United States · United States Congress · 21 April 1977
Amends the Age Discrimination in Employment Act of 1967 to extend the coverage of such Act to individuals 65 or over, and to make unlawful seniority systems and employee benefit plans which require the retirement of individuals 40 or over.
United States · United States Congress · 21 April 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to provide that the automatic cost-of-living increases in benefits be made on a semiannual basis (rather than on an annual basis as at present).
United States · United States Congress · 20 April 1977
Authorizes and directs the Secretary of Labor, through the Bureau of Labor Statistics, to prepare, as part of the Consumer Price Index published monthly by the Bureau of Labor Statistics, a consumer price index (to be known as the Consumer Price Index for the Aged and Other Social Security Beneficiaries) designed to reflect the relevant price information for individuals, as a group, who are 65 years of age or older or are otherwise entitled to monthly benefits under Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act.
United States · United States Congress · 20 April 1977
Comprehensive Medical Practice Act - Amends the Public Health Service Act to add "Title XVII - Comprehensive Medical Practices." Defines a "comprehensive medical practice" as a legal entity which: (1) provides medical services through health professionals licensed to practice medicine or osteopathy, a specified number of whom engage in family medicine, primary pediatrics, or primary internal medicine: (2) offers a comprehensive variety of medical services reasonably expected to meet the majority of medical needs of the area it serves; (3) offers each patient an individual health professional primarily responsible for the continuity of care of such individual by the entity; (4) shares equipment, facilities, and personnel among its members; (5) meets applicable accreditation standards; and (6) maintains an information program for the residents of its service area, such program fully disclosing the services offered, the fees charged, and the method of resolving billing or medical services grievances. Authorizes the Secretary of Health, Education, and Welfare to make grants to entities for activities to determine the feasibility of developing, operating, or expanding comprehensive medical practices. Authorizes the Secretary to make grants, contracts, and loan guarantees for planning, initial development, and initial operation costs for such practices. Establishes in the Treasury a loan guarantee fund to be available to the Secretary without fiscal year limitation for the discharge of the Secretary's loan guarantee responsibilities under this Act. Authorizes the appropriation, from time to time, of such amounts as may be necessary for purposes of such fund. Establishes in the Treasury a loan fund to be available to the Secretary without fiscal year limitation to enable the Secretary to make loans under this Act. Authorizes the appropriation of specified sums in fiscal years 1979 through 1981 to carry out the provisions of this Act. Authorizes the Secretary to make available to insurers reinsurance against claims brought by any of their insureds which are comprehensive medical practices and arising out of medical malpractices, which exceed $100,000. Entitles the Secretary, in any suit brought in the appropriate U.S. district court, to recover from any insurer the amount of any unpaid premiums lawfully payable by such insurer to the Secretary. Authorizes the Secretary to make grants to, and enter into contracts with, public and nonprofit private entities for projects to promote: (1) the teaching of alternative methods of delivering medical care to health professions students; (2) the training within comprehensive medical practices of students of health professional schools and individuals in residency training programs in family medicine, primary pediatrics, and primary internal medicine; (3) programs under which comprehensive medical practices serving medically underserved populations are given support services by health professional schools; and (4) programs for training in the management of comprehensive medical practices. Authorizes the Secretary to make grants to, and enter into contracts with, public and nonprofit private entities for studies to determine the quality of medical care furnished in the various forms of medical practices and the efficiency of the delivery of medical care in each form. Requires that, within three years after the date of enactment of this Act, the Secretary report to Congress the results of such studies and recommend the means by which medical care may be most economically delivered, while maintaining high quality. Requires the Secretary to give priority to applications for assignment of National Health Service Corps personnel to practice in comprehensive medical practices. Amends Title XIX (Medicaid) of the Social Security Act to require State plans for medical assistance to provide that comprehensive medical practices be paid specific percentages of the costs of providing care and services.
United States · United States Congress · 6 April 1977
Clean Air Act Amendments - Amends the Clean Air Act to authorize the appropriation of $200,000,000 for each of the three fiscal years after the date of enactment of this Act. Requires employees of the Environmental Protection Agency to disclose known financial interests in persons subject to the Act or in applicants for financial assistance under the Act. Prohibits persons who are employees, officials, stockholders, or otherwise associated with major air pollution sources or their trade associations from serving as officers or employees of the Environmental Protection Agency or as public members of the National Commission on Air Quality. Imposes criminal penalties for knowing violations of such requirements. Title I: Amendments Relating Primarily to Stationary Sources -Directs the Administrator to designate radioactive pollutants, cadmium, arsenic, and polycyclic organic matter as air pollutants to be regulated under the Act unless a finding is made that such substances will not contribute to air pollution likely to endanger public health. Directs the Administrator to promulgate a national primary ambient air quality standard for nitrogen dioxide over a short-term period, absent a finding that such a standard is not required to protect public health. Directs the Administrator to revise and reissue criteria relating to short-term concentrations of nitrogen dioxide and related substances. Directs the Administrator to investigate the relationship between sulfates and public health and welfare. Redefines the term "air pollutant" to include physical, chemical, biological, and radiological substances. Revises the basis for air quality and emission control standards under the Act to regulate air pollution which may reasonably be anticipated to endanger public health or welfare. Directs the Administrator to prepare economic impact statements for various standards and regulations issued pursuant to this Act. Details information required to be included in such statements. Authorizes the Administrator or the States, subject to the approval of the Administrator, to issue delayed compliance orders to existing stationary sources unable to meet specified deadlines. Stipulates that such delayed compliance orders shall not result in postponement of original limitations for more than five years. Authorizes issuance of similar orders for primary nonferrous smelters. Stipulates that such orders may waive the requirement that continuous emission control systems be utilized in cases of economic hardship. Requires that primary nonferrous smelter orders not result in a postponement of applicable emission requirements beyond January 1, 1988. Requires sources subject to such orders to use the best practicable system of emission reduction. Authorizes the assessment of noncompliance penalties against stationary sources not in compliance with applicable emission limitations. Authorizes exemptions from such requirements based on energy requirements, demonstration of innovative technology, impossibility of compliance, or insignificance of the violation. Establishes criteria for determining the amount of such penalty, not to exceed $5,000 per day for each days' violation. Extends compliance dates for sources subject to coal conversion requirements in accordance with provisions of the Energy Supply and Environmental Coordination Act of 1974. Stipulates that compliance date extensions shall not be effective for sources in regions where national primary air quality standards are being violated as a result of the emissions of such sources. Stipulates that emission limitations under this Act shall require application of a system of continuous emission reduction, and that alteration of stack heights or other dispersion techniques shall not affect the degree of emission limitation required under the Act. Directs the Administrator to study the effects of the release of halocarbons and other substances on the stratosphere. Requires a National Academy of Sciences study and report on activities which may affect or modify the stratosphere or ozone in the stratosphere and on possible control methods. Directs the National Oceanic and Atmospheric Administration to establish a research and monitoring program to detect potentially harmful changes in the stratosphere. Directs the Administrator to regulate substances which may reasonably be anticipated to affect the stratosphere. Requires States to submit plans for prevention of significant deterioration of air quality in clean air regions, subject to approval by the Administrator. Establishes guidelines for classification of such regions. Imposes limitations on projected increases in ambient concentrations of pollutants for each class of such regions. Requires that new sources constructed in such regions acquire permits to be issued after public hearings and a finding that emissions from such facility will not contribute to air pollution in excess of the appropriate limits. Directs the Administrator to convene a conference on air quality monitoring every three years. Directs the Administrator to issue guidelines to States with respect to monitoring and control of pollutants other than particulates and sulfur dioxide for purposes of prevention of significant air quality deterioration. Establishes a National Commission on Air Quality to conduct studies and investigations of specified air pollution issues. Authorizes the appropriations of $5,000,000 for such Commission studies. Directs the Administrator to provide training assistance to qualified personnel as part of the comprehensive research and development program established by the Act. Authorizes the appropriation of $7,500,000 per fiscal year for the three fiscal years beginning after the date of enactment of this Act. Directs the Administrator to periodically review air quality criteria published pursuant to the Act, with the assistance of recommendations from a seven-member independent scientific review committee. Revises procedures for establishment of new source performance standards to allow for greater input from States in the listing of categories of sources and pollutants for regulation under such provisions. Requires that alternative technological systems and technological innovations be considered where likely to result in equivalent reductions of emissions. Authorizes the Administrator to grant variances from new source standards for the use of technological innovations. Waives rights of governmental immunity in the case of Federal facilities subject to air pollution control requirements. Stipulates that nothing in the Act shall be construed as restricting States, localities, and interstate entities from seeking judicial relief against Federal instrumentalities under State or local air pollution laws. Authorizes the Administrator to waive the requirement that State air pollution control agencies maintain previous levels of spending as a condition of receiving Federal aid where appropriate. Authorizes temporary emergency suspensions from clean air standards for economic or energy- related emergencies of a short-term nature. Directs the Administrator to develop regulations to prevent visibility impairment in clean air regions. Title II: Amendments Relating Primarily to Mobile Sources - Directs the Administrator to study, with the assistance of the National Academy of Sciences, the necessity for indirect source controls to meet the objectives of the Act. Imposes limitations on the use of indirect