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Official portrait of Rep. Kolter, Joseph P. [D-PA-4]

Rep. Kolter, Joseph P. [D-PA-4]

United States · Official source

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3,007 records where Rep. Kolter, Joseph P. [D-PA-4] is listed as a sponsor, author, or other actor. Search with topics and years

Law· HRH.R. 1253 (102nd)enacted

To amend the State Justice Institute Act of 1984 to carry out research, and develop judicial training curricula, relating to child custody litigation.

United States · United States Congress · 5 March 1991

Amends the State Justice Institute Act of 1984 to authorize the use of Institute funds to conduct up to five projects to: (1) investigate and carry out research regarding State judicial decisions relating to child custody litigation involving domestic violence; (2) develop training curricula to assist State courts to develop an understanding of, and appropriate responses to, child custody litigation involving domestic violence; and (3) disseminate the results of such investigation and research and the curricula to State courts.

Law· HRH.R. 1252 (102nd)enacted

Battered Women's Testimony Act of 1992

United States · United States Congress · 5 March 1991

Battered Women's Testimony Act of 1991 - Directs the State Justice Institute, by grants to or contracts with a single eligible entity, to: (1) collect and analyze information regarding the admissibility and quality of expert testimony on the experiences of battered women offered as part of the defense in criminal cases under State law and regarding sources of, and methods to obtain, funds to pay costs incurred to provide such testimony, particularly in cases involving indigent women defendants; (2) develop training materials to assist battered women, operators of domestic violence shelters, battered women's advocates, and attorneys in using such testimony in appropriate cases and to assist individuals with expertise in the experiences of battered women in developing skills appropriate to providing such testimony; and (3) disseminate such information and training materials and provide related technical assistance to battered women, shelter operators, advocates, attorneys, and individuals providing testimony.

Bill· HRH.R. 1245 (102nd)open

United States One Dollar Coin Act of 1991

United States · United States Congress · 5 March 1991

United States One Dollar Coin Act of 1991 - Amends Federal currency law to prescribe the color and content of one-dollar coins. Mandates that the obverse side of the one dollar coin have a design recognizing America's veterans. Directs the Secretary of the Treasury to cease regular production of one-dollar Federal Reserve notes by a specified date (except for such quantities as are required to meet collectors' needs). Mandates that the seigniorage of the new one-dollar coins be used to offset the reverse seigniorage resulting from the destruction of Susan B. Anthony dollar coins in Government storage.

Bill· HRH.R. 1264 (102nd)referred

Women's Health and Mental Health Research Act

United States · United States Congress · 5 March 1991

Women's Health and Mental Health Research Act - Amends the Public Health Service Act to establish in the Office of the Administrator of the Alcohol, Drug Abuse, and Mental Health Administration (ADAMHA) the Office of Research on Women's Health and Mental Health (Office) to ensure that women's health and mental health research is identified and addressed by ADAMHA. Establishes in the Office the Coordinating Committee for Research on Women's Health and the Advisory Committee for Research on Women's Health. Requires that the Administrator establish: (1) a single data system for the collection, analysis, and dissemination of information regarding women's health and mental health research, including a registry of clinical trials of experimental treatments; and (2) a program to provide information on women's health and mental health research. Provides for grants or contracts for the development and operation of Centers of Excellence in Women's Health and Mental Health Research using a single institution or a consortium for each Center. Provides, subject to appropriations, for three centers, with support covering five years. Allows extension of support if recommended by a technical and scientific peer review group. Authorizes appropriations.

Bill· HRH.R. 1263 (102nd)referred

Women's Health Research Act

United States · United States Congress · 5 March 1991

Women's Health Research Act - Amends the Public Health Service Act to establish within the Office of the Director of the National Institutes of Health (NIH) the Office of Research on Women's Health (Office) to ensure that women's health research is identified and addressed by NIH. Establishes in the Office the Coordinating Committee for Research on Women's Health and the Advisory Committee for Research on Women's Health. Mandates that the Director of the Office prepare and annually review a plan for establishing a program for clinical research on obstetrics and gynecology to be conducted by the Director of the National Institute of Child Health and Human Development (NICHHD). Requires the NICHHD Director to establish a program of contracts with individuals who agree to conduct obstetrics and gynecology research in return for the Federal Government paying, to a specified maximum, the educational loans of the individuals. Requires the NIH Director to establish a single data system for the collection, analysis, and dissemination of information regarding women's health research conducted or supported by NIH, including a registry of clinical trials of experimental treatments. Requires the NIH Director to establish and operate a program to provide information on research and prevention activities relating to women's health research. Provides for grants or contracts for the development and operation of Centers of Excellence in Women's Health Research using a single institution or a consortium for each Center. Provides, subject to appropriations, for three centers, with support covering five years. Allows extension of support if recommended by a technical and scientific peer review group. Authorizes appropriations for specified provisions of this Act.

Bill· HRH.R. 1251 (102nd)referred

Domestic Violence Housing Act

United States · United States Congress · 5 March 1991

Domestic Violence Housing Act - Amends the United States Housing Act of 1937 to: (1) increase FY 1991 and 1992 budget authority for section 8 certificate and voucher assistance; (2) require that such increases be used to assist families affected by domestic violence, including specified shared housing arrangements.

Bill· HRH.R. 1235 (102nd)referred

To establish the Modular Construction Commission and provide for national regulation of modular home construction, and for other purposes.

