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Official portrait of Rep. Boehlert, Sherwood [R-NY-24]

Rep. Boehlert, Sherwood [R-NY-24]

United States · Official source

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3,988 records where Rep. Boehlert, Sherwood [R-NY-24] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 5050 (101st)open

Financial Crimes Prosecution and Recovery Act of 1990

United States · United States Congress · 14 June 1990

Financial Crimes Prosecution and Recovery Act of 1990 - Title I: National Commission on Financial Crimes - Establishes the National Commission on Financial Crimes to investigate fraud and abuse in the financial services industry and to recommend procedures for improving interagency cooperation and tactics for law enforcement officers in the investigation and prosecution of financial crimes. Sets forth provisions with respect to the membership, powers, pay, reporting requirements, and termination of the Commission. Title II: Improvements in Administration of the Department of Justice - Directs the Attorney General to establish a financial crimes strike force in each Federal judicial district which is in the top quartile of such districts with respect to the total number of criminal referrals filed with the Attorney General by the appropriate Federal banking agencies relating to residents of, or persons located in, such district. Provides for local control of each such strike force, through the U.S. Attorney for such district, except as otherwise provided by the Attorney General. Sets forth provisions regarding pay for attorneys on financial crimes strike forces. Directs the Attorney General to: (1) establish a merit system to recognize and reward outstanding efforts of individuals engaged in the investigation and prosecution of financial crimes; (2) prohibit any U.S. attorney or any other attorney employed by the Department of Justice from taking into account the dollar amount of any loss incurred in connection with any financial crime in making a determination with respect to the investigation or prosecution of such crime; and (3) prescribe by regulation that the investigation of any referral from an appropriate Federal banking agency related to a financial crime involving an insured depository institution in default or in danger of default, or of any troubled institution, be given priority in case management. Amends the Financial Institutions Reform, Recovery, and Enforcement Act of 1989 to make specified civil money penalties collected under such Act available to the Attorney General to carry out any provision of law. Amends the Federal criminal code to grant specified officials of the Federal Bureau of Investigation administrative subpoena authority regarding specified financial crimes. Sets forth provisions: (1) with respect to standards governing production of items subpoenaed; and (2) granting persons complying in good faith with a summons or order issued under this Act and producing the materials sought immunity from civil liability to the consumer for such production or nondisclosure of such production. Title III: Improvements in the Administration of the FDIC and the RTC - Amends the Federal Deposit Insurance Act (FDIA) to grant subpoena authority to the Federal Deposit Insurance Corporation (FDIC) and the Resolution Trust Corporation (RTC) as a conservator or receiver or for carrying out authority with respect to an insured depository institution. Amends the Internal Revenue Code to grant the FDIC and the RTC access to Internal Revenue Service returns and return information upon written requests by the respective Board of Directors and upon certification by the Board that it has a substantial need for such returns or return information. Amends the FDIA to authorize Federal banking agencies, in conducting any investigation, examination, or enforcement action under such Act, to: (1) request the assistance of any foreign banking authority; (2) maintain an office outside the United States for such purposes; (3) provide assistance to a foreign banking authority, upon request, if the requesting authority is conducting an investigation involving a violation of laws or regulations relating to banking matters that the requesting authority administers or enforces; and (4) conduct such an investigation as is necessary to collect information and evidence pertinent to such a request without regard to whether the facts stated in the request also constitute a violation of U.S. law. Authorizes the FDIC and the RTC, as conservator or receiver of any insured depository institution, to request the assistance of any foreign banking authority and provide assistance to any such authority in accordance with this Act. Requires the FDIC and the RTC to each maintain a permanent office to coordinate foreign investigations or investigations on behalf of