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Official portrait of Rep. Bonker, Don [D-WA-3]

Rep. Bonker, Don [D-WA-3]

United States · Official source

Records

1,402 records where Rep. Bonker, Don [D-WA-3] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 3017 (100th)open

Marine Science, Technology and Policy Development Act of 1987

United States · United States Congress · 27 July 1987

Marine Science, Technology and Policy Development Act of 1987 - Amends the National Sea Grant College Program Act to declare the need for a national ocean strategy and to revise definitions under such Act. Expands coverage of the Act to include Great Lakes resources. (Current law covers ocean and coastal resources.) Authorizes the Under Secretary of Commerce for Oceans and Atmosphere to make grants and enter into contracts to carry out a sea grant strategic research plan. Requires the Under Secretary to develop and publish the plan every three years. Requires the plan to identify and describe a limited number of priority areas for strategic marine research. Requires consultation with Federal agencies, representatives of sea grant colleges, programs, and consortia, and other public and private interested parties. Requires the plan to be submitted to specified congressional committees. Describes the priority areas on which the plan is required to concentrate, including: (1) critical resource and environmental areas of national, international, or global scope where adequate funding is otherwise precluded under other provisions of the National Sea Grant College Program Act; and (2) areas where sustained programmatic research and technology transfer can be utilized. Describes graduate, post-graduate, Federal, congressional, and postdoctoral fellowships which the Under Secretary is required or permitted to support. Adds to the duties of the sea grant review panel the responsibility of giving advice with respect to applications, proposals, performance, grants, and contracts awarded under the sea grant strategic research plan. Makes changes regarding membership and terms of the panel. Authorizes the Under Secretary to provide annual grants to certain sea grant colleges, sea grant regional consortiums, or institutions of higher education having a sea grant program to improve and support curriculum offerings at the graduate level, support graduate students through scholarships and fellowships, and increase multidisciplinary research, all with regard to marine resource management. Limits the amount of any grant to any such institution in any year. Requires each institution receiving a grant to report annually and upon termination of the grant to the Under Secretary regarding the results of the activities to which the institution applied the grant. Authorizes appropriations for FY 1988 through 1990. Amends provisions of the Sea Grant Program Improvement Act of 1976 relating to the purposes of the Sea Grant International program to authorize grants and contracts to enhance international research, promote marine activities with foreign universities, encourage technology transfer, promote foreign data exchanges, or enhance regional collaboration regarding marine research between foreign nations and the United States. Permits the following organizations to apply for and receive financial assistance under this provision: (1) any sea grant college, sea grant program, and sea grant regional consortium; and (2) any institution of higher education, laboratory, or institution which is located within a State. Requires the Under Secretary, before approving an application under this provision, to consult with the Secretary of State.

Bill· HRH.R. 2999 (100th)open

African Elephant Conservation Act

United States · United States Congress · 23 July 1987

Elephant Protection Act - Directs the President to propose to the Convention on International Trade in Endangered Species that all trade in elephant products be suspended until accurate data demonstrate the stability of healthy elephant populations. Prohibits the knowing import, export, or sale of such products by any person subject to U.S. jurisdiction. Directs the Secretary of the Interior to administer this Act. Authorizes exceptions for scientific or survival purposes. Establishes civil and criminal penalties for violations of this Act. Grants enforcement authority to the Secretary, the Secretary of the Treasury, and the Coast Guard. Subjects to forfeiture items possessed, sold, shipped, received, imported, exported, or carried in violation of this Act and vehicles used to aid such activities. Authorizes the charging of permit fees. Authorizes citizen suits to enforce this Act. Preempts State law.

Resolution· HCONRESH.Con.Res. 157 (100th)referred

A concurrent resolution to express strong support for the cabotage laws protecting the coastwide trade to vessels of American construction, crewing, and documentation, and to support the Administration's policy in the U.S.-Canadian free trade talks that the coastwise trade not be opened to Canadian vessels.

United States · United States Congress · 9 July 1987

Urges the administration to continue to reject efforts by Canadian negotiators to: (1) have the U.S. cabotage trades, including the transport of energy resources, opened to Canadian vessels; and (2) eliminate the ad valorem duty on vessel repairs performed in Canadian shipyards.

Bill· HRH.R. 2888 (100th)open

Nuclear Waste Policy Commission Act of 1987

United States · United States Congress · 1 July 1987

Nuclear Waste Policy Commission Act of 1987 - Prohibits any expenditures from the Nuclear Waste Fund (or any other source) for site-specific activities until the Nuclear Waste Policy Review Commission (established by this Act) has submitted a specified report to the Congress, and the Congress authorizes the resumption of such activities after reviewing the report. Establishes the Nuclear Waste Policy Review Commission and makes it responsible to the Congress. States that the Commission's function shall be to examine the Nation's progress in the disposal of high-level radioactive waste and spent nuclear fuel and to make recommendations to the Congress. Details the scope of the Commission's review. Outlines the manner in which the Commission shall administer its affairs. Requires the Commission to submit a comprehensive report to the Congress within 18 months after the date of enactment of this Act. Authorizes appropriations to implement this Act for FY 1988 through 1990.

Bill· HRH.R. 2854 (100th)referred

Ozone Protection and CFC Reduction Act of 1987

United States · United States Congress · 30 June 1987

Ozone Protection and CFC Reduction Act of 1987 - Amends the Internal Revenue Code to impose an excise tax on: (1) any ozone-depleting chemical sold or used by its manufacturer, producer, or importer; and (2) any substance sold or used by its importer if its manufacture or production included the use of any ozone-depleting chemical. Fixes the rate of such tax at an amount equal to a base amount, adjusted annually for inflation, times the ozone-depletion factor for the pertinent chemical, as determined in accordance with this Act. Describes the criteria to be used for determining which substances will be considered as ozone-depleting chemicals for purposes of the excise tax. Lists specific chlorofluorocarbons to be included among such chemicals. Exempts from the tax: (1) certain products containing a de minimis amount of ozone-depleting chemicals; and (2) chemicals diverted or recovered in the United States as part of a recycling process. Imposes a floor stocks tax on ozone-depleting chemicals: (1) on which tax would be due if sold by the manufacturer on the effective date of the tax; and (2) which are held on such date for sale by a dealer. Sets the amount of such inventory tax to equal the excise tax amount.

Bill· HRH.R. 2828 (100th)referred

Telecommunications Employees' Protection Act of 1987

United States · United States Congress · 29 June 1987

Telecommunications Employees' Protection Act of 1987 - Amends the Communications Act of 1934 to establish certain reemployment rights for employees who have lost employment as a consequence of the divestiture of the Bell system. Requires, to the extent that the dominant long distance common carrier (AT&T), the regional common carriers, the Bell operating companies, or their respective subsidiaries and affiliates (all of which shall be called the "telecommunications companies") continue to need the work of eligible protected positions performed, that such work be performed by employees of such companies. Requires the telecommunications companies (after any appropriate seniority, layoff and recall, or force adjustment provisions in applicable collective bargaining agreements have been satisfied) to afford to eligible protected employees the first right of hire for any eligible protected positions for which they are qualified by training and experience over any persons who have not theretofore been employees of such companies. Defines eligible protected employee as one who on December 31, 1983, was serving in an eligible position as an employee of one of the telecommunications companies, and who has been or is laid off or terminated for other than cause. Requires the telecommunications companies to credit eligible protected employees as possessing the training and experience they would normally have acquired in their former position had they not been laid off or terminated since December 31, 1983. Makes service credit the basis of selection if training and experience are substantially equal. Provides that, upon rehire, an eligible protected employee shall be subject to any seniority, layoff and recall, or force adjustment provisions contained in any applicable collective bargaining agreements. Requires the monthly listing of eligible protected positions in an available and accessible manner. Requires the telecommunications company which laid off or terminated them to pay moving expenses and certain reimbursement payments to eligible protected employees who must relocate in order to fill eligible protected positions. Provides for a certain base wage upon rehiring of an eligible protected employee. Provides for civil enforcement of this Act in a U.S. district court.

Bill· HRH.R. 2800 (100th)referred

Waste Reduction Act of 1988

United States · United States Congress · 25 June 1987

Hazardous Waste Reduction Act - Requires filings of the annual toxic chemical release forms required under the Superfund Amendments and Reauthorization Act of 1986 to include a toxic chemical waste reduction and recycling report for each listed toxic chemical for the preceding calendar year. Requires such report to include information on a facility-by-facility basis as to the amounts and disposition of each toxic chemical, including levels of waste reduction and recycling achieved and expected. Requires that toxic chemical waste reduction practices be delineated according to set categories, such as equipment, redesign, and substitution of raw materials. Requires the inclusion of a production index for each toxic chemical waste and a list of techniques used to identify waste reduction opportunities. Provides protection for trade secrets. Directs the Administrator of the Environmental Protection Agency (EPA) to establish a central receiving facility at EPA for the storage and retrieval of waste management program information. Requires the Administrator to collect, coordinate, and consolidate data collection requirements under environmental statutes. Requires all such information to be compiled into a data base organized on an industry-by-industry basis according to Standard Industrial Classifications and on a waste stream basis. Directs the Administrator to establish a Waste Reduction and Recycling Clearinghouse Program to include information on approaches to waste reduction and recycling and information from States receiving grants for technical assistance programs. Requires the Clearinghouse to be actively involved in technology transfer and the development of waste reduction technologies. Requires the Administrator to make matching grants to States for innovative waste reduction programs. Requires such programs to make specific and targeted technical assistance available to businesses as well as for funding experts and research and providing training. Directs the Administrator to report annually to the Congress on the waste reduction information gathered pursuant to this Act. Requires such report to include a profile of waste reduction levels on an industry-by-industry basis and identify priorities as to industries, pollutants, and research. Establishes the Office of Waste Reduction within EPA to collect waste reduction plans and information from other EPA offices on an industry-by-industry basis, administer the clearinghouse and State grants programs, and carry out other related responsibilities including improving EPA's ability to evaluate multi-media waste management practices and the potential for waste reduction through information collection and retrieval. Authorizes appropriations.