source controls unless necessary to meet national primary ambient air quality standards for mobile source-related pollutants. Defines the term "indirect source" to include various facilities which may attract mobile sources of air pollution. Authorizes the Administrator to grant extensions of compliance dates for State transportation control plans in accordance with prescribed criteria. Revises emission standards for light duty motor vehicles to extend for three years from model year 1977 to 1980 the compliance date for carbon monoxide and hydrocarbon standards. Imposes interim standards of 1.5 grams per mile for hydrocarbons and 15 grams per mile for carbon monoxide for model years 1977 thorough 1979. Extends the compliance date for nitrogen oxides standards for such vehicles from model year 1978 to 1981. Extends the 2.0 gram per mile interim standard for nitrogen oxides through model year 1980. Authorizes annual suspensions of emission standards for any model year before 1985 by the Administrator if prescribed criteria are met. Directs the Administrator to study the effects on health and welfare of emission of sulfuric acid mist and other unregulated pollutants from motor vehicles. Directs the Administrator to prescribe regulations to limit emissions of carbon monoxide, hydrocarbons, and nitrogen oxides from heavy-duty vehicles or engines manufactured after model year 1979. Requires continuing studies on the effects of emissions from heavy-duty vehicles. Directs the Administrator to study the possibility of increased use of cost-effectiveness analyses in order to achieve clean air objectives. Directs the Administrator to study the effects on health and welfare of particulate emissions from mobile sources. Requires that motor vehicle emission control regulations provide for nonconformance penalties to be assessed against manufacturers where vehicles fail to meet required standards. Stipulates that air craft emission regulations issued under this Act may be disapproved by the Secretary of Transportation if found to create a hazard to aircraft safety. Requires that motor vehicle emission control systems used to meet air pollution control requirements shall not contribute to an unreasonable risk to public health, welfare, or safety. Requires that State implementation plans provide for annual inspection and maintenance of light- duty vehicles in regions where transportation control measures are applicable. Stipulates that requirements imposed in such testing and inspection program shall be no less stringent than those in effect in New Jersey on the date of enactment of this provision. Revises requirements imposed upon motor vehicle manufactures with respect to warranties applicable to vehicle emission control systems. Directs the Federal Trade Commission to study the impact on competition of various warranties imposed by this Act with respect to such emission control systems. Imposes civil penalties for violations of antitampering provisions of the Act. Stipulates that the cost of emission control for vapor recovery with respect to mobile source fuels shall be borne by owners of retail outlets. Exempts independent small business marketers from such requirements for a two-year period, pending results from a Federal Trade Commission Study on the effects of such requirements on small business marketers. Establishes procedures to allow the Administrator to disapprove instructions for high altitude adjustments of motor vehicles where emission control performance resulting from such adjustments is inadequate. Requires that the Administrator prescribe fill pipe standards in conjunction with any vapor recovery regulations issued under the Act. Directs the Administrator to study onboard hydrocarbon control technology and carbon monoxide intrusion into sustained-use motor vehicles. Directs the Administrator to issue regulations governing the testing of fuels and fuel additives. Authorizes States to adopt and enforce more stringent motor vehicle emission control standards. Title III: Miscellaneous Amendments - Authorizes States to redesignate air quality control regions. Requires the approval of the Administrator and the consent of affected States where emissions from such region may significantly affect another State. Requires State implementation plans to establish procedures for adequate consultation with local and regional governmental entities. Authorizes delegation of functions to units of local government by the Administrator under applicable implementation plan provisions. Directs the Administrator to conduct continuing evaluations of potential shifts or losses of unemployment which may be caused by air pollution control measures. Requires investigations of such specific instances upon written requests to the Administrator by affected employees. Establishes additional procedures for promulgation of rules and regulations under the Act. Establishes guidelines for judicial review of administrative actions under the Act. Prohibits discharge or discrimination against employees who participate in proceedings under the Act. Requires the Administrator to consult with State agencies prior to inspection and monitoring of stationary sources, except where the Administrator has reason to believe that information contained in such notice may be used to inform the stationary source about such proposed action. Requires consultation with States and localities prior to Federal actions to alleviate air pollution emergencies. Imposes criminal penalties of up to $5,000 per day for willful violations of such emergency orders. Directs the Administrator to establish procedures for abatement of interstate air pollution. Establishes a Task Force on Environmental Cancer and Heart and Lung Disease to coordinate research control efforts with respect to human cancer and heart and lung disease that is associated with environmental pollution. Directs the Administrator, in cooperation with the National Academy of Sciences, to study the problems associated with fine particulate matter. Directs the Administrator to establish a uniform, nation-wide air quality monitoring system. Directs the Council on Environmental Quality to assess the feasibility of utilizing economic measures to supplement or replace regulatory controls imposed by the Act. Requires that State implementation plans prohibit sources utilizing intermittent control systems to meet delayed compliance interim requirements from temporarily reducing the pay of any employee as result of the use of such system. Establishes procedures for Congressional review and disapproval of regulations prescribed by the Administrator under the Act. Directs the Administrator to make recommendations for simplification of administration of the Act. Requires State implementational plans to prohibit conflicts of interest in State regulatory agencies in accordance with regulations promulgated by the Administrator. Requires that such regulations provide for (1) disclosure of known financial interests and (2) prohibitions against employees, officials, stockholders, or persons otherwise associated with major air pollution sources or their trade associations from serving as officers or employees of State or local air pollution control regulatory authorities.
United States · United States Congress · 6 April 1977
Clinical Laboratory Improvement Act - Amends the Public Health Service Act to direct the Secretary of Health, Education, and Welfare to promulgate national standards for clinical laboratories. Defines the terms "laboratory" and "clinical laboratory" for purposes of this Act. Directs the Secretary to develop job-related proficiency and practical examinations for clinical laboratory personnel. Directs the development of standards for the proficiency testing of clinical laboratories. Applies such standards to: (1) clinical laboratories engaged in interstate commerce; and (2) any other clinical laboratories located in States which do not have primary enforcement responsibility as provided for by this Act for the regulation of such laboratories. Delegates to States the responsibility for primary enforcement of the national standards for clinical laboratories in certain instances. Directs the Secretary to establish a system for the licensure of clinical laboratories subject to such standards. States that such licenses shall specify the categories of tests and procedures which laboratories perform and shall be valid for a period not to exceed 24 months. Sets forth the requirements for issuance, renewal, and revocation of a license. Provides judicial review for any person aggrieved by the revocation of the license of his laboratory. Applies the national standards to Federal clinical laboratories under the jurisdiction of the Secretary and to all other laboratories, except those under the jurisdiction of the Armed Forces or the Veterans' Administration or those under any agency which has equally stringent standards in effect. Prohibits the solicitation or acceptance of specimens for laboratory tests or procedures by a clinical laboratory which is required to be licensed by the Secretary and which either does not have such a license or is not permitted under such license to perform the planned test or procedure. Establishes a penalty consisting of a fine or imprisonment or both for the violation of such prohibition. Prohibits false or fraudulent billing practices in connection with services provided under the Social Security Act. Establishes a penalty consisting of a fine or imprisonment or both for the violation of such prohibition. Prohibits an employer from taking action against an employee who has assisted or participated in an investigation of such employer pursuant to this Act. Establishes a procedure for investigating and correcting employers' retaliatory actions against employees. Authorizes the Secretary to provide grants and technical assistance to States enforcement of standards established for the regulation of clinical laboratories. Establishes an advisory council on clinical laboratories in the Department of Health, Education, and Welfare to advise the Secretary with respect to national standards promulgated under this Act, the implementation and administration of clinical laboratory regulation, and the coordination between Federal and State regulatory programs. Directs the Secretary to establish within the Department of Health, Education, and Welfare an Office of Clinical Laboratories which shall: (1) establish a uniform regulatory policy for the administration of the functions authorized by this Act and the Medicaid and Medicare programs of the Social Security Act; and (2) provide guidance for the laboratory components of other health programs administered and enforced by the Secretary. Amends the Social Security Act to prohibit reimbursement under the Medicare, Medicaid, or Maternal and Child Health and Crippled Childrens' Services programs for any portion of the cost of a clinical laboratory service which represents a commission, finders fee, or rent which is above the market value of the facility. Prohibits the making of any grant or reimbursement by the Secretary, or the award of any contract under the Medicare or Medicaid programs of the Social Security Act, unless the laboratory meets the licensing requirements established by the Secretary. Raises the status of the offense of defrauding the Medicare and Medicaid programs from that of a misdemeanor to that of a felony. Increases the maximum fine for such offenses from $10,000 to $25,000. Increases the maximum term of imprisonment from one to five years for such offenses. Directs the Secretary to conduct a study of existing regulations governing the qualifications of clinical laboratory supervisors, technologists, and technicians, and of the regulatory bodies established to develop and enforce such regulations. Requires such study: (1) to assess the need for national standards for certifying laboratory technical personnel and certifying entities; (2) to project the numbers of laboratory personnel who will be needed in 1980, 1985, and 1990; and (3) to analyze the costs to laboratories of compliance with such national standards should they be promulgated as a result of such study. Directs the Secretary to study the financial arrangements entered into by hospitals reimbursed for the provision of health services under the Medicare and Medicaid programs with persons who provide clinical laboratory services in such hospitals. Directs the Secretary to report the findings of such study to Congress within six months, and that the study include recommendations for such corrective legislation as the Secretary determines to be necessary.