foreign banking authorities. Authorizes the Board of Directors of the FDIC to act in its own name and through its own attorneys in any action or proceeding in which the FDIC is an interested party, whether in its corporate capacity or as conservator or receiver for any insured depository institution. Grants priority to the FDIC over certain claims or actions filed or begun against an affiliated party of the insured depository institution by depositors, creditors, or shareholders of the institution after enactment of this Act. Authorizes the FDIC, as conservator or receiver for any insured depository institution, to avoid any transfer of interest of an institution-affiliated party or any transfer of interest or obligation of person determined to be a debtor of the institution that was made within five years of appointment of the FDIC as conservator or receiver, if such party made such transfer or incurred such liability with intent to hinder, delay, or defraud the insured depository institution. Specifies circumstances under which the FDIC may recover the property transferred or the value of such property. Sets forth provisions regarding prejudgment attachments of assets where an institution-affiliated party may be required to provide restitution to the institution or where the party is a debtor of the institution, and where the assets will be dissipated or otherwise placed beyond the jurisdiction of the court or FDIC before any recovery may be completed unless a trustee is appointed. Establishes criminal penalties for knowingly concealing assets or property from the FDIC or the RTC as a conservator or receiver for any insured depository institution. Requires each Federal banking agency to require directors of depository institutions to complete an educational course on their duties as directors every three years. Authorizes a court or the Attorney General to direct disclosures of matters occurring before a grand jury during an investigation of a banking law violation to identified personnel of a financial institution regulatory agency upon a finding of substantial need, subject to specified conditions. Excludes the payment of restitution under specified Acts including the FDIA from discharge under bankruptcy provisions. Amends the Federal criminal code to subject to civil forfeiture property which constitutes or is derived from proceeds traceable to mail fraud, or fraud by wire, radio, or television, affecting a financial institution. Amends the FDIA, the Federal Credit Union Act, the Revised Statutes, the Federal Reserve Act, the Bank Holding Company Acts of 1956 and 1970, and the Home Owners' Loan Act to permit the appropriate Federal banking agency, the FDIC, or, in the case of the latter statute, the Director, to apply to specified courts to recover from a depository institution administrative costs arising out of actions taken to recover a civil penalty. Title IV: Taxpayer Recovery Act - Taxpayer Recovery Act of 1990 - Makes an exception to a discharge in bankruptcy for: (1) restitution that the debtor has been ordered to pay by a State or Federal court in any criminal proceeding arising from an act that caused a loss to any bank, savings association, or credit union (bank); or (2) damages provided in any judgment, order, or consent decree entered in any State or Federal court, or in any settlement agreement entered into by the debtor, arising from any act involving fraud or reckless disregard for the law committed with respect to any such institution. Requires that any individual acting as a director, officer, or institution-affiliated party of a bank be considered to be acting in a fiduciary capacity with respect to such institution for purposes of a provision making an exception to a discharge from bankruptcy involving fraud or defalcation while acting in such capacity. Specifies that reliance by a creditor will not be required to establish an exception to discharge if the creditor is a financial regulatory agency that is a successor to a bank. Sets forth time limits for the filing of a complaint objecting to the discharge of a debt owed to: (1) a bank that is closed, is in receivership or conservatorship, or is sold to another bank in a transaction assisted by a financial regulatory agency; or (2) such an agency. Specifies that an individual debtor who has committed an act involving fraud or reckless disregard for the law or is subsequently adjudicated to have committed such an act during the pendency of his bankruptcy proceeding with respect to any bank that is in receivership or conservatorship or that is sold to another bank assisted by a financial regulatory agency shall not be exempt from: (1) more than $7,500 in value of the debtor's aggregate interest in any real property that the debtor uses as a residence: and (2) the debtor's interest in any insurance policy or annuity.

