United States · United States Congress · 22 March 1977
Amends the Internal Revenue Code to exempt aircraft used primarily for agricultural operation from the excise tax on civil aircraft. Provides for the refund of the excise tax on gasoline used for farming purposes in an aircraft to the aerial applicator who purchased it.
United States · United States Congress · 22 March 1977
Un-crazying of Federal Regulations Act - Makes the manufacture, distribution, and sale of saccharin for human consumption lawful in the United States and its territories. Requires the following wording on every container of saccharin sold after the enactment of this Act: "Warning: The Canadians have determined that saccharin is dangerous to your rat's health.
United States · United States Congress · 22 March 1977
Equity in Social Security for Individuals and Families Act - Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to permit married couples to elect to share their income for social security purposes in a manner similar to the filing of a joint tax return. Provides that, for any year a husband and wife file a joint income tax return, both the husband and the wife shall each be considered to have been paid wages or to have derived self-employment income in such year for the purpose of determining the average monthly wage of the husband and the wife for Old-Age, Survivors, and Disability Insurance purposes. States that the amount with which each spouse will be credited shall be equal to the higher of: (1) one- half the total of the wages and self-employment income paid to or derived by both of them in such year; or (2) three-fourths of the wages and self-employment income paid to or derived by whichever of them had the larger amount of such wages and self-employment income for such year. States that any person who: (1) is the spouse of a person entitled to old-age or disability insurance and who has no wages or self-employment income; or (2) is the surviving spouse of a fully insured individual shall be credited with the amount of any benefits received under such insurance in determining the average monthly wage of such person for Old-Age, Survivors, and Disability Insurance purposes. Lowers from 62 to 50 the age at which individuals become eligible for wife's, husband's widow's, and widower's insurance benefits under the Old-Age, Survivor's, and Disability Insurance program. Establishes the percentage of the benefit amount of an eligible spouse to which an ineligible or surviving spouse shall be entitled at 75 percent of the amount to which the eligible spouse is or was entitled under Title II. States that, when the ineligible spouse becomes entitled to benefits in his or her own right, the portion of the other spouse's benefit amount to which the previously ineligible spouse shall be entitled shall be decreased to 25 percent. States that a spouse or surviving spouse not entitled to benefits under Title II but who is or was married to an individual who is or was insured for disability insurance benefits shall be considered insured for benefits with a primary insurance amount equal to the primary insurance amount of the insured spouse. Eliminates the requirement that husbands and widowers be receiving support from their wives in order to qualify for husband's and widower's benefits. Enables a child who is entitled to more than one child's insurance benefit to receive the total amount of all such benefits as a single monthly insurance benefit..
United States · United States Congress · 22 March 1977
Amends Title XVIII (Medicare) and Title XIX (Medicaid) of the Social Security Act to include as "medical and other health services" for which coverage will be provided under Medicare, and as "medical assistance" for which coverage will be provided under Medicaid, that medical or other remedial care furnished by licensed (registered) nurses within the scope of their practices as defined by State law.
United States · United States Congress · 22 March 1977
Requests the President of the United States to convene a White House Conference on Small Business with the help of the Senate Small Business Committee to develop recommendations, including suggestions for joint legislative and executive action, for revitalizing and maintaining the economic viability of the small business infrastructure.
United States · United States Congress · 22 March 1977
Expresses the sense of the House of Representatives that the ban or prohibition of saccharin should be delayed until the appropriate Congressional committees have determined that consumption of saccharin in unsafe.
United States · United States Congress · 21 March 1977
Amends the Internal Revenue Code to provide that property used in, or related to, the taxpayer's trade or business, and which the taxpayer acquired without cost, shall not qualify as a capital asset.
United States · United States Congress · 17 March 1977
Amends the Arms Export Control Act, with respect to approval for the transfer of defense articles, training, or services under that Act, to delay the effective date of such approval until the end of the first period of 30 days of continuous Congressional session after the President has certified the proposed transfer to Congress, unless Congress disapproves such transfer by concurrent resolution within that period. Permits such proposed transfer to become effective immediately if the President certifies to Congress that a state of emergency exists which requires such transfer in the national security interests of the United States.
United States · United States Congress · 17 March 1977
Amends the Federal Food, Drug, and Cosmetic Act to deem a food additive unsafe to be marketed if it is found to induce cancer in man or animal when ingested in reasonable quantities, or found in appropriate tests to induce cancer in man or animal when ingested in reasonable quantities.
United States · United States Congress · 16 March 1977
Directs the Secretary of Agriculture to make loans through the Agricultural Credit Insurance Fund to agricultural producers in the United States who sustain losses incurred on or after January 1, 1973, as a direct result of their food crops, animal feedcrops, livestock (including poultry), or livestock products being quarantined or condemned by a Federal or State official because such crops, livestock or products contain quantities of toxic chemicals dangerous to the public health. Sets a maximum loan amount of $100,000, a term of seven years, and leaves the interest rate to the Secretary's discretion. Requires repayment of the loan up to the amount of the compensation within three months of the receipt of any compensation for losses for which the loan was made. Permits the Secretary to postpone all but a nominal amount of principal and interest payments for up to three years.