Resolution· HRESH.Res. 213 (100th)referred

A resolution concerning Leonid Brailovsky.

United States · United States Congress · 25 June 1987

Expresses the sense of the House of Representatives that the President and the Secretary of State should express to the Soviets: (1) U.S. opposition to the Soviet Union's treatment of Leonid Brailovsky and all those who have applied to emigrate from the Soviet Union; (2) the U.S. desire that the Soviets allow Leonid Brailovsky and his family to emigrate to the United States; and (3) the U.S. desire that the Soviet Union cease the harassment of Soviet Jews and Christians seeking to emigrate.

Resolution· HCONRESH.Con.Res. 149 (100th)reported

A concurrent resolution expressing the sense of the Congress regarding the promotion of democracy in the Republic of Panama.

United States · United States Congress · 25 June 1987

Expresses the sense of the Congress that: (1) the people of the United States are committed to promoting democracy in all the Americas; (2) promotion of democracy in Panama would be best served by support for democratic institutions in accordance with the Panamanian constitution; (3) respect for internationally recognized human rights is an essential precondition to democracy in Panama; (4) a full and objective Panamanian investigation into allegations of wrongdoing should be conducted; and (5) the United States remains firmly committed to honoring its treaties with Panama.

Bill· HRH.R. 2762 (100th)referred

Medicare Long-Term Home Care Catastrophic Protection Act of 1987

United States · United States Congress · 24 June 1987

Medicare Long-Term Home Care Catastrophic Protection Act of 1987 - Amends part A (Hospital Insurance) of title XVIII (Medicare) of the Social Security Act to provide part A coverage of long-term home care furnished through home health agencies to chronically ill individuals who are under a physician's care. Requires physicians to establish and periodically review a written plan of long-term home care for each of their patients who receive such coverage. Lists the services which comprise long-term home care. Defines a "chronically ill individual" as an individual who requires assistance with at least two daily living activities or has a similar level of dependency due to cognitive impairment. Holds monthly payments for long-term home care to 75 percent of the average monthly payment under the Medicaid program (title XIX of the Act) for skilled nursing facility services. Amends title II (Old Age, Survivors and Disability Insurance) of such Act to cover, under part A of the Medicare program, long-term home care provided to children who: (1) are chronically ill and require assistance with at least two daily living activities; or (2) require a medical device to compensate for the loss of a vital body function and substantial and ongoing nursing care to avert death or further disability. Holds monthly payments for the latter category of children to the amount which would be payable under the Medicaid program if such children were institutionalized. Adds a new title XXI to the Social Security Act entitled "Home Care Quality Assurance." Requires the Secretary of Health and Human Services to promulgate a home care consumers' bill of rights which includes rights: (1) facilitating consumer participation in the planning and delivery of services; (2) requiring consumer notification regarding services, charges for services, and the termination or reduction of services; (3) protecting consumer dignity, privacy, and property; and (4) ensuring service from properly trained and competent individuals. Requires home health agencies to: (1) satisfy Medicare home care agency requirements; (2) provide consumers with copies of the home care bill of rights; (3) implement grievance review procedures and provide copies of such procedures to consumers; (4) provide consumers with schedules of the services to be provided; (5) have methods for identifying and reviewing a home care consumer's needs and coordinating the provision of services with other home health agencies; (6) ensure that each home care provider whom they employ or have under contract receives training; and (7) evaluate annually and supervise each home care provider whom they employ or have under contract. Conditions coverage of durable medical equipment services on providers: (1) issuing written instructions to and training the home care consumer and staff in the operation of such equipment; and (2) formulating an emergency plan for providing services to the consumer. Directs the Secretary to establish procedures for conducting an equal number of announced and unannounced surveys of a home health agency's compliance with title XXI participation conditions, with more frequent surveys required for agencies with poor compliance records. Authorizes the Secretary to contract with States having survey procedures equivalent to those the Secretary would otherwise apply to conduct such compliance surveys and transmit their results to the Secretary annually. Directs the Secretary to develop procedures for reviewing State surveys, with more frequent review required if peer review organizations (PROs) find at least ten percent of State-surveyed agencies to have serious or chronic quality of care problems. Directs the Secretary to promulgate regulations, within one year of this Act's enactment, pursuant to which PROs shall monitor the provision of home health services, devoting at least 75 percent of their efforts to quality assurance. Requires the inclusion of: (1) both documentary review and personal interviews of home care consumers and providers in the PRO review process; and (2) representatives of home care providers and consumers in PRO membership. Requires the Secretary to establish a Consumer Board to oversee the review activities of PROs. Directs the Board to report to the Secretary and the State's chief executive on October 1 of each year regarding such review activities. Requires the Secretary to develop methods for monitoring continuity in the provision of health care and outcome-orientated criteria for monitoring the quality of home care. Requires that PROs: (1) establish and operate statewide toll-free hotlines for receiving home care questions and complaints; and (2) assist consumers in resolving home care quality problems. Directs Consumer Boards and PROs to cooperate with State and local officials in educating consumers regarding quality assurance programs and the assistance available for consumers with quality assurance problems. Requires the Secretary to issue regulations which impose sanctions against agencies and providers failing to comply with this Act. Requires the Secretary to report to the Congress on January 1 of each year regarding the availability, adequacy, and use of sanctions. Requires the Secretary to develop incentives to contractor compliance with title XXI participation conditions, including an annual directory of home care agencies having a consistent record of compliance with such conditions. Directs the Secretary to: (1) encourage States to develop home care provider licensing and certification policies; and (2) issue a biennial report on State implementation of such policies. Establishes a Home Care Quality Assurance Council with which the Secretary must consult in implementing and administering title XXI of the Social Security Act. Directs the Secretary to award grants for home care agency and provider training programs and to furnish States and home health agencies and providers with training materials. Directs the Secretary to: (1) conduct, and issue a report regarding, studies on home care quality assurance measures; and (2) report to the Congress on January 1 of each year regarding the nature and performance during the preceding fiscal year of the home care quality assurance system. Authorizes appropriations from the Federal Hospital Insurance Trust Fund to carry out title XXI. Directs the Secretary to issue regulations by 1988 for implementing title XXI. Permits disabled individuals to purchase part A (Hospital Insurance) Medicare coverage during the 24-month waiting period preceding their entitlement to such coverage. Amends the Internal Revenue Code to subject all of an individual's wages and self-employment income to the Hospital Insurance tax.

Bill· HRH.R. 2764 (100th)referred

A bill to authorize the Federal Trade Commission to conduct a study and prepare reports respecting insurance sales to the elderly.

United States · United States Congress · 24 June 1987

Requires the Federal Trade Commission to conduct a comprehensive study into: (1) the use of potentially unfair, deceptive, or misleading practices in the marketing and sale of insurance to the elderly, including the marketing and sale of Medicare (title XVIII of the Social Security Act) supplemental health insurance, and the effectiveness of State and Federal efforts to combat such practices; (2) the relationship of the premiums for such health insurance to the claims paid; (3) the effect on such health insurance of Medicare or catastrophic health care legislation enacted in the 100th Congress; and (4) the appropriateness of extending the standards imposed on Medicare supplemental health insurance policies to other health insurance policies. Requires the Commission to report the results of such study to the Congress within one year of this Act's enactment.

Resolution· HCONRESH.Con.Res. 146 (100th)referred

A concurrent resolution supporting the intiative of President Oscar Arias Sanchez of Costa Rica to end armed conflict in Central America and encouraging the participation of all regional states in a timely meeting to pursue a negotiated settlement of the conflict in Central America.

United States · United States Congress · 23 June 1987

States that the Congress: (1) congratulates President Oscar Arias Sanchez of Costa Rica on the contribution he has made by his initiative toward ending armed conflict, and reinforcing democracy, in Central America; and (2) supports the purpose of the initiative and urging all Central American countries to actively participate in a rescheduled summit meeting to discuss the initiative and to cooperate in the effort to reach a negotiated settlement of the conflict in Central America.

Bill· HRH.R. 2737 (100th)open

Continental Scientific Drilling and Exploration Act

United States · United States Congress · 22 June 1987

Continental Scientific Drilling and Exploration Act - Directs the Secretary of Energy, the Secretary of the Interior through the United States Geological Survey, and the Director of the National Science Foundation to implement the policies of the proposed Continental Scientific Drilling Program of the United States relating to earth science research and technological development. Prescribes guidelines for such implementation, including: (1) taking action to assure an effective cooperative effort in furtherance of the Program; (2) taking administrative and financial measures to assure the effective functioning of the Interagency Accord on Continental Scientific Drilling; (3) assuring the continuing operation of the Interagency Coordinating Group; and (4) assuring that the Interagency Coordinating Group receives appropriate Federal agency cooperation. Requires a report to the Congress within 180 days of enactment which describes: (1) policy objectives; (2) projected schedules of scientific and engineering events that would advance Program objectives; (3) resources and funding levels needed for projected schedules of events and Program policy objectives; and (4) cooperation with the international community.