Bill· HRH.R. 5053 (101st)referred

Korean War Veterans Memorial Thirty-Eighth Anniversary Commemorative Coin Act

United States · United States Congress · 14 June 1990

Korean War Veterans Memorial Thirty-Eighth Anniversary Commemorative Coin Act - Expresses the sense of the Congress that the United States should recognize the 38th anniversary of the Korean War by minting and issuing a silver dollar coin. Directs the Secretary of the Treasury to issue one-dollar silver coins to commemorate the 38th anniversary of the ending of the Korean War. Terminates such authority after December 31, 1991. Mandates that surcharges from the sale of such coins be used for the Korean War Veterans Memorial.

Law· HRH.R. 4962 (101st)enacted

1992 Olympic Commemorative Coin Act

United States · United States Congress · 5 June 1990

1992 Olympic Commemorative Coin Act - Directs the Secretary of the Treasury to issue 1992 Olympic Games commemorative five-dollar gold coins and one-dollar silver coins. Prescribes guidelines for the sale and pricing of such coins and directs the Secretary to ensure that their issuance will not result in any net cost to the United States. Mandates that surcharges be paid to the U.S. Olympic Committee.

Bill· HRH.R. 4915 (101st)referred

Earthquake Hazards Reduction Amendments Act

United States · United States Congress · 24 May 1990

Earthquake Hazards Reduction Amendments Act - Amends the Earthquake Hazards Reduction Act of 1977 to add carrying out the insurance program established by this Act to the list of duties of the Director of the Federal Emergency Management Agency (FEMA). Requires the Director to: (1) publish in the Federal Register and in local newspapers in the applicable area a tentative identification of areas subject to earthquake hazards; (2) notify the chief executive officer of communities in any such areas not already participating in the national earthquake insurance program of the identification, and of loss reduction measures as provided in this Act; (3) on a continuing basis, identify earthquake related factors in any earthquake-prone area; (4) make information available to the public and any agency or official regarding an earthquake hazard, the insurance program, and estimated actuarial premium rates and chargeable premium rates under the insurance program; and (5) encourage local officials to disseminate information widely. Allows communities identified to apply to participate in the insurance program or, within 90 days of notification, submit technical data establishing that the community is not earthquake-prone. Requires the Director to appoint an earthquake insurance advisory committee. Requires the National Institutes of Standards and Technology to develop comprehensive criteria for State and local land use and management ordinances, building codes, and other loss reduction measures, and to periodically update the criteria. Requires the Director to coordinate with and provide technical assistance to State, interstate, and local officials and agencies. Prohibits participation in the insurance program unless the appropriate public body has adopted and is enforcing loss reduction measures in conformance to this Act. Prohibits coverage of any property declared to be in violation of State or local law regulating location or construction in earthquake-prone areas. Requires earthquake insurance coverage in certain amounts in order to get Federal financial assistance for acquisition or construction in an earthquake-prone area. Requires each Federal instrumentality regulating financial institutions to issue regulations requiring earthquake insurance coverage on any loan secured by improved real estate or a mobile home in an earthquake-prone area. Exempts State-owned property that is covered under an adequate State policy of self-insurance from these requirements. Requires each Federal instrumentality regulating financial institutions to issue regulations requiring that, in connection with the making, increasing, extending, or renewing of any loan secured by improved real estate or a mobile home in an earthquake-prone area, the purchaser or lessee be notified that: (1) the area has been identified as earthquake-prone; and (2) Federal earthquake disaster relief may not be available if the community does not participate in the program or if the property is not covered in the required amount. Prohibits Federal financial assistance for acquisition or construction in an earthquake-prone area unless the community in which the area is located is participating in the insurance program. Requires each Federal instrumentality regulating financial institutions to issue regulations prohibiting loans secured by improved real estate or a mobile home located in such an area unless the community is participating. Authorizes the Director to establish and carry out a national program to provide insurance against loss resulting from physical damage to or loss of real property or related personal property, in the United States, arising from any earthquake. Conditions operation of the program on participation by private insurers representing at least 80 percent of the net written premiums for homeowners' multiple peril insurance written in the United States. Requires private insurers participating in the program to reimburse the Director for 15 percent of all costs that exceed the amounts in the Insurance Fund established under this Act. Allows the Director to arrange for participation, on other than a risk-sharing basis, by private insurers, insurance agents and brokers, insurance adjustment organizations, and other persons. Provides for the scope of the program and the terms and limitations of insurance coverage. Requires the Director: (1) to set chargeable premium rates and associated terms and conditions; (2) in establishing rates that are less than actuarial rates, to consider the objective of making the insurance available at reasonable cost. Requires, notwithstanding other provisions of this Act, that the rate with respect to new construction or substantial improvement of property, started after identification of an area as earthquake-prone becomes final, not be less than the actuarial rate. Sets forth special rules for newly eligible construction. Requires the Director to establish in the Treasury a National Earthquake Insurance Fund. Authorizes the Director to borrow from the Treasury to the extent that the assets of the Fund are insufficient to pay claims and expenses. Authorizes appropriations. Requires the Director, upon establishment of the insurance program, to establish a national earthquake excess loss reinsurance program, to be available only to private insurers that are participating in the insurance program. Allows reinsurance coverage to cover not more than 90 percent of the losses of each private insurer that are in excess of ten percent of the insurer's countrywide subject net written premium after the insurance industry has sustained losses in certain lines that exceed ten percent of the industry countrywide subject net written premium. Specifies the covered lines of insurance. Requires any private insurer that purchases reinsurance to purchase coverage for all the lines. Requires the Director to establish premium rates. Prohibits reinsurance liability for property declared in violation of State or local law regulating location or construction in earthquake-prone areas or that is otherwise uninsurable at the time it is insured by the private insurer. Requires the Director to establish in the Treasury a National Earthquake Reinsurance Fund. Authorizes the Director to borrow from the Treasury, with a limit on obligations outstanding at any one time, to the extent that the assets of the Fund are insufficient to pay claims and expenses. Authorizes appropriations.