United States · United States Congress · 16 March 1977
Campaign Financing Act -- Title I: Public Financing of Congressional General Election Campaigns - Entitles to payments under this Act Congressional candidates who agree to certain reporting and recordkeeping procedures and who certify that (1) he and his authorized committees will not incur campaign expenses in excess of certain limitations, (2) he has qualified to have his name placed on the election ballot in an election for Congressional office, and (3) he has received contributions in excess of a certain sum and no person has given more than $100 toward the amount so certified. Sets the amount of payments to an eligible candidate at the amount of contributions received up to a specified maximum. Stipulates that sums given by any one contributor totalling over $100 shall be disregarded for purposes of matching grants. Restricts use of funds forwarded under this Act to defraying campaign expenses either directly or through repayment of campaign loans. Specifies a limit on the amount of personal funds which a candidate may spend in connection with a Congressional campaign and remain eligible to matching grants. Amends the Federal Election Campaign Act of 1971 to specify spending limits for candidates receiving payments under this Act. Waives such limits for candidates whose opponents are not receiving matching payments and have spent sums in excess of the limit imposed for candidates receiving payments. Directs the Secretary of the Treasury to establish a separate Congressional General Election Payment Account in the Presidential Election Campaign Fund and to deposit certain sums in such account in accordance with specified guidelines. Requires repayment of excess payments and unexpended payments. Penalizes use of funds for other than campaign purposes. Authorizes the Federal Election Commission to institute repayment actions in district courts. Specifies the administrative authority of the Commission in carrying out this Act. Title II: Public Financing of Presidential General Election Campaigns - Raises the general election spending limit for Presidential candidates who are eligible to receive public funds under either the Presidential Election Campaign Fund Act or the Presidential Primary Matching Payment Account Act. Sets limits on the amount which a State party committee may spend in connection with the general election campaign of its Presidential candidate. Provides an alternative method for determining the amount of money to which candidates are entitled under the Presidential Election Campaign Fund Act based upon amount of contributions received after the final primary. Specifies conditions for candidates electing such method. Permits Presidential candidates eligible to receive payment under the Presidential Election Campaign Fund Act to receive additional small contributions from individual contributors up to a specified limit. Title III: Miscellaneous Provisions - Amends the Federal Election Campaign Act of 1971 to reduce the maximum amount which a multicandidate committee may contribute to any candidate or his committees. Specifies the effective date of the provisions of this Act and guidelines with respect to deposit in the Congressional General Election Campaign Fund during 1977.
United States · United States Congress · 15 March 1977
Amends the Foreign Relations Authorization Act, Fiscal Year 1977, to increase the authorization of appropriations to the Department of State for fiscal year 1977 for international organizations and conferences, and migration and refugee assistance. Authorizes appropriations for such year for assistance to citizens incarcerated abroad. Amends the Foreign Service Buildings Act, 1926, (1) to repeal the authorization of appropriations for fiscal year 1977 for purchase or construction of such buildings in Africa, the American Republics and East Asia; (2) to decrease such appropriations for buildings in Europe, facilities for the United States Information Agency, and facilities for agricultural and defense attache housing; (3) to increase the authorization for appropriations for buildings in the Near East and South Asia; and (4) to authorize appropriations for facilities of the United States Agency for International Development for fiscal year 1977. Requires that the Chair or Vice Chair of the House of Representatives delegation to the Canada-United States Interparliamentary Group, the Mexico-United States Interparliamentary Group, the North Atlantic Treaty Parliamentary Conference, and the Conference on Interparliamentary Union a Member of the International Relations Committee. Increases the size of the Congressional delegation to the annual NATO Parliamentary Conference. Requires that not less than four members of the delegation of the House of Representatives be from the Committee on International Relations. Repeals the restriction upon the number of delegates who are Members of the same political party. Requires that appropriations to the Bureau of the Interparliamentary Union be disbursed upon the approval of the Executive Secretary of the United States group and the Chair of the delegation of the House of Representatives or the Senate, rather than the approval of such Executive Secretary and the President. Increase the number of House of Representative delegates to the Conference on Interparliamentary Union. Requires that at least four such delegates be from the Committee on International Relations. Amends the Department of State Appropriation Act of 1959 to direct the Presiding Officer of the Senate to designate the Chair of the Senate delegation to the Conference on Interparliamentary Union. Amends the Third Deficiency Appropriation Act to make final and conclusive the audit of accounts of the House and Senate delegations to the American Group to the Interparliamentary Union upon certification by the Chair of the respective delegation and the Executive Secretary of the American Group to the Interparliamentary Union, rather than upon the certification of the president and the secretary to the American Group.
United States · United States Congress · 15 March 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to provide a claimant who has been denied benefits thereunder with the opportunity to obtain informal reconsideration of his claim. Requires the maintenance of a written summary of reconsideration proceedings. Grants a claimant the right to a hearing on the denied claim if the Secretary of Health, Education, and Welfare affirms the denial upon review. Requires the hearing to be conducted pursuant to the requirements for an 'adjudication" under the Administrative Procedure Act under an administrative law judge (ALJ). Directs the Secretary to appoint ALJ's to conduct such hearings. Sets forth criteria under which the ALJ in charge of a hearing must remand a disputed claim to the appropriate regional commissioner of the Social Security Administration.