Bill· HRH.R. 2717 (100th)open

Federal Election Campaign Amendments of 1987

United States · United States Congress · 18 June 1987

Federal Election Campaign Amendments of 1987 - Amends the Federal Election Campaign Act of 1971 to provide for voluntary expenditure limitations and partial public financing for House of Representatives general elections. Sets forth eligibility requirements for public financing, including that a candidate: (1) has not and will not make expenditures in excess of limitations; (2) has not and will not accept contributions in excess of limitations; (3) will deposit all payments in a separate checking account; (4) will furnish campaign records, evidence of contributions, and other appropriate information to the Federal Election Commission; and (5) will cooperate in any audit and examination conducted by the Commission. Requires eligible candidates to certify to the Commission that: (1) during the period beginning on January 1 of the calendar year preceding the year of a general election, such candidate and the authorized committees of the candidate have received contributions aggregating ten percent of the spending limitation; (2) 80 percent of such contributions have come from individuals residing in the candidate's State; and (3) at least one other candidate has qualified for the ballot. Makes special rules for special elections. Provides that a contribution may not be counted unless: (1) it is made on a written instrument identifying the person making the contribution; (2) it is not considered a contribution by an intermediary or conduit; (3) it is made by an individual and does not exceed the aggregate of $250; and (4) it was received after January 1 of the year preceding the election. Makes special rules for special elections. Prohibits candidates who receive payments from spending more than $40,000 from personal funds during the election cycle. Prohibits such candidates from spending more than $400,000 in the aggregate during the election cycle, or additional expenditures of not more than $150,000 in a primary runoff election. Declares that if independent expenditures are made during an election cycle in opposition to an eligible candidate, or for the opponent of a eligible candidate, which exceed $10,000, the eligible candidate may make additional expenditures above the spending limit in an equal amount. Entitles eligible candidates to: (1) matching payments up to 50 percent of the spending limit in amounts equal to contributions from individuals, not given through intermediaries or conduits, in amounts of $250 or less; (2) additional payments when $10,000 or more of independent expenditures are made in the general election in opposition to, or on behalf of an opponent of, such candidate; (3) additional payments if any candidate in the general election receives contributions or makes expenditures in excess of limitations; and (4) reduced rates for mailings made during the general election period. Declares that payments to eligible candidates may only be used to defray expenditures incurred with respect to the general election period. Requires the Commission to certify the eligibility of a candidate to the Secretary of the Treasury for payments under this Act. Directs the Secretary to maintain the House of Representatives Election Campaign Account in the Presidential Election Campaign Fund to make payments of certified amounts. Requires the Commission, after each general election, to audit ten percent of the eligible candidates by random selection. Requires the Commission to audit each eligible candidate after a special election. Provides for candidates to repay the Commission for excess expenditures. Provides for judicial review of Commission actions by the United States District Court for the District of Columbia, and for the Commission to participate in judicial proceedings. Directs the Commission to report to the House of Representatives after each election setting forth: (1) expenditures made by the candidates and their authorized committees; (2) payments made by the Commission; (3) the amounts of any repayments; and (4) the balance in the Presidential Election Campaign Fund and any account maintained in such Fund. Authorizes appropriations. Requires each candidate to file a declaration with the Commission on whether or not such candidate intends to make expenditures in excess of limitations. Requires each candidate who is not an eligible candidate and who receives aggregate contributions or makes aggregate expenditures which would exceed the spending limits to report to the Commission within a specified time schedule. Directs the Commission to notify each eligible candidate about such report and certify to the Secretary any additional payments to which an eligible candidate is entitled. Authorizes the Commission to make its own determinations on whether or not a candidate has exceeded spending limitations. Requires any person who makes independent expenditures in excess of $5,000 to report to the Commission within 24 hours after making them. Requires the Commission to notify each eligible candidate of such expenditures. Requires, when two or more persons make an independent expenditure in coordination, consultation, or concert with regard to a House election, that each person report to the Commission when such amount exceeds $5,000. Requires each political committee which maintains a separate account for activities in non-Federal elections to file with the Commission reports of funds received into and disbursements made from such account for activities which may influence an election to a Federal office. Describes such activities as: (1) voter registration and get-out-the-vote drives; (2) general public political advertising; and (3) any other activities which require an allocation of costs between a political committee's Federal and non-Federal accounts. Prohibits a person other than a multicandidate political committee from making contributions to a House candidate in excess of $2,000 with respect to a single election cycle. Revises the total amount of contributions a multicandidate political committee may make: (1) to a candidate for the House to $5,000 per election and $10,000 per election cycle; and (2) to the political committees of a national political party from $15,000 to $30,000 in a calendar year. Applies the limitations on expenditures by national party committees to general public political advertising which clearly identifies by name an individual who is, or is seeking nomination to be, a candidate in the general election for President, Senator, or Representative. Declares that such limitations do not apply to direct mail communications designed primarily for fundraising purposes which only make incidental reference to Federal candidates. Prohibits a candidate for the House from accepting any contribution from a nonparty multicandidate political committee with respect to an election cycle which exceeds $100,000 ($125,000 if at least two candidates qualify for the primary and the general election). Limits such contributions to $40,000 for any primary runoff election. Prohibits a candidate for Federal office from establishing, maintaining, or controlling a political committee, other than the candidate's authorized committees or a committee of a political party. Provides for the accountability of contributions made by intermediaries or conduits. Describes when an independent expenditure is not an independent expenditure if there is any type of arrangement, coordination, direction, advice, or counseling directly or indirectly between a candidate and the person making the expenditure. Requires, when independent expenditures are made for television broadcast communications, that a statement appear continuously during such broadcast showing the name of the person or committee making such expenditure. Requires any type of general public print communication paid for by independent expenditure to include such a statement, plus a statement that the cost of presenting such statement is not subject to contribution limits. Amends the Internal Revenue Code of 1986 to increase the amount an individual may designate to the Presidential Election Campaign Fund from $1 to $2 (and in the case of joint returns, from $2 to $4). Amends the Communications Act of 1934 to require House candidates, in order to qualify for special broadcast rates, to be clearly identifiable during substantial portion of the time of broadcast.

Bill· HRH.R. 2716 (100th)referred

Trade Reorganization Act of 1987

United States · United States Congress · 18 June 1987

Trade Reorganization Act of 1987 - Title I: General Provisions - Sets forth the congressional findings and purposes of this Act. Title II: Department of Commerce and Trade - Establishes the Department of Commerce and Trade to be administered by the Secretary of Commerce and Trade (the Secretary). Sets forth the functions of the Secretary including: (1) exercising responsibility for international trade matters, except for responsibilities delegated to the Secretary of Agriculture; (2) analyzing economic and sectoral trends; (3) developing and implementing commercial policies to expand U.S. business and employment opportunities; (4) promoting new opportunities for U.S. products and services to compete in the world marketplace; (5) assisting small businesses in developing export markets; and (6) administering U.S. laws relating to trade. Requires the Secretary to be Deputy Chair of the National Advisory Council on International Monetary and Financial Policies. Directs the Secretary to consult with the Secretary of Agriculture on all matters which potentially involve international trade in agricultural products. Authorizes the Secretary to assign the head of a Federal agency the responsibility for an international trade negotiation if the subject of the negotiation is related to the functions of the agency. Provides for three Deputy Secretaries of Commerce and Trade and two Under Secretaries of Commerce and Trade. Limits the number of Assistant Secretaries of Commerce and Trade to eight. Provides for a General Counsel, Inspector General, Chief Negotiator for Textile Matters, Director General of the United States and Foreign Commercial Service, and Agricultural Adviser. Sets forth their functions. Transfers to the Secretary: (1) all functions of the U.S. Trade Representative and the Office of the U.S. Trade Representative; and (2) specified functions of the Department of Commerce. Sets forth administrative provisions governing the Department of Commerce and Trade. Provides for delegation of the Secretary's authority and succession of officers of the Department of Commerce and Trade. Authorizes the Secretary to: (1) reorganize the Department, under certain conditions; (2) prescribe regulations; (3) establish a working capital fund; (4) transfer funds, subject to certain limitations, within the Department; (5) make contracts and payments; (6) accept gifts and bequests, under certain circumstances; and (7) issue publications. Provides for: (1) the Secretary's use of public and private resources; (2) departmental field offices; and (3) travel expenses. Authorizes other entities to use the resources of the Department under certain conditions. Directs the Secretary to report annually to the President on the activities of the Department. Establishes in the Executive Office of the President an Office of the Assistant to the President for International Trade who shall provide the President with policy options on international trade matters and, in cooperation with the Trade Policy Committee, coordinate those policies and activities affecting international trade that are carried out by Federal agencies. Amends the Trade Expansion Act of 1962 to establish in the Executive Office of the President a Trade Policy Committee to assist the President in carrying out certain trade functions. Directs the Trade Policy Committee to pay particular attention to expanding the responsibilities of the Department of Agriculture in matters affecting international trade. Sets forth the membership of the Trade Policy Committee. Amends the Export-Import Bank Act of 1945 to change the membership of the Board of Directors of the Export-Import Bank to include a Deputy Secretary of the Department of Commerce and Trade. Amends the Foreign Assistance Act of 1961 to give the Secretary authority to give policy guidance to the Overseas Private Investment Corporation (OPIC). Directs OPIC to carry out a specified trade development program. Makes an Under Secretary of Commerce and Trade the Vice Chairman of OPIC's Board of Directors, ex officio. Amends the Bretton Woods Agreement Act to direct the U.S. executive director of the International Monetary Fund (IMF) to consult with the Secretary on matters under consideration by the IMF which relate to trade. Directs the Secretary of Agriculture, with respect to agricultural trade matters, to: (1) report directly to the President and the Congress; (2) keep the advisers to U.S. delegations to trade conferences informed on U.S. negotiating objectives, the status of negotiations, and the nature of any recommended changes in domestic law or regulations; and (3) consult with State and local governments and other interested parties concerning international agricultural trade matters. Makes certain technical and conforming amendments, repeals certain authority and makes certain terminations. Title III: Transitional, Savings and Conforming Provisions - Makes certain transitional, savings, and conforming amendments. Title IV: Miscellaneous - Sets forth definitions and effective dates. Provides for interim appointments and compliance with the budget. Authorizes appropriations.