United States · United States Congress · 5 March 1991

Establishes the Modular Construction Commission to: (1) carry out through the National Evaluation Service of the Council of American Building Officials a modular regulatory construction program; (2) review and propose related regulations; (3) review and approve the program budget; and (4) review and resolve administrative complaints. States that the program shall consist of: (1) codes and standards; (2) approval of buildings, components, and systems; (3) monitoring of compliance assurance programs; (4) selection and monitoring of evaluation and inspection agencies; and (5) certification and labeling of modular construction.

Bill· HRH.R. 1240 (102nd)referred

To provide for the rehiring of certain former air traffic controllers.

United States · United States Congress · 5 March 1991

Provides that former air traffic controllers shall not, as a class, be considered unsuitable or ineligible for: (1) positions as air traffic controllers in the Federal Aviation Administration (FAA) or the Department of Defense; or (2) positions in the FAA other than air traffic controller positions. Requires the Secretary of Transportation and the Director of the Office of Personnel Management to take action to ensure that in each of FY 1992 and 1993, at least 500 former controllers are appointed to permanent, full-time positions as air traffic controllers in the FAA. Provides for a waiver of the maximum-age limitation applicable to such appointments. Prescribes procedural guidelines for competitive and non-competitive appointments of such controllers. Precludes an applicant's role in the 1981 strike from being considered when making a determination of suitability for an air traffic controller position. Requires the Secretary of Transportation and the Secretary of Defense to prescribe regulations under which the appointment of a former controller to an air traffic controller position within their respective departments shall not become final unless a probationary period has been successfully completed. Sets forth guidelines for the computation of creditability of service for retirement purposes. Expresses the sense of the Congress that such reinstatements should not: (1) cause the separation or reduction in grade of any other air traffic controller; or (2) interfere with training opportunities which would otherwise be afforded to air traffic controllers seeking to become fully qualified.

Bill· HRH.R. 1277 (102nd)referred

To amend the Internal Revenue Code of 1986 to increase the amount of the exemption for dependent children under age 18 to $3,500, and for other purposes.

United States · United States Congress · 5 March 1991

Amends the Internal Revenue Code to increase the personal exemption for a dependent child who has not attained age 18 from $2,000 to $3,500. Provides for rounding inflation adjustments to tax tables to the nearest multiple of $10 (currently rounded to the next lowest multiple of $50).

Bill· HJRESH.J.Res. 174 (102nd)referred

To express the sense of the House of Representatives in support of a National Victory Parade in Washington D.C. and Regional Parades throughout the rest of the United States.

United States · United States Congress · 5 March 1991

Endorses a National Victory Parade in Washington, D.C., and regional victory parades throughout the United States to honor servicemen and women who participated in Operation Desert Storm. Encourages Federal, State, and local governments and private industry to get involved in supporting such parades.

Resolution· HCONRESH.Con.Res. 89 (102nd)referred

Expressing the sense of Congress that expert testimony concerning the nature and effect of domestic violence, including descriptions of the experiences of battered women, should be admissible when offered in a State court by a defendant in a criminal case.

United States · United States Congress · 5 March 1991

Expresses the sense of the Congress that: (1) expert testimony concerning the nature and effect of domestic violence, including descriptions of the experiences of battered women, should be admissible when offered in a State court by a defendent in a criminal case to assist the trier of fact in understanding the behavior, beliefs, or perceptions of such defendent in a domestic relationship in which abuse has occurred; (2) a witness should be qualified to testify as an expert witness based upon her or his knowledge, skill, experience, training, or education, and should be permitted to testify in the form of an opinion or otherwise; and (3) a domestic relationship about which such expert testimony should be admissible includes relationships between spouses, former spouses, cohabitants, former cohabitants, partners or former partners, and between persons who are in, or have been in, a dating courtship, or intimate relationship.

Resolution· HCONRESH.Con.Res. 87 (102nd)referred

Expressing the sense of the Congress that medical examiners and coroners should make reasonable, good faith efforts to locate the next of kin of deceased individuals.

United States · United States Congress · 5 March 1991

Calls for States to develop procedures that require medical examiners and coroners to make reasonable, good faith efforts to locate and notify the next of kin of deceased persons where the identity of the deceased or the next of kin is unknown.