United States · United States Congress · 15 March 1977
Amends the Outer Continental Shelf Lands Act to require that leases issued or otherwise transferred under such Act be issued or transferred only to citizens of the United States. Stipulates that corporations, partnerships, and associations shall be considered United States citizens as long as not more than a five percent interest in such organization is owned or controlled by non- citizens.
United States · United States Congress · 15 March 1977
Federal Employees Conflict-of-Interest Disclosure Act -- Requires each Federal employee compensated at a rate equal to or greater than the minimum rate for grade GS-13 to file a description of each position held during the three years preceeding Federal employment. States that such report shall be filed each year for the first three years of Federal employment and shall include any agency actions occurring during the past year, or then pending, in which such former employer is interested and over which such employee has influence. Requires former Federal employees who were compensated at such rates to file reports disclosing involvement in agency actions in which their present employer was interested and over which they had influence during tenure as a Federal employee. Requires such reports to be filed each year for three years immediately after the termination of Federal employment.
United States · United States Congress · 15 March 1977
Requests that the concerns of the United States be conveyed to the Soviet government regarding adherence to the Helsinki Declaration with respect to freedom to emigrate.
United States · United States Congress · 14 March 1977
Directs the Federal Energy Administrator to establish methods of determining the life cycle cost effectiveness for building, considering the life cycle fuel and energy requirements for such buildings. Requires that all Federal buildings be life cycle cost effective and that such determination serve as a basis for the awarding of contracts in the procurement and leasing of new Federal buildings. Directs the Administrator to promote the use of life cycle cost effective methods in all buildings. Directs the Administrator to establish energy performance targets for existing buildings which are compatible with new buildings which are compatible with new building performance standards developed by the Secretary of Housing and Urban Development. Requires all Federal agencies to conduct an energy audit of existing buildings within their jurisdiction. Requires that a specified percentage of the gross square footage of building space be selected by each agency for retrofitting with appropriate energy conservation measures.
United States · United States Congress · 14 March 1977
Authorizes the Secretary of Labor, under the Occupational Safety and Health Act, to make visits to the work place of any employer, upon the request of the employer, to consult with and advise the employer concerning the obligations of the employer under such Act. Directs the Secretary to give priority to small businesses and hazardous workplaces. Stipulates that no consultative visit made under this Act may serve as an inspection or investigation as otherwise provided for by the Occupational Safety and Health Act, except: (1) in the case of an employer who fails to eliminate a danger disclosed during such a visit; or (2) if conditions are found during such a visit which indicate the probability that death or serious harm could result to employees therefrom, the Secretary may notify the employer of such conditions and afford him a reasonable time to eliminate such conditions. Prohibits the transmission of information obtained during a consultative visit to representatives of the Secretary engaged in enforcement. Directs the Secretary to establish education programs to inform employers and employees of the hazards in particular industries. Authorizes the appropriation of funds through fiscal year 1979 for the purposes of this Act.
United States · United States Congress · 14 March 1977
Public Participation in Federal Agency Proceedings Act - Authorizes each Federal agency to award reasonable attorneys' fees and other costs of participation in all rulemaking, ratemaking, licencing, and other proceedings which relate directly to the health, safety, civil rights, environment, and economic well-being of consumers in the marketplace. Permits such awards if the person participating in the agency proceeding represents an interest the representation of which contributes or can reasonably be expected to contribute substantially to a fair determination of the proceeding, and the economic interest of the person in the outcome is small in comparison to the costs of effective participation in the proceeding or the person demonstrates to the satisfaction of the agency that such person does not have sufficient resources to participate effectively in the proceeding absent an award under this Act. Requires the agency to make a determination of eligibility under this Act prior to timely participation in the proceeding if at all possible. Requires payment of an award under this Act within 90 days after the date of final decision. Allows such agency to make advance payments to permit the persons to participate or to continue to participate in the proceeding. Makes such recipient liable for repayment of such advance if the agency determines that the person clearly has not provided the representation for which the payments were made or that the person has acted in an obdurate, dilatory, mendacious, or oppressive manner toward any other participant. Permits persons seeking judicial review of a Federal agency's action to recover attorneys' fees and other reasonable costs of litigation from the United States if: (1) the plaintiff is afforded the relief sought in substantial measure; (2) the court determines that such action served an important public purpose; and (3) the economic interest of the person is small in comparison to the costs of effective participation in the action, or such person does not have sufficient resources to participate effectively in the action absent an award under this section. Requires the Administrative Office of the United States Courts to submit to Congress an annual report on awards of attorneys' fees and litigation expenses against the United States. Authorizes to be appropriated (1) for awards to participants in agency proceedings under this Act, $10,000,000 for each of the fiscal years 1978, 1979, and 1980; and (2) for awards to persons seeking judicial review of agency actions under this Act, such sums as may be necessary to make such awards for actions brought prior to the end of fiscal year 1980.