Resolution· HRESH.Res. 199 (100th)open

A resolution expressing the sense of the House of Representatives regarding the Soviet Union's treatment of Jews who wish to emigrate to Israel, particularly those individuals given long-term or permanent refusals on the grounds of "possessing state secrets".

United States · United States Congress · 17 June 1987

Expresses the sense of the House of Representatives that the President should express to the Soviets: (1) the U.S. opposition to the Soviet Union's treatment of certain individuals and the Soviets' refusal to permit these individuals, their families, and other families to emigrate to Israel; (2) the U.S. desire that the Soviet Union comply with specified human rights agreements by permitting such individuals to emigrate to Israel; and (3) the U.S. desire that the Soviet Union cease harassing Soviet Jews seeking to emigrate and denying human rights to Soviet Jews.

Bill· HJRESH.J.Res. 317 (100th)referred

A joint resolution to designate June 16, 1987, as "Soweto Remembrance Day".

United States · United States Congress · 16 June 1987

Designates June 16, 1987, the 11th anniversary of the Soweto demonstrations and Massacre in South Africa, as Soweto Remembrance Day. Encourages Americans to participate in local activities designed to commemorate the martyrs of Soweto and to show solidarity with those who are fighting to end apartheid.

Bill· HJRESH.J.Res. 310 (100th)referred

A joint resolution declaring that the requirements of section 4(a)(1) of the War Powers Resolution apply to the protection of reflagged vessels in the Persian Gulf by United States Armed Forces.

United States · United States Congress · 10 June 1987

Provides that any use of U.S. armed forces to escort, defend, or otherwise protect any reflagged vessel in the Persian Gulf: (1) constitutes the introduction of U.S. armed forces into hostilities or situations where imminent involvement in hostilities is clearly indicated by the circumstances; and (2) requires the submission to the Congress of a report pursuant to the War Powers Resolution.

Law· HRH.R. 2598 (100th)enacted

Commercial Fishing Industry Vessel Anti-Reflagging Act of 1987

United States · United States Congress · 4 June 1987

Commercial Fishing Industry Vessel Anti-Reflagging Act of 1987 - Amends the Magnuson Fishery Conservation and Management Act to revise the definition of "vessel of the United States" to insert references to specific provisions of existing law and to include any vessel not equipped with propulsion machinery and used exclusively for pleasure. Amends Federal law to revise the definition of "fisheries" to include processing, storing, and transporting of currently-specified marine life and objects. Declares that a provision of Federal law listing construction in the United States as one of several criteria for authorizing issuance of either a fishery license or an appropriately endorsed registry shall apply to a fish processing or fish tender vessel which was, before enactment of this Act, documented under certain provisions and operated as a fish processing or fish tender vessel in the navigable waters of the United States or the Exclusive Economic Zone. Amends Federal law to substitute fish processing and tender vessels for whaling vessels in an exemption to a provision relating to the percentage of unlicensed seamen on each departure of a documented vessel from a port of the United States who must be U.S. citizens. Requires, subject to exception, on a fishing, fish processing, or fish tender vessel which is documented and engaged in the fisheries in the navigable waters of the United States or the Exclusive Economic Zone, regardless of the port of departure, that 75 percent of the seamen must be citizens of the United States.