Bill· HRH.R. 4930 (101st)referred

Airport and Airway Trust Fund Protection Act of 1990

United States · United States Congress · 24 May 1990

Airport and Airway Trust Fund Protection Act of 1990 - Declares that the receipts and disbursements of the Airport and Airway Trust Fund allocable to transportation-related operations: (1) shall not be included in the totals of the Federal budget or the congressional budget; (2) shall be exempt from general budget limitations on expenditures and net lending; and (3) shall be exempt from any sequestration order under the Balanced Budget and Emergency Deficit Control Act of 1985 (Gramm-Rudman-Hollings Act) and shall not be counted for purposes of calculating the Federal deficit.

Resolution· HRESH.Res. 402 (101st)passed

Designating two House of Representatives office buildings as the "Thomas P. O'Neill, Jr. House of Representatives Office Building" and the "Gerald R. Ford House of Representatives Office Building", respectively, and for other purposes.

United States · United States Congress · 24 May 1990

Designates: (1) the House of Representatives office building at C Street and New Jersey Avenue, Southeast, District of Columbia, known as House of Representatives Office Building Annex No. 1, as the Thomas P. O'Neill, Jr. House of Representatives Office Building; and (2) the House office building at 3d and D Streets, Southwest, District of Columbia, known as House of Representatives Office Building Annex No. 2, as the Gerald R. Ford House of Representatives Office Building.

Bill· HRH.R. 4903 (101st)referred

To amend title 13, United States Code, to ensure that military personnel stationed outside the United States are not excluded from any census of population.

United States · United States Congress · 23 May 1990

Requires the Secretary of Commerce to take appropriate measures for the 1990 census to ensure that: (1) no member of the armed forces shall be excluded based on being assigned to a post outside of the United States; and (2) each such member is enumerated at such member's home of record.

Bill· HRH.R. 4873 (101st)open

Environmental Research, Development, and Demonstration Authorization Act of 1990

United States · United States Congress · 22 May 1990

Environmental Research, Development, and Demonstration Authorization Act of 1990 - Authorizes appropriations to the Administrator of the Environmental Protection Agency (EPA) for FY 1991 through 1993 for specified environmental research, development, and demonstration activities and for program management and support of the Office of Research and Development. Authorizes the transfer of funds among categories, but requires prior notice to the Congress of transfers exceeding ten percent from or to any category. Prohibits the Administrator from using any funds appropriated in this Act for office closings or reductions in force unless a congressional notice and wait procedure has been complied with by the Administrator. Requires the Administrator to establish a separately identified core research program consisting of fundamental ecological, health, and risk reduction research to support efforts to identify, assess, and mitigate serious environmental risks. Directs the Administrator to establish a Research Strategy Council to oversee, review, and ensure adequate funding of the core research program. Requires the Science Advisory Board to review and make recommendations on core research program activities. Directs the Administrator to establish an Environmental Monitoring and Assessment Program to conduct comprehensive, long-term environmental monitoring, data collection, and data analysis to assess and respond to the current and long-term status and trends of the ecological resources of the United States. Requires the Administrator to coordinate Program activities with other Federal agencies and to make available to the public and the Congress statistical data summaries and interpretive reports on ecological status and trends developed as a result of the Program. Directs the Administrator to: (1) establish a modernization program to identify, acquire, and maintain modern buildings, facilities, supplies, and equipment needed to conduct high quality research; and (2) conduct studies and make assessments of the adequacy of the equipment and facilities to meet the needs of EPA and to attract well-qualified scientists, engineers, and other appropriate personnel. Repeals a required annual report from the Administrator of a five-year plan for environmental research, development, and demonstration. Requires the Science Advisory Board to submit annual reports to the Congress and the Administrator on the proposed research program described in the President's budget request for research, development, and demonstration activities of the EPA. Requires the Board to conduct periodic evaluations of selected areas of the current and planned activities. Requires concurrent submission to the Congress of any report required from the Board to the Administrator. Directs the Administrator to carry out a program of research and monitoring on regional, national, and global impacts of environmental pollution and perturbation on biological diversity. Requires the Administrator to contract with the National Academy of Sciences to conduct a study to develop recommendations on establishing a National Environmental Research Institute which would support long-range fundamental and environmental research, including competitive grants to interdisciplinary research teams and individual investigators. Authorizes the Administrator to: (1) lease facilities, buildings, and other property to promote the activities authorized under this Act; and (2) enter into cooperative agreements to conduct application reviews and use research funds for such cooperative agreements. Directs the Administrator to: (1) report annually to the Congress on the accomplishments of programs authorized under this Act as they related to EPA's mission to reduce or prevent environmental risk; (2) conduct a study of, and submit a report concerning, the environmental implications and potential consequences of growth and development of communities; (3) produce a decision aid to assist State and local authorities in planning and managing such growth; (4) develop and implement a research program to increase understanding of the adverse human health effects of exposure to electric and magnetic fields; and (5) established in conjunction with such program a public information dissemination and technical assistance program related to such health effects.