United States · United States Congress · 14 March 1977
Ocean Mining Incentive Act - Directs the Secretary of Commerce to establish an Office of Ocean Mining Incentives in the National Oceanic and Atmospheric Administration. Directs the Office to establish a program of Federal insurance against ocean mining losses suffered during prototype operations. Specifies conditions and limitations with respect to such insurance coverage. Stipulates that such coverage may not exceed $100,000,000 in aggregate to any single firm. Stipulates that only those firms which have engaged in ocean mining research and development for at least five years and have expended at least $20,000,000 with respect to such activities shall be eligible for coverage. Directs the Administrator of the National Oceanic and Atmospheric Administration to accelerate environmental assessment of deep seabed mining through preparation of a general programmatic environmental impact statement as required by the National Environmental Policy Act. Requires the use of such assessment as a basis for regulations governing the conduct of prototype mining operations. Imposes civil and criminal penalties upon ocean mining operations for violations of environmental requirements established by this Act or for unreasonable interference with lawful use of the high seas by any person. Authorizes injunctive relief in the United States district courts to prevent serious or irreparable damage to the marine environment from prototype operations or to prevent unreasonable interference with lawful uses. Expresses the support of Congress for the objectives of the United States Conference on the Law of the Sea. Declares it the sense of Congress that this Act be considered transitional in nature pending implementation of future diplomatic or legislative proposals. Authorizes the appropriation of such sums as necessary for (1) the administration of this Act, and (2) for the ocean mining insurance fund established by this Act.
United States · United States Congress · 14 March 1977
Guarantees automatically any loan to a qualified veteran for the purchase and installation of solar heating and/or cooling in a dwelling which he owns and occupies. Exempts such loans from the existing $17,500 maximum amount of guaranty entitlement, and sets the amount of such entitlement at either: (1) the reasonable total cost of such purchase and installation, or (2) 20 percent of the value of the structure in which such system is to be installed, whichever is less. States that the original principal amount of such a loan shall not exceed the amount of guaranty entitlement so set.
United States · United States Congress · 14 March 1977
Amends the Consolidated Farm and Rural Development Act to authorize the Secretary of Agriculture to make and insure loans under such Act for the solar heating or cooling of residential structures on family farms.
United States · United States Congress · 14 March 1977
Solar Energy for Homes Act - Authorizes the administrators of Federal housing programs, established under title II or III of the National Housing Act or (of) title V of the Housing Act of 1949, to increase the amount of loans made on single- or multi-family dwelling units by up to 20 percent where such increase reflects the cost of solar energy equipment. Amends the National Housing Act to authorize home improvement loans for the cost of acquisition and installation of solar energy system. Amends the Housing and Community Development Act of 1974 to authorize the use of community development block grants for payments to assist in the acquisition and installation of solar energy equipment.
United States · United States Congress · 10 March 1977
Tanker Safety Act - Amends the Ports and Waterways Safety Act of 1972 to direct the Secretary of Transportation to establish and maintain vessel traffic systems for the waters of the maritime safety zone. Defines "maritime safety zone" as extending 200 nautical miles from the shoreline of the United States. Exempts from this title foreign vessels which are in transit to places outside the United States. Directs the Secretary to : (1) establish procedures for the handling and emergency removal of oil or hazardous materials; (2) prescribe minimum safety equipment requirements for structures in or on the navigable waters of the United States or on the shores adjacent to such waters; (3) establish water or waterfront safety zones or other measures for controlled access and activity to protect vessels, structures, waters, or shore areas; and (4) establish procedures for inspection to assure compliance with minimum safety requirements. Requires the Secretary to take into account specified factors regarding navigation and vessel safety and protection of the marine environment in carrying out the duties required under this Act. Authorizes the Secretary to require the use of pilots on self-propelled vessels of the United States engaged in foreign commerce or on foreign vessels operating in the navigable waters of the United States. Requires the Secretary to develop, and seek adoption by the States of uniform, minimum standards relating to the regulation of pilotage at least equal to those required of federally licensed pilots. Authorizes the Secretary or the National Transportation Safety Board to investigate incidents which cause damage to any vessel or structure or which affect or may affect the navigation or vessel safety or environmental quality of ports, harbors, navigable waters, or the waters of the maritime safety zone. Grants subpoena powers in order to conduct such inquiry. Prohibits vessels which are determined to be unsafe or which may create a threat to the marine environment or which fail to comply with applicable regulations from entering or operating in the navigable waters or ports of the United States. Exempts the Panama Canal from the provisions of this Act. Directs the Secretary of the department in which the Coast Guard is operating to establish specified standards governing the design, repair, manning and maintenance of any vessel to increase navigation and vessel safety and marine environmental protection for vessels carrying oil or any hazardous material in bulk which are documented under the laws of the United States or which enter the navigable waters of the United States. Requires that all such vessels, after January 1, 1979, be equipped with specified navigational devices, a segregated ballast capacity and gas inerting system, and a double hull. Requires that such vessels hold a certificate of compliance issued by the Secretary in order to enter the navigable waters of the United States. Directs the Secretary to prescribe manning and training requirements for the crews of such vessels. Directs the Commandant of the Coast Guard to establish eligibility requirements for the issuance of a license to pilot any steam vessel. Specifies certain qualifications which must be met to receive such a license. Specifies conditions under which the Commandant may revoke such a license. Stipulates that the Federal Government shall exercise authority in the 200 mile maritime safety zone established under this Act by: (1) prohibiting the discharge of any oil or hazardous material within such zone; (2) by enforcing the provisions of any international agreement to which the United States is a party concerning navigation or vessel safety or protection of the marine environment; (3) prescribing vessel control traffic; and (4) inspecting vessels destined for any port or place within the United States. Authorizes the Secretary of Transportation to appoint persons as maritime safety officers. Grants such individuals arrest powers, and boarding and inspection powers, with or without a warrant. Directs the Secretary to establish a national program for inspection of any vessel subject to the Ports and Waterways Safety Act of 1972. Requires yearly inspection of all vessels and a special structure inspection for vessels over ten years old. Specifies the documents which must be kept on board any vessel subject to such Act. Sets forth civil and criminal penalties for violations of this Act. Requires the Secretary to report annually to the Congress regarding: (1) the administration of the Ports and Waterways Safety Act; (2) a summary of inspection and enforcement activities; and (3) recommendations to Congress for any necessary additional legislative authority.