Bill· HRH.R. 2577 (100th)open

Economic Equity Act of 1987

United States · United States Congress · 2 June 1987

Economic Equity Act of 1987 - Title I: Work - Subtitle A: Pay Equity - Federal Equitable Pay Practices Act of 1987 - Establishes the Commission on Equitable Pay Practices to determine whether the Government's position-classification system and prevailing rate system are designed and administered in accordance with the general policy that sex, race, and ethnicity should not be among the factors considered in determining pay rates. Requires the Commission to conduct, by contract with a consultant selected under this Act, a study under which job-content analysis and economic analysis shall be applied to a representative sample of occupations in which: (1) either sex is numerically predominant; or (2) any race or ethnic group is disproportionately represented. Directs the Commission to report to the Congress and the President on the results of such study not later than 18 months after the Commission's date of establishment. Declares that such study shall be considered of an advisory nature only. Terminates the Commission 90 days after its submission of the required report. Makes sums appropriated to the Office of Personnel Management for general operating expenses available to carry out this Act. Establishes the Commission on Employment Discrimination in the Legislative Branch to carry out similar duties with respect to job classification and the personnel policies and practices in the Library of Congress. Requires the Commission to submit its final report to the Congress within 18 months. Terminates the Commission 30 days after submission of the report. Subtitle B: Women in Business - Amends the Equal Credit Opportunity Act to prohibit the Board of Governors of the Federal Reserve System from exempting from such Act any class of credit transactions that are primarily for personal, family, or household purposes. Permits the Board to exempt (for five years) a type or class of business or commercial transaction only after determining that application of such Act to such transaction would not contribute substantially to effecting the purposes of such Act. Subtitle C: Part-Time and Temporary Workers - Part-Time and Temporary Workers Protection Act of 1987 - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to bring certain part-time employees within the participation, vesting, and accrual rules governing pension plans. Addresses any employee who, within a relevant 12-month period: (1) has customarily completed more than 500 but fewer than 1,000 hours of service; or (2) is employed in a type of position in which employment customarily consists of such a number of hours. Provides that completion of such hours of service will be treated as completion of 1,000 hours of service (thereby bringing the employee within the ERISA benefit framework). Permits a reduction in the employer-provided premium under a group health plan in the case of a part-time employee only when such employee: (1) has customarily completed fewer than 30 hours of service per week; or (2) is employed in a type of position in which employment customarily consists of such a number of hours. Limits such a premium reduction, when permissible, to not less than a ratable portion of the premium ordinarily provided in the case of an employee who completes 30 hours of service per week. Revises the ERISA definition of "employee" to include non-employees who, pursuant to a contract or agreement, provide employee-like service to an employer for at least one year at the rate of 500 or more hours per year. Subtitle D: Economic Security - Social Security Modernization Act - Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to provide that the combined earnings of a married couple which are attributable to the period of their marriage shall be shared equally between them for purposes of determining the eligibility for, and amount, of OASDI benefits to which each spouse is or may become separately entitled. Credits the survivor of the marriage with 100 percent of the combined total wages for the period of the marriage. Provides that these provisions shall not apply in specified cases when it would result in a reduction of OASDI benefits. Repeals the separate definition of disability applicable to widows and widowers. Permits the months of a widow's or widower's entitlement to Supplemental Security Income benefits (title XVI of the Social Security Act) on the basis of a disability to be counted toward the 24 months needed to become entitled to hospital insurance benefits under Medicare (title XVIII of the Social Security Act) on that basis. Pension Reform Act of 1987 - Amends the Tax Reform Act of 1986 to extend to all accrued benefits existing in plan year 1989 and thereafter the amendments made with regard to the nondiscriminatory coordination of defined contribution plans with Old Age, Survivors and Disability Insurance (OASDI). Amends the Internal Revenue Code (IRC) to repeal provisions that permit a certain disparity in simplified employee pension plan contributions with respect to nondiscriminatory coordination with OASDI. Provides for the repeal, effective for plan year 2000 and thereafter, of IRC rules relating to: (1) the nondiscriminatory coordination of defined contribution plans with OASDI; and (2) pension integration exceptions. Amends the IRC to establish distinct minimum employee coverage requirements applicable in cases when an employer with respect to a plan is treated as operating a single line of business. Requires such a plan to benefit all the employer's employees. Limits the exception to minimum coverage requirements available to employers treated as operating separate lines of business for a year. Amends the IRC and the Employee Retirement Income Security Act of 1974 to eliminate the special vesting requirements governing multiemployer plans. Directs the Comptroller General of the United States, as soon as possible after this Act's enactment, to undertake thorough studies with respect to: (1) possible methods of requiring employee pension plans to provide cost of living and other adjustments to plan benefits; and (2) potential pension portability mechanisms, including ways to preserve and enhance the real value of deferred vested pension benefits. Lists specific items to be addressed in each study. Requires submission of the studies to specified congressional committees within two years of this Act's enactment. Medicaid Community Property and Respite Care Act of 1987 - Amends title XIX (Medicaid) of the Social Security Act to provide that in determining an institutionalized spouse's Medicaid eligibility the income and resources held by either or both the institutionalized spouse and the community spouse shall (with specified exceptions) be divided equally. Furnishes the community spouse with a monthly income allowance from the institutionalized spouse's income to the extent the community spouse's income falls short of a minimum monthly needs allowance set by the States to equal at least 200 percent of one-twelfth of the Federal poverty level. Gives the institutionalized spouse the right to a hearing to establish that the allowance is not adequate to support the community spouse without duress, so that an adequate amount of support will be substituted for the allowance. Prohibits the allowance from being less than court-ordered support payments. Authorizes the institutionalized spouse to transfer resources to the community spouse to the extent the median net worth of male householders age 65 or older, as determined by the Bureau of the Census, exceeds the amount of resources otherwise available to the community spouse. Authorizes States to provide Medicaid coverage for up to 30 days of respite care per year. Nondiscrimination in Insurance Act - Bans discrimination on the basis of race, color, religion, sex, or national origin in the consideration of applications for, or the granting of, insurance policies and the terms of such policies. Prohibits the use of any statistical table as a basis for action banned by this section, and discrimination in any manner against a person because that person has opposed any practice made unlawful under this section. Grants to States having insurance discrimination laws the primary opportunity to enforce the pertinent prohibitions. Permits a civil action against the insurer to be filed in State or Federal court by or on behalf of an aggrieved person. Authorizes the Attorney General to bring a civil action in district court (without regard to the amount in controversy) when there is reasonable cause to believe that a person or group is engaged in a pattern or practice of violating these rights and that such violation raises an issue of general public importance. Directs the Court to: (1) order the defendant to amend any relevant contract to comply with these provisions; (2) award actual damages for the period of noncompliance; and (3) award the aggrieved person reasonable attorney fees. Authorizes an award of punitive damages, in addition to actual damages. Describes rights, liabilities, premiums, benefits, and insurance coverages that are not to be affected by these antidiscrimination provisions. Federal Council on Women Act - Establishes a Federal Council on Women to: (1) collect and evaluate information with respect to any problems that are particular to women in the United States; (2) review and evaluate Federal policy related to any such problems; (3) coordinate the activities of the Council with similar activities conducted by States, local governments, and concerned organizations; and (4) make recommendations. Directs the Council to report its findings and recommendations to the Congress. Authorizes appropriations. Title II: Family and Dependent Care - Subtitle A: Quality of Dependent Care - Amends the Omnibus Budget Reconciliation Act of 1981 to: (1) authorize FY 1988 appropriations for allotments to the States for certain dependent care services; and (2) permit grants to eligible non-profit training and technical assistance to family day care providers and associated individuals. Amends the Social Security Act to increase authorizations for FY 1988 and thereafter for block grants to the States for social services. Earmarks a specified portion of such funds for grants to improve State child-care licensing and regulatory systems. Requires as a condition of eligibility for such grants, with limited exceptions specified in this Act, the establishment of a State Advisory Committee on Child-Care Standards to review a State's child-care licensing and regulatory systems. Requires reports by such committees. Establishes a National Advisory Committee on Child-Care Standards to assist and provide guidance to the States in improving the quality of child-care services. Requires the National Advisory Committee to submit to the Secretary of Health and Human Services proposed recommended standards for child-care programs within 14 months after the enactment of this Act. Terminates the National Advisory Committee 90 days after the publication by the Secretary of final recommended standards. Subtitle B: Access to Dependent Care for All Families - Amends Internal Revenue Code provisions relating to the income tax credit for employment-related dependent care expenses to: (1) make the credit refundable; (2) increase the amount of the credit from 30 percent to 50 percent of the relevant expenses, reduced (but not below 20 percent) by one percent for each full $1,000 amount by which the taxpayer's adjusted gross income (AGI) exceeds $15,000, subject to an annual adjustment for inflation (the current reduction is one percent for each $2,000 in excess of $10,000 AGI with no provision for a cost of living adjustment); and (3) apply the credit to expenses for certain respite care of qualifying dependents of the taxpayer. Permits credit for up to $1,200 ($2,400 in cases involving more than one qualifying individual) of respite care expenses incurred in the care of: (1) a dependent of the taxpayer who is under the age of 15; or (2) a spouse or other dependent of the taxpayer who is physically or mentally incapable of self-care. Amends the Federal National Mortgage Association Charter Act and the Federal Home Loan Mortgage Corporation Act to bring within their respective frameworks loans or advances secured by a single residential property occupied as a single family residence in which community child care service is provided (thus making such loans eligible for purchase under each Act). Subtitle C: Supply of Dependent Care for Lower-Income Families - Amends the Social Security Act to: (1) increase the amount of funds available for FY 1987 and thereafter for block grants to the States for social services; (2) require States to file annual (rather than biennial) reports on fund use; and (3) detail mandatory contents for such reports. State Dependent Care Grants Amendments Act of 1987 - Amends the State Dependent Care Development Grants Act to require that amounts paid to States for use in the operation of child care services be designed to enable children whose families lack adequate financial resources to participate in before or after school child care programs. Requires State Governors to include specified information in their grant reports. Extends from September 30, 1987, to September 30, 1991, the time until which necessary revisions of grant program descriptions must be submitted. Directs the Secretary of Housing and Urban Urban Development to: (1) make grants to public housing agencies to contract for lower-income resident child care services; and (2) design such program to determine the extent to which it facilitates resident employability. Requires a report to the Congress within three years. Authorizes FY 1988 appropriations.

Resolution· HRESH.Res. 181 (100th)referred

A resolution expressing the sense of the House of Representatives with respect to the goals of the economic summit conference to be held in Venice, Italy, beginning of June 8, 1987.

United States · United States Congress · 28 May 1987

Expresses the sense of the House of Representatives that: (1) it should be the goal of the United States to enhance coordination of fiscal and monetary policies among the seven countries participating in the economic summit conference to be held in Venice, Italy; and (2) the President should seek to obtain an agreement of the countries participating in such summit providing that West Germany and Japan should implement policies generating a specified fiscal stimulus, the United States should reduce its fiscal deficit by a specified amount, and the United Kingdom, France, Canada, and Italy should undertake macroeconomic and other measures to assist in the orderly adjustment of global economic imbalances.

Bill· HRH.R. 2522 (100th)referred

A bill to prohibit private assistance for military or paramilitary operations in a foreign country if the Congress has prohibited the use of covert assistance for such operations.

United States · United States Congress · 27 May 1987

Amends the Federal criminal code to prohibit any person from engaging in, or furnishing money, goods, or services with the intent of assisting any group to engage in, military or paramilitary operations in a foreign country if there is a statutory prohibition against U.S. covert assistance to military or paramilitary operations in that country.

Bill· HRH.R. 2384 (100th)referred

Star Schools Program Assistance Act

United States · United States Congress · 12 May 1987

Star Schools Program Assistance Act - Amends the Education for Economic Security Act to add a title establishing a star schools program. Cites the new title as the Star Schools Program Assistance Act. Empowers the Secretary of Education to make demonstration grants of up to a fiscal year maximum of $20,000,000 per grant to eligible telecommunications partnerships for the development, construction, and acquisition of telecommunications facilities and equipment and for technical assistance. Authorizes appropriations for FY 1988 through 1992, subject to fiscal year limitations. Mandates that at least 50 percent of funds under this Act for any fiscal year be used for the cost of facilities, equipment, teacher training or retraining, technical assistance, or programming for certain local educational agencies. Sets forth eligibility criteria to identify eligible telecommunications partnerships, which must be organized on a statewide or multistate regional basis and be either: (1) a public agency or corporation established to provide education-related telecommunications networks to certain educational or health institutions or to industries; or (2) a partnership that will provide a telecommunications network and whose membership includes certain specified educational entities (especially elementary and secondary schools eligible for funds under title I of the Elementary and Secondary Education Act of 1965 or such eligible schools operated by the Department of the Interior for Indian children) or public or private organizations experienced with telecommunications. Authorizes eligible partnerships to submit a grant application: (1) describing the telecommunications facilities, equipment, and technical assistance for which aid is being sought; (2) demonstrating that the services offered will increase the availability of courses of instruction in mathematics, science, and foreign languages; (3) describing teacher training policies to be implemented to ensure the effective use of the relevant facilities; (4) providing assurances that the financial interest of the United States in the telecommunications facilities and equipment will be protected for their useful life; (5) assuring that a significant portion of the facilities, equipment, technical assistance, and programming will be made available within local educational agencies having a high percentage of educationally deprived students; (6) describing how traditionally underserved students will participate in the benefits of such technology; and (7) containing other assurances and information as required by the Secretary. Directs the Secretary, in approving applications, to assure an equitable geographic distribution of grants and to give priority to certain applicants, including those partnerships that: (1) have the capacity to serve the broadest range of targeted institutions; (2) have substantial academic and teaching capabilities; (3) will serve a multistate area; and (4) demonstrate strength in mathematics, science, and foreign language resources which by distribution through the partnership will offer new educational opportunities, especially to traditionally underserved populations and to areas with limited access to such resources; and (5) will meet the needs of individuals traditionally excluded from careers in mathematics and science because of discrimination, inaccessibility, or economically disadvantaged backgrounds. Requires each grantee to report to the Secretary concerning courses and materials to be transmitted by satellite to educational institutions and teacher training centers and to specify the locus and time of such transmissions. Directs the Secretary to: (1) compile and prepare for dissemination a listing and description of the courses and materials submitted by each grantee; and (2) distribute such list to all State educational agencies. Authorizes the Office of Technology Assessment, upon request, to: (1) conduct a thorough evaluation of the use of the telecommunications system supported by the grants awarded under this Act and report to the Congress on such evaluation; and (2) study and evaluate the cost of designing, building, and launching a satellite for educational purposes, including an analysis of potential users' ability to repay such costs. Requires a report to the Congress if such study indicates that potential users would be able to repay such costs within ten years.