Bill· HRH.R. 4859 (101st)referred

Capital Gains Incentive Act of 1990

United States · United States Congress · 17 May 1990

Capital Gains Incentive Act of 1990 - Amends the Internal Revenue Code to allow a variable capital gains deduction for a taxpayer other than a corporation based upon capital assets held from one to five years. Requires indexing, based on the gross national product deflator, of the adjusted basis of certain assets (corporate stock and tangible property that is a capital asset of property used in a trade or business) that have been held for more than one year at the time of sale or other transfer, solely for the purpose of determining gain or loss.

Bill· HRH.R. 4816 (101st)open

Rural Small Business Enhancement Act of 1990

United States · United States Congress · 15 May 1990

Rural Small Business Enhancement Act of 1990 - Title I: Loan Programs - Amends the Small Business Act to direct the Administrator of Small Business to make loans to rural economic development entities which must use them for: (1) the creation and expansion of business concerns; and (2) rural small business incubators. Prescribes lending guidelines. Authorizes appropriations. Title II: Rural Small Business Investment Companies - Modifies the capital requirements for certain companies licensed to assist rural small business concerns. Authorizes paid-in capital to include contributions by State and local governments and nonprofit institutions. Title III: Technical Assistance for Rural Small Business Concerns - Establishes an Office of Rural Affairs (the Office) in the Small Business Administration to be headed by an Associate Administrator who shall: (1) ensure that rural small businesses receive a percentage of financial assistance representative of the population and economic needs in their areas; (2) compile specified rural business statistics; and (3) disseminate information regarding sources of assistance. Mandates that rural area statistics compiled by the Office be included in the President's annual report on small business and competition. Directs the Administrator to: (1) make grants to rural economic development entities to fund a portion of the salaries and expenses of rural technical assistance specialists; (2) report to the Congress regarding the effectiveness of such grants; (3) make marketing assistance grants for rural small businesses; and (4) make grants to assist marketing studies regarding tourism promotion in rural areas. Authorizes appropriations. Sets forth matching grant requirements. Title IV: Infrastructure Improvement - Amends the Surface Transportation and Uniform Relocation Assistance Act of 1987 to increase the authorization for rural Federal-aid highways. Mandates that each State conduct a rural scenic byways preservation and improvement program with Federal amounts apportioned for construction projects on such byways. Outlines funding guidelines. Authorizes appropriations. Title V: National Commission on Rural America - Establishes the National Commission on Rural America to evaluate and report to the Congress on specified aspects of the Federal rural assistance program. Terminates the Commission after it submits such report. Title VI: Research and Reporting Requirements - Directs the Administration to study and report to the Congress on methods to: (1) assist rural small businesses to obtain Government contracts; and (2) expand the export of goods and services provided by such businesses. Directs the Administrator to compile and distribute to the public and the Congress a catalog of Federal rural small business assistance programs.

Law· HRH.R. 4793 (101st)enacted

Small Business Administration Reauthorization and Amendments Act of 1990

United States · United States Congress · 10 May 1990

Small Business Reauthorization and Amendments Act of 1990 - Amends the Small Business Act to authorize appropriations for specified programs through FY 1994. Authorizes transfers from the disaster loan revolving fund for the administrative expenses of the Small Business Administration (SBA). Modifies the pro rata share guidelines for grant recipients in the small business development center program. Revises the assistance guidelines for small business development center assistance programs. Authorizes the Administrator of Small Business (the Administrator) to make grants or enter into contracts with a State for the purpose of contracting with small businesses to plant trees on State or local government-owned lands. Authorizes appropriations. Requires the Administrator to report annually to the President and the Congress regarding the small business tree planting program. Amends the Small Business Administration Reauthorization and Amendment Act of 1988 to extend through FY 1994 the interest rate guidelines for certified development company loans. Modifies the functions of the Office of International Trade. Amends the Business Opportunity Development Reform Act to authorize the Commission on Minority Business Development to accept funds from any other Federal department or agency. Amends the Small Business Act to authorize the President to appoint an SBA Deputy Administrator. Provides guidelines under which a Federal procurement activity which does not solicit small businesses shall document its reasons to the SBA. Amends the Small Business Investment Act of 1958 to direct the SBA to develop a plan for greater outreach of procurement and export trade seminars in rural areas. Sets forth funding standards for small business concerns whose eligibility for SBA assistance is premised upon providing expanded job opportunities. Revises the guidelines for SBA loan guarantees of development company debentures held by family business interests. Sets forth criteria for State development companies' eligibility for SBA assistance.