Bill· HRH.R. 1218 (102nd)open

Privacy for Consumers and Workers Act

United States · United States Congress · 28 February 1991

Privacy for Consumers and Workers Act - Requires employers who engage in electronic monitoring to provide each affected employee with prior written notice describing specified aspects of the electronic monitoring directly affecting the employee. Requires employers to notify prospective employees at personal interviews or meetings of existing forms of electronic monitoring which may directly affect them and, upon request, provide them with the written notice provided to employees. Requires employers to provide affected employees with some form of visual or aural notice that indicates that electronic monitoring is taking place, at periodic intervals unless the monitoring is continuous during each of the employee's shifts. Requires employers to provide affected customers with some form of visual or aural notice, at periodic intervals, indicating that telephone service observation is taking place. Requires employers to permit employees or their authorized agents to have access to all personal data obtained by electronic monitoring of their work. Prohibits employers from collecting personal data on an employee which is not relevant to the employee's work performance. Prohibits employers from disclosing personal data obtained by electronic monitoring to any person or business except to the individual employee to whom that data pertains or without the employee's prior written consent, unless disclosure would be: (1) to the employer's officers and employees who need it to perform their duties; (2) to a law enforcement agency for a criminal investigation or prosecution; or (3) pursuant to a proper court order. Prohibits employers from using personal data obtained by electronic monitoring as the exclusive basis for individual employee performance evaluation or disciplinary action, unless the employee is given an opportunity to review the data within a reasonable time after it is obtained. Prohibits employers from using personal data or collective data obtained by electronic monitoring as the sole basis for setting production quotas or work performance expectations. Prohibits employers from maintaining, collecting, using, or disseminating personal data obtained by electronic monitoring which describes how an employee exercises First Amendment rights, unless such use is: (1) expressly authorized by statute or by the employee; or (2) pertinent to and within the scope of an authorized law enforcement activity. Sets forth the following enforcement provisions: (1) civil penalties; (2) injunctive actions by the Secretary of Labor; and (3) private civil actions. Prohibits waiver of rights and procedures provided by this Act, unless such waiver is part of a written settlement by the parties to a pending action or complaint. Directs the Secretary of Labor to issue rules and regulations to carry out this Act within six months. Makes this Act inapplicable to otherwise permissible electronic monitoring by law enforcement agencies in criminal investigations.

Bill· HRH.R. 1202 (102nd)open

Mickey Leland Childhood Hunger Relief Act

United States · United States Congress · 28 February 1991

Mickey Leland Childhood Hunger Relief Act - Title I: Ensuring Adequate Food Assistance - Amends the Food Stamp Act of 1977 to remove the excess shelter deduction cap for purposes of food stamp program (program) eligibility. (Sets forth transitional caps through FY 1995.) Requires the Secretary of Agriculture to adjust the basic benefit level upwards by specified increments at the beginning of each fiscal year until it reaches 105 percent of the cost of the thrifty food plan. Eliminates food stamp reductions for households reapplying for program reinstatement within 30 days. Excludes third party payments for transitional housing for the homeless from consideration as program income. Increases funding for the nutrition assistance program in Puerto Rico. Excludes general assistance vendor payments from consideration as program income. Title II: Promoting Self-Sufficiency - Excludes from consideration as program income: (1) the first $50 a month received as child support; and (2) child support payments to non-household members. Increases annually the fair market value limit of vehicles that program recipients may own. Excludes from financial resources the value of a vehicle a household depends upon to carry heating fuel or water for home use where it has no other access to fuel or water. Increases dependent care deductions and participant and State agency reimbursements in connection with employment and training activities. Title III: Simplifying the Provision of Food Assistance - Permits related adults living in the same household to apply for separate program benefits under specified conditions. Permits a participating family made up of, or including, an elderly or disabled member to own $3,000 in allowable financial resources. (Current law refers to a family member 60 years of age or older.) Makes program authorization of appropriations permanent. Title IV: Implementation and Effective Dates - Sets forth the effective dates for provisions of this Act.

Bill· HRH.R. 1190 (102nd)referred

High Risk Occupational Disease Notification and Prevention Act

United States · United States Congress · 28 February 1991

High Risk Occupational Disease Notification and Prevention Act - Establishes a Risk Assessment Board (the Board), within the Department of Health and Human Services (HHS), to: (1) review pertinent medical and scientific reports on the incidence of disease associated with exposure to occupational health hazards; (2) identify and designate populations at risk that should receive notification; (3) develop a form and method of notification that will be used by the Secretary of Health and Human Services (the Secretary); and (4) determine the appropriate type of medical monitoring or beneficial health counseling. Sets forth factors for Board consideration and priorities in designating populations at risk of disease for notification. Directs the Secretary to make every reasonable effort to ensure that each individual within a population at risk of disease is notified of the risk. Requires the Secretary, through the National Institute for Occupational Safety and Health (NIOSH), to conduct the required notification, with specified exceptions. Allows an employer to apply to NIOSH for an exemption from such employee notification because that employer's employees are not at risk of disease because of significant mitigating factors. Provides for telephone "hot lines" and other dissemination of information. Authorizes the Secretary to certify a private employer or a State or local government to conduct notification. Provides for judicial review of Board determinations. Requires the Secretary to establish and certify ten occupational and environmental health centers to: (1) provide education, training, and technical assistance to personal physicians and health and social service professionals who serve employees notified that they are at risk under this Act; and (2) provide diagnosis, treatment, and medical monitoring and family services for such employees. Directs the Secretary to make grants to conduct research, training, and education aimed at improving the means of identifying employees exposed to occupational health hazards and improving medical assistance to such employees. Authorizes the Secretary to make grants and contracts for training and curriculum development in occupational medicine or health to schools of medicine and of nursing. Provides that such assistance shall be for projects: (1) at schools with occupational medicine or health programs, for faculty continuing education, curricula and training materials for undergraduate medical or nursing training, and clinical training for residents in graduate medical programs; and (2) at schools without such programs, for faculty training. Directs the Secretary, during FY 1991 through 1993, to make such grants and contracts to at least ten schools of medicine or nursing. Requires that the medical monitoring recommended by the Board be provided by the current employer: (1) at no additional cost to the employee (above any existing employee health care contribution), if any part of the exposure occurred in the course of employment by that employer; or (2) at a charge to the employee not exceeding the additional cost to the employer (above any existing employer health care contribution), or at no charge, if no part of such exposure occurred in the course of employment by that employer. Sets forth special rules for medical monitoring by small businesses and of seasonal agricultural workers. Prohibits discharging or discriminating against employees, or applicants for employment, on the basis that they are or have been members of a population at risk. Makes an exception to such prohibition if the position which the applicant seeks requires exposure to the occupational health hazard which is the subject of the notice. Allows an employer with 50 or fewer employees to transfer an employee who is or has been a member of a population at risk to another job if earnings, seniority, and other employment rights and benefits are as comparable as possible to the old job and if the terms of an applicable collective bargaining agreement are not violated. Grants the option of being transferred to a less hazardous or nonexposed job to any employee member of a population at risk who is determined by a physician to show evidence of developing the disease described in the notice or other symptoms or conditions increasing the likelihood or incidence of such disease. Requires that the employee maintain earnings, seniority, and other employment rights and benefits of the former job. Sets forth procedures for independent reconsideration of the initial medical determination. Sets forth special rules for medical removal. Makes such protection inapplicable to seasonal agricultural workers with less than six months continuous employment with an employer. Exempts from the requirement of medical removal protection any employer who has 50 or fewer employees and who has made or is making a reasonable good faith effort to eliminate the occupational health hazard that is the basis for the medical removal decision. Provides for confidentiality of employee records unless disclosure is authorized by and is necessary to carry out a provision of this Act, or is authorized by the employee. Permits employees aggrieved by violations of provisions involving medical monitoring, medical removal, discrimination, and confidentiality to apply, within six months after the violation occurs, to the Secretary of Labor for a review of the alleged violation. Sets forth provisions for investigations, actions, defenses, determinations, and appeals in such cases. Provides for reinstatement and other relief for employees injured by such violations. Sets forth civil penalties for such violations. Authorizes the Secretary (of HHS) to bring an action in U.S. district court to enjoin an employer from violating this Act. Directs the Secretary of Labor to report annually to the Congress on the implementation and enforcement of the hazard communication standard. Directs the Secretary of HHS to report annually to the Congress on the implementation and enforcement of notification under this Act. Authorizes appropriations for FY 1991 through 1995.

