United States · United States Congress · 25 April 1991
Family Caregiver Support Act of 1991 - Amends the Social Security Act to add a new title XXI entitled "Grants to States for Family Caregiver Support Programs" to establish a program to enable States to furnish services to support informal caregivers of individuals with functional disabilities. Outlines State plan requirements for such caregiver support services, including requirements that: (1) States must support 50 percent of program administration costs; (2) services may not supplant Medicare or Medicaid (titles XVIII and XIX of the Social Security Act) or private insurance otherwise available to eligible recipients of services; and (3) persons with incomes exceeding 200 percent of the Federal poverty level must pay on a sliding fee scale established by the State, up to a maximum annual income of $75,000. Caps total annual Federal expenditures at $2,400 per eligible recipient. Authorizes appropriations to carry out the new title.
United States · United States Congress · 25 April 1991
Fire Safety Enhancement Act of 1991 - Directs the Secretary of Housing and Urban Development to require the installation of smoke detectors in all residential units financed or assisted by the Department of Housing and Urban Development.
United States · United States Congress · 24 April 1991
Amends the Harmonized Tariff Schedule of the United States to suspend, for a three year period, the duty on (+)-9-flouro-2,3- dihydro-3-methyl-10-(4-methyl-1-piperazinyl)-7-oxo-7h-pyrido (1,2,3,- de)-1,4 benzoxazine-6-carboxylic acid (also known as ofloxacin).
United States · United States Congress · 24 April 1991
Shipbuilding Trade Reform Act of 1991 - Amends the Tariff Act of 1930 to require a foreign passenger or cargo vessel in order to enter a U.S. port to have and present to U.S. customs a certification showing that it was: (1) constructed without subsidy benefit; or (2) if a subsidy was provided after a specified date, that the amount has been repaid. Makes it an unlawful act to: (1) present an altered subsidy certification; or (2) enter or fail to leave the United States without such certification. Subjects foreign-made vessels to countervailing duty and antidumping provisions.
United States · United States Congress · 24 April 1991
National Biological Diversity Conservation Act - Declares that the conservation of biological diversity is a national goal. Establishes the Interagency Working Committee on Biological Diversity to: (1) prepare a coordinated Federal strategy for the conservation of biological diversity; and (2) issue guidance to Federal agencies regarding biodiversity impact assessment. Dissolves the Committee upon its submission of the strategy to the Congress. Sets forth required elements of the strategy. Requires the Council on Environmental Quality to identify the Federal agencies that conduct programs having a significant impact on biological diversity. Directs such agencies to: (1) review its actions and programs biennially for consistency with the Federal strategy; and (2) report the results of such reviews to the Council. Requires the Council to review such reports biennially and report to the Congress on the consistency of Federal programs with the strategy. Directs the President to establish a National Center for Biological Diversity and Conservation Research. Requires the Center to: (1) identify gaps in the understanding of biological diversity and develop a plan for filling such gaps; (2) issue grants to private institutions for projects to contribute to implementation of the plan; (3) provide information to the Interagency Committee in preparation of the Federal strategy; (4) develop a plan for the establishment of a clearinghouse; and (5) identify species and natural communities of special concern. Directs the Secretary of the Interior to establish a biological diversity grant program for purposes of monitoring the status of plants, invertebrate organisms, terrestrial communities, and freshwater aquatic communities and species. Limits the Federal share of grant activities to 75 percent of the total cost. Requires the Secretary to identify: (1) the types of natural communities native to the United States; (2) the types of communities that do not occur in at least three protected areas of sufficient size to maintain populations of the species of plants and animals associated with such communities; (3) the types of communities that are especially rich in terms of the number of native species they contain; and (4) the location on Federal lands of communities identified under (2) and (3). Directs the Secretary to issue regulations establishing requirements for considering areas of lands to be protected areas for purposes of this Act. Prohibits lands from being considered as protected areas unless the lands are: (1) managed primarily for the purpose of maintaining viable populations of native plants and animals and self-sustaining natural communities; and (2) subject to permanent land use restrictions to ensure the protection of such plants, animals, and communities. Requires Federal agency heads to consult with the Secretary regarding the management actions necessary to maintain natural communities on Federal lands identified under this Act and to ensure the long-term sustainability of such communities. Authorizes appropriations.
United States · United States Congress · 24 April 1991
Amends the Higher Education Act of 1965 to require institutions of higher education to disclose gifts from or contracts with foreign sources in reports to the Secretary of Education. Sets forth provisions for: (1) report contents; (2) additional disclosures for restricted and conditional foreign gifts or contracts; (3) relation to other reporting requirements; (4) public inspection of such reports; and (5) enforcement and regulations.
United States · United States Congress · 24 April 1991
Amends title XIX (Medicaid) of the Social Security Act to prohibit the Secretary of Health and Human Services from approving or renewing a waiver under a State Medicaid program of Medicaid's home health care exclusion if such program requires a patient to be or have been an inpatient of a hospital or a resident of a nursing facility in order to be eligible for home health care services.