United States · United States Congress · 6 April 1977
Congressional Campaign Financing Act - Entitles to campaign payments congressional candidates who agree to certain reporting and recordkeeping procedures and certify that (1) they and their authorized committees will not incur campaign expenses in excess of certain limitations and (2) they have received contributions in excess of a certain sum and no person has given more than $100 toward the amount so certified. Sets the amount of payments to an eligible candidate at the amount of contributions received up to a specified maximum. Stipulates that sums given by any one contributor totalling over $100 shall be disregarded for purposes of matching grants. Restricts use of funds forwarded under this Act to defraying campaign expenses either directly or through repayment of campaign loans. Amends the Federal Election Campaign Act of 1971 to specify spending limits for candidates receiving payments under this Act. Waives such limits for sums in excess of the limit imposed for candidates receiving payments. Directs the Secretary of the Treasury to establish a separate Congressional Election Payment Account in the Presidential Election Campaign Fund and to deposit certain sums in such account in accordance with specified guidelines. Requires repayment of excess payments and unexpended payments. Penalizes use of funds for other than campaign purposes. Authorizes the Federal Election Commission to institute repayment actions in district courts. Specifies the administrative authority of the Commission in carrying out this Act.
United States · United States Congress · 6 April 1977
Voting Rights for the Elderly and the Handicapped Act - Directs the Attorney General in consultation with the Secretary for Health, Education, and Welfare to prescribe standards for polling and registration facilities which will assure ready access by the handicapped and the aged. Permits designation of facilities for Federal elections which do not comply with such standards only where conforming facilities are unavailable. Requires States to provide alternative registration and voting methods for aged and handicapped persons assigned to inaccessible registration facilities or polling places. Requires that a paper ballot be made available or a voting assistant be permitted to a person unable to operate a voting machine.
United States · United States Congress · 5 April 1977
Right to Private Records Act - Prohibits any financial institution from disclosing to any State or to any subdivision of any State any financial record of a customer unless such customer has so authorized or a valid search warrant, subpena or summons has been obtained according to the terms of this Act. States that no officer, employee or agent of any financial institution, communication common carrier, creditor or credit reporting agency holding any financial, toll, or credit record who is required by law to notify any law enforcement official or any political subdivision of any State of any criminal law violation which such person believes is being committed shall disclose any information except in accordance with this Act. Makes provisions for general or limited authorization of disclosure of any financial, toll, or credit record by means of a written statement containing specified information. Permits revocation of such authorization by written notification at any time, and otherwise limits to one year, any authorization to disclose. Prohibits any financial institution, communication common carrier, creditor, credit reporting agency or other person from requiring any person to make such authorization as a condition for doing business. Prescribes standards for the issuance of search warrants and judicial subpenas. Provides that a court may grant a subpena with a temporary delay of notification for a period of not greater than 90 days following the date of issuance if it finds, on the basis of an affidavit or sworn testimony, that it has been affirmatively demonstrated that such notification would jeopardize a continuing investigation of any crimes enumerated in this Act. Allows courts to enter ex parte orders granting an additional delay of such notification period not to exceed 180 days. Requires judges who grant or deny such delays to report to the Administrative Office of the United States Courts the particulars of such request. States that the Director of such office shall transmit to the Congress an annual report concerning the number of applications for extension of delay and the number of extensions granted or denied during the preceding calendar year. Grants standing to move to quash a subpena to any person to whom the financial, toll, or credit record ordered to be disclosed relates. Sets civil remedies available to persons injured by violations of this Act, including actual and punitive damages, attorney's fees and injunctive relief. Sets criminal penalties imposed on persons violating this Act. Prohibits any officer, employee, or agent of any person or government agency from intercepting, in the course of carrying out the business operations of such person or agency, oral or wire communications by or to any other officer, employee, or agent of such person or agency unless: (1) written notice is given; (2) such interceptions are for the purpose of training; (3) such interceptions occur only during the period specified in the notice required by this Act; (4) there is no recording of such communication; and (5) such person whose communication is intercepted has given written consent.
United States · United States Congress · 31 March 1977
Electric Utility Act Title I: Improving Efficiency of, and Preserving Competition in, Generation and Transmission of Electricity - Amends the Federal Power Act to authorize the Federal Power Commission to take additional action to increase the transmission capacity of electric generating facilities. Requires the use of central dispatch generating systems in all areas where technologically and economically feasible. Directs the Commission to require utilities to report anticipated shortages of electric energy and to accommodate such shortages in a manner designed to insure continuity of service to retail and wholesale customers. Establishes preliminary proceedings on proposed new utility rate schedules to allow the Commission to authorize such schedules on an interim basis. Prohibits utilities from proposing rate increases while the Commission has pending before it a schedule filed by the same utility, except under extraordinary circumstances. Prohibits increases or automatic adjustments resulting in increases in rate schedules without consideration of such increases in an evidentiary hearing. Requires review of legitimate automatic adjustment clauses by the Commission at least every two years. Authorizes the Commission to issue orders prohibiting unfair methods of competition by public utilities. Authorizes the Commission to review plans for operation of bulk power facilities and to require that such facilities be constructed in a manner consistent with antitrust laws. Directs the Commission to prescribe standards of electric utility reliability. Directs the Commission to prescribe rules encouraging the cogeneration of electric energy with other forms of energy. Revises the prohibition against interlocking directorates contained in such Act to include additional occupations which may not be held by officers or directors of public utilities without approval by the Commission. Title II: Coordination of Planning of Bulk Power Facilities - Requires that electric utilities which control bulk power facilities prepare an annual long-range plan for the use of each such facility. Establishes areawide planning councils to review such plans and submit area plans for bulk power facilities to the Commission. Title III: Improving Efficiency of Use of Electricity - Limits the applicability of the provisions of this title to sales of electric energy by electric utilities for purposes other than resale. Establishes national minimum standards for State-regulated electric utility rates. Stipulates that such rates shall reflect actual costs of providing electric service to each consumer class. Authorizes lower rates for electric energy for essential needs of residential electric consumers, as defined by the State regulatory authority. Stipulates that promotional, political, or institutional advertising costs incurred by public utilities, with specified exceptions, shall not be chargeable to electric consumers. Authorizes electric utilities to recover reasonable costs incurred for pollution control facilities from electric consumers. Prohibits increases or automatic adjustments resulting in increases in State-regulated electric utility rates without consideration of such increases in an evidentiary hearing. Stipulates that automatic adjustment clauses shall be subject to review by the State regulatory authority at least every two years. Requires State regulated electric utilities to promptly implement alternative load management techniques which have been determined to be practicable and cost-effective. Requires such utilities to inform electric consumers of existing rate schedules on and annual basis. Requires notification within 30 days of any proposed changes in rate schedules. Requires such utilities to furnish data on amount of actual electric energy consumption upon request by a specific consumer. Imposes minimum procedures upon such utilities to be followed prior to termination of electric service. Stipulates that nonregulated utilities shall be subject to the same requirements imposed by this title upon State-regulated utilities. Prohibits any rate increases by electric utilities except in accordance with such requirements. Establishes procedures for administration and enforcement of the provisions of this title. Authorizes State regulatory agencies or electric consumers to intervene in any proceeding under this title. Title IV: Consumer Representation and Assistance to State Agencies - Amends the Energy Conservation and Production Act to authorize the Federal Energy Administrator to make grants to State utility regulatory commissions to: (1) improve staffing; (2) encourage the development of innovative rate structures; and (3) to provide for programs to meet requirements with respect to participation in proceedings. Authorizes the appropriation of $40,000,000 per fiscal year for improved staffing. Authorizes the appropriation of $5,000,000 per fiscal year for each of the remaining purposes of this title. Establishes procedures for equitable allotment of sums appropriated under this title among the States in accordance with prescribed guidelines. Amends the Federal Power Act to establish an independent Office of Public Counsel in the Federal Power Commission to represent consumer interests in proceeding before the Commission. Authorizes the appropriation of the following sums to the Office: $500,000 for fiscal year 1978; $2,000,000 for fiscal year 1979; $2,200,000 for fiscal year 1980; and $2,400,000 for fiscal year 1981. Authorizes compensation of other parties in Commission proceedings whose views might not otherwise be adequately represented without such assistance. Stipulates that the total amount of such assistance shall not exceed $2,000,000 to all persons in any fiscal year.