Bill· HRH.R. 1213 (102nd)referred

Medicare Bone Mass Measurement Coverage Act of 1991

United States · United States Congress · 28 February 1991

Medicare Bone Mass Measurement Coverage Act of 1991 - Amends title XVIII (Medicare) of the Social Security Act to provide Medicare coverage of bone mass measurements.

Bill· HRH.R. 1212 (102nd)referred

Osteoporosis and Related Bone Disorders Research, Education, and Health Services Act of 1991

United States · United States Congress · 28 February 1991

Osteoporosis and Related Bone Disorders Research, Education, and Health Services Act of 1991 - Amends the Public Health Service Act to require the Director of the National Institute of Arthritis and Musculoskeletal and Skin Diseases (NIAMSD), the Director of the National Institute on Aging (NIA), and the Director of the National Institute of Diabetes and Digestive and Kidney Diseases (NIDDKD) to expand and intensify research on osteoporosis and related bone disorders. Requires, with respect to osteoporosis and related bone disorders: (1) the NIAMSD Director to increase the number of Specialized Centers of Research; (2) the NIA Director to increase the number of program project grants devoted to creating centers of excellence; and (3) the NIDDKD Director to increase the number of grants in osteoporosis. Authorizes appropriations. Establishes in the Department of Health and Human Services the Interagency Council on Osteoporosis and Related Disorders and the Advisory Panel on Osteoporosis and Related Disorders. Authorizes appropriations for the Advisory Panel. Requires the NIAMSD Director to make grants or enter into contracts to establish a Resource Center on Osteoporosis and Related Disorders to: (1) disseminate information about research results, services, and educational materials to health professionals, patients, and the public; and (2) coordinate leadership training for the development of health professional resource networks. Requires grant and contract recipients to establish: (1) a central computerized information system to, among other matters, translate scientific and technical information into information readily understandable by the general public; and (2) a national toll-free telephone information line. Requires the grant or contract recipient to charge fees for providing information, but allows exceptions for individuals and organizations unable to pay. Authorizes appropriations.