Bill· HRH.R. 2338 (100th)open

Foreign Trade Zone Fee Structure Act of 1987

United States · United States Congress · 8 May 1987

Foreign Trade Zone Fee Structure Act of 1987 - Prohibits the Commissioner of Customs from implementing: (1) a fee relating to the commercial operation of foreign trade zones by the U.S. Customs Service; and (2) a fee structure in connection with Customs Service supervision of foreign trade zones that would offset the competitive cost advantage enjoyed by foreign trade zone operators, offset the operational advantages that accrue with respect to merchandise imported through foreign trade zones, or demonstrably inhibit the use of foreign trade zones.

Bill· HRH.R. 2229 (100th)referred

A bill to amend the Railroad Retirement Act of 1974 and the Railroad Unemployment Insurance Act to provide for the removal of the trust funds established by those Acts from the unified budget, and for other purposes.

United States · United States Congress · 30 April 1987

Amends the Railroad Retirement Act of 1974 to remove specified accounts related to railroad retirement funds, taxes, and revenues from inclusion in the Federal budget totals submitted by the President or the Congress, and to exempt such accounts from any general budget limitation imposed by law on Federal expenditures and net lending (budget outlays). Amends the Railroad Unemployment Insurance Act to prohibit from inclusion in the Federal budget totals submitted by the President or the Congress certain railroad unemployment insurance accounts, taxes, and funds, and to exempt them from any general statutory budget limitations imposed upon Federal expenditures and budget outlays. Amends the Railroad Retirement Act of 1974 to direct the Railroad Retirement Board (the Board) to submit an annual budget program to the Office of Management and Budget which shall include separate statements of the Board's requested appropriations. Directs the President to include such requested amounts (without revision) in the budget transmitted to the Congress. Amends the Railroad Retirement Act of 1974 and the Railroad Unemployment Insurance Act to provide that the Board's authority to determine the number of individuals it shall employ shall not be subject to review by other Federal administrative or accounting personnel. Precludes regulations promulgated by the Board from being subject to review by other Federal administrative or accounting personnel.

Bill· HRH.R. 2189 (100th)referred

Nuclear Waste Policy Amendments of 1987

United States · United States Congress · 28 April 1987

Nuclear Waste Policy Amendments of 1987 - Prohibits the expenditure of funds for any nuclear waste site characterization activities before the Federal Radioactive Waste Agency (established by this Act) has nominated sites for selection as repositories. Establishes the Federal Radioactive Waste Agency as an independent instrumentality within the executive branch. Establishes a Director of such Agency. Requires an annual report to the Congress regarding Agency activities and expenditures. Outlines the staffing and functions of the Agency. Directs the Comptroller General to make annual audits of the Agency. Repeals specified repository siting guidelines issued by the Department of Energy. Requires the Director to: (1) issue revised guidelines for the recommendation of repository sites; (2) nominate at least five sites considered suitable for characterization within 18 months after such revised guidelines are issued; (3) recommend to the President at least three sites as candidate sites; and (4) issue an environmental assessment for each such site. Provides that if the President approves certain candidate sites in an order other than the order in which such sites were ranked, then no site characterization activity will be implemented until 18 months after the President's approval. Sets forth procedural guidelines under which the President is required to submit site recommendations to the Congress. Amends the Nuclear Waste Policy Act of 1982 to prescribe guidelines under which the Nuclear Regulatory Commission shall allocate disposal capacity in the first repository among producers of high-level radioactive waste and spent nuclear fuel. Requires the Director to: (1) make grants to States adjacent to States in which a repository candidate site is approved for the purpose of studying the safety and environmental impact of such repositories; (2) appoint a panel to study the need for disposal capacity beyond the 70,000 metric ton limitation, and to submit its findings and recommendations to the Director within 12 months after the date of enactment of this Act; (3) submit the panel findings to the Congress, along with recommendations for implementation; and (4) revise the mission plan in order to implement the amendments made by this Act.

Bill· HRH.R. 2171 (100th)referred

A bill to amend the Foreign Assistance Act of 1961 with respect to the trade and development program.

United States · United States Congress · 27 April 1987

Amends the Foreign Assistance Act of 1961 to require the Director of the Trade and Development Program to establish an advisory board which shall include representatives of the Small Business Service Bureau, Inc., the American Counsulting Engineers, and the International Engineering and Construction Industries Council. Authorizes appropriations for FY 1988 for the trade and development program. Earmarks a specified amount of the FY 1988 authorization for education and training programs for nationals of China. Requires that 50 percent of such earmarked funds be used for education and training programs administered by U.S. small businesses.

Bill· HRH.R. 2141 (100th)open

Price-Anderson Amendments Act of 1987

United States · United States Congress · 23 April 1987

Price-Anderson Amendments Act of 1987 - Title I: Liability for Production and Utilization Facilities - Amends the Atomic Energy Act of 1954 to provide that the amount of financial protection required of licensees of facilities having a rated capacity of 100,000 electrical kilowatts or more shall be the maximum amount available at reasonable cost. Limits the maximum deferred premium that may be charged following a nuclear incident to $10,000,000 per year, per incident, for each facility required to maintain the maximum amount of primary financial protection. Establishes procedures to be followed by the Nuclear Regulatory Commission (NRC) in borrowing funds from the Treasury to compensate victims of a nuclear incident if the NRC is liable for any deferred premiums, or if damages in any year exceed the amount available to pay claims. Precludes such borrowed funds from being used to pay any cost of investigating or settling claims, or defending suits for damages. Extends from August 1, 1987, to August 1, 1997, the period in which NRC will indemnify licensees from public liability in excess of the level of financial protection required of them. Directs the Secretary of Energy to enter into indemnification agreements until August 1, 1997, with contractors who: (1) construct or operate production or utilization facilities; or (2) perform activities that may result in a nuclear incident or precautionary evacuation. Sets forth agreement guidelines. Directs the Secretary to compensate public liability claims arising from a nuclear incident resulting from certain nuclear material that is: (1) illegally diverted; or (2) cannot be traced to an insured Commission licensee. Defines "public liability" for purposes of this Act to include reasonable costs incurred by a State or its political subdivision in the course of responding to a nuclear incident or precautionary evacuation. Sets aggregate liability limits for nuclear incidents. Directs the Congress to provide full compensation to the public for all public liability claims in the event of a nuclear incident involving damages in excess of the amount of the aggregate liability limits. Sets an aggregate liability ceiling with respect to any nuclear incident occurring outside of the United States. Requires the Secretary of Energy or the NRC to survey the causes and extent of damage of any nuclear incident involving damages likely to exceed the statutory aggregate liability and report the results of such survey to the Congress, the Representatives and Senators of the affected districts and States, and the public. Requires the President to report to the Congress: (1) an estimate of the aggregate dollar value of damages exceeding the statutory limit; (2) a recommendation for additional sources of funds for such compensation; and (3) specific proposals for disbursing compensation to the public. Extends from August 1, 1987, to August 1, 1997, the NRC's authority to indemnify certain nonprofit educational institutions licensed to operate nuclear research reactors. Repeals the condition that a State statute of limitations be waived only if suit is filed within 20 years after a nuclear incident. (Thus, conditions the waiving of a statute of limitations only upon institution of a suit within three years of the date the claimant knew or reasonably could have known of the injury.) Revises the application of the waiver-of-defenses to include extraordinary nuclear occurrence involving nuclear materials licensees indemnified by the NRC. Permits the consolidation and removal of public liability actions pending on the date of enactment of this Act. Sets forth conditions under which the chief judge of the Federal district court in which claims are consolidated is authorized to establish a special caseload management panel for the coordination of cases arising out of a nuclear incident. Extends from August 1, 1983, to August 1, 1993, the deadline by which the Department and the NRC must report to the Congress on the need for continuation or modification of the Price-Anderson Act. Authorizes any person who pays deferred premium assessments to bring an action to recover such payments from any contractor (or related personnel) whose gross negligence contributed to the nuclear incident. Authorizes the NRC or the Secretary to bring an action to recover from a licensee or contractor the compensation or indemnification amounts paid by the Federal Government for public liability resulting from the gross negligence of such licensee or contractor. Prohibits the Department of Energy from reimbursing such contractors. Title II: Liability Involving Nuclear Waste - Requires the Secretary to enter into indemnification agreements with contractors for activities involving radioactive waste subject to the Nuclear Waste Policy Act of 1982, including the transportation, treatment, storage, and disposal of such waste. Sets forth such indemnification agreement guidelines. Sets forth indemnification guidelines for public liability claims arising out of activities involving transuranic waste or activities authorized under a certain Waste Isolation Pilot Project. Title III: Miscellaneous Amendments - Makes the Atomic Energy Act of 1954 applicable to any nuclear incident rather than exclusively to an extraordinary nuclear occurrence. Requires the NRC to make an annual inflation adjustment for the maximum annual standard deferred premium required under this Act. Prohibits the NRC from entering into an indemnification agreement with any one possessing a byproduct materials license for a nuclear pharmacy or a nuclear medicine department of a clinic or hospital. Requires such entities to maintain liability insurance in accordance with this Act.