Bill· HRH.R. 4710 (101st)referred

To exclude during the course of any unfair import trade practice investigation involving an infringement of a patent, copyright, trademark, or mask work the entry into the United States of the articles concerned, upon a prima facie of such infringement.

United States · United States Congress · 2 May 1990

Amends the Tariff Act of 1930 to prescribe conditions under which the U.S. International Trade Commission must temporarily exclude from entry into the United States patent, copyright, trademark, or mask work articles which it is investigating for alleged infringement and unfair import trade practices.

Bill· HRH.R. 4709 (101st)referred

Startup and Revitalized Equity Act

United States · United States Congress · 2 May 1990

Startup and Revitalized Equity Act - Amends the Internal Revenue Code to allow a capital gains deduction for qualified business stock held for more than two years.

Bill· HRH.R. 4707 (101st)referred

Corporate Debt-Equity Equalization Act of 1989

United States · United States Congress · 2 May 1990

Corporate Debt-Equity Equalization Act of 1989 - Amends the Internal Revenue Code to allow certain domestic corporations a deduction for the dividends they pay.

Bill· HRH.R. 4708 (101st)referred

Workers as Teachers for Improved Competitiveness Act

United States · United States Congress · 2 May 1990

Workers as Teachers for Improved Competitiveness Act - Amends the Internal Revenue Code to allow a charitable deduction for corporate contributions of employee volunteer services to an educational organization.

Resolution· HRESH.Res. 387 (101st)referred

Establishing an allowance for official mail, reducing from 3 to 2 the factor used in limiting the amount of postal patron mail allowable in any year, and otherwise providing for controls on the cost of mailing by Members of the House of Representatives.

United States · United States Congress · 2 May 1990

Establishes an Official Mail Allowance for franked mailing by Members of the House of Representatives within specified guidelines and limitations. Amends rule XLVI of the Rules of the House of Representatives to: (1) reduce from six to two the number of franked mailings per year per addressee to which a Member after December 31, 1990, is entitled; (2) reduce from six to two, after such date, the number of franked mailings per year per addressee relating solely to a notice of appearance of a scheduled itinerary of a Member; (3) require a Member, before making any mass mailing (including direct response to communications from constituents), to submit a sample or description of the mail matter involved to the House Commission on Congressional Mailing Standards for a statutory compliance advisory opinion; (4) require the Clerk of the House of Representatives to make available for public inspection, semi-annually, a mass mailing report compiled from data provided by the House Committee on Administration; and (5) require that a mass mailing by a Member contain a specified notice on the cover page of the document.

Bill· HRH.R. 4659 (101st)open

National Technology Extension Service Act of 1990

United States · United States Congress · 26 April 1990

National Technology Extension Service Act of 1990 - Directs the Secretary of Commerce, through the Director of the National Institute of Standards and Technology, to create a five-year Technology Extension Pilot Program to provide private businesses, in selected States, with improved access to Federal, State, and federally-funded technology and expertise. Directs the Secretary, through the Director and using a competitive selection process, to select: (1) a non-Federal database contractor to create the Program's Federal database and network of experts and to manage them for the duration of the Program; and (2) up to five States for participation in the Program. Provides for fees to be charged to businesses using the Program in certain circumstances. Authorizes appropriations. Amends the Small Business Act to allow any Small Business Development Center to apply for an additional grant to increase access by small businesses in its service area to on-line databases. Specifies ways in which a Center may seek to increase small business access. Authorizes appropriations.

Resolution· HCONRESH.Con.Res. 316 (101st)open

Expressing the sense of Congress on the strike of Greyhound employees.

United States · United States Congress · 26 April 1990

Calls immediately for Greyhound Lines, Inc., and the Amalgamated Transit Union to resume negotiations under the auspices of the Federal Mediation and Conciliation Service and the Secretary of Labor.