Bill· HRH.R. 1181 (102nd)referred

Incarcerated Veterans Rehabilitation and Readjustment Act of 1991

United States · United States Congress · 28 February 1991

Incarcerated Veterans Rehabilitation and Readjustment Act of 1991 - Title I: Incarcerated Veteran Assessment and Assistance - Directs the Attorney General to identify those individuals who may be veterans among those: (1) entering Federal prisons; and (2) who are incarcerated in such prisons and who are to remain incarcerated for more than 30 days. Requires the Attorney General to transmit to the Secretary of Veterans Affairs the names and locations of such prisoners. Directs the Secretary to inform such prisoners of their ability to have their veteran status determined and to inform those prisoners of their rights to veterans' benefits and services as affected by their incarceration. Outlines other information to be provided. Requires the Secretary to suspend all debt collection activities being undertaken against any such prisoner for the entire period of incarceration and six months thereafter. Requires such debt collection suspension for Federal, State, or local inmates. Title II: Incarcerated Veteran Rehabilitation Counseling - Directs the Secretary to: (1) provide readjustment counseling services to those incarcerated veterans suffering from mental and psychological disorders stemming from their military service; (2) safeguard such veterans' possibility of being adjudicated as having service-connected disabilities to the same extent as non-incarcerated veterans; (3) designate an employee from a regional office of the Department of Veterans Affairs to act as a liaison between each Federal prison and the Department for such veterans; (4) review physical examinations of such veterans to determine whether they are eligible for benefits under the Veterans' Dioxin and Radiation Exposure Compensation Standards Act; and (5) ensure that the designated Department liaison provides liaison services between families of incarcerated veterans and Federal prisons. Directs the Attorney General to: (1) conduct physical examinations, with the incarcerated veterans' consent, for the purpose of aiding in the determination of eligibility for exposure benefits under such Act; (2) transmit such examination results to the Secretary; (3) inform the Secretary of an incarcerated veteran's impending release; and (4) encourage the organization of self-help groups and other similar programs that may contribute to the rehabilitation of incarcerated veterans. Title III: Readjustment Counseling Education - Directs the Secretary to develop a training curriculum, to be available to individuals, organizations, agencies, and health facilities, for assisting relevant professionals employed by the Bureau of Prisons in acquiring the expertise necessary to diagnose and treat psychiatric disabilities peculiar to veterans. Title IV: Post-Incarceration Readjustment Services - Requires the Secretary, upon receiving the names of those veterans about to be released from incarceration, to inform them of readjustment benefits and services available to them. Requires the Assistant Secretary of Veterans Affairs to designate a disabled veterans' outreach program specialist in each State where a Federal prison is located to serve as liaison with such prison. Directs the Chairman of the United States Parole Commission to: (1) integrate the services available from the readjustment counseling program of the Department into the Federal parole program for released veterans; and (2) encourage Federal parole officers to encourage paroled veterans to make use of vet centers and maintain contact with vet center personnel. Title V: State and Local Outreach Assistance - Directs the Secretary and Assistant Secretary, within six months after enactment of this Act, to implement a program to extend the benefits of this Act to State and local penal institutions with respect to veterans incarcerated in such institutions. Title VI: Miscellaneous - Directs the Attorney General, the Secretary, the Assistant Secretary, and the Chairman of the U.S. Parole Commission to: (1) report annually to the Congress on their activities in implementing this Act; and (2) sign a memorandum of understanding detailing how the organizations and operations controlled by each shall interact to implement this Act.

Bill· HRH.R. 1177 (102nd)referred

Clean and Fair Election Act of 1991

United States · United States Congress · 28 February 1991

Clean and Fair Election Act of 1991 - Title I: House of Representatives Election Campaign Spending Limits and Benefits - Amends the Federal Election Campaign Act of 1971 to set forth: (1) primary and general election filing requirements; (2) primary ($300,000) and runoff ($110,000) expenditure limits (adjusted annually for inflation); (3) threshold contribution requirements; (4) personal and general election ($550,000, with specified adjustments) expenditure limits; (5) the treatment for certain legal and accounting expenditures; (6) the benefits for eligible candidates (including certain broadcast media and mailing rates); (7) guidelines for the use of voter communication vouchers issued to eligible candidates to defray communications expenditures. Directs the Secretary of the Treasury to maintain a House of Representatives Election Campaign Account as a separate account in the Presidential Election Campaign Fund to be used in redeeming voter communication vouchers. Prescribes the procedures by which voter communication voucher requests by eligible candidates will be accommodated. Directs the Federal Election Commission to examine and audit after each general election the campaign accounts of ten percent (randomly selected) of all candidates for office in the House of Representatives to determine compliance with expenditure limitations and conditions of eligibility. Sets forth sanctions for noncompliance, including specified repayment amounts. Sets forth criminal penalties for violations of this Act. Prescribes participation by the Commission in judicial proceedings regarding violations of this Act. Requires the Commission to report to the House of Representatives after each general election on: (1) candidate expenditures; (2) aggregate amount of voter communication vouchers; (3) the status of repayments; and (4) the balances remaining in the two campaign funds under this Act. Authorizes appropriations. Reduces the limitations on contributions per election: (1) from $1,000 to $500 for individuals; and (2) from $5,000 to $1,000 for nonparty multicandidate political committees. Prohibits a candidate from accepting more than 20 percent of the general election spending limits in nonparty multicandidate political committee (PAC) contributions. Amends the Communications Act of 1934 to set forth guidelines for: (1) the percentage of the lowest unit charge to be made by a broadcasting licensee to a candidate for (100 percent before a primary or runoff, 50 percent before a general) non-preemption of candidate use of a broadcasting station. Requires broadcast licensees to accept voter communications voucher from a candidate and provide broadcast time. Directs the Commission to take a random sampling to evaluate licensee compliance with the requirements of this Act. Amends Federal postal law to mandate reduced rates for certain House of Representatives candidates. Amends the Federal Election Campaign Act of 1971 to prescribe intended expenditure reporting requirements for candidates for the the House of Representatives who: (1) have not been certified to receive certain benefits (lowered broadcast media or mailing rates, and voter communication vouchers); (2) make independent expenditures over $10,000 during any general, primary, or runoff election period; or (3) during the election cycle expend more than ten percent of the general election expenditure limit from personal funds. Requires the Commission to transmit such reports to the Secretary of the Senate within two working days of receipt. Title II: Expenditures and Contributions - Subtitle A: Independent Expenditures - Defines the scope of cooperative expenditures and declares that cooperative expenditures shall not be treated as independent expenditures. Amends the Communications Act of 1934 to revise the equal broadcast time notification requirements for persons who reserve broadcast time through the payment of certain independent expenditures. Amends the Federal Election Campaign Act of 1971 to prescribe disclosure requirements for certain broadcast communications paid for through independent expenditures. Subtitle B: Provisions Relating to Soft Money of Political Parties - Limits the amount of expenditures which a State party committee may make with respect to the general election campaign of a candidate for President affiliated with such party. Subjects FECA reporting requirements any amount received or expended by party committees with respect to any Federal election. States that the limitations on contributions under the Act applies to transfers between and among political committees. Sets forth limitations on fundraising activities of Federal candidates and officeholders. Requires party national committees and congressional campaign committees to report all receipts and disbursements during certain periods whether or not they are connected to a Federal election. Subtitle C: Contributions - Sets limitations on contributions which may be accepted from a PAC by either a party congressional campaign committee or a party national committee. Revises the guidelines for contributions made through intermediaries and conduits on behalf of a particular candidate. Declares that contributions made by dependents not of voting age shall be treated as having been made by the individual upon whom they are dependent. Authorizes the retention by a candidate of certain excess contributions for future campaign purposes. Title III: Amendments to Internal Revenue Code - Amends the Internal Revenue Code to increase the checkoff amount for the Presidential Election Campaign Fund. Permits a tax credit for up to $100 of contributions to certain qualifying House of Representatives candidates. Provides that candidates shall not be eligible for payments from the Presidential Election Campaign Fund if they have received or solicited funds which are not subject to the reporting requirements of the Federal Election Campaign Act of 1971. Title IV: Miscellaneous - Amends the Federal Election Campaign Act of 1971 to prohibit an incumbent in or candidate for Federal office from establishing or controlling a political committee (other than the candidate's authorized committee, or a party committee). Proscribes fraudulent solicitation of political contributions. Authorizes appropriations for the "check-off" education program (a public education program regarding participation in the income tax check-off for presidential and congressional election campaigns).