United States · United States Congress · 31 March 1977
Ocean Dumping Amendments Act -- Amends the Marine Protection, Research, and Sanctuaries Act of 1972 to authorize the issuance of interim permits through December 31, 1981, for ocean dumping without regard to preexisting criteria. Limits such interim authorizations to persons already engaged in dumping of similar materials prior to the enactment of the Act, and where such person has no feasible alternative for disposal other than ocean dumping. Stipulates that such interim permits shall be reviewable on an annual basis. Requires that holders of interim permits expend adequate funds for research into alternate methods of material disposal, subject to conditions specified by the Administrator of the Environmental Protections Agency. Requires applicants for permits to pay a processing fee for administrative costs directly incurred in the processing of permits. Directs the Administrator to conduct studies to reduce or eliminate the dumping of radiological, chemical, or biological warfare agents or high-level radioactive wastes into ocean waters. Repeals various authorities of the Secretary of Commerce with respect to evaluation of substantive programs of other agencies.
United States · United States Congress · 30 March 1977
Petroleum Marketing Practices Act - Title I: Franchise Protection - Prohibits a franchisor from terminating or failing to renew a franchise unless specified conditions exist. Enumerates the basis upon which a franchisor may terminate or fail to renew a franchise. Exempts trial franchises from the requirements of this Act. Requires that 90 days advance notice of termination or nonrenewal be made in writing and delivered to the franchisee. Directs the Administrator of the Federal Energy Administration to publish in the Federal Register a summary of this Act. Authorizes civil actions in a United States district court against any franchisor who violates any requirement of this Act. Provides for the preemption of State laws unless such law is the same as the applicable provisions of this Act. Title II: Octane Disclosure - Requires the Federal Trade Commission to: (1) establish testing procedures for the determination of the octane rating of automotive gasoline; (2) establish requirements applicable to refiners with respect to the testing of automotive gasoline; (3) establish a certification procedure applicable to the distribution of automotive gasoline; and (4) establish requirements applicable to retailers of gasoline with respect to display of the octane rating of automotive gasoline at the point of sale. Prohibits any person who distributes automotive gasoline from making representations respecting the octane rating of gasoline unless the gasoline has been tested in accordance with the procedures established by the Federal Trade Commission. Grants to the Commission the procedural, investigative, and enforcement powers necessary to make effective the rules required to be prescribed. Makes it an unfair or deceptive act or practice in or affecting commerce under the Federal Trade Commission Act to violate the rules prescribed by this Act. Authorizes judicial review of the rules prescribed under this Act.
United States · United States Congress · 29 March 1977
Amends the Controlled Substances Act to extend for three years the authorization for appropriations for the Department of Justice to carry out the control and enforcement provisions of such Act.
United States · United States Congress · 29 March 1977
Congressional Salary Act -- Amends the Federal Salary Act of 1967 to make any recommendations of the President relating to the salaries of Members of Congress, Delegates to the House of Representatives, and the Resident Commissioner from Puerto Rico purely advisory. Amends the Legislative Reorganization Act of 1946 to require that the annual rate of pay for Members of Congress, Delegates to the House of Representatives, the Resident Commissioner from Puerto Rico, and the Senate and House leadership be the rate payable for such positions on the date of enactment of this Act unless otherwise established by law. Prohibits any law increasing such rates of pay from taking effect before the first day of the Congress following the Congress during which such law is enacted.
United States · United States Congress · 28 March 1977
Surface Mining Control and Reclamation Act - Title I: Statement of Findings and Policy - Declares that most of the nation's coal reserve can only be mined by underground methods. Lists the purposes of this Act, including the establishment of a nationwide program to prevent adverse effects to society and the environment from surface coal mining. Title II: Office of Surface Mining Reclamation and Enforcement - Establishes in the Interior Department the Office of Surface Mining Reclamation and Enforcement with a Director appointed by the President. States that such Office shall administer the programs required by this Act and assist the States in development of State programs for surface coal mining and reclamation. States that the Office shall be considered an independent Federal regulatory body. Title III: State Mining and Mineral Resources Research Institute - Authorizes appropriations to the Secretary of the Interior of sums adequate to provide for each participating State $200,000 for fiscal year 1978, $300,000 for fiscal year 1979, and $400,000 for each fiscal year thereafter for five years, to assist the States in carrying on the work of a competent and qualified mining and mineral resources research institute or center at the school of mines of one public college or university of the State. Requires such monies to be matched dollar-for-dollar by the States. Authorizes appropriations of $15,000,000 for fiscal year 1978, such sum to be increased by $2,000,000 each fiscal year for six years thereafter, for specific projects in mining and mineral research in institutes. Directs the Secretary to establish a center for cataloging current and projected scientific research in mining and mineral resources. Requires the Secretary to appoint an Advisory Committee on Mining and Mineral Research for advice on all matters concerning mining and mineral resources research. Title IV: Abandoned Mine Reclamation - Creates the Abandoned Mine Reclamation Fund in the Treasury. Requires operators of coal mines to pay into the fund quarterly fees of $.35 per ton of coal produced by surface mining and $.15 per ton of coal produced by underground mining, or ten percent of the value of the coal in the mine, whichever is less. Authorizes use of money in the Fund for acquisition and reclamation of abandoned and unreclaimed mine lands and for acquisitions and fillings of voids and sealing of tunnels and entryways in abandoned mines. Authorizes the Secretary of Agriculture to enter into agreements with landowners of water rights under which such landowners shall furnish a conservation and development plan and shall effect such plan in return for financial assistance from the Secretary of Agriculture of up to 80 percent of the cost of such a reclamation effort. Encourages States to acquire abandoned and unreclaimed land, and to transfer it to the Secretary for reclamation, and authorizes matching grants for such purpose, up to 90 percent of the land price. Allows resale of reclaimed land by public bidding, and allows local public participation in determining the use of reclaimed land. Title V: Control of the Environmental Impacts of Surface Coal Mining - Directs the Secretary of the Interior to publish, within 180 days of the enactment of this Act, regulations which establish a permanent regulatory procedure and performance standards for surface coal mining and reclamation standards. Requires the Secretary to obtain the concurrence of the Administrator of the Environmental Protection Agency with respect to regulations concerned with air or water quality standards. Establishes a permit program to require mining operators to comply with environmental protection standards. Allows State control over surface mining permits if certain requirements are met. Authorizes the implementation of a Federal program if States fail to act. Permits State laws and regulations that are more stringent than those set forth pursuant to this Act. Requires permit applications to describe the method of mining and equipment proposed to be used, to describe by maps the land to be affected, and to contain a statement of results of test borings or core samplings of the affected land. Stipulates that permits must be accompanied by a mining and reclamation plan which shall include a description of present uses of the land, steps to be taken to prevent environmental damage and a description of the reclamation activities. Requires the posting of performance bonds and possession of liability insurance by applicants for permits. Requires the establishment of coal exploration regulations by appropriate State and Federal authorities. Requires that such regulations include provisions for reclamation of lands disturbed in exploration activities. Imposes the following general environmental performance standards on surface mining operations as a condition of the issuance of a permit under this Act: (1) restoration of the land affected to a prior use, consistent with public health and safety; (2) restoration to the original contour of the land and backfilling, grading, and compacting the excess overburden and other waste materials to attain the lowest grade; (3) removal and segregation of topsoil in a separate layer where it is able to support vegetation; (4) minimization of disturbances to the hydrologic balance at the mine site and surrounding areas by eliminating or reducing toxic drainage, siltation, and contamination problems; (5) conformity with standards for the design and location of coal mine waste piles; and (6) establishment of a diverse, effective, and permanent vegetation on regraded areas. Stipulates that the regulatory authority shall make test borings of core samplings for mining operators with an estimated annual production of less than 250,000 tons of coal. Establishes additional requirements for steep-slope surface mining operations. Defines the term "steep-slope" to include any slope above 20 degrees or lesser slopes as may be defined by the regulatory authority. Directs the Secretary to promulgate rules and regulations directed at the surface effects of underground mining. Directs and authorizes inspection of surface coal mining and reclamation to determine compliance with this Act and regulations. Provides requirements for recordkeeping and submittal and monitoring by mine operators. Imposes civil penalties for violation of this Act or regulations under it. Establishes procedures for citizen suits and judicial review of actions under this Act. Establishes conditions under which mine operators may request a release of all or part of the performance bond. Requires public notice and hearings upon applications for such releases. Requires States to establish, as a condition of assuming primary regulatory control, a planning process designed to identify lands unsuitable for surface coal mining. Requires designation of lands as unsuitable if it can be shown that reclamation pursuant to the requirements of the Act is not feasible. Authorizes designation of lands as unsuitable where operations mining will: (1) be incompatible with land use plans or programs; (2) affect fragile or historic lands of significant historic, scientific or esthetic value; (3) affect renewable land resources with an impact on long-range food and water supply; and (4) increase a