Resolution· HCONRESH.Con.Res. 312 (101st)referred

Urging certain "Super 301" actions under the Trade Act of 1974 with respect to Japan.

United States · United States Congress · 26 April 1990

Urges the United States Trade Representative (USTR) to: (1) use "Super 301" under the Trade Act of 1974 to identify Japan as a priority country for purposes of negotiating the elimination of barriers to U.S. exports; (2) identify as trade-liberalization priorities under "Super 301" Japanese practices that are most costly in terms of lost U.S. exports and most resistant to change through market adjustment or prior negotiations; and (3) in determining such practices, give substantial weight to the worsening bilateral trade deficit in any sector where they prevail. Declares that the Congress considers that: (1) the identification of the trade-liberalization priorities in the 1990 "Super 301" report would reinforce other bilateral trade discussions such as the Structural Impediments Initiative talks and the negotiations regarding priorities in the 1989 "Super 301" report; and (2) use of the "Super 301" trade-liberalization incentive would improve prospects for reducing the U.S.-Japanese trade imbalance.

Law· HRH.R. 4522 (101st)enacted

Firefighters' Safety Study Act

United States · United States Congress · 18 April 1990

Directs the Administrator of the U.S. Fire Administration to review existing response information used by emergency response personnel at the State and local levels to evaluate its accuracy, consistency, and clarity. Specifies that such information should clearly communicate to such personnel the probable hazards in an emergency situation involving hazardous materials and the appropriate response to such hazards. Directs the Administrator to establish a working group to develop and disseminate hazardous materials identification, response, and incident data. Requires such working group to submit a report to the Administrator, along with recommendations to ensure that response information disseminated to emergency response personnel is appropriate for operational personnel at the local level. Requires the working group to meet at least once a year to review and recommend changes to the report.

Bill· HRH.R. 4523 (101st)open

Congressional Recycling Act of 1990

United States · United States Congress · 18 April 1990

Congressional Recycling Act of 1990 - Requires the Clerk of the House of Representatives and the Secretary of the Senate to purchase recycled paper and paper products for use to the greatest extent practicable in the operations of the House and the Senate. Directs the Public Printer to assure that the Government Printing Office uses recycled paper in providing services to the House.

Resolution· HRESH.Res. 380 (101st)referred

Expressing the sense of the House of Representatives with respect to the need to encourage mailers of second-class and third-class mail matter to use recycled paper.

United States · United States Congress · 18 April 1990

Expresses the sense of the House of Representatives that the U.S. Postal Service should study and report to the Congress on the feasibility of establishing lower rates for second- and third-class mail matter which uses recycled paper and materials.

Bill· HRH.R. 4494 (101st)open

To amend the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 to limit the liability under that Act of lending institutions acquiring facilities through foreclosure or similar means and corporate fiduciaries administering estates or trusts.

United States · United States Congress · 4 April 1990

Amends the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 to provide that the definition of "owner or operator" (for purposes of liability) does not include: (1) a designated lending institution which acquires control of a facility pursuant to the terms of a security interest held by the person in such facility or in connection with a lease subject to Federal or State banking authorities; (2) a corporate fiduciary which operates or has legal title to a facility pursuant to the terms of an estate or trust; (3) an individual or institution that serves as an indenture trustee and acquires control of a facility as the result of default on a financing document between the trustee and the issuing entity; and (4) an individual fiduciary who has legal title to a facility for purposes of administering an estate or trust.

Bill· HRH.R. 4471 (101st)referred

To make persons who are nationals of countries that are members of the European Community ineligible to certify products produced outside the United States for compliance with occupational safety and health standards and requirements established by the Secretary of Labor until the Secretary of Commerce certifies that the European community is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with product standards and requirements.

United States · United States Congress · 4 April 1990

Declares that, until the certification required by this Act is made, no national of a European Community (EC) member country shall be eligible to certify compliance of products produced outside the United States with any standard or requirement of specified provisions of the Occupational Safety and Health Act of 1970, the Longshore and Harbor Workers' Compensation Act, or the Contract Work Hours and Safety Standards Act. Requires those restrictions to remain effective until the Secretary of Commerce certifies to appropriate congressional committees that the EC is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with standards and requirements of the EC by laboratories in non-EC member countries.

Bill· HRH.R. 4474 (101st)referred

To make persons who are nationals of countries that are members of the European Community ineligible to test or certify products produced outside the Untied States for compliance with emission standards and requirements issued under the Clean Air Act, until the Secretary of Commerce certifies that the European Community is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with product standards and requirements.