Bill· HRH.R. 1200 (102nd)referred

Medicare Skilled Nursing Facility and Home Health Benefit Act of 1991

United States · United States Congress · 28 February 1991

Medicare Skilled Nursing Facility and Home Health Benefit Act of 1991 - Amends title XVIII (Medicare) of the Social Security Act to: (1) eliminate the requirement that extended care services be provided within a certain period following hospitalization in order to be covered under the Hospital Insurance Program; and (2) cover nursing care and home health aide services provided or needed on an intermittent basis.

Bill· HRH.R. 1188 (102nd)open

To amend title 32, United States Code, with respect to retention rights for certain civilian National Guard technicians who are involuntarily separated from membership in the National Guard.

United States · United States Congress · 28 February 1991

Allows a technician employed in a position in which National Guard membership is required as a condition of employment who is separated from the National Guard, to continue to be employed as a technician under the following circumstances: (1) such technician has no less than 20 years of credible service for military retirement purposes; (2) such technician is involuntarily separated from the National Guard; and (3) the circumstances of the involuntary separation are other than for cause. Allows such technician to convert to competitive career status in the civil service.

Bill· HJRESH.J.Res. 159 (102nd)referred

Authorizing the Alpha Phi Alpha Fraternity to establish a memorial to Martin Luther King, Jr. in the District of Columbia or its environs.

United States · United States Congress · 28 February 1991

Authorizes the Alpha Phi Alpha Fraternity to establish a memorial to Martin Luther King, Jr., on Federal land in the District of Columbia and its environs. Makes the Fraternity solely responsible for acceptance of contributions for, and payment of expenses of, the memorial. Prohibits the use of Federal funds for its establishment. Requires the Fraternity to deposit excess funds into the Treasury.

Resolution· HRESH.Res. 98 (102nd)referred

Expressing the sense of the House of Representatives that a portion of Iraq's oil wealth should be used to pay the costs of the allied military operations against Iraq, to indemnify noncombatant nations and individuals that suffered losses as a result of the conflict, and to pay the environmental clean-up costs associated with the conflict.

United States · United States Congress · 28 February 1991

Urges the President, in planning and negotiating Iraq's post-war settlements with the United States and its allies, to insist that an appropriate portion of Iraq's oil wealth be used to: (1) indemnify the United States and its allies for the costs of the military conflict; (2) indemnify noncombatant nations and individuals for losses suffered as a result of the acts of war committed by Iraq or as a result of necessary actions taken by allied forces in defeating Iraqi aggression; and (3) provide an ongoing fund to pay for the cleanup of environmental degradation in the Arabian Gulf caused by the conflict.

Resolution· HRESH.Res. 97 (102nd)referred

Relating to the return of U.S. forces from the Persian Gulf.

United States · United States Congress · 28 February 1991

Calls for the President to proclaim a National Welcome Home Day for U.S. forces that shall be marked by a celebration in all the States, towns, and cities and by a National Welcome Home Parade in Washington, D.C.

Bill· HRH.R. 1166 (102nd)open

Credit Card Grace Period Act of 1991

United States · United States Congress · 27 February 1991

Credit Card Grace Period Act of 1991 - Amends the Truth in Lending Act, with regard to any credit card account under an open end consumer credit plan which provides that any credit extended may be repaid during a period beginning on the billing date without a finance charge, to prohibit considering any date before the postmark of the statement as the billing date.

Bill· HRH.R. 1126 (102nd)reported

To extend the coverage of certain Federal labor laws to foreign flagships.

United States · United States Congress · 27 February 1991

Extends coverage under the National Labor Relations Act and the Fair Labor Standards Act of 1938 to certain foreign flagships and other vessels. Establishes the Commission on Compliance and Enforcement to study and report to the Congress on specified effects of this Act and problems with compliance and enforcement. Terminates the Commission 30 days after its report.

