty. (Current law makes only the depository institution subject to such penalty.) Authorizes the FHLBB and the FSLIC to issue civil enforcement orders concerning a service corporation of an association or a subsidiary of such service corporation, whether wholly or partly owned. (Current law limits such authority to orders concerning an affiliate service corporation of an association.) Amends the Bank Protection Act of 1968 to repeal requirements that depository institutions submit periodic reports with regard to the installation, maintenance, and operation of security devices and procedures. Imposes civil penalties for the filing of false or misleading reports of condition by depository institutions and holding companies. (Current law allows penalties only for late reports.) Requires the FDIC, the FHLBB, the FSLIC, and the NCUA to publicly disclose all notices and orders with respect to any enforcement proceeding initiated against any depository institution or individual. Deletes the "willful" standard for penalties for violations of the Change in Bank Control Act and the Change in Savings and Loan Control Act. Title II: Report to Congress - Requires the Comptroller of the Currency, the Federal Reserve Board, the FDIC, the FHLBB, the FSLIC, and the NCUA to submit annual reports to the Congress concerning: (1) the number of formal and informal supervisory, administrative, and civil enforcement actions undertaken by the agency; (2) the number of individuals and institutions against whom civil money penalties were assessed; (3) a description of all other enforcement efforts and initiatives relating to unsafe and unsound practices; and (4) recommendations concerning the need for additional legislation or financial resources.

Bill· HRH.R. 39 (101st)referred

To designate certain lands in Alaska as wilderness.

United States · United States Congress · 3 January 1989

Designates specified lands in Alaska as the Arctic Coastal Plain Wilderness and a component of the National Wilderness Preservation System.

Bill· HRH.R. 11 (101st)referred

To amend the Federal Election Campaign Act of 1971 to apply the limitations and reporting requirements of such Act to soft money.

United States · United States Congress · 3 January 1989

Amends the Federal Election Campaign Act of 1971 to apply the limitation and reporting requirements of such Act to certain amounts received or used by a State or local committee of a political party that are not defined as contributions or expenditures (popularly referred to as "soft money").

Bill· HRH.R. 12 (101st)referred

Restriction of "Bundling" in Federal Elections Act

United States · United States Congress · 3 January 1989

Restriction of "Bundling" in Federal Elections Act - Amends the Federal Election Campaign Act of 1971 to require that contributions made by a person, directly or indirectly, to or on behalf of a candidate through an intermediary or conduit be treated as contributions from the intermediary or conduit, if: (1) the contributions are in the form of a negotiable instrument made payable to the intermediary or conduit rather than the intended recipient; or (2) the intermediary or conduit is a political committee or a multicandidate political committee, including any agent thereof, other than a candidate's authorized committee.

Bill· HRH.R. 63 (101st)referred

Fairness in America Health Care Act of 1989

United States · United States Congress · 3 January 1989

Fairness in America Health Care Act of 1989 - Title I: One-Year Delay in Implementation of Medicare Catastrophic Coverage Act of 1988 - Delays, for one year, the implementation of the Medicare Catastrophic Coverage Act of 1988, except for provisions of such Act expanding benefits under part A (Hospital Insurance) of title XVIII (Medicare) of the Social Security Act. Title II: Bipartisan Commission to Review the Medicare Catastrophic Coverage Act - Establishes the Commission to Review the Medicare Catastrophic Coverage Act to study: (1) the effect implementation of such Act will have on Medicare beneficiaries who currently have supplementary coverage; (2) how such Act's benefits compare with the benefits provided by supplementary coverage; (3) the access Medicare beneficiaries who do not have supplementary or Medicaid (title XIX of the Social Security Act) coverage have to necessary health services; (4) the feasibility and likely cost of implementing such Act's drug benefits; and (5) the benefits and financing mechanisms which Medicare beneficiaries prefer. Directs the Commission to report its findings and recommendations to the Congress within six months of this Act's enactment or by September 1, 1989, whichever is earlier.

Bill· HJRESH.J.Res. 54 (101st)referred

To prohibit military assistance for El Salvador.