United States · United States Congress · 24 April 1991
Young American Workers' Bill of Rights - Amends the Fair Labor Standards Act of 1938 (the Act) to add and revise requirements relating to child labor standards. Directs the Secretary of Labor (the Secretary) and the Census Bureau to compile annual data from State employment security agencies on types of industries and occupations employing individuals under age 18, and cases of violations of child labor standards. Requires employers employing individuals under 18 to report to such State agencies information on any lost-time injury or any illness such individual incurred while at work. Directs the Secretary of Health and Human Services, in conjunction with the Secretary, to report annually on the status of child labor in the United States and its attendant safety and health hazards. Prohibits employment of any individual under age 18 who is not a high school graduate unless the employer has in effect a certificate for such employment issued annually with the approval of the minor's parents or guardians, family physician, and appropriate local school officials. Sets forth conditions for issuance of such certificates. Requires the State agency to provide a copy of such certificate to the parents or guardians and the local school district. Requires employers to post child labor law provisions at each premise where child labor is employed. Requires State agencies to report annually to the Secretary on such certificates. Directs the Secretary to revise certain child labor orders relating to: (1) certain types of driving; and (2) use and cleaning of machinery at restaurants and fast food establishments. Directs the Secretary to find and declare that poultry processing, seafood processing, paper bailing, power-driven meat slicing, and pesticide handling are particularly hazardous for employment of children between the ages of 16 and 18, for certain purposes under the Act. Revises a specified child labor regulation to: (1) prohibit individuals under 16 from making door-to-door sales for profit, or from using fryers, baking equipment, and cooking equipment in food service establishments; and (2) eliminate an exemption involving soda fountains, lunch counters, snack bars, or cafeteria serving counters. Increases the fine for certain child labor law violations. Adds criminal penalties of fines or imprisonment for willful violations of child labor laws in cases of: (1) repeat offenders; or (2) resultant serious bodily injury or death to the minor employee. Provides that a prior offense is not a prerequisite for imprisonment for willful violations of child labor provisions. Makes willful violators of child labor provisions who are repeat offenders ineligible: (1) for any direct or indirect Federal grant, contract, or loan, for five years after determination; and (2) to pay a special training wage below the minimum wage rate Provides for civil actions for child labor violators. Makes violators liable for appropriate legal or equitable relief. Directs the Secretary to establish and encourage closer working relationships among Federal and State agencies responsible for enforcing labor, safety and health, and immigration laws. Requires establishment of referral systems among Federal and State labor standards and occupational health and safety enforcement personnel, and of those personnel with Immigration and Naturalization Service enforcement personnel. Directs the Secretary to: (1) seek advice from the private and non-Federal public sectors on the Act and its regulations relating to employment of minors; and (2) establish an Advisory Committee for Child Labor for such purpose. Directs the Secretary to: (1) publish and distribute regionally the addresses, and types of violations of willful violators of child labor laws; and (2) post and otherwise make available to affected school districts the name of each violator of child labor laws, with the location and nature of the violation. Applies certain child labor law provisions of the Act to employers regardless of the annual dollar volume of sales whereby certain enterprises are exempted from coverage under the Act. Prohibits, under the definition of oppressive child labor, employing any person under the age of 14 as a migrant or seasonal agricultural worker. Directs the Secretary to issue regulations to carry out this Act. Authorizes appropriations to the Secretary to cover additional costs resulting from the reporting, and recordkeeping and the penalty enforcement requirements of this Act.
United States · United States Congress · 24 April 1991
Hearing Loss Testing Act of 1991 - Directs the Secretary of Health and Human Services to: (1) require that every child born in the United States be tested for hearing loss at the time of birth; and (2) establish uniform standards for such testing. Requires each health insurance policy, including contracts for coverage by health maintenance organizations, which provides for any benefits with respect to a newborn to include coverage for newborn hearing loss testing. Amends title XIX (Medicaid) of the Social Security Act to add newborn hearing loss testing to the definition of screening services. Directs the Secretary to provide for such a grant or other program as necessary to assure that all newborns in the United States are tested for hearing loss at the time of birth. Authorizes appropriations.
United States · United States Congress · 24 April 1991
Amends the Federal Aviation Act of 1958 to require the Secretary of Transportation to issue regulations requiring the use of child safety restraint systems on commercial aircraft. Expresses the sense of the Congress that the United States representative to the International Civil Aviation Organization should seek an international standard to require that airline passengers be restrained on takeoff and landing and when directed by the captain of such aircraft.
United States · United States Congress · 24 April 1991
Proclaims Lech Walesa, the leader of the Solidarity trade union and President of Poland, as an honorary citizen of the United States. Commends Solidarity for bringing democracy to Poland and starting the movement toward democracy throughout Eastern Europe.
United States · United States Congress · 24 April 1991
Designates May 15, 1991, as Joe DiMaggio Day, in honor of the 50th anniversary of his remarkable and lasting major league feat of hitting in 56 consecutive games.
United States · United States Congress · 24 April 1991
Expresses the sense of the House of Representatives that: (1) Japan has not fully complied with the 1986 U.S. - Japan Semiconductor Trade Agreement and that such failure has had an adverse effect on the national security and economic future of the United States; (2) the United States and Japan should enter into a new agreement that will open the Japanese semiconductor market and will address the threat of future dumping of semiconductors by Japan; and (3) the President, the United States Trade Representative, and the Secretary of Commerce should take all steps necessary to negotiate a strong, effective semiconductor trade agreement with Japan.