United States · United States Congress · 10 March 1977
Department of Energy Organization Act - Title I: Declaration of Purposes - Declares it the purpose of this Act to establish a permanent Department or Energy in the executive branch to assist in the development of a coordinated national energy policy. Title II: Establishment of Department - Establishes a Department of Energy in the executive branch. Establishes an Energy Information Administration and an Economic Regulatory Administration within such Department. Title III: Transfers of Functions - Transfers to the Secretary of Energy all functions now vested in the Federal Energy Administration, the Energy Research and Development Administration, and the Federal Power Commission. Transfers energy-related functions from the Department of the Interior to the new Secretary. Transfers specified functions of the Securities and Exchange Commission, the Secretary of Housing and Urban Development, the Interstate Commerce Commission, the Secretary of the Navy, and the Secretary of Commerce to the new Secretary. Title IV: Board of Hearings and Appeals - Establishes a three-member Board of Hearings and Appeals within the Department to make agency determinations as required by law. Prohibits persons having interests in energy companies from serving as Board members. Title V: Administrative Procedures and Judicial Review - Stipulates that the provisions of the Administrative Procedure Act shall apply to rules and regulations issued by the Secretary or his delegate. Requires that opportunity for oral presentations of viewpoints be afforded where regulations are likely to have a substantial economic impact. Requires hearings on rules which substantially impact on a single geographic area to be held in such geographic area. Stipulates that United States district courts shall have exclusive jurisdiction of cases arising under this Act without regard to the amount in controversy, except where otherwise provided in authority transferred to the Secretary. Title VI: Administrative Provisions - Establishes a Leasing Liaison Committee to obtain information and make recommendations on Federal leasing activities conducted by the Secretary of the Interior which relate to energy resources. Requires officers and employees of the Department of Energy to disclose known financial interests in energy companies. Imposes criminal penalties for knowing violations of such disclosure requirements. Authorizes the Secretary to delegate authority to other officers, to create regional offices, and to establish advisory committees. Requires the Secretary to submit annual reports to the President for submission to the Congress. Title VII: Transitional Savings and Conforming Provisions - Stipulates that transfers of personnel as authorized by this Act shall not result in reduction in grade or unemployment for one year after enactment of this Act. Stipulates that orders, rules, and proceedings established or commenced under previous authority shall not be affected by the transfers under this Act. Amends the Federal Energy Administration Act, the Energy Reorganization Act, the Federal Power Act, the Motor Vehicle Information and Cost Savings Act, the Energy Conservation Standards for New Buildings Act, the Public Utility Holding Company Act of 1935, the Rural Electrification Act of 1936, and other provisions of law to conform with the changes made by this Act. Title VIII: Effective Date and Interim Appointments - Stipulates that the provisions of this Act shall take effect no later than 120 days after the Secretary first takes office. Establishes procedures for interim appointment of officers prior to the effective date of this Act.
United States · United States Congress · 10 March 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to increase to $5,000 the amount of outside earnings which is permitted an individual each year without any deduction from benefits under Title, and to provide that earnings in excess of that figure will reduce benefits by only one third of the excess.
United States · United States Congress · 8 March 1977
Entitles all veterans of the Mexican border period and of World War I, and their widows and children, to pensions on the same basis as veterans of the Spanish-American War and their widows and children, regardless of whether a veteran was disabled or receiving disability compensation, and regardless of income level.
United States · United States Congress · 8 March 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to require that any social security account numbers assigned after this Act become effective to be on a card or in such other form as will easily reveal any illegal alteration or duplication. Requires, in the case of cards issued to aliens who are not in the United States under conditions which make it lawful for them to engage in employment, that such card be marked to indicate that such individual may not be legally employed. Authorizes the reissuance of such card without such mark at such time as it is determined that the alien may lawfully engage in employment in the United States. Establishes criminal penalties for individuals who knowingly employ alien holders of cards which indicate that the may not lawfully engage in employment in the United States.