significant hazard to life and property, including the possibility of flood and earthquake damage. Prohibits surface coal mining operations on certain Federal lands, or within 100 feet of a public road or within 300 feet of a building or dwelling, unless the consent of the affected public or private interest is obtained. Requires implementation of a Federal lands program applicable to all surface coal mining and reclamation activities pursuant to Federal laws or taking place on Federal lands. Requires that coal exploration operations which substantially disturb the natural land surface on such lands be subject to a permit program established by the Secretary of the Interior. Requires separate regulations for programs for special bituminous coal surface mines that meet specified criteria, and for anthracite coal surface mines which are regulated by environmental protection standards of the States. Title VI: Designation of Lands Unsuitable for Noncoal Mining - Allows the Secretary to designate Federal lands unsuitable for mining materials other than coal, if they are predominantly urban or suburban in character or if such mining operations would have an adverse impact on lands used primarily for residential and related purposes. Title VII: Administrative and Miscellaneous Provisions - Defines the terms used in this Act. Prohibits discrimination against employees for filing suit under this Act and for testifying in a proceeding under this Act. Authorizes the Secretary to make annual grants to the States to assist the States in developing, administering, and enforcing State programs under this Act. Authorizes the Secretary to provide technical assistance and training, and assistance in preparing and maintaining a continuing inventory of information on surface coal mining and reclamation projects. Requires the Secretary to submit an annual report to the President and the Congress. Directs the Secretary to contract with the National Academy of Sciences-National Academy of Engineering for a study of surface coal mining conditions in Alaska in order to determine which, if any, of the provisions of this Act should be modified with respect to such operations in Alaska. Directs the Chairman of the Council on Environmental Quality to contract with the National Academy of Sciences-National Academy of Engineering and other groups for a study of the technology for surface and open-pit mining and reclamation for minerals other than coal designed to assist in the development of regulation for such operations. Directs the Secretary to consult with Indian tribes in studying the regulation of surface mining on Indian lands. Requires all surface coal mining operations on Indian lands to comply with requirements at least as stringent as specified provisions in this Act within 30 months from the enactment of this Act. Authorizes the appropriation of the following sums to carry out this Act: (1) for various contract authority, $10,000,000 per fiscal year for fiscal years 1978, 1979, and 1980; (2) for the performance of test borings by the regulatory authority, an amount reserved for such purpose from the Abandoned Mine Reclamation Fund not to exceed $40,000 per fiscal year; (3) for administrative and other purposes, $10,000,000 for fiscal year 1978, $20,000,000 for fiscal years 1979 and 1980, and $30,000,000 for fiscal years thereafter; and (4) for research and demonstration projects of alternative coal mining technologies, $35,000,000 for fiscal year 1978, and for the next four years. Stipulates that no new budget authority for fiscal year 1977 is authorized by the provisions of this Act.
United States · United States Congress · 28 March 1977
Pledges the support of the Congress to advance human rights. Urges the President to inform other nations that the United States will consider human rights protection in evaluating its relations with other nations.
United States · United States Congress · 24 March 1977
Beverage Container Reuse and Recycling Act - Prohibits the sale of carbonated beverages in beverage containers by retailers and distributors unless such containers carry a refund value of not less than five cents. Requires that retailers and distributors pay the amount of the affixed refund value of brands of beverages bought and sold by such retailers or distributors. Prohibits States from imposing any tax on the collection or return of refund values established by this Act. Prohibits distributors and retailers from selling beverages in metal beverage containers with detachable openings. Imposes penalties of up to $1,000 and/or 60 days imprisonment for violation of the provisions of this Act. Directs the Administrator of the Environmental Protection Agency to monitor the rate of reuse and recycling as a result of this Act. Stipulates that the labeling of refund values shall be required within three years of the date of enactment of this Act. Stipulates that the prohibition on detachable metal openings shall take effect one year after the date of enactment of this Act.
United States · United States Congress · 23 March 1977
Amends the Public Health Service Act to direct the Secretary of Health, Education, and Welfare to establish by regulation a uniform functional accounting system and statistical system for the purpose of calculating the reasonable cost of services provided by health services institutions. Amends Titles XVIII (Medicare) and XIX (Medicaid) of the Social Security Act to require providers of services to use such uniform accounting and statistical systems in determining the cost of services provided under the provisions of such Titles.
United States · United States Congress · 22 March 1977
Amends Title II (Old-Age, Survivors', and Disability Insurance) of the Social Security Act to allow the State of New Jersey to establish a divided retirement system for purposes of providing social security coverage of State and local employees under Federal-State agreements.
United States · United States Congress · 22 March 1977
Automotive Transport Research and Development Act - Directs the Administrator of the Energy Research and Development Administration to establish a program to develop advanced automobile propulsion systems within five years of the date of enactment of this Act. Directs the Administrator to make grants for research projects designed to assist the furtherance of such program. Directs the Secretary of Transportation to evaluate and report the extent to which the automobile industry utilizes advanced automotive technology. Directs the Administrator of the Environmental Protection Agency to test vehicles developed pursuant to the program established by this Act, in order to determine compliance with applicable standards under the Clean Air Act and the Noise Control Act of 1972. Directs the Secretary of Transportation to test such vehicles in order to determine compliance with applicable standards under the National Traffic and Motor Vehicle Safety Act of 1966, the Motor Vehicle Information and Cost Savings Act, and the Automobile Information Disclosure Act. Establishes contracting procedures consistent with applicable provisions of the Federal Nonnuclear Energy Research and Development Act of 1974 and the Energy Reorganization Act of 1974. Directs the Administrator of the Energy Research and Development Administration to submit annual reports to Congress of activities pursuant to this Act, including results of economic surveys designed to evaluate the extent to which Federal guarantees of financial obligations may aid in developing commercial markets for advanced automobile technology. Amends the National Aeronautics and Space Act of 1958 to require that efforts of the National Aeronautics and Space Administration be directed towards the development of advanced automobile propulsion systems. Authorizes the appropriation of $25,000,000 for fiscal year 1977 and $75,000,000 for fiscal year 1978 to carry out the purposes of this Act. Stipulates that no more than 60 percent of such appropriations shall be directly expended in Federal laboratories.
United States · United States Congress · 17 March 1977
Equal Opportunity for Second Careers Act - Directs the Secretary of Labor to allot grants to regional employment councils to assist second career programs for individuals aged 40 or over who are unemployed or underemployed. States that regional allotments shall be based on a formula derived from the respective characteristics of each region. Requires that applications for grants under this Act include assurances that funds under such grant will be used only for a second career program, for individuals aged 40 and over. States that second career programs shall include: (1) a search and inventory of all jobs currently available in the jurisdiction to be served; (2) a detailed plan for special outreach and promotion efforts to locate individuals eligible for assistance under this plan; (3) screening and appraisal procedures to meet the needs and abilities of individuals eligible to participate in the program; (4) job-matching services; (5) job referral, trial work experience, and placement services; and (6) special counseling services and techniques. Directs the Secretary to conduct research by means of grants and contracts, which will develop data, information, and conclusions to help unemployed and underemployed aged 40 and over to enter, reenter, remain, and advance in the labor force.
United States · United States Congress · 17 March 1977
Amends the Occupational Safety and Health Act of 1970 to permit a person that may be liable for an industrial accident involving bodily injury to sue an employer for contribution, indemnification, or other relief if such employer's failure to comply with any Federal, State, or common law requirement relating to industrial safety caused or contributed to such injury. Stipulates that worker's compensation laws or similar State statutes shall not act as a bar to such a suit. Permits the defendant in a subrogation suit brought by an employer under workers' compensation laws or similar State statutes to raise as a defense the employer's contributory fault if such fault involves failure to comply with any Federal, State or common law requirements concerning industrial safety.
United States · United States Congress · 17 March 1977
Creates a Select House Committee on Population to conduct an investigation and study of: (1) the major adverse effects of current population growth throughout the world; (2) approaches which have been shown to be effective in coping with excessive population growth; and (3) means to encourage countries with excessive population growth rates to adopt methods proven to be successful in reducing population growth rates.
United States · United States Congress · 16 March 1977
Directs the Secretary of Agriculture to make loans through the Agricultural Credit Insurance Fund to agricultural producers in the United States who sustain losses incurred on or after January 1, 1973, as a direct result of their food crops, animal feedcrops, livestock (including poultry), or livestock products being quarantined or condemned by a Federal or State official because such crops, livestock or products contain quantities of toxic chemicals dangerous to the public health. Sets a maximum loan amount of $100,000, a term of seven years, and leaves the interest rate to the Secretary's discretion. Requires repayment of the loan up to the amount of the compensation within three months of the receipt of any compensation for losses for which the loan was made. Permits the Secretary to postpone all but a nominal amount of principal and interest payments for up to three years.