United States · United States Congress · 23 April 1991
Amends the Davis-Bacon Act (the Act) to apply it to any contract (relating to public buildings or public works of the United States or the District of Columbia or buildings or works financed in whole or part by Federal loans, grants, or loan guarantees, with specified exceptions) in excess of $100,000 for new construction (including painting and decorating) or in excess of $15,000 for alteration, repair, renovation, rehabilitation, or reconstruction (including painting and decorating). Provides that State, local, or tribal government requirements for wages or fringe benefits applied to such contracts for federally-assisted construction or repair of buildings or works shall not be preempted by the Act unless there is a conflict in compliance with both. Provides that an individual shall be considered a laborer or mechanic if the contractor or subcontractor paid the individual, directly or through a subcontract, for such services performed to carry out the contract. Prohibits the use of multiple contracts to avoid application of the Act. Requires that any two or more contracts shall be treated as a single contract if they: (1) individually do not exceed the minimum amount necessary for the Act to apply; (2) in the aggregate do exceed such amount; and (3) all relate to the same work or related work at the same site. Permits any interested person to seek relief from violations of such provision in U.S. district court. Applies the Act also to contracts for the lease of a facility if construction, alteration, repair, renovation, rehabilitation, or reconstruction is required for a contract's fulfillment. Defines the terms "apprentice," "trainee," and "helper." Prescribes circumstances under which such persons may be paid less than the required wage rate under the Act. Directs the Secretary of Labor (the Secretary) to promulgate regulations defining such persons and prescribing the conditions under which they will not be subject to the required rate, the rate at which they will be employed, and other appropriate conditions. Requires the contractor or subcontractor to post the scale of wages required to be paid under such contract in a prominent and easily accessible place at the contract worksite. Provides that the wages required to be paid under the Act shall be the wages determined by the Secretary to be prevailing within three years of the date the contract was entered into. Provides that, if the Secretary has not made a prevailing wage determination within such three-year limitation, the prevailing wage shall be the highest wage prevailing in a comparable area in the State in which the contract is performed. Directs the Secretary, in making a prevailing wage determination, to consider the wages paid for all projects of the same character in the area under contracts for amounts not less than the minimum amounts necessary for the Act to apply. Provides that a contractor or subcontractor may only include contributions and costs relating to employee fringe benefits, as part of their prevailing wage payment, in an amount not exceeding the aggregate of such contributions and costs prevailing in the area. Authorizes the Secretary to investigate and secure compliance with requirements of the Act. Allows any interested person to petition the Secretary to review the determination of a Secretary of a department or an agency head that a contract entered into is not subject to the Act. Provides for judicial review of such coverage determinations. Permits any laborer, mechanic, or any interested person to petition the Administrator of the Wage and Hour Division of the Department of Labor to review the wage payments received to determine if they have been made in accordance with the Secretary's prevailing wage determination. Sets forth procedures for such wage review. Provides that the determination of the Administrator, an administrative law judge, or the Secretary on a petition for review of the wage payments may include the award of damages to the petitioner in the amount of twice the amount of wages not paid in accordance with the prevailing wage determination, if it is found that the petitioner was willfully not paid the required wages. Requires the defendant in such cases to pay a reasonable attorney's fee and the cost of the action. Makes any employer who violates the required wage rate provisions of the Act liable to each affected employee in the amount of unpaid wages and, if the violation was willful, in an additional equal amount as liquidated damages. Allows an action to recover such liability to be maintained against any employer in any Federal or State court of competent jurisdiction by any interested party, or by any employee on behalf of affected employees and other employees similarly situated. Prohibits any employee from being a party plaintiff to such an action unless the employee gives consent in writing to become a party and the consent is filed in the court in which the action is brought. Prohibits employees from bringing such a civil action with respect to their wages if they file a petition for review. Directs the court, in addition to any judgment awarded to the plaintiff or plaintiffs, to allow a reasonable attorney's fee and the cost of the action to be paid by the defendant. Requires the Comptroller General to pay directly to laborers and mechanics from any accrued payments withheld under the contract any wages found by the Secretary to be due. Directs the Secretary to distribute to all departments of the Government a list of the names of persons or firms who: (1) are found to have disregarded their obligations to employees and subcontractors; and (2) are debarred from Federal contracts for a specified time. (Removes the Comptroller General from such debarment process.) Declares that employees may bring an action against contractors and their sureties for the payment of unpaid wages. Specifies that the Secretary or the contracting officer may order accrued payments in amounts necessary to cover unpaid wages to be withheld from contractors found to have violated the Act. Requires that contracts subject to the Act contain a provision allowing the Government to terminate the contract if less than the required wage rate has been or is being paid. Makes the contractor and its sureties liable for any excess costs incurred by the Government because of such termination. Directs the Secretary to: (1) enforce the Act; and (2) promulgate standards and procedures to be observed by contracting officers. Amends the Copeland Anti-Kickback Act (which provides for the Secretary of Labor to make reasonable regulations for contractors and subcontractors in the construction or repair of public buildings or public works or buildings or works financed in whole or part by Federal loans or grants) to require such employers to report certain payroll information on a monthly (rather than a weekly) basis. Requires such information to include specified items (including rates of contributions or costs anticipated for bona fide fringe benefits). Requires such employers to maintain payroll and other related basic records for three years after completion of such work. Permits any interested person to obtain from any Federal department or agency a copy of any such payroll statement which has been filed by the contractor or subcontractor with the department or agency under such Act. Directs the Secretary of Labor to: (1) study the feasibility of employers using electronic methods to comply with reporting requirements under such Act; and (2) report to the Congress within one year on actions taken by the Secretary and employers to facilitate electronic reporting of payroll information.
United States · United States Congress · 23 April 1991