Bill· HRH.R. 2163 (100th)referred

Older American Indian Services Improvement Act

United States · United States Congress · 23 April 1987

Older American Indian Services Improvement Act - Amends the Older Americans Act of 1965 to provide that no older American Indian will be prohibited from receiving services under such Act. Requires each area agency on aging having a significant Indian population to: (1) conduct outreach activities to identify older American Indians within their area; and (2) inform older American Indians in their area about the availability of assistance. Requires the Associate Commissioner on Indian Aging to evaluate the adequacy of outreach services. Requires the Commissioner to ensure that contracts are equitably awarded among minorities and to support minority centers of gerontology. Requires the establishment of minority centers of gerontology to improve minority personnel and training programs. Directs the Commissioner to: (1) provide for the dissemination of information on older American Indians; (2) provide inservice training opportunities and courses of instruction on aging to Indian tribes; and (3) carry out special training programs to improve services to older American Indians and minorities. Establishes in the Administration on Aging an Office for Tribal Programs to be headed by an Associate Commissioner on Indian Aging. Requires the Associate Commissioner on Indian Aging to: (1) serve as the advocate for older American Indians in the Department of Health and Human Services; (2) administer grants for Indian tribes; (3) develop research plans and technical assistance for recipients of grants; and (4) convene an Indian aging conference at regular intervals not to exceed two years. Requires the Associate Commissioner on Indian Aging to create and chair an interagency task force on older American Indians. Authorizes appropriations for FY 1988 through 1992. Directs the Commissioner on Aging to establish an interagency task force to make recommendations on facilitating the coordination and improvement of services to older American Indians. Requires the Commissioner on Aging to make a contract with a public agency or nonprofit private organization to study services for older American Indians and to submit a report to the Congress on this study within 18 months.

Bill· HRH.R. 2165 (100th)referred

National Policy and Technology Foundation Act of 1987

United States · United States Congress · 23 April 1987

National Policy and Technology Foundation Act of 1987 - Establishes, as an independent agency, the National Policy and Technology Foundation to develop and coordinate the collection, analysis, and dissemination through existing information systems of information as it relates to national and international economies, economic and industrial trends, technological advances, and related matters. Requires the Foundation to become a repository of such information and to provide a full array of informational and statistical services as well as monitor the quality of U.S. life through economic and other indicators. Establishes in the Foundation, in order to facilitate its purposes: (1) a National Policy and Technology Board; (2) an Office of Director of the Foundation; (3) a National Information Office; (4) an Office of National Policy, Analysis, and Assessment; (5) an Office of National Programs; (6) an Office of the Professions; (7) an Office of Institutional and Human Resource Development; (8) an Office of Small Business; and (9) an Office of Intergovernmental Technology and Professions Delivery Systems. Transfers to the Foundation: (1) the National Bureau of Standards; (2) the Patent and Trademark Office; (3) the National Technical Information Service; (4) the Office of Small Business Research and Development; (5) the Directorate for Engineering; (6) the Division of Industrial Science and Technological Innovation (exclusive of the nonengineering programs of the industry/university cooperative research projects program element) of the National Science Foundation; (7) the Intergovernmental Programs section of the National Science Foundation; (8) the Office of Industrial Technology; (9) the Center for the Utilization of Federal Technology; (10) the Division of Policy Research and Analysis of the National Science Foundation; and (11) functions of the Departments of Energy and Defense, of the National Aeronautics and Space Administration, and of the Public Printer which relate to the sale of Government information to the public. Transfers to the Foundation all the functions and authorities of the National Science Foundation and the Secretary of Commerce under the Stevenson-Wydler Technology Innovation Act of 1980. Requires the Foundation to monitor and assess such information, developing indicators and evaluating the impact of such information on current or proposed policy and the impact of policy upon economic indicators. Requires the Foundation to support research and professional development. States that advisory councils covering the full range of Foundation responsibilities shall be appointed by the Director. Requires the Director to coordinate Foundation programs with other government and private programs. States that a National Foundation Coordinating Board shall be appointed. Authorizes the Foundation to award scholarships and graduate scholarships. Requires the foundation to report biennially to the Congress and the President on the activities, issues, and recommendations of the Council. Authorizes appropriations for FY 1987.

Bill· HRH.R. 2134 (100th)referred

National Advanced Technician Training Act

United States · United States Congress · 22 April 1987

National Advanced Technician Training Act - Requires the Director of the National Science Foundation to carry out an advanced technician training program, making matching grants to two-year community and technical colleges to provide training in technical competencies in strategic fields. Requires such program to emphasize on-the-job training and recruitment of the unemployed. Requires that an inventory of available programs be accessible. Requires the Director to appoint a National Advisory Council on Advanced Technician Training to review and report to the Director and to the Congress on the effectiveness of the program, with recommendations as needed. Requires the Director to designate ten centers of excellence among such colleges to serve as clearinghouses, half for advanced technician training and half for undergraduate education in mathematics and science. Requires the Director to make at least 20 grants annually. Requires that funds under this Act be used to strengthen programs in advanced-technology occupations, for faculty development in advanced-technology fields such as laser, robotic, and computer technology, and the development of cooperative training and information networks with other schools and the private sector. Authorizes appropriations for FY 1988 through 1990.

Bill· HRH.R. 2131 (100th)referred

Medicaid Community Property and Respite Care Act of 1987

United States · United States Congress · 22 April 1987

Medicaid Community Property and Respite Care Act of 1987 - Title I: Community Property and Prevention of Spousal Impoverishment - Amends title XIX (Medicaid) of the Social Security Act to treat the income and resources of an institutionalized individual and his or her community spouse as community property in determining their Medicaid eligibility. Requires that, after an institutionalized individual is determined to be eligible for Medicaid, a monthly income allowance (allowance) be deducted from the institutionalized individuals monthly income and paid to his or her community spouse to the extent such spouse's monthly income falls short of a minimum monthly maintenance needs allowance determined pursuant to a specified formula. Gives the institutionalized spouse the right to a hearing to establish that the allowance is not adequate to support the community spouse without financial duress so that an adequate amount of support will be substituted for the allowance. Permits an institutionalized spouse to transfer resources to the community spouse to the extent the median net worth of male householders 65 years of age or older exceeds the amount of resources otherwise available to the community spouse. Title II: Offering of Respite Care under Medicaid - Provides Medicaid coverage of respite care for up to 30 days in any calendar year. Prohibits coverage of more than 15 consecutive days of inpatient respite care or three consecutive days of in-home respite care.

Bill· HRH.R. 2042 (100th)referred

State Long-Term Care Ombudsman Advocacy Improvement Act of 1987

United States · United States Congress · 9 April 1987

State Long-Term Care Ombudsman Advocacy Improvement Act of 1987 - Amends the Older Americans Act of 1965 to require States to establish an Office of the State Long-Term Care Ombudsman (Office) encompassing any area or local ombudsman entity designated by the State Long-Term Care Ombudsman as a subdivision of the Office. Directs States to establish Statewide toll-free hotlines to facilitate the communication of complaints to ombudsmen. Requires States to provide assurances that Office staff are not subject to conflicts of interest and that mechanisms are in place to identify and remedy such conflicts. Immunizes Office representatives from liability under State law for the good faith performance of official duties. Directs States to provide legal counsel to: (1) the Office for advice and consultation; and (2) Office representatives sued in connection with the performance of official duties. Requires States to provide appropriate sanctions against: (1) those willfully interfering with Office representatives in the performance of official duties; and (2) extended care facilities which retaliate against residents or employees who file a complaint with, or provide information to, the Office. Requires State licensure and certification agencies to provide the Office with inspection reports, notices of deficiencies, and sanctions issued with respect to extended care facilities as well as other data relevant to the Office's investigations of such facilities. Directs the Office to submit annual reports to State licensure and certification agencies, State agencies on aging, and the State legislature and Governor analyzing and suggesting resolutions to problems experienced by, and complaints received against, extended care facilities. Requires the Office to conduct annual on-site visits of extended care facilities to inform residents and personnel of program services. Requires that office staff who do investigative work be trained in Federal, State, and local laws, regulations, and policies regarding State extended care facilities as well as investigative techniques. Directs the Commissioner on Aging to: (1) provide technical assistance and training to State Long-Term Care Ombudsman programs and Ombudsman representatives; and (2) establish a national clearinghouse for collecting and disseminating information regarding, and transferring technology among, such programs. Authorizes appropriations from FY 1988 through 1991 for State Long-Term Care Ombudsman programs. Amends titles XVIII (Medicare) and XIX (Medicaid) of the Social Security Act to require that extended care facilities provide ombudsmen with access to facility residents and, with the patient's or guardian's consent, to the patient's medical and social records. Requires that ombudsmen be given access to individuals who are admitted to hospitals from skilled nursing, intermediate care, or extended care facilities. Directs the Secretary of Health and Human Services to promptly notify the appropriate Office of the State Long-Term Care Ombudsman of any Medicare or Medicaid sanction imposed on a skilled nursing or intermediate care facility. Requires the Commissioner on Aging to issue a report by January 15th of each year analyzing and suggesting resolutions to problems experienced by, and complaints received against, extended care facilities. Specifies the congressional committees, Federal agencies, and private organizations which are to receive such reports. Amends the Older Americans Act of 1965 to require the Commissioner on Aging to designate a full-time staff of the Administration on Aging within 90 days of enactment of this Act. Directs States to establish in their Office of the State Long-Term Care Ombudsman a home care ombudsman program and train personnel to carry out such program. Authorizes appropriations for FY 1991 to carry out such program and for FYs 1990 and 1991 to train program personnel. Requires the Commissioner to conduct studies and issue findings regarding the: (1) practices and impact of the Ombudsman program; (2) provision of home care ombudsman services to older individuals; (3) feasibility of extending the Ombudsman program to physician, hospital, and other services received by older individuals. Directs the Commissioner to make grants to States for FYs 1988 and 1989 to demonstrate and evaluate: (1) the administration and provision of home care ombudsman services; and (2) cooperative projects between the State Long-Term Care Ombudsman Program and the State protection and advocacy program for developmental disabilities and mental illness. Amends part B (Peer Review) of title XI of the Social Security Act to require peer review organizations to make available to Ombudsman program personnel their data showing the substantial failure of a provider to meet professionally recognized standards of health care.