United States · United States Congress · 16 March 1977
Campaign Financing Act -- Title I: Public Financing of Congressional General Election Campaigns - Entitles to payments under this Act Congressional candidates who agree to certain reporting and recordkeeping procedures and who certify that (1) he and his authorized committees will not incur campaign expenses in excess of certain limitations, (2) he has qualified to have his name placed on the election ballot in an election for Congressional office, and (3) he has received contributions in excess of a certain sum and no person has given more than $100 toward the amount so certified. Sets the amount of payments to an eligible candidate at the amount of contributions received up to a specified maximum. Stipulates that sums given by any one contributor totalling over $100 shall be disregarded for purposes of matching grants. Restricts use of funds forwarded under this Act to defraying campaign expenses either directly or through repayment of campaign loans. Specifies a limit on the amount of personal funds which a candidate may spend in connection with a Congressional campaign and remain eligible to matching grants. Amends the Federal Election Campaign Act of 1971 to specify spending limits for candidates receiving payments under this Act. Waives such limits for candidates whose opponents are not receiving matching payments and have spent sums in excess of the limit imposed for candidates receiving payments. Directs the Secretary of the Treasury to establish a separate Congressional General Election Payment Account in the Presidential Election Campaign Fund and to deposit certain sums in such account in accordance with specified guidelines. Requires repayment of excess payments and unexpended payments. Penalizes use of funds for other than campaign purposes. Authorizes the Federal Election Commission to institute repayment actions in district courts. Specifies the administrative authority of the Commission in carrying out this Act. Title II: Public Financing of Presidential General Election Campaigns - Raises the general election spending limit for Presidential candidates who are eligible to receive public funds under either the Presidential Election Campaign Fund Act or the Presidential Primary Matching Payment Account Act. Sets limits on the amount which a State party committee may spend in connection with the general election campaign of its Presidential candidate. Provides an alternative method for determining the amount of money to which candidates are entitled under the Presidential Election Campaign Fund Act based upon amount of contributions received after the final primary. Specifies conditions for candidates electing such method. Permits Presidential candidates eligible to receive payment under the Presidential Election Campaign Fund Act to receive additional small contributions from individual contributors up to a specified limit. Title III: Miscellaneous Provisions - Amends the Federal Election Campaign Act of 1971 to reduce the maximum amount which a multicandidate committee may contribute to any candidate or his committees. Specifies the effective date of the provisions of this Act and guidelines with respect to deposit in the Congressional General Election Campaign Fund during 1977.
United States · United States Congress · 16 March 1977
Congressional Campaign Financing Act - Entitles to campaign payments congressional candidates who agree to certain reporting and recordkeeping procedures and certify that (1) they and their authorized committees will not incur campaign expenses in excess of certain limitations and (2) they have received contributions in excess of a certain sum and no person has given more than $100 toward the amount so certified. Sets the amount of payments to an eligible candidate at the amount of contributions received up to a specified maximum. Stipulates that sums given by any one contributor totalling over $100 shall be disregarded for purposes of matching grants. Restricts use of funds forwarded under this Act to defraying campaign expenses either directly or through repayment of campaign loans. Amends the Federal Election Campaign Act of 1971 to specify spending limits for candidates receiving payments under this Act. Waives such limits for sums in excess of the limit imposed for candidates receiving payments. Directs the Secretary of the Treasury to establish a separate Congressional Election Payment Account in the Presidential Election Campaign Fund and to deposit certain sums in such account in accordance with specified guidelines. Requires repayment of excess payments and unexpended payments. Penalizes use of funds for other than campaign purposes. Authorizes the Federal Election Commission to institute repayment actions in district courts. Specifies the administrative authority of the Commission in carrying out this Act.
United States · United States Congress · 15 March 1977
Amends the Civil Rights Act of 1964 to specifically encompass pregnancy, childbirth and related medical conditions within the prohibition against sex discrimination in employment, including discrimination with respect to fringe benefit plans.
United States · United States Congress · 14 March 1977
Biomedical Research Extension Act - Amends the Public Health Service Act to extend through fiscal year 1978 the assistance programs for: medical libraries; cancer control programs; the National Cancer Institute; heart, blood vessel, lung, and blood disease prevention and treatment programs; the National Heart, Lung and Blood Institute; and the National Research Service awards. Allows an increase in payments made under this Act to national cancer research and demonstration and national heart research centers and demonstration centers in any fiscal year in which there is an increase in the cost of such centers as reflected in the Consumer Price Index. Appoints the Director of the Office of Science and Technology Policy to the National Heart, Lung, and Blood Advisory Council and removes the Director of the National Science Foundation from such Council. Reduces from five to three the number of years that a national research and demonstration center for heart, blood vessel, lung and blood diseases may receive support and extensions of support under the Public Health Service Act.
United States · United States Congress · 14 March 1977
Health Services Extension Act - Amends the Public Health Service Act to authorize appropriations for fiscal year 1978 for grants to: (1) States for comprehensive public health services; (2) hypertension programs; (3) planning, development and operation of migrant health centers; (4) planning, development and operation of community health centers; (5) training and research of family planning projects; (6) infant sudden death syndrome programs; (7) hemophilia programs; and (8) blood separation centers. Directs the Secretary of Health, Education, and Welfare to take into account unusual local conditions which are a barrier to access to personal health services when defining a medically underserved population. Authorizes the Administrator of the National Credit Union Administration to make insured loans to eligible students. Changes the definition of eligible institution for the purpose of student assistant programs to mean a school of medicine, osteopathy, dentistry, optometry, pharmacy, podiatry, veterinary medicine, or public health within the United States that received a grant, or that the Secretary determines met the requirements for a grant for the preceding fiscal year. Extends to all educational loans obtained by an individual for costs at a school of medicine, osteopathy, dentistry, veterinary medicine, optometry, pharmacy, or podiatry the program of loan forgiveness by the Secretary of Health, Education, and Welfare under specific employment agreements. Includes tuition and fees in traineeship awards made to students in schools of public health. Requires a school of medicine to reserve positions in the school year for students transferring from foreign schools of medicine. Directs the Secretary to identify those students who were enrolled either in foreign medical schools or in schools in the United States which prepare a student for entrance into the third year of medical school in the United States, and who passed part I of the National Board of Medical Examiners' examination. Directs the Secretary to apportion positions among schools of medicine in the United States to accommodate such students. Requires each area health center to provide a medical residency training program in general internal medicine, family medicine, or general pediatrics. Directs that grants for training in emergency medicine include the cost of graduate medical education traineeships for individuals who intend to specialize in the practice of emergency medicine. Directs that grants be made and contracts entered into for the improvement of programs of recruitment, training, and retraining of allied health personnel. Includes all public or nonprofit private entities capable of carrying out allied health special projects in the definition of entities eligible for grants for such projects. Establishes an Indian Health Scholarship Program under the national Health Service Corps Scholarship program. Directs the Secretary to make computations for certain nursing school programs based on the school year during which grants were applied. Amends the Community Mental Health Centers Act to extend through fiscal year 1978 appropriations for: (1) planning and operation of community health centers; and (2) the National Center for Prevention and control of Rape. Increases from two to three the number of grants that a community mental health center is authorized to receive under sections of law in effect prior to the 1975 amendments to this Act without meeting the new requirements of this Act. Amends the Social Security Act to authorize appropriations for maternal and child health and crippled children's services for fiscal year 1978, and for each fiscal year thereafter. Amends the Social Security Amendments of 1972 to extend, through fiscal year 1980, the authority of the Secretary to pay States under the Medicaid program for the compensation or training of inspectors of long term care facilities. Authorizes appropriations for home health services and home health services training under the Social Security Act for fiscal year 1978. Amends the Comprehensive Alcohol Abuse and Alcoholism Prevention, Treatment, and Rehabilitation Act of 1970 to authorize State plans required to be submitted under that Act to contain provisions relating to drug abuse or mental health. Amends the Drug Abuse Office and Treatment Act of 1972 to require that the Director of the Office of Drug Abuse Policy not be an employee of any department or agency of the United States engaged in any drug traffic prevention function. Amends the Health Professions Educational Assistance Act of 1976 to permit individuals who received scholarships under the Public Health and National Health Service Corps Scholarship Program before September 30,1977, to use periods of residency or internship served in a facility of the Public Health Service to satisfy obligations incurred under that Program.