Title I: General Provisions - Operation Coastal Shield of 1991 - Sets forth congressional findings and purposes with respect to coastal and Great Lakes water quality. Title II: Coastal Water Quality - Amends the Clean Water Act to require the Administrator of the Environmental Protection Agency to: (1) issue guidance to States for implementing water quality criteria, developing water and sediment quality-based effluent limitations, and implementing water quality related controls on nonpoint sources; (2) submit a workplan to specified congressional committees on a five-year schedule for developing and revising criteria for pollutants found in coastal waters; (3) issue or revise at least five new criteria and revise at least five existing criteria biennially for pollutants which pose the greatest risk to coastal waters; and (4) publish biological criteria for assessing and protecting coastal water quality and habitat to complement pollutant-specific criteria. Requires a coastal State, whenever the State reviews water quality standards, to adopt coastal water quality standards for pollutants for which water quality criteria and information have been issued. Requires criteria issued by the Administrator to take effect immediately as interim coastal water quality standards for States that fail to adopt approvable standards. Directs the Administrator to publish information on methods for measuring water quality criteria for pollutants that may pose risks to coastal and Great Lakes water quality on bases other than pollutant-by-pollutant criteria. Requires applicants for Federal permits to conduct activities which may result in discharges into navigable waters to obtain a certification from the State in which the discharge will originate that such activities will not contribute to a failure to achieve water quality standards. Directs coastal States to develop coastal water quality protection programs for restoring and protecting coastal water quality. Requires such programs to: (1) incorporate requirements of specified Acts; (2) identify coastal waters for which standards cannot be expected to be maintained and waters that currently meet standards but are threatened by increases in pollution; (3) establish a priority ranking for such waters and implement schedules for developing water quality restoration plans for those waters; (4) provide for a system of allocating and exchanging discharge reduction credits and pollution offsets among sources of conventional pollutants and nutrients into coastal waters; (5) establish a system through which a State authority certifies that the issuance or renewal of a discharge permit or the undertaking of any activity subject to the requirements of a coastal water quality restoration plan complies with such requirements; and (6) ensure public participation in the program and include procedures to ensure compliance with the program. Sets forth: (1) requirements for coastal water quality restoration plans; and (2) approval procedures for such plans and for coastal water quality protection programs. Directs the Administrator to develop water quality restoration plans for States that fail to do so. Requires the Administrator to issue orders to, or commence civil actions against, persons failing to comply with coastal water quality protection program requirements. Authorizes citizen suits against the United States and other governmental authorities for violations of such requirements. Prohibits the issuance or renewal of permits for discharges into estuaries nominated for the National Estuary Program, except in compliance with specified guidelines. Directs the Administrator to review and revise guidelines to prevent the degradation of coastal water quality and to reflect changes made by this Act. Authorizes State Governors to request the Secretary of the department in which the Coast Guard is operating to enter into a cooperative agreement to permit a State and its political subdivisions to enforce requirements for marine sanitation devices. Requires such agreements to authorize States or political subdivisions to assess and retain required penalties. Directs the Director of the Fish and Wildlife Service and the Administrator to notify the fish and game and water pollution control authorities of each coastal State of the funds available under the Dingell-Johnson Sport Fish Restoration Act to finance shoreside pumpout stations for marine sanitation devices. Requires the Administrator to review and revise standards for marine sanitation devices to prevent discharges from vessels equipped with Type III marine aviation devices. Directs the Administrator to: (1) identify pollution control measures for controlling the introduction of pollutants into coastal waters from nonpoint sources; (2) develop techniques for evaluating the effectiveness of such measures; and (3) make available to State and local authorities technical guidance for implementing and monitoring such measures. Requires the Administrator, with respect to best management practices for industry, to identify releases of pollutants that may cause risks to human health or the environment and to prohibit or restrict the production of such pollutants to eliminate such risks. Revises provisions concerning the purposes of management conferences under the National Estuary Program. Requires such conferences to be convened for periods of at least five years (currently, up to five years). Permits the extension of a conference for an additional five years if the affected Governors concur in the extension and the extension is necessary to meet requirements. Revises approval and implementation procedures for conservation and management plans under the Program. Authorizes the Administrator to make grants for the implementation of such plans. Extends the authorization of appropriations for Program activities. Authorizes appropriations to the Under Secretary of Commerce for Oceans and Atmosphere and the Director to participate in the development and implementation of such plans. Requires the Administrator to issue orders to, or commence civil actions against, persons failing to comply with requirements concerning national estuaries. Title III: Coastal and Great Lakes Contaminated Sediments Remediation Program - Directs the Administrator to conduct a survey and report to the Congress on bottom sediment contamination in the Great Lakes and U.S. coastal waters. Declares that the purpose of such survey is to assess the severity of such contamination, identify areas for which additional pollution reduction requirements may be required, and determine the order of priority for undertaking remedial actions. Requires the Administrator to publish: (1) criteria for sediment quality; and (2) information on the factors necessary to restore and maintain the chemical, physical, and biological integrity of aquatic ecosystems. Authorizes persons to petition for the development of criteria for pollutants. Requires the Administrator to approve a petition if the pollutant, when present in sediments, is preventing: (1) the attainment of a balanced, indigenous population of fish, shellfish, or wildlife; or (2) recreation in and on the Great Lakes or coastal waters. Directs the Administrator to: (1) issue national sediment remediation standards to govern remediation projects involving contaminated sediments; and (2) issue standards to establish temporary maximum permissible concentrations of pollutants or contaminants during the duration of projects for sediment contamination. Requires the Administrator, when publishing sediment quality criteria for a pollutant, to issue guidance on the imposition by the appropriate permitting authority of sediment-based effluent limits that will prevent the violation of such criteria. Directs the Administrator to publish guidelines to govern projects to clean up contaminated sediments. Provides for the review and revision of such guidelines at least once every five years. Requires the Administrator, with the approval of a State Governor, to implement sediment remediation projects for locations posing the greatest risks to human health and the environment. Prohibits the Administrator, in selecting such sites, from selecting any site listed as a priority under the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 and for which there is reasonable likelihood of remediation under such Act. Authorizes approprations. Title IV: Monitoring Coastal Waters - Establishes the National Coastal Water Quality Monitoring Task Force. Requires the Task Force to: (1) implement a national strategy for conducting coastal water quality monitoring programs; (2) identify all Federal water quality monitoring programs and incorporate those programs into the national strategy; (3) develop a memorandum of understanding among appropriate Federal agencies to implement such strategy; (4) develop coastal water quality monitoring guidelines; and (5) select high priority coastal waters and approve, implement, or disapprove coastal water quality monitoring programs for such waters. Directs the Task Force to issue quidelines to assist in the development and implementation of such programs. Amends the Marine Protection, Research, and Sanctuaries Act of 1972 to require Regional Marine Research Boards to establish monitoring committees comprised of individuals with technical expertise in coastal water quality monitoring programs. Requires the Boards, acting through such committees, to: (1) recommend areas for individual monitoring; (2) submit recommendations to the Task Force; (3) develop coastal water quality monitoring programs for high priority coastal waters selected by the Task Force; (4) provide for public participation in such programs; (5) provide technical guidance for the implementation of such programs; and (6) review the effectiveness of such