United States · United States Congress · 8 March 1977
Oil Spill Removal Research, Development, and Demonstration Act - Directs the Administrator of the Environmental Protection Agency to establish an Oil Spill Removal Research, Development, and Demonstration Project to promote basic and applied research and development of oil spill control and removal technology. Directs the Director of the Office of Management and Budget to transfer similar programs to the Project from other Federal agencies, including those functions currently performed by the Coast Guard and the National Oceanic and Atmospheric Administration. Stipulates that the authority granted by this Act shall terminate on September 30, 1983. Directs the Administrator to make grants to institutions of higher learning for programs relating to oil spill removal problems. Directs the Administrator to encourage participation by small business concerns in oil spill removal research through planning grants and loan guarantees. Directs the Administrator to report annually to Congress on activities undertaken pursuant to this act.
United States · United States Congress · 7 March 1977
Regulatory Agency Appointment Reform Act - Establishes the Federal Regulatory Agency Nominating Board which shall compile a list of persons who are qualified to be commissioners, commission members or board members of specified independent regulatory bodies. States that when a vacancy occurs in such a position to be filled by presidential appointment, the Board shall submit to the President a list of three names of persons it deems qualified to fill such a position together with the reasons for the selection of such persons by the Board. Requires the President to make his nomination from such list. Prohibits the selection of any person who, within three years immediately preceding such appointment, has been employed by, received substantial profits, fees, or wages from, or represented in a professional capacity, any industry or organization regulated by or directly affected by any regulatory agency. Prohibits the reappointment of any such person to a second term in such position. Limits for a period of two years after service as a member or commissioner of such agency the activities of such person as an employee or representative of any such organization affected by the activities of the regulatory agency on which such person served. Requires members of the Nominating Board to file annual financial disclosure statements with the Comptroller General who shall maintain such statements as public records.
United States · United States Congress · 7 March 1977
Regulatory Agency Self-Destruct Act - Abolishes each Federal regulatory agency as of the close of September 30, 1977 unless, prior to such date: (1) the President conducts an investigation of the agency's overall performance, makes public a report on the findings of the investigation, and recommends to the Congress that such agency or agencies should not be abolished; (2) the relevant committee or committees of the House and Senate conduct an inquiry into the performance and effectiveness of the agency or agencies and make public a report on such findings, conclusions, and recommendations; and (3) the Congress adopts a concurrent resolution disapproving the abolition of the agency or agencies. Defines "Federal regulatory agency" to mean any of the following: (1) the Civil Aeronautics Board; (2) the Federal Communications Commission; (3) the Federal Maritime Commission; (4) the Federal Power Commission; (5) the Federal Trade Commission; (6) the Interstate Commerce Commission; (7) the Securities and Exchange Commission; (8) the Consumer Product Safety Commission; (9) the Nuclear Regulatory Commission; and (10) the Commodity Futures Trading Commission. Declares that each Federal regulatory agency not abolished by the above Procedure, or any successor agency established pursuant to this Act, shall be abolished on September 30, 1984 except that those agencies which have been in existence for 25 years or less shall be abolished on September 30, 1990 unless the President and the Congress take action as described above to disapprove such abolition. States that such abolition procedure shall be repeated every seven years. States that each regulatory agency established by the Congress on or after September 1, 1975, shall be abolished every 15 years from the date on which it is first empowered to exercise its functions and duties according to the Act creating such agency until the agency has been in existence for 25 years after which it shall be abolished every 7 years unless the President and the Congress take action as described above to disapprove such abolition. Requires that before March 30, 1977, and on or before a date six months prior to each date of abolition of an agency as specified in this Act, the President shall prepare and submit to the Congress a plan for the orderly transfer of such functions, powers, and duties, if any, as are determined by the President to be essential to the public health, safety, or welfare, from an agency, which is subject to the termination provisions of this Act, to the President or to a successor agency designated by the President. Provides that all orders, determinations, rules, regulations, permits, certificates, licenses, contracts, rates, and privileges which have been issued, made, granted, or allowed to become effective by a Federal regulatory agency abolished by this Act or by any court of competent jurisdiction, under any provisions of law affected by this Act, and which are in effect at the time these provisions take effect, shall continue in effect according to their terms until modified, terminated, superseded, set aside, or repealed by the President, the head of a designated successor agency or by any court of competent jurisdiction, or by operation of law.
United States · United States Congress · 7 March 1977
Child Exploitation Prevention Act - Amends the Child Abuse Prevention and Treatment Act to prohibit the sexual exploitation of children by making it unlawful for any individual to (1) cause or permit a child to be photographed or filmed engaged in a sexual act prohibited under this Act; (2) photograph or film a prohibited sexual act; (3) knowingly transport any film or photograph depicting a prohibited sexual act; or (4) receive for sale or sell any such film or photograph, if such individual knows or should know such film or photograph has or may be transported in such a manner as to affect interstate or foreign commerce. Imposes a fine of up to $50,000 and/or imprisonment for up to 20 years for a violation of sexual exploitation of children provisions of this Act. Imposes a fine of up to $25,000 and/or imprisonment for up to 15 years for a violation of the transportation of photographs and films of children engaged in sexual acts provisions of this Act.