United States · United States Congress · 3 January 1989

Prohibits the President from providing military assistance to El Salvador, including issuing letters of offer, extending credits, issuing guarantees, entering into leases of defense articles, or issuing certain licenses under the Arms Export Control Act. Requires the President to order the prompt withdrawal from El Salvador of specified U.S. military personnel.

Resolution· HRESH.Res. 602 (100th)referred

A resolution expressing the sense of the House of Representatives that the Administrator of the Federal Aviation Administration should submit to Congress a plan outlining immediate and long-term solutions to the air traffic problems at O'Hare International Airport in Chicago, Illinois.

United States · United States Congress · 21 October 1988

Expresses the sense of the House of Representatives that the Federal Aviation Administration should transmit to the Congress by a specified date a timetable for immediate and long-term actions to meet its own standards regarding air traffic controller staffing and air traffic control operations at O'Hare International Airport (Chicago, Illinois).

Resolution· HRESH.Res. 558 (100th)passed

Fair Employment Practices Resolution

United States · United States Congress · 29 September 1988

Fair Employment Practices Resolution - Requires that personnel actions affecting employment positions in the House of Representatives be made free from discrimination based on race, color, national origin, religion, sex (including marital and parental status), handicap, or age. Provides that interpretations under such requirement shall reflect the principles of current law as generally applicable to employment. Provides that such requirement does not prohibit the taking into consideration of: (1) the domicile of an individual with respect to a position under the clerk-hire allowance; or (2) the political affiliation of an individual with respect to a position under the clerk-hire allowance or a position on a committee staff. Sets forth a three-step procedure for consideration of alleged violations under this Act: (1) counseling and mediation; (2) formal complaint, hearing, and review by the Office of Fair Employment Practices; and (3) final review by the Review Panel. Establishes the Office of Fair Employment Practices. Sets forth the membership of the Review Panel. Provides for resolution by written agreement if, after a formal complaint is filed, the parties resolve the issues. Makes such agreements effective if approved by the Office or the Panel, whichever has the matter under review. Sets forth remedies which the Office or Panel may order. Provides for reimbursement of costs of attending hearings for individuals with respect to whom a hearing is held and who reside outside the District of Columbia. Sets forth a prohibition of intimidation. Provides for closed hearings and confidentiality. Makes the procedures and remedies under this resolution exclusive, except to the extent that specified House rules provide for additional procedures and remedies.

Resolution· HCONRESH.Con.Res. 376 (100th)open

A concurrent resolution to express strong support for the cabotage laws protecting the coastwise trade to vessels of American construction, crewing, and documentation, as well as other maritime promotional programs, and to urge the Administration in the strongest possible terms that the opening of maritime transportation services not be proposed by the United States at the General Agreement on Tariffs and Trade (GATT) talks, and that the United States reject any such proposal by a foreign nation.

United States · United States Congress · 27 September 1988

Declares that the Congress urges the Administration to refrain from submitting any proposal in the GATT negotiations that would consider maritime transportation activity as being within the scope of "trade in services" and to reject any proposals made by foreign nations which are similar or which would lead to a contraction of the merchant marine.

Law· HRH.R. 5280 (100th)enacted

Bicentennial of the United States Congress Commemorative Coin Act

United States · United States Congress · 13 September 1988

Bicentennial of the United States Congress Commemorative Coin Act - Directs the Secretary of the Treasury to mint and issue not more than a specified number of five dollar gold coins, one dollar silver coins, and half dollar clad coins emblematic of the Bicentennial of the U.S. Congress. Sets forth certain features of such coins and provides for their design, issuance, and sale. Terminates the minting of such coins after June 30, 1990. Requires the Secretary to deposit all surcharges received from the sale of such coins in the Capitol Preservation Fund. Declares that no law governing procurement or public contracts is applicable to the procurement of goods and services for carrying out this Act, except that this provision does not relieve any person from complying with any law relating to equal employment opportunity.