programs and make necessary modifications. Sets forth requirements for coastal water quality monitoring programs and approval procedures for programs submitted by the committees to the Task Force. Requires the Under Secretary, the Administrator, and State Governors to ensure compliance with such programs. Deems requirements of approved programs to be requirements of the Marine Protection, Research, and Sanctuaries Act of 1972 and requires such programs to be submitted for approval as part of coastal zone management programs under the coastal Zone Management Act of 1972. Directs the Administrator or a State permitting authority to incorporate monitoring requirements into discharge permits. Title V: Compliance and Enforcement - Amends the Clean Water Act to authorize the use of specified civil and administrative penalties for beneficial mitigation projects. Increases the maximum on class II civil penalties authorized to be assessed under such Act. Prohibits Federal agencies from entering into any contract for the procurement of goods or services if the contract is to be performed at any facility owned or operated by a person who has: (1) repeatedly violated a discharge permit or the requirements of a nonpoint source management program or categorical standard with respect to the treatment of pollutants; or (2) been in repeated noncompliance with an estuary conservation and management plan. Authorizes the Administrator to commence administrative enforcement actions against Federal agencies to enforce this Act. Permits partial program withdrawal of State discharge permit programs if the Administrator determines that a State is not administering part of a program in accordance with applicable requirements. Requires permits to take effect upon issuance unless the permittee demonstrates that: (1) he will be irreparably harmed; and (2) there is a likelihood that he will succeed on the merits in an administrative hearing or civil action to review the permit's conditions. Prohibits Federal agencies from undertaking any development project or awarding any grant for an activity that may adversely affect the quality of navigable waters in any State with a pattern of: (1) continuing and chronic violations of coastal water quality standards; or (2) continuing and chronic failure to maintain a designated use under such standards. Requires Federal agencies which own or operate facilities that discharge pollutants into navigable waters (and that would qualify as major dischargers if industrial facilities) to develop and submit to the Administrator environmental auditing plans for such facilities. Directs industrial dischargers and publicly owned treatment works that discharge pollutants into navigable waters and that have repeatedly violated discharge permits or consent decrees to conduct biannual environmental audits of such facilities until they are no longer in violation of applicable requirements. Requires major dischargers, prior to the renewal of a permit, to provide to the Administrator an environmental audit conducted during the six-month period preceding the renewal. Sets forth requirements for audits and auditors. Requires the Administrator to: (1) issue regulations establishing eligibility requirements for certification of environmental auditors and continuing education requirements for maintaining the certification; and (2) issue guidance to States on the development of State programs for certification of environmental auditors. Directs States having navigable waters that do not meet applicable water quality standards to post and maintain signs at each place of public access to such waters indicating the standards such waters fail to meet and the health and environmental effects which may occur as a result of such failure. Title VI: Financing - Subtitle A: Discharge Fees - Establishes the Coastal Defense Fund. Provides for the deposit of specified fines, penalties, and payments collected under the Clean Water Act and the Marine Protection, Research, and Sanctuaries Act of 1972 into the Fund. Requires the Administrator to use Fund revenues to supplement funding for activities associated with administering the discharge permit program. Directs the Administrator to establish a National Coastal Discharge Permit Fee System to collect fees from coastal dischargers. Declares that the objectives of the System are to: (1) recoup the costs to Federal, State, and local governments of administering coastal discharge permit programs; (2) provide economic incentives to dischargers to eliminate or reduce the volume of toxicities of their effluents; and (3) supplement funding for discharge permitting programs under the Clean Water Act. Provides for the deposit of fees and penalties collected under the System into the Fund. Makes persons failing to pay fees liable for civil penalties. Provides for a hardship exemption to fees under certain conditions. Requires the Administrator, upon the petition of a coastal State, to waive the application of the System to such State if the amount of discharge fees collected under a State system is equivalent to the amount that would be collected by the System. Prohibits such waiver if the State uses fees solely to support State water quality programs. Makes industrial users of publicly owned treatment works liable for fees and requires users to pay fees to the authority responsible for controlling the treatment works. Directs the authority to retain such fees and use them to enforce water quality programs. Requires the Administrator to establish a fee schedule under the System that provides for the assessment of fees at least once a year and for the triennial adjustment of fees. Subtitle B: General Authorizations - Extends through FY 1999 the authorization of appropriations under the Clean Water Act for: (1) specified research, investigations, training, and information; (2) grants to States for pollution control programs; (3) nonpoint source pollution control in rural areas; (4) interagency agreements to maintain water quality; (5) the clean lakes program; and (6) nonpoint source pollution management programs. Extends the general authorization under such Act through FY 1999. Subtitle C: State and Local Financing - Authorizes States to use up to 15 percent of monies available in water pollution control revolving funds under the Clean Water Act to provide financial assistance to financially restricted communities. Permits loans to be made to such communities on terms of up to 40 years. Authorizes a fund to be used to reduce the principal of a debt obligation of a municipality or intermunicipal or interstate agency incurred after April 1, 1991, by up to 34 percent. Adds to the list of projects eligible for revolving fund assistance: (1) approved combined stormwater and sanitary sewer control programs; and (2) Great Lakes protection programs. Provides that: (1) annual principal and interest payments for loans made with revolving fund monies will commence no later than three years (currently, one year) after the completion of the project; and (2) amounts used for administering a fund shall not exceed four percent of amounts allotted to a State, or $400,000, whichever is greater (currently, four percent of all grant awards to such fund). Extends the allotment formula with respect to such funds. Raises the ceiling on the dollar amount to be reserved for planning purposes. Extends the authorization of appropriations for such funds through FY 1999.
United States · United States Congress · 23 April 1991
Caregivers Supportive Services Amendments of 1991 - Amends the Older Americans Act of 1965 to authorize supportive services for informal caregivers who assist older individuals in need of long-term care to remain in private residences.
United States · United States Congress · 23 April 1991
Outreach, Information, and Referral Older Americans Amendments of 1991 - Amends the Older Americans Act of 1965 to require outreach and referral programs under the Act to emphasize linking available services to isolated older individuals who are victims of Alzheimer's disease and to their caregivers.
United States · United States Congress · 23 April 1991
Area Agency on Aging Uniform Listing Act of 1991 - Amends the Older Americans Act of 1965 to require area agencies on aging to list their telephone numbers in local telephone directories of service areas under "Area Agency on Aging."
United States · United States Congress · 23 April 1991
Older Americans Act Eldercare Amendments of 1991 - Amends the Older Americans Act of 1965 to require State and area agencies on aging to support activities and develop resources to provide community-based long-term care services by involving individuals, agencies, organizations, and businesses, and by building coalitions, to mobilize cooperative community efforts.