United States · United States Congress · 14 March 1977
Amends the Public Health Service Act to authorize appropriations through fiscal year 1978 for: health systems agencies; State health planning and development agencies; centers for health planning; construction of State medical facilities; area health services development; health services, research, evaluation, and demonstration activities supported by such Act; and the National Center for Health Statistics. Amends the Social Security Act to prohibit reimbursement to a State for Medicaid expenditures unless services were provided by an entity which: (1) is a health maintenance organization; and (2) less than one-half of the membership consists of individuals who are recipients of Medicaid or Medicare. Extends to September 30, 1977, the authorizations of appropriations for grants to health maintenance organizations. Authorizes assistance to public entities desiring to be designated as health systems agencies. Includes as gross income, for purposes of the Internal Revenue Code of 1954, any interest paid on a loan to a State for medical facilities after such facilities are sold by the Secretary of Health, Education, and Welfare.
United States · United States Congress · 10 March 1977
Amends the Public Health Service Act to establish, within the National Institutes of Health, the Center for the Evaluation of Medical Practice. Directs the Secretary of Health, Education, and Welfare to use the Center to conduct and support research on the evaluation of the effectiveness of medical practice; including (1) diagnostic and casefinding techniques; (2) therapeutic procedures; and (3) the appropriate use of facilities, equipment and technology. Establishes an advisory council to advise the Secretary with respect to the administration of this Act.
United States · United States Congress · 10 March 1977
Authorizes the Secretary of the Interior to implement specified measures which will encourage the use of transportation modes other than personal motor vehicles for travel to and in national parks. Directs the Secretary to establish information programs to inform the public of park access opportunities. Requires that the Secretary develop projects for transportation services for access to parks with the cooperation of State and local transportation agencies, the Secretary of Transportation and the Secretary of Housing and Urban Development. Lists parks which shall be considered for such projects and sets forth criteria for determining which parks shall be selected. Directs the Secretary of the Interior to monitor such projects and to report to Congress his findings and recommendations for future projects within three years of the effective date of this Act.
United States · United States Congress · 10 March 1977
Surplus Property Development Act - Authorizes the Administrator of General Services, under the Federal Property and Administrative Services Act of 1949, to sell or lease at 50 percent of fair market value specified surplus real property to any State or political subdivision of a State which requires such property to conduct an economic development program. Gives the United States the right to reclaim such property in the event it is no longer used for economic development purposes. Restricts the property available under this Act to real property which has become available due to the closing or reducing of activities at a Federal facility where such action is causing or is likely to cause serious economic or social disruption within the vicinity of such facility.
United States · United States Congress · 10 March 1977
Department of Energy Organization Act - Title I: Declaration of Purposes - Declares it the purpose of this Act to establish a permanent Department or Energy in the executive branch to assist in the development of a coordinated national energy policy. Title II: Establishment of Department - Establishes a Department of Energy in the executive branch. Establishes an Energy Information Administration and an Economic Regulatory Administration within such Department. Title III: Transfers of Functions - Transfers to the Secretary of Energy all functions now vested in the Federal Energy Administration, the Energy Research and Development Administration, and the Federal Power Commission. Transfers energy-related functions from the Department of the Interior to the new Secretary. Transfers specified functions of the Securities and Exchange Commission, the Secretary of Housing and Urban Development, the Interstate Commerce Commission, the Secretary of the Navy, and the Secretary of Commerce to the new Secretary. Title IV: Board of Hearings and Appeals - Establishes a three-member Board of Hearings and Appeals within the Department to make agency determinations as required by law. Prohibits persons having interests in energy companies from serving as Board members. Title V: Administrative Procedures and Judicial Review - Stipulates that the provisions of the Administrative Procedure Act shall apply to rules and regulations issued by the Secretary or his delegate. Requires that opportunity for oral presentations of viewpoints be afforded where regulations are likely to have a substantial economic impact. Requires hearings on rules which substantially impact on a single geographic area to be held in such geographic area. Stipulates that United States district courts shall have exclusive jurisdiction of cases arising under this Act without regard to the amount in controversy, except where otherwise provided in authority transferred to the Secretary. Title VI: Administrative Provisions - Establishes a Leasing Liaison Committee to obtain information and make recommendations on Federal leasing activities conducted by the Secretary of the Interior which relate to energy resources. Requires officers and employees of the Department of Energy to disclose known financial interests in energy companies. Imposes criminal penalties for knowing violations of such disclosure requirements. Authorizes the Secretary to delegate authority to other officers, to create regional offices, and to establish advisory committees. Requires the Secretary to submit annual reports to the President for submission to the Congress. Title VII: Transitional Savings and Conforming Provisions - Stipulates that transfers of personnel as authorized by this Act shall not result in reduction in grade or unemployment for one year after enactment of this Act. Stipulates that orders, rules, and proceedings established or commenced under previous authority shall not be affected by the transfers under this Act. Amends the Federal Energy Administration Act, the Energy Reorganization Act, the Federal Power Act, the Motor Vehicle Information and Cost Savings Act, the Energy Conservation Standards for New Buildings Act, the Public Utility Holding Company Act of 1935, the Rural Electrification Act of 1936, and other provisions of law to conform with the changes made by this Act. Title VIII: Effective Date and Interim Appointments - Stipulates that the provisions of this Act shall take effect no later than 120 days after the Secretary first takes office. Establishes procedures for interim appointment of officers prior to the effective date of this Act.
United States · United States Congress · 9 March 1977
Clean Air Act Amendments - Amends the Clean Air Act to authorize the appropriation of $200,000,000 for each of the three fiscal years after the date of enactment of this Act. Requires employees of the Environmental Protection Agency to disclose known financial interests in persons subject to the Act or in applicants for financial assistance under the Act. Imposes criminal penalties for knowing violations of such disclosure requirements. Title I: Amendments Relating Primarily to Stationary Sources -Directs the Administrator to designate radioactive pollutants, cadmium, arsenic, and polycyclic organic matter as air pollutants to be regulated under the Act unless a finding is made that such substances will not contribute to air pollution likely to endanger public health. Directs the Administrator to promulgate a national primary ambient air quality standard for nitrogen dioxide over a short-term period, absent a finding that such a standard is not required to protect public health. Directs the Administrator to revise and reissue criteria relating to short-term concentrations of nitrogen dioxide and related substances. Directs the Administrator to investigate the relationship between sulfates and public health and welfare. Redefines the term "air pollutant" to include physical, chemical, biological, and radiological substances. Revises the basis for air quality and emission control standards under the Act to regulate air pollution which may reasonably be anticipated to endanger public health or welfare. Directs the Administrator to prepare economic impact statements for various standards and regulations issued pursuant to this Act. Details information required to be included in such statements. Authorizes the Administrator or the States, subject to the approval of the Administrator, to issue delayed compliance orders to existing stationary sources unable to meet specified deadlines. Stipulates that such delayed compliance orders shall not result in postponement of original limitations for more than five years. Requires sources subject to such orders to use the best practicable system of emission reduction. Authorizes the assessment of noncompliance penalties against stationary sources not in compliance with applicable emission limitations. Authorizes exemptions from such requirements based on energy requirements, demonstration of innovative technology, impossibility of compliance, or insignificance of the violation. Establishes criteria for determining the amount of such penalty, not to exceed $5,000 per day for each day's violation. Extends compliance dates for sources subject to coal conversion requirements in accordance with provisions of the Energy Supply and Environmental Coordination Act of 1974. Stipulates that compliance date extensions shall not be effective for sources in regions where national primary air quality standards are being violated as a result of the emission of such sources. Stipulates that emission limitations under this Act shall require application of a system of continuous emission reduction, and that alteration of stack heights or other dispersion techniques shall not affect the degree of emission limitation required under the Act. Directs the Administrator to study the effects of the release of halocarbons and other substances on the stratosphere. Requires a National Academy of Sciences study and report on activities which may affect or modify the stratosphere or ozone in the stratosphere and on possible control methods. Directs the National Oceanic and Atmospheric Administration to establish a research and monitoring program to detect potentially harmful changes in the stratosphere. Directs the Administrator to regulate substances which may reasonably be anticipated to affect the stratosphere. Requires States to submit plans for prevention of significant deterioration of air regions, subject to approval by the Administrator. Establishes guidelines for classification of such regions. Imposes limitations on projected increases in ambient concentrations of pollutants for each class of such regions. Requires that new sources constructed in such regions acquire permits to be issued after public hearings and a finding that emissions from such facility will not contribute to air pollution in excess of the appropriate limits. Directs the Administrator to convene a conference on air quality monitoring every three years. Directs the Administrator to issue guidelines to States with respect to monitoring and control of pollutants other than particulates and sulfur dioxide for purposes of prevention of significant air quality deterioration. Establishes a National Commission on Air Quality to conduct studies and investigations of specified air pollution issues. Authorizes the appropriation of $17,000,000 for such Commission studies. Directs the Administrator to provide training assistance to qualified personnel as part of the comprehensive research and development program established by the Act. Directs the Administrator to