Bill· HRH.R. 5250 (100th)referred

Social Security Beneficiaries Protection Act of 1988

United States · United States Congress · 7 September 1988

Social Security Beneficiaries Protection Act of 1988 - Amends title II (Old Age, Survivors and Disability Insurance) (OASDI) of the Social Security Act to require that the Federal Government collect OASDI overpayments on a schedule which does not cause financial hardship for the beneficiary. Directs the Secretary of Health and Human Services to establish one-year demonstration projects implementing accountability procedures for at least three telephone service centers operated by the Social Security Administration (SSA). Requires that the Secretary promptly provide callers with a written receipt which sets forth: (1) the name of the SSA representative with whom the caller spoke; (2) the date of the call; (3) a description of the nature of the call; (4) any action which the representative indicates will be taken in response to the call; and (5) the information or advice offered by the SSA representative. Requires that: (1) callers be notified that they will be provided with such receipt; and (2) the SSA retain a copy of such receipt. Set forth reporting requirements. Directs the Secretary to provide OASDI benefit applicants with information concerning the wages and self-employment income on which such benefits are based and notify such applicants that they may submit a challenge under which they will receive a more complete accounting of such information in order that they may demonstrate that some items of wages or self-employment income have been excluded. Amends part A (General Provisions) of title XI of the Act to require the Secretary, when determining an individual's entitlement to benefits under the Act, to take into account such individual's physical, mental, educational, vocational, or linguistic limitations in determining his or her good faith, fault, fraud, deception, or intent. Amends the OASDI program and title XVI (Supplemental Security Income) (SSI) of the Act to require the Secretary to establish programs, within 180 days of this Act's enactment, under which homeless individuals who may be eligible for OASDI and SSI benefits will be identified and assisted in applying for such benefits. Directs the Secretary to report annually to the Congress on such programs. Requires that notices issued to individuals pursuant to the OASDI or SSI program: (1) be written in simple and clear language; (2) contain the name, address, and telephone number of a responsible person to contact regarding the notice; and (3) be written both in English and another language if such other language is likely to be the native language of a substantial number of recipients. Provides that individuals who are applying for or receiving OASDI benefits on the basis of blindness may elect to receive notice of decisions made and actions taken with respect to their rights under the program: (1) by certified mail and by telephone five days after such mailing; or (2) by some alternative procedure established by the Secretary. Requires the Secretary to: (1) maintain the names of representatives of OASDI and SSI claimants in the SSA's electronic information retrieval system; and (2) provide written notice to such claimants of the availability of attorneys to represent them in presenting their cases before the Secretary. Allows OASDI and SSI claimants to reapply for payments which have been denied if such claimants' failure to request a review of such denials within 60 days of receiving notice of such determinations resulted from good faith reliance upon incorrect, incomplete, or misleading information provided by the Secretary. Requires the Secretary, in notifying claimants of adverse payment determinations, to describe in clear and specific language the consequences of choosing to reapply for payments instead of requesting a review of such determinations.

Resolution· HCONRESH.Con.Res. 361 (100th)passed

A concurrent resolution to print a revised edition of "Our Flag".

United States · United States Congress · 7 September 1988

Requires the printing of a revised edition of "Our Flag" as a House document. Provides for the printing of additional copies for the use of the House of Representatives, the Senate, and the Joint Committee on Printing.

Bill· HRH.R. 5121 (100th)open

A bill to amend the Federal Election Campaign Act of 1971 to require publication of certain information relating to multicandidate political committees.

United States · United States Congress · 2 August 1988

Amends the Federal Election Campaign Act of 1971 to require the Clerk of the House of Representatives to report quarterly in the Congressional Record the following information for each multicandidate political committee: (1) the name of the committee and the name of any sponsoring body of the committee; (2) the total amount of contributions received by the committee; (3) the total amount of expenditures made by the committee, allocated to contributions and operating expenses; and (4) the total amount of cash assets of the committee on the last day of such quarter.

Law· HJRESH.J.Res. 626 (100th)enacted

A joint resolution designating September 13, 1989, as "Uncle Sam Day".

United States · United States Congress · 27 July 1988

Designates September 13, 1989, as Uncle Sam Day in honor of Samuel Wilson of the city of Troy, New York, on the occasion of the 200th anniversary of the city. (Samuel Wilson was the progenitor of the national symbol, Uncle Sam.)

Bill· HRH.R. 5020 (100th)referred

President's Pro-Life Act of 1988

United States · United States Congress · 12 July 1988

President's Pro-Life Act of 1988 - Prohibits the use of Federal funds for abortions, except when continuing the pregnancy would endanger the mother's life.