United States · United States Congress · 23 April 1991
Older Americans Transportation Amendments of 1991 - Amends the Older Americans Act of 1965 to require States to establish advisory bodies to make recommendations for transportation services that affect older individuals. Requires States and local areas agencies on aging to coordinate transportation services provided under the Older Americans Act with other public and special population transportation services. Requires a study and report to the Congress on the manner in which such Act's funds are being spent on transportation for older individuals and the extent to which resources are available under the Act and from other sources to meet the needs of such individuals.
United States · United States Congress · 23 April 1991
Older Americans Guardianship Assistance Amendments of 1991 - Amends the Older Americans Act of 1965 to: (1) require the Ombudsman program for long-term care facilities which investigates and resolves complaints to include protection of the welfare and rights of residents regarding the appointment and activities of guardians and representative payees; (2) allow legal assistance programs to represent wards and low income older individuals who seek to become guardians, if other adequate representation is unavailable in guardianship proceedings; and (3) allow services designed to provide information and training for individuals to become guardians and representative payees of older individuals, including information on alternatives to guardianship.
United States · United States Congress · 23 April 1991
Preventive Health Services for Older Americans Amendments of 1991 - Amends the Older Americans Act of 1965 to include as preventive health services: (1) educational programs on fall prevention; and (2) medication management screening and education to prevent incorrect medication and adverse drug reactions.
United States · United States Congress · 23 April 1991
White House Conference on Aging Act of 1991 - Requires the President to call a White House Conference on Aging in 1993 to bring together representatives of Federal, State, and local governments, individuals involved in the field of aging, and representatives of the general public to: (1) identify the problems of older individuals; (2) develop recommendations for the coordination of Federal policy with State and local needs; and (3) develop specific and comprehensive recommendations for executive and legislative action for maintaining and improving the well-being of older individuals. Authorizes appropriations.
United States · United States Congress · 23 April 1991
Rural Equity for Older Americans Amendments of 1991 - Amends the Older Americans Act of 1965 to require that particular attention be given in providing services to older individuals living in rural areas. Requires State formulas for distribution of Older Americans Act funds to include a factor that reflects the cost of providing geographical access to services to older individuals residing in rural areas. Deletes a requirement under such Act that State agencies must spend in rural areas each fiscal year an amount not less than 105 percent of the amount spent in FY 1978.
United States · United States Congress · 23 April 1991
Drug Abuse Treatment Improvement Act of 1991 - Amends the Public Health Service Act to direct the Secretary of Health and Human Services to: (1) evaluate drug abuse treatment programs receiving assistance from the Secretary; (2) develop model treatment programs; and (3) disseminate the information to treatment entities. Prohibits assistance to treatment programs unless they agree to provide relevant information to the Secretary.
United States · United States Congress · 23 April 1991
Nuclear Decommissioning Reserve Fund Act of 1991 - Amends the Internal Revenue Code to: (1) decrease the rate of the tax imposed on the income of any Nuclear Decommissioning Reserve Fund; and (2) remove restrictions on permitted investments of Fund monies.
United States · United States Congress · 23 April 1991
Expresses the sense of the House of Representatives that it should be U.S. policy to reduce national emissions of carbon dioxide in the next ten years by 20 percent from the 1988 baseline level and to assume a leadership position in negotiating an international climate protection treaty that includes establishing: (1) agreements by industrialized nations to reduce their current carbon dioxide emissions by 20 percent over 1988 levels in the next ten years, by developing nations to reduce their growth in carbon dioxide emissions from fossil fuel combustion, and by all countries to reduce emissions of greenhouse gases; (2) an international fund and other financial mechanisms to help developing countries achieve such objectives; (3) mechanisms for continuing international cooperation for the development of policies for future emissions reductions; and (4) commitments to cease the destruction of primary forests.
United States · United States Congress · 22 April 1991
Forest Biodiversity and Clearcutting Prohibition Act of 1991 - Amends the Forest and Rangeland Renewable Resources Planning Act of 1974, the Federal Land Policy and Management Act of 1976, the National Wildlife Refuge System Administration Act of 1966, the National Indian Forest Resources Management Act, and Federal law to provide for the conservation of native biodiversity in each national forest community. Revises land management guidelines for such forests to prohibit any even-age logging or even-age management after one year of enactment of this Act. Directs the Secretary of Agriculture, on each site already under such management, to: (1) prescribe a shift to selection management within one year; or (2) cease managing for timber purposes and actively restore the native biodiversity, or permit each site to regain its native biodiversity.
United States · United States Congress · 22 April 1991
Defense Environmental Activities Act - Authorizes appropriations for FY 1992 for the armed forces and other agencies and activities of the Department of Defense (DOD) for environmental restoration, defense. Earmarks a specified amount of FY 1992 DOD appropriations for other environmental activities. Requires information pertaining to amounts obligated in the past fiscal year and estimated to be allocated for the current fiscal year for DOD compliance with applicable environmental law and for certain DOD waste minimization programs to be included in an annual report of the Secretary of Defense on DOD environmental restoration.