United States · United States Congress · 7 March 1977
Amends the Internal Revenue Code to allow employers to take the credit for expenses of work incentive programs for wages paid new, full-time handicapped employees over the first cumulative 12 months of their employment.
United States · United States Congress · 4 March 1977
Provides that representatives of the Polish Legion of American Veterans are recognized as claims agents for claims arising under laws administered by the Veterans' Administration.
United States · United States Congress · 3 March 1977
National Climate Program Act - Directs the Secretary of Commerce to coordinate the establishment and operation of a Federal climate program for the collection, analysis, and dissemination of data concerning climatic States and the influence of human activities on climatic dynamics. Empowers the Secretary to establish advisory committees to be composed of experts in climatology and related fields and of representatives of interested Federal departments to more effectively carry out the purposes of this Act. Directs the Secretary to coordinate the activities of the climate program with related Federal programs and with climate research programs of international organizations. Authorizes the Secretary to transfer funds and make grants to governmental bodies and educational and nonprofit institutions to carry out the purposes of this Act. Requires the Secretary to prepare and submit each year to the Office of Management and Budget an updated five-year plan and request for appropriations thereunder for the climate program for such fiscal year. Directs the Secretary to annually prepare and submit to the President for transmittal to the Congress a report on the administration of this Act. Authorizes the appropriation of funds to carry out this Act.
United States · United States Congress · 3 March 1977
Adds Rule XLV to the Rules of the House of Representatives, allowing television and radio coverage of the proceedings in the House Chamber. Provides all television and radio broadcasting stations in the United States with access to all of the live coverage of the proceedings of the House. Restricts use of coverage to legitimate news or research purposes. Prohibits the commercial use or sponsorship of such coverage except in bona fide news or public affairs documentary programs. Prohibits the use in political campaigns of coverage provided under this resolution. Authorizes appropriations to carry out this Act. Directs that the coverage shall be carried out through the facilities and personnel of the television networks entered into by the Clerk with a television network pool.
United States · United States Congress · 3 March 1977
Pledges the support of the Congress to advance human rights. Urges the President to inform other nations that the United States will consider human rights protection in evaluating its relations with other nations.
United States · United States Congress · 2 March 1977
Black Lung Reform Act - Amends the Federal Coal Mine Health and Safety Act of 1969 to establish a rebuttable presumption that miners with 20 or more years of coal mine employment shall be entitled to receive benefits under provisions of the Act. Stipulates that no claim for benefits shall be denied based on location or nature of employment. Directs the Secretary of Labor to establish a program designed to locate and assist individuals who are likely to be eligible for benefits under this Act. Stipulates that individuals so informed shall be eligible to file a claim despite previous failure to file within the specified time frame. Redefines the term "total disability" to prohibit use of the fact that a deceased miner was still a mine employee at the time of death as evidence that such miner was not totally disabled. Requires that all claimants be given an opportunity for a complete medical examination by a physician of the claimant's own choice. Establishes a Black Lung Disability Insurance Fund in the Treasury of the United States. Sets forth provisions governing administration of the Fund. States that amounts in the Fund shall be available for making expenditures to meet the obligations acquired by the Fund, including the expenses of providing medical benefits. Amends the Internal Revenue Code of 1954 to impose an excise tax on coal, which amounts shall be appropriated to the fund established by this Act. Authorizes adjustments in the rates of taxation, subject to Congressional review. Directs the Secretary of Labor to establish procedures for prompt action on claims. Increases the amount of the award for delays beyond the 60-day period established by this Act. Directs the Department of Labor, in cooperation with the National Institute for Occupational Safety and Health, to conduct a study of occupationally related pulmonary and respiratory diseases, and report on the results of such study to the President and the appropriate committees of Congress within 18 months after the date of enactment of this Act. Revises duties of the Coal Mine Health Research Board to stipulate that recommendations of such board with respect to research projects shall be binding on the Secretary of Health, Education, and Welfare.
United States · United States Congress · 2 March 1977
National Conference on Learning Disabilities and Juvenile Delinquency Act - Directs the Coordinating Council on Juvenile Justice and Delinquency Prevention to organize and convene a National Conference on Learning Disabilities and Juvenile Delinquency. Directs the Conference to formulate methods of disseminating extant knowledge and the results of ongoing research related to learning disabilities and handicaps to appropriate agencies and individuals. Makes it a goal of such Conference to develop coordinated plans of cooperation among disciplines to deliver all services feasible to the learning disabled. Sets forth the procedures under which the Conference shall operate and the qualifications for membership in it. Calls for the convening of meetings related to the Conference in each State or Region in preparation for the National Conference.
United States · United States Congress · 2 March 1977
Stolen Property Amendments - Amends provisions of Federal law setting forth penalties for interstate or foreign commerce in stolen cattle to include stolen swine, sheep, fowl, insects, horses, mules, or carcasses thereof.