Bill· HRH.R. 2041 (100th)referred

United States Peace Tax Fund Act

United States · United States Congress · 9 April 1987

United States Peace Tax Fund Act - Amends the Internal Revenue Code to permit conscientious objectors to designate their income, estate, or gift tax payments for nonmilitary purposes. Establishes within the Treasury a United States Peace Tax Fund (Fund) to receive such tax payments. Makes these tax designation procedures available to any individual who by reason of religious training and belief is opposed to participation in war in any form and either: (1) has been exempted from combat training and service in the armed forces under the Military Selective Service Act; or (2) satisfactorily demonstrates conscientious objection to war in any form. Authorizes the Secretary of the Treasury to deny such status to a taxpayer upon a finding that the taxpayer is not entitled to make such a designation. Allows a taxpayer to challenge such a denial by bringing an action in the United States Tax Court or in U.S. District Court for a declaratory judgment as to whether the taxpayer is an eligible individual for purposes of such designation. Requires that each publication of general instructions accompanying income tax returns include specified information about the Fund, including the purposes of the Fund and the criteria governing one's eligibility to designate tax payments for such Fund. Requires every taxpayer who makes such a designation for any taxable year to file a questionnaire return during such year for the purpose of determining whether the taxpayer is an eligible individual. Permits the setting aside of criminal or civil penalties imposed upon a taxpayer for nonpayment of tax prior to 1988 if the taxpayer pays the tax due (with interest) and establishes to the satisfaction of the Secretary of the Treasury that the nonpayment was due to religious beliefs. Directs the Comptroller General to determine the percentage of actual appropriations made by the United States from the Federal budget during the preceding year for military purposes. Requires the publication of such information in the Congressional Record. Establishes a United States Peace Tax Fund Board of Trustees to distribute funds for eligible nonmilitary activities and research. Sets forth the Board's membership structure and its duties. Directs the Board to publish regulations to govern applications for funds. Includes as activities qualified for funding: (1) research directed toward developing nonviolent solutions to international conflict; (2) disarmament efforts; (3) special projects of the United States Institute of Peace; (4) improvement of international health, education, and welfare; and (5) retraining of workers displaced by conversion from military production activities. Authorizes appropriations.

Resolution· HRESH.Res. 146 (100th)referred

A resolution expressing the sense of the House of Representatives that the 1988 budget should provide adequate funding for vocational education programs.

United States · United States Congress · 9 April 1987

Expresses the sense of the House of Representatives that an adequate level of funding should be authorized for vocational education programs for FY 1988 and that funds should not be rescinded from the 1987 appropriation for basic vocational education grants.

Bill· HRH.R. 2021 (100th)referred

National Advisory Panel on Acquired Immune Deficiency Syndrome Act of 1987

United States · United States Congress · 8 April 1987

National Advisory Panel on Acquired Immune Deficiency Syndrome Act of 1987 - Amends the Public Health Service Act to require the Secretary of Health and Human Services (Secretary) to make grants for the development, establishment, and operation of a national advisory panel on acquired immune deficiency syndrome. Requires the Secretary to request an application for such grant from and make such grant to the Institute of Medicine of the National Academy of Sciences, with provision for grants to other appropriate nonprofit private entities if the Institute submits no acceptable application. Requires the panel to: (1) advise the Congress and the President concerning policies and programs regarding AIDS; (2) make recommendations for changing health care services, public health activities, and research relating to AIDS; (3) monitor the spread of AIDS among given populations; (4) evaluate certain research activities associated with AIDS; (5) evaluate health services provided to individuals with AIDS; (6) analyze Federal, State, and local public efforts to combat AIDS; (7) assess efforts among different geographic areas to coordinate and share information about AIDS; (8) study the legal and ethical issues relating to AIDS; (9) examine problems encountered by AIDS victims in the areas of employment, education, housing, and insurance; (10) study potential violations of the civil rights of individuals with AIDS; (11) study the effect of AIDS on the armed services; (12) evaluate public and private efforts to provide education about AIDS; (13) identify financial resources available to address various aspects of AIDS; (14) encourage participation by both public and private entities in efforts to prevent and treat AIDS and to assist AIDS victims; and (15) encourage public and private agencies to participate in international efforts regarding AIDS. Sets forth criteria relating to the panel and its activities that must be met by applicants for grants to develop, establish, or operate the panel. Requires that the Secretary submit specified data relating to the panel's activities to the President, each panel member, and each appropriate congressional committee. Authorizes appropriations for FY 1988 through 1992.

Bill· HRH.R. 1961 (100th)reported

Pension Portability Act of 1988

United States · United States Congress · 7 April 1987

Pension Portability Act of 1987 - Title I: Rules Generally Applicable to Simplified Employee Pensions - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to define a "simplified employee pension plan" as a pension plan consisting of one or more individual retirement accounts or annuities that meet certain requirements of the Internal Revenue Code. Directs the Secretary of Labor to prescribe an alternative method of compliance with requirements for simplified employee pension plans. Establishes participation and vesting requirements for such plans. Requires each simplified employee pension plan and portable pension plan to provide that: (1) the distribution of the accrued benefit with respect to each participant will be only in a permitted retirement income form; (2) no distribution may be made without the consent of the participant or beneficiary; and (3) the benefit will be distributed in accordance with a timely application in accordance with the terms of the plan. Describes a standard retirement income form for simplified employee pension plans as: (1) a qualified joint and survivor annuity; (2) any other joint life annuity, including a cash refund annuity; (3) a single life annuity, including a refund annuity; or (4) any series of substantially equal periodic payments described under the Internal Revenue Code. Allows participants to elect a form of distribution other than distribution over life expectancy, if such spousal consent requirements are met. Requires the administrator of a simplified employee pension plan, prior to making a distribution, to provide to the individual who is to receive the distribution a written explanation of: (1) the provisions under which the distribution may be subject to tax or penalty under the Internal Revenue Code; and (2) the terms and conditions of the applicable permitted retirement income form, the participant's rights with respect to electing other forms of distribution, and spousal rights. Declares that for simplified employee pension plans a beneficiary means a spouse of the participant or any other person designated by the participant or by the terms of the plan. Specifies conditions under which spousal consent requirements are to be met. Amends the Internal Revenue Code to make conforming amendments. Exempts simplified employee pension plans from specified funding provisions of ERISA. Authorizes employees to elect alternative salary reduction arrangements under such plans where the employer may make elective contributions to the pension on behalf of the employee or directly to the employee in cash for any year. Specifies the maximum salary reduction amount. Establishes rules governing employer contributions, including participation requirements, the method of determining employer contributions and compensation amounts, and tax reporting requirements. Allows employees to establish simplified employee pension plans with respect to separate lines of business. Title II: Portable Pensions - Amends the Internal Revenue Code and ERISA to define a portable pension plan as an arrangement of one or more individual retirement accounts or annuities which: (1) meets the requirements of a simplified employee pension; and (2) provides for the transfer of plan investment accumulations to other tax-qualified plans. Makes provisions relating to favorable tax treatment inapplicable to cash distributions from rollovers from portable pension plans. Preserves the five-year income averaging treatment for lump sum distributions from portable pension plans which are separately accounted for under such plans. Provides that amounts exceeding the maximum rollover allowable shall not be taxable if such amounts are transferred to a portable pension plan in a direct trustee-to-trustee transfer. Establishes special rules for portable pension plans under ERISA. Relieves the administrators of such plans of liability for reliance in good faith on information provided by an employer, participant, or beneficiary which constitutes a misrepresentation or mistake of fact. Sets forth the responsibilities of the plan sponsor, administrator, and employer. Requires a portable pension plan to: (1) meet employee self-directed account regulations; (2) designate a fiduciary; and (3) provide at least one investment option in U.S. securities. Directs the Secretary and the Secretary of the Treasury to prescribe by regulation one or more prototype portable pension plans. Amends ERISA and the Internal Revenue Code to provide for the direct transfer to a portable pension plan from any other pension plan of the entire nonforfeitable benefit of a participant under such other pension plan.

Bill· HRH.R. 1897 (100th)referred

A bill to amend the Equal Credit Opportunity Act.

United States · United States Congress · 1 April 1987

Amends the Equal Credit Opportunity Act to prohibit the Board of Governors of the Federal Reserve System from exempting from such Act any class of credit transactions that are primarily for personal, family, or household purposes. Permits the Board to exempt (for five years) a type or class of business or commercial transactions only after determining that application of such Act to such transactions would not contribute substantially to effecting the purposes of such Act.