United States · United States Congress · 17 April 1991
Long-Term Care Insurance Consumer Protection Act of 1991 - Amends title XIX (Medicaid) of the Social Security Act to afford Federal consumer protection to purchasers of long-term care insurance policies by requiring that, before such policies may be issued or sold, they must have been either certified by the Secretary of Health and Human Services as meeting the minimum Federal standards and requirements outlined below or approved by the State commissioner or superintendent of insurance under a regulatory program each State is required to establish that: (1) incorporates such standards and requirements; (2) provides consumers with access to basic information on issuers and policies; and (3) provides for an approval process for proposed premium increases. Outlines Federal standards long-term care insurance policies must meet, including those which mandate that such policies: (1) offer mandatory inflation protection features, nonforfeitable benefits after a certain vesting period should the policy lapse, and limited premium increases; (2) be guaranteed renewable except for nonpayment of premiums or material misrepresentation; (3) use standard language and a uniform format, with certain variations in language permitted; (4) disclose a detailed outline of coverage; (5) allow purchasers 30 days to rescind their purchase of the policy and to have the premium refunded; (6) not condition or limit eligibility for benefits, including non-institutional benefits, except in cases of preexisting conditions; (7) use functional assessment tools for determining home care eligibility; (8) provide a right to appeal denials for home care eligibility; (9) provide a six-month period of contestability after issuance of the policy; (10) prohibit discrimination in cases of individuals with Alzheimer's disease; and (11) provide benefits over a period of at least 12 consecutive months. Regulates the marketing of long-term care insurance policies by establishing prohibitions on certain sales practices, such as high pressure tactics, and on sales to Medicaid beneficiaries and sales of duplicate service benefit policies. Imposes additional requirements on issuers of long-term care insurance policies with respect to: (1) the prompt mailing of new policies after approval; (2) the furnishing of information to policyholders regarding denied claims and to the Secretary and appropriate State officials regarding policies, premiums, lapse, replacement, and rescission rates and denied claims; (3) the obtaining of medical assessments for elderly applicants if the policy is not guaranteed to issue; and (4) the limiting of compensation to agents for the sale of long-term care insurance policies. Sets forth penalties for issuing unapproved or uncertified policies and for violating prohibited sales practices and the requirements imposed on issuers of long-term care insurance policies. Requires reports on functional ability assessment tools and on solvency protections for such issuers. Requires a study to develop a standard measure of value for long-term care insurance policies. Authorizes appropriations to increase funding for long-term care insurance information, counseling, and assistance.
United States · United States Congress · 17 April 1991
Amends the Harmonized Tariff Schedule of the United States to extend, through December 31, 1995, the suspension of duty on 2,2-dimethyl cyclopropylcarboxamide (also known as d-carboxamide).
United States · United States Congress · 17 April 1991
Amends the Harmonized Tariff Schedule of the United States to suspend, for a three year period, the duty on N-(aminosulfonyl)-3-(((2-((diaminomethylene)amino)-4-thiazoly)- methyl)thio) propanimidamide (also known as famotidine).
United States · United States Congress · 17 April 1991
Amends the Harmonized Tariff Schedule of the United States to extend, through December 31, 1995, the suspension of duty on n-amidino-3,5-diamino-6-chloropyrazine-carboxamide monohydrochloride dihydrate, crude or advanced (also known as amiloride hydrochloride).
United States · United States Congress · 17 April 1991
Amends the Internal Revenue Code to extend discharge of indebtedness provisions to loan cancellation programs of banks and institutions of higher education. Includes under such program loans made to students by institutions of higher education to repay other loans. Permits the institution to repay such other loans.
United States · United States Congress · 16 April 1991
Design Innovation and Technology Act of 1991 - Amends the copyright law to provide for the protection of industrial designs of useful articles (including typefonts), except designs that are: (1) not original; (2) staple or commonplace; (3) different from commonplace or staple designs in insignificant ways; (4) determined solely by a utilitarian function; (5) embodied in a useful article that was made public by the designer or owner in the United States or a foreign country more than one year before the date of application for registration; (6) composed of three-dimensional features of shape and surface in wearing apparel; (7) a semiconductor chip product already protected under another provision; (8) embodying a process or idea or system; or (9) for motor vehicle glass. States that protection for a design shall be available for subject matter usually excluded if the design is a substantial revision, adaptation, or rearrangement of such subject matter. Sets the term of protection at ten years. Requires the design to be marked with a design notice when it is made public. States that omission of such notice shall not cause loss of protection or prevent recovery for infringement against any person who receives written notice of the protection. Grants the owner of a protected design the exclusive right to make, import, or distribute for sale or use in trade any useful article embodying such design. Specifies the criteria for determination of infringement of a protected design. Provides that protection of a design shall be lost if application for registration is not made within one year after the date on which the design is first made public. Provides procedures for application for the protection of a design through a certificate of registration. Sets fees for services relating to the administration of this Act. Specifies the ownership and transfer rights of designs subject to protection. Provides remedies for infringement of a registered design, including injunctive relief and damages. Allows judicial review of a final refusal of the Register of the Copyright Office to register a design. Prescribes penalties for fraudulent registration, false marking, and false representation of any design. Requires the Secretary of Treasury and the U.S. Postal Service to issue regulations for the enforcement of rights concerning importation of useful articles. Provides that this Act shall take effect one year after the date of enactment. States that no design made public prior to the effective date shall be protected.
United States · United States Congress · 16 April 1991
Older Americans Child Care Employment Amendments of 1991 - Amends the Older Americans Community Service Employment Act to require the Secretary of Labor to enter into agreements with public or private nonprofit agencies or organizations to conduct experimental projects employing individuals who are age 55 or older in providing day care to children of families with low incomes. Requires that such agencies or organizations: (1) charge families a day care fee which is proportional to their financial resources; and (2) be subject to the State licensing requirements or regulatory standards applicable to similar day care providers in the State. Prohibits the making of grants pursuant to this Act to more than two agencies or organizations in each State. Authorizes appropriations for such projects. Amends title II (Old Age, Survivors and Disability Insurance) (OASDI) of the Social Security Act to prohibit the income an individual earns in providing such child care from being applied against OASDI benefits.
United States · United States Congress · 16 April 1991
Radon Testing for Safe Schools Act of 1991 - Amends the Toxic Substances Control Act to direct the Administrator of the Environmental Protection Agency (EPA) to publish guidelines on testing for and remediating radon in school buildings. Requires local educational agencies located in areas designated as priority radon areas to conduct radon tests in school buildings owned or operated by such agencies. Directs the Administrator to designate such areas by September 30, 1991. Makes test results available for public review. Requires individuals testing for radon to be approved by the Administrator or a State pursuant to a radon proficiency program. Authorizes appropriations for: (1) the Administrator to implement radon remediation measures for local educational agencies; and (2) grant assistance for implementing such measures and for conducting additional radon tests.