United States · United States Congress · 2 March 1977
Amends Titles XVIII (Medicare) and II (Old-Age, Survivors' and Disability Insurance) of the Social Security Act to provide that eligible drugs, requiring a physician's prescription or certification, shall be included among the items and services covered under the hospital insurance program for the aged at a specified amount of payment. States that the reasonable allowance for eligible drugs furnished an individual pursuant to any one prescription and purchased by such individual at any one time shall be reduced by an amount equal to the applicable prescription copayment obligation which shall be $1. Establishes, within the Department of Health, Education, and Welfare, a Medicare Formulary Committee to compile and publish a Formulary listing the drugs deemed qualified for benefits under this Act, together with maximum allowable costs and additional information concerning such drugs. Makes provisions for selecting drugs for the Formulary.
United States · United States Congress · 2 March 1977
Transportation Users Equity Act - Directs the Secretary of the Army to promulgate regulations establishing a user charge for shallow-draft cargo vessels for the use by such vessel of any navigation project on any inland waterway of the United States. Stipulates that such charges shall be structured to recover 50 percent of the Federal costs of the operation and maintenance of all navigation projects maintained by the Secretary five years after the enactment of this Act and that in ten years such charges shall be structured to recover 50 percent of the Federal costs of the construction and rehabilitation of such navigation projects. Sets forth the methods by which such user charges may be collected. Establishes civil penalties for owners or operators of shallow-draft cargo vessels who fail to pay such charges. Requires the Secretary, in cooperation with the Secretary of Transportation, to report to the Congress within three years of the effective date of the schedule of user charges regarding the implementation of the provisions of this Act. Amends the Federal Aid Highway Act of 1976 to extend for one year the time during which the National Transportation Policy Study Commission established under such Act has to submit its final report to Congress regarding its study of the transportation needs and resources of the United States. Stipulates that such report shall include findings and recommendations regarding the waterway user charges established under this Act. Amends the Internal Revenue Code of 1954 to impose a tax on the sale of fuels used by shallow-draft vessels used in commercial transportation on inland waterways.
United States · United States Congress · 2 March 1977
Right to Financial Privacy Act - States that the purposes of this Act are to protect and preserve the confidential relationship between financial institutions and their customers and the constitutional rights of those customers, and to promote commerce by prescribing policies and procedures to insure that customers have the same right to protect against unwarranted disclosure of customer records as if the records were in their possession. Prohibits any Federal agency or employee, or any State or local government, from obtaining copies of, access to, or the information contained in, the financial records of any customer from a financial institution unless such records are described with particularity and: (1) such customer has authorized such disclosure in accordance with with Act; (2) such records are disclosed in response to an administrative subpena or summons; (3) such records are disclosed in response to a court order; or (4) such records are disclosed in response to a judicial subpena. States that no financial institution may provide to a Federal agency or employee, or to any State or local government, copies of or the information contained in the financial records of any customer except in accordance with the requirements of this Act. Sets forth provisions governing customer authorization, administrative subpenas and summons, and judicial subpenas. Prohibits the Secretary of the Treasury from requiring an institution to maintain any financial records or to transmit any reports relating to customers unless: (1) such records are required for use by a supervisory agency in the supervision of that institution; or (2) such records are required to be maintained by the Internal Revenue Code. Prescribes civil and criminal penalties for violation of the provisions of this Act.
United States · United States Congress · 2 March 1977
Regulatory Reform Act - Requires the President to submit to Congress a plan recommending reforms with respect to the regulation of: (1) energy, the environment, housing, and occupational health and safety by specified Federal agencies by April 30, 1979; (2) transportation and communications by specified Federal agencies by April 30, 1981; (3) banking and finance, international trade, and Government procurement by specified Federal agencies by April 30, 1983; and (4) food, consumer health and safety, economic trade practices, and labor- management concerns by specified Federal agencies by April 30, 1985. States that each such plan shall include recommendations for reform of such specified agencies and shall report on the cumulative impact of all Government regulatory activity reviewed, up to that date, on specific industry groupings. States that if the President fails to submit such plans by the specified dates, the Senate and House Committees on Government Operations shall draft their own plans to be submitted to Congress for action. Requires the Comptroller General and the Congressional Budget Office to, contemporaneously with the development of the President's plan, submit a report assessing the purpose, effects, efficiency, and cost effectiveness of each agency included in the plans submitted by the President. States that if no comprehensive regulatory reform legislation is enacted by August 1 of the year following the year in which a comprehensive plan has been submitted by the President, then all agencies affected thereby shall have no authority to issue any new rules not essential for preserving the public health and safety; if such reform is not enacted by October 1 of such year, such agency shall have no authority to enforce any rule not essential for preserving the public health and safety; if no such reform is enacted by December 31 of such year, such agency shall be terminated on such date. States that all rules of such terminated agency essential for preserving the public health and safety shall remain effective and shall be enforced by the Department of Justice. Requires the President to submit subsequent plans in the manner and in the order and frequency set forth by this Act every ten years.