United States · United States Congress · 4 April 1990

Declares that, until the certification required by this Act is made, no national of a European Community (EC) member country shall be eligible to perform testing for compliance, or to certify compliance of products produced outside the United States with any standard or requirement of specified provisions of the Clean Air Act. Requires those restrictions to remain effective until the Secretary of Commerce certifies to appropriate congressional committees that the EC is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with standards and requirements of the EC by laboratories in non-EC member countries.

Bill· HRH.R. 4473 (101st)referred

To make persons who are nationals of countries that are members of the European Community ineligible to certify products produced outside the United States for compliance with standards and requirements established by the food and Drug Administration for medical devices, electronic products, infant formula, animal feeds and drugs, drugs intended for human use, food, and color additives until the Secretary of Commerce certifies that the European Community is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with product standards and requirements.

United States · United States Congress · 4 April 1990

Declares that, until the certification required by this Act is made, no national of a European Community (EC) member country shall be eligible to certify compliance of products produced outside the United States with any standard or requirement of specified provisions of the Public Health Service Act or the Federal Food, Drug, and Cosmetic Act. Requires those restrictions to remain effective until the Secretary of Commerce certifies to appropriate congressional committees that the EC is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with standards and requirements of the EC by laboratories in non-EC member countries.

Bill· HRH.R. 4483 (101st)referred

Rural Nursing Incentive Act of 1990

United States · United States Congress · 4 April 1990

Rural Nursing Incentive Act of 1990 - Amends title XVIII (Medicare) of the Social Security Act to provide direct coverage under part B (Supplementary Medical Insurance) of the Medicare program of nurse practitioner or clinical nurse specialist services furnished in rural areas. Sets the Medicare payment for such services at 80 percent of the lesser of the actual charge or the prevailing charge that would have been recognized had the services been performed by a physician. Requires that such payments be made on an assignment-related basis.

Bill· HRH.R. 4475 (101st)referred

Medicare Physician Regulation Relief Amendments of 1990

United States · United States Congress · 4 April 1990

Medicare Physician Regulation Relief Amendments of 1990 - Amends title XVIII (Medicare) of the Social Security Act to require carriers and peer review organizations to release the medical review screen or the associated screening parameter to a physician before notifying such physician that payment for his or her service has been denied. Permits Medicare reimbursement of a patient's regular physician for services provided to such patient by another physician who occasionally covers for the regular physician. Requires Medicare carriers to provide physicians, upon request and without charge, with carrier-generated information which physicians need to submit a payment claim or respond to a carrier inquiry. Allows a medical society or other professional organization representing physicians to represent a group or class of physicians in Medicare payment determinations, reconsiderations, or appeals. Directs the Secretary of Health and Human Services to appoint, based on nominations submitted by national medical organizations representing physicians, a Practicing Physicians Advisory Council with which the Secretary must consult concerning changes in the Medicare program and proposed changes in regulations and carrier operation policies.

Bill· HRH.R. 4476 (101st)referred

To make persons who are nationals of countries that are members of the European Community ineligible to test or certify products produced outside the United States for compliance with certain standards and requirements of the Federal Communications Commission, until the Secretary of Commerce certifies that the European Community is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with product standards and requirements.

United States · United States Congress · 4 April 1990

Declares that, until the certification required by this Act is made, no national of a European Community (EC) member country shall be eligible to perform testing for compliance, or to certify compliance of products produced outside the United States with any standard or requirement of specified provisions of the Communications Act of 1934. Requires those restrictions to remain effective until the Secretary of Commerce certifies to appropriate congressional committees that the EC is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with standards and requirements of the EC by laboratories in non-EC member countries.

Bill· HRH.R. 4472 (101st)referred

To make persons who are nationals of countries that are members of the European Community ineligible to certify products produced outside the United States for compliance with energy conservation requirements prescribed under the Energy Policy and Conservation Act, until the Secretary of Commerce certifies that the European Community is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with product standards and requirements.

United States · United States Congress · 4 April 1990

Declares that, until the certification required by this Act is made, no national of a European Community (EC) member country shall be eligible to certify compliance of products produced outside the United States with any standard or requirement of specified provisions of the Energy Policy and Conservation Act. Requires those restrictions to remain effective until the Secretary of Commerce certifies to appropriate congressional committees that the EC is setting product standards and requirements in an open and fair manner and has established equitable rules for testing and certifying products for compliance with standards and requirements of the EC by laboratories in non-EC member countries.