United States · United States Congress · 16 April 1991
Federal Employees Retirement Incentive Act - Allows certain Federal employees serving in entities undergoing a major reorganization, reduction in force, or transfer of functions to elect to have four years added to their age upon separation, their total creditable service, or a combination thereof (not to exceed four years) for purposes of determining retirement eligibility and benefits under the Civil Service and Federal Employees' Retirement Systems. Amends provisions governing early or immediate retirement for Government employees to consider certain requirements for entitlement to annuities to have been met (with respect to agency reorganization, reduction in force, or transfer of functions conditions) if: (1) at least five percent of the employees within the agency and geographic area involved will be separated; or (2) at least 20 percent of such employees will be subject to an immediate reduction in the rate of basic pay. Waives such minimum percentages under certain circumstances.
United States · United States Congress · 16 April 1991
Amends the Solid Waste Disposal Act to extend the medical waste tracking demonstration program until June 30, 1993. Extends the authorization of appropriations for such program through FY 1993.
United States · United States Congress · 16 April 1991
Federal Employees Health Benefits Reform Act of 1991 - Revises the Federal Employees Health Benefits Program (the Program) to: (1) establish the Federal Employees Health Benefits Board (the Board); (2) replace current service and indemnity health benefit plans with a new Government-wide health insurance plan that offers both a standard and a high option for either self or family coverage; (3) require group- and individual-practice prepayment plans and mixed model prepayment plans to offer the same types of benefits offered under the standard option; (4) allow employee organization sponsored health plans to offer supplementary benefits; (5) establish flexible spending plans to allow employees to set aside a portion of their salary on a pretax basis to pay out-of-pocket health care expenses; and (6) allow annuitants whose annuities are insufficient to cover the full amount of required withholdings to elect to be covered under health benefits plans if they pay an amount equal to such withholdings to the Employees Health Benefits Fund (the Fund) through the retirement system that administers their health benefits enrollment. Directs the Board to: (1) prescribe regulations governing the provision of health insurance benefits to Federal employees, their families, and retirees under the Government-wide plan in consultation with the Office of Personnel Management (OPM); and (2) establish procedures for reviewing the utilization of health care services under such plan and controlling service costs. Declares that the service providers shall not be eligible for payments under the plan unless they comply with such procedures. Specifies the benefits required to be provided under each option of the plan and the extent to which they are covered. Requires such individuals to meet specified annual deductions under each option of the plan before any benefits will be paid, except in the case of a family enrollment when the deduction will be waived once it is met by any two family members. Establishes maximum out-of-pocket expense limitations for self and family coverage under each option. Requires the plan to pay all covered expenses after out-of-pocket expenses have exceeded their appropriate maximum limitation. Revises provisions for computing Government contributions. Establishes different requirements for each respective basic health benefits plan. Provides for the following with respect to the Government-wide plan: (1) establishment of specified biweekly employee contributions for the first administrative year to be increased for later years by the lesser of the increase in the medical care component of the consumer price index or the increase in the average enrollment charges; (2) procedures for determining average annual enrollment charges (the costs for providing benefits and administering the plan and any amounts necessary to maintain an adequate contingency reserve) in consultation with the Board for the first administrative year and for adjusting such charges for later years; (3) allocation of such costs to each option in a manner which is reasonable and equitable; (4) publication of new enrollment charges in the Federal Register and the Code of Federal Regulations; and (5) continued individual and family coverage for employees who are placed in a leave without pay status. Revises provisions regarding contracting authority to establish separate authority for awarding competitive three-year contracts to nongovernmental organizations to administer the Government-wide plan on a regional basis in areas established by OPM. Requires plan administrators to review the utilization of health care services and implement the cost-control procedures established by the Board. Permits certain employee organizations which currently self-insure to serve as the plan administrators for employees within their bargaining unit. Repeals provisions regarding payment or reimbursement for services by: (1) psychologists or optometrists; and (2) any person licensed under State law in a State where a specified percentage of the population is located in primary medical care manpower shortage areas. Revises provisions concerning election of coverage to: (1) provide automatic coverage under the Government-wide plan's standard option for self alone to an employee becoming eligible for Federal health insurance coverage unless the employee elects alternative coverage or to be excluded from coverage; (2) revise criteria for continuation of coverage for annuitants; and (3) extend coverage to unmarried dependent natural or adopted children of the former spouse and the employee who are students over age 22 but under age 23. Allows temporary employees to enroll in the Government-wide plan provided they pay both employee and Government contributions. Provides that if an individual eligible to enroll in a basic health benefits plan has a spouse who is also eligible, either may enroll for self and family or each may enroll as an individual, but no individual may be covered both as an enrollee and as a family member. Sets forth rules to apply in administering provisions regarding: (1) election of coverage: (2) continued coverage; (3) coverage of restored employees and survivor or disability annuitants; (4) double coverage; and (5) changes in family status. Requires any amounts forfeited under flexible spending plans to be transferred to a separate account which shall be within the Fund. Allows such amounts to be used for wellness programs for Federal employees. Revises provisions regarding contribution set-asides in the Fund to establish new set-aside requirements for contributions to the basic health benefits plans. Directs OPM to: (1) prescribe regulations to provide eligible individuals with an opportunity to elect coverage under the health benefits plans, to terminate their enrollment, to transfer to another such plan, or to make any other allowable changes in the terms or conditions of their enrollment; (2) on an annual basis compile statistics and submit to the Board a report on the use of the different benefits of the basic and supplemental plans and their costs to the Government as part of a continuing study of the operation and administration of the Program; (3) prescribe Program regulations providing for the establishment of wellness programs for Federal employees; and (4) prescribe regulations to ensure that, for any annuitant eligible to receive Medicare (title XVIII of the Social Security Act) and Federal health insurance benefits, deductibles and coinsurance or copayment amounts under the Program shall be waived to the same extent as before the enactment of this Act and that when an individual is eligible for Federal health insurance benefits which would be duplicative of Medicare benefits, the primary payer shall be the same as it would have been before the enactment of this Act.
United States · United States Congress · 16 April 1991
Social Security Public Pension Offset Amendments Act of 1991 - Amends title II (Old Age, Survivors and Disability Insurance) (OASDI) of the Social Security Act to reduce the proportion of monthly Federal or State pension benefits subtracted from monthly OASDI benefits payable to a spouse, surviving spouse, or parent as the total of such monthly benefits diminishes.