Bill· HRH.R. 1135 (102nd)open

To amend the Internal Revenue Code of 1986 to clarify the treatment of certain Federal financial assistance provided to savings and loan institutions.

United States · United States Congress · 27 February 1991

Requires that, except in specified instances, Federal financial assistance be taken into account when determining losses or bad debts of savings and loans institutions (thus denying income tax deductions for losses or bad debts to the extent Federal assistance has compensated for them).

Bill· HRH.R. 1116 (102nd)open

Coal Miners' Justice Act of 1991

United States · United States Congress · 26 February 1991

Coal Miners' Justice Act of 1991 - Directs the Secretary of Labor to review certain claims of coal miners and their survivors under the Black Lung Benefits Act.

Bill· HRH.R. 1120 (102nd)referred

Nursing Home Access to Respiratory Therapy Act of 1991

United States · United States Congress · 26 February 1991

Nursing Home Access to Respiratory Therapy Act of 1991 - Amends title XVIII (Medicare) of the Social Security Act to include respiratory therapy within covered extended care services.

Bill· HRH.R. 1063 (102nd)open

Construction Safety, Health, and Education Improvement Act of 1991

United States · United States Congress · 21 February 1991

Construction Safety, Health, and Education Improvement Act of 1991 - Amends the Occupational Safety and Health Act of 1970 (the Act) to establish in the Occupational Safety and Health Administration (OSHA) an Office of Construction Safety, Health, and Education (the Office) to ensure safe and healthy working conditions in the performance of construction work. Directs the Secretary of Labor (the Secretary) to: (1) develop mandatory standards for construction safety and health plans and programs established under this Act; (2) assume control of a construction site to both prevent the destruction of any evidence that would assist in the investigation of a fatality, serious injury, or incident, (unless it must be moved or destroyed as a part of rescue operations) and monitor the rescue operations conducted in response to the incident; (3) assist the Advisory Committee on Construction Safety and Health in developing training courses and curriculum for the training of OSHA inspectors and other OSHA employees with duties related to construction safety; (4) advise and consult with construction employer associations, construction employers, construction employees, and labor organizations as to effective means of preventing fatalities and serious injuries in construction work; (5) increase awareness of construction site safety through education, training, and outreach programs; (6) identify construction employers who have high frequency rates of fatalities or serious injuries or patterns of noncompliance with health and safety standards; and (7) carry out specified duties for construction worksite inspections, investigations, reporting, and recordkeeping and for construction safety and health plans and programs. Establishes within OSHA the position of Deputy Assistant Secretary of Labor for Construction who is to: (1) be appointed by the Secretary; (2) coordinate Office activities with those of other offices and directorates within OSHA as they relate to safety, health, and education in the construction industry; and (3) coordinate the activities and advice of the Advisory Committee on Construction Safety and Health with all OSHA activities relating to such matters, ensuring that the Advisory Committee performs its functions under the Act and the Contract Work Hours and Safety Standards Act. Directs the Secretary, with the advice of the Advisory Committee on Construction Safety and Health, to determine the necessary qualifications and training for OSHA inspectors, including: (1) full understanding of the Act and the Secretary's standards and regulations for the construction industry; and (2) at least five years' experience working in the construction industry. Establishes requirements for construction safety and health plans and programs. Requires designation of a project constructor (the constructor) in construction project documents by the construction owner for every construction project covered by the Act. Gives the constructor: (1) responsibility for supervising and controlling all construction work on the worksite; and (2) overall responsibility for the safety and health of all construction employees at the construction worksite, and for performing constructor duties set out in the Act and regulations issued under it. Considers the construction owner as the project constructor if such owner does not designate a constructor. Directs the constructor for a worksite to establish and implement: (1) written safety and health plans by constructors, including the project safety and health programs of construction employers involved in the project; (2) hazard analyses that identify the potential for and provide instructions to prevent hazards in the construction process; and (3) construction process plans that include means to ensure worksite structural stability and worksite inspections. Requires that: (1) constructors designate project safety coordinators (coordinators) for construction projects and notify construction employers of their identity (although such coordinators may not be assigned overall responsibility for project safety); and (2) coordinators, on behalf of constructors, adequately monitor safety at construction sites, prepare project safety and health plans before construction commencement, and ensure construction employers' compliance with reporting requirements. Requires safety and health plans to provide for permit systems under which constructors authorize employers to engage in operations determined to pose a risk of death or serious injury (covered operations). Requires covered operations to include: (1) construction of trenches and excavations; (2) erection and dismantling of scaffolding; (3) demolition of any building or structure; (4) operation of cranes and derricks; (5) operations requiring employees to enter confined or enclosed spaces; (6) operations involving exposure to asbestos and other toxic materials; and (7) other operations designated by the Secretary. Requires constructors, in issuing such permits, to ensure that employers: (1) know of and show intent to comply with requirements of the Act and standards and regulations issued by the Secretary; and (2) have developed safety and health programs that adequately address the hazards of the covered operation. Requires construction employers (employers) involved in construction project worksites to develop and implement project safety programs commensurate with the scope of the work. Requires such programs to require: (1) employers to appoint one competent person for each project to be responsible for general program administration; (2) a competent person to be at each worksite at all times that employers are engaged in construction work; (3) competent persons to inspect worksites frequently and take all necessary actions to eliminate hazards, including work stoppage or removal of affected employees if necessary; (4) provision of prescribed general health and safety training for construction employees; (5) adequate worksite instruction in the recognition of unsafe and unhealthy conditions, applicable standards and regulations, use of construction worksite equipment, and the handling of toxic and harmful substances; (6) emergency evacuation plans, inspection procedures, reporting of incidents, regular safety meetings, and monitoring procedures; (7) a procedure for employees and employee representatives to obtain an immediate inspection or a written evaluation, or both, of a perceived hazardous condition or harmful substance by a qualified person at any time in the construction process; (8) upon determination that such condition or substance presents an imminent danger, for the project constructor to stop work at, or remove affected employees from, the area in which such danger exists; and (9) other requirements, including procedures for monitoring, notification, and safety meetings. Sets forth procedures for emergency waivers of such requirements under specified conditions. Exempts any construction worksite with only one employer and ten or fewer employees from requirements for construction safety and health plans and programs, unless the construction worksite is one at which one of the specified covered operations (under the permit system) occurs. Provides for inspections, investigations, reporting, and recordkeeping. Requires project constructors to submit, before construction work commences, specified types of information necessary for the Secretary to develop and conduct a system of prioritized inspections. Directs the Secretary to establish an effective system for construction worksite inspections. Requires such system to give priority to concentration of enforcement resources on construction worksites and operations with a high potential for fatalities or serious injuries, giving due weight to: (1) employers' and owners' worksite compliance records; and (2) frequency and severity rates of fatalities, serious injuries, and incidents attributable to particular owners and employers and particular types of construction projects, worksites, and operations. Prohibits such priority system from limiting: (1) inspections based on complaints by construction employees on their representatives or complaints of imminent dangers; or (2) inspections following up prior enforcement actions or proceedings. Prohibits the Secretary from excluding from construction worksite inspections any construction owner or employer. Requires project constructors to make and maintain accurate records concerning fatalities, serious injuries, and incidents at a worksite. Requires project constructors to report to the Secretary by telephone or telegraph, within four hours after its occurrence, any incident involving construction work that results in: (1) a serious injury; (2) a fatality; or (3) a structural failure. Requires such reports to specify certain information. Directs the Secretary to conduct site inspections to investigate all such reports of incidents, as the Secretary prescribes. Requires such inspections as soon as practicable or at least within 24 hours after receipt of the telephone or telegraph report, unless site conditions would make inspection dangerous. Requires the project constructor to prevent destruction of evidence. Directs the Secretary to make public a narrative description of the occurrence. Requires the project constructor, at project completion or at one-year intervals during the project, to report to the Secretary all fatalities and serious injuries and all structural failures. Requires such report to provide specified information. Grants the Advisory Committee on Construction Safety and Health specified powers to carry out its functions under the Act and under the Contract Work Hours and Safety Standards Act. Limits the terms of members of such Committee. Directs the Secretary to respond in writing within 60 days to any recommendation made by a majority of members of such Committee. Requires any State construction safety and health plan to comply with specified requirements for State plans under the Act and to provide for development and enforcement of requirements at least as effective as those imposed by the Act and the Contract Work Hours and Safety Standards Act. Authorizes the Secretary to make grants to States for administering and enforcing this Act. Sets forth formulas for determining the Federal share of such grants. Directs the Secretary to report to the President and the Congress: (1) annually on certain general subjects as these relate to the construction industry, including the operation of the Office; and (2) within 120 days after three years of Office operation, on whether specified relevant information supports the continued existence of the Office within OSHA or supports enactment of legislation to establish in the Department of Labor a Construction Industry Safety and Health Administration to be headed by an Assistant Secretary of Labor for Construction Safety and Health.

Bill· HRH.R. 1092 (102nd)open

To amend title 10, United States Code, to authorize the Secretary of Defense to assign Department of Defense personnel to assist the Immigration and Naturalization Service and the United States Customs Service perform their border protection functions.

United States · United States Congress · 21 February 1991

Authorizes the Secretary of Defense, during each fiscal year, to make up to 10,000 Department of Defense personnel available to assist: (1) the Immigration and Naturalization Service in preventing the entry into the United States of terrorists, drug traffickers, and illegal aliens; and (2) the U.S. Customs Service in the inspection of cargo, vehicles, and aircrafts at points of entry into the United States.

Bill· HRH.R. 1080 (102nd)open

To amend the foreign aid policy of the United States toward countries in transition from communism to democracy.

United States · United States Congress · 21 February 1991

Declares that, with regard to assistance to nations in transition from communism to democracy, it is U.S. policy to provide foreign aid directly to democratic governments at the republic level in countries that include a ruling communist majority in other republic governments or at the Federal level.

Bill· HRH.R. 1054 (102nd)referred

Environmental Tax Credit Act of 1991

United States · United States Congress · 21 February 1991

Environmental Tax Credit Act of 1991 - Amends the Internal Revenue Code to allow a tax credit for a three-year credit period for a percentage of the investment in acid rain control property installed to comply with sulfur dioxide emission limitations under the Clean Air Act. Allows the use of tax-exempt facility bonds to finance acid rain control property. Allows a business credit for a percentage of the expenditures incurred for coal cleaning minerals used to remove or reduce the sulfur content of coal. Excludes from gross income the value of clean air allowances allocated to the taxpayer under the Clean Air Act. Allows a 60-month amortization of acid rain control property.