periodically review air quality criteria published pursuant to the Act, with the assistance of recommendations from a seven-member independent scientific review committee. Revises procedures for establishment of new source performance standards to allow for greater input from States in the listing of categories of sources and pollutants for regulation under such provisions. Requires that alternative technological systems and technological innovations be considered where likely to result in equivalent reductions of emissions. Authorizes the Administrator to grant variances from new source standards for the use of technological innovations. Waives rights of governmental immunity in the case of Federal facilities subject to air pollution control requirements. Stipulates that nothing in the Act shall be construed as restricting States, localities, and interstate entities from seeking judicial relief against Federal instrumentalities under State or local air pollution laws. Authorizes the Administrator to waive the requirement that State air pollution control agencies maintain previous levels of spending as a condition of receiving Federal aid where appropriate. Authorizes temporary emergency suspensions from clean air standards for economic or energy-related emergencies of a short-term nature. Directs the Administrator to develop regulations to prevent visibility impairment in clean air regions. Title II: Amendments Relating Primarily to Mobile Sources - Directs the Administrator to study, with the assistance of the National Academy of Sciences, the necessity for indirect source controls to meet the objectives of the Act. Imposes limitations on the use of indirect source controls unless necessary to meet national primary ambient air quality standards for mobile source-related pollutants. Defines the term "indirect source" to include various facilities which may attract mobile sources of air pollution. Authorizes the Administrator to grant extensions of compliance dates for State transportation control plans in accordance with prescribed criteria. Revises emission standards for light duty motor vehicles to extend for three years from model year 1977 to 1980 the compliance date for carbon monoxide and hydrocarbon standards. Imposes interim standards of 1.5 grams per mile for hydrocarbons and 15 grams per mile for carbon monoxide for model years 1977 through 1979. Extends the compliance date for nitrogen oxides standards for such vehicles from model year 1978 to 1981. Extends the 2.0 gram per mile interim standard for nitrogen oxides through model year 1980. Authorizes annual suspensions of emission standards for any model year before 1985 by the Administrator if prescribed criteria are met. Directs the Administrator to study the effects on health and welfare of emission of sulfuric acid mist and other unregulated pollutants from motor vehicles. Directs the Administrator to prescribe regulations to limit emissions of carbon monoxide, hydrocarbons, and nitrogen oxides from heavy-duty vehicles or engines manufactured after model year 1979. Requires continuing studies on the effects of emissions from heavy-duty vehicles. Directs the Administrator to study the possibility of increased use of cost-effectiveness analyses in order to achieve clean air objectives. Directs the Administrator to study the effects on health and welfare of particulate emissions from mobile sources. Requires that motor vehicle emission control regulations provide for nonconformance penalties to be assessed against manufacturers where vehicles fail to meet required standards. Stipulates that aircraft emission regulations issued under this Act may be disapproved by the Secretary of Transportation if found to create a hazard to aircraft safety. Requires that motor vehicle emission control systems used to meet air pollution control requirements not contribute an unreasonable risk to public health, welfare,or safety. Requires that State implementation plans provide for annual inspection and maintenance of light-duty vehicles in regions where transportation control measures are applicable. Stipulates that the cost of emission control for vapor recovery with respect to mobile source fuels shall be borne by owners of retail outlets. Exempts independent small business marketers from such requirements for a two-year period, pending results from a Federal Trade Commission Study on the effects of such requirements on small business marketers. Establishes procedures to allow the Administrator to disapprove instructions for high altitude adjustments of motor vehicles where emission control performance resulting from such adjustments is inadequate. Requires that the Administrator prescribe fill pipe standards in conjunction with any vapor recovery regulations issued under the Act. Directs the Administrator to study onboard hydrocarbon control technological and carbon monoxide intrusion into sustained-use motor vehicles. Directs the Administrator to issue regulations governing the testing of fuels and fuel additives. Authorizes States to adopt and enforce more stringent motor vehicle emission control standards. Title III: Miscellaneous Amendments - Authorizes States to redesignate air quality control regions. Requires the approval of the Administrator and the consent of affected States where emissions from such region may significantly affect another State. Requires State implementation plans to establish procedures for adequate consultation with local and regional governmental entities. Authorizes delegation of functions to units of local government by the Administrator under applicable implementation plan provisions. Directs the Administrator to conduct continuing evaluations of potential shifts or losses of unemployment which may be caused by air pollution control measures. Requires investigation of such specific instances upon written request to the Administrator by affected employees. Establishes additional procedures for promulgation of rules and regulations under the Act. Establishes guideline for judicial review of administrative actions under the Act. Prohibits discharge or discrimination against employees who participate in proceedings under the Act. Requires the Administrator to consult with State agencies prior to inspection and monitoring of stationary sources, except where the Administrator has reason to believe that information contained in such notice may be used to inform the stationary source about such proposed action. Requires consultation with States and localities prior to Federal actions to alleviate air pollution emergencies. Imposes criminal penalties of up to $5,000 per day for willful violation of such emergency orders. Directs the Administrator to establish procedures for abatement of interstate air pollution. Establishes a Task Force on Environmental Cancer and Heart and Lung Disease to coordinate research and control efforts with respect to human cancer and heart and lung disease that is associated with environmental pollution. Directs the Administrator, in cooperation with the National Academy of Sciences, to study the problems associated with fine particulate matter. Directs the Administrator to establish a uniform, nation-wide air quality monitoring system. Directs the Council on Environmental Quality to assess the feasibility of utilizing economic measures to supplement or replace regulatory controls imposed by the Act. Requires that State implementation plans prohibit sources utilizing intermittent control systems to meet delayed compliance interim requirements from temporarily reducing the pay of any employee as result of the use of such system. Establishes procedures for Congressional review and disapproval of regulations prescribed by the Administrator under the Act. Directs the Administrator to make recommendations for simplification of administration of the Act. Requires State implementation plans to prohibit conflicts of interest in State regulatory agencies.
United States · United States Congress · 9 March 1977
Marihuana Control Act - Amends the Controlled Substances Act to provide that the possession of not more than one ounce of marihuana for private use, or the transfer of not more than one ounce of marihuana without profit for private use, shall not constitute a crime against the United States. Provides for a civil penalty of not more than $100 for such possession or transfer.
United States · United States Congress · 9 March 1977
Recombinant DNA Research Act - Amends Title IV (National Research Institutes), of the Public Health Service Act to direct the Secretary of Health, Education, and Welfare to regulate research with regard to recombinant DNA. Requires the Secretary, within 180 days after the date of enactment of this Act, to promulgate regulations to implement the license requirements of this Act. Stipulates that such regulations shall: (1) prescribe physical and biological containment requirements for recombinant DNA research projects; (2) prescribe requirements respecting laboratory safety techniques to be followed by personnel involved in recombinant DNA research projects; (3) prescribe requirements respecting the establishment and operation of institutional review committees for recombinant DNA research; and (4) prescribe requirements respecting reports to be made by persons engaged in recombinant DNA projects. Prohibits anyone from engaging in a recombinant DNA research project 180 days after enactment of this Act unless such person holds a license to engage in such research or is under the direct supervisions of a person holding such a license. Prescribes the terms and conditions that an application for such a license and the license issued by the Secretary shall contain. States that such license shall be valid for up to 24 months and may be reviewed. Directs the Secretary to publish in the Federal Register a detailed description of the research project for which the license was issued or renewed. Directs the Secretary to designate not more than ten centers for the conduct of research projects involving recombinant DNA which require the highest level of physical containment measures. Requires the Secretary to prescribe the information that an application for designation as a research center shall contain. Allows the Secretary to make grants to designated nonprofit private centers to enable such centers to meet the cost of complying with requirements for designation as a maximum containment research center. Authorizes agents designated by the Secretary to inspect any laboratory in a State in which recombinant DNA research is being conducted. Stipulates that such agents are not required to obtain a search warrant from any judicial officer prior to the inspection. Directs the inspector prior to leasing the premises to give the individual in charge of the laboratory a preliminary report indicating any violations of the licensing requirements. Requires the inspector to send a final written report to the agent in charge of the laboratory within 30 days of the completion of the inspection. Authorizes the Secretary, after reasonable notice and opportunity for a hearing, to revoke the license of a person who has violated the terms and conditions of such license or has failed or refused to permit an authorized inspection. Makes any person violating such licensing requirements liable to the United States for a civil penalty in an amount not to exceed $1,000 for each violation. Allows a person who is aggrieved by an order of the Secretary assessing a civil penalty, to file a petition for judicial review with the circuit court in which such person resides or transacts business. Prohibits, with specified exceptions, any State or political subdivision thereof from establishing or continuing any requirement with respect to recombinant DNA research projects which is different from requirements established by the Secretary. Establishes the Recombinant DNA Research Advisory Committee to make recommendations to the Secretary related to the effective administration of this Act.
United States · United States Congress · 9 March 1977
Privacy Protection for Rape Victims Act - Amends the Federal Rules of Evidence to prohibit in cases of rape or assault with intent to rape the introduction of reputation or opinion evidence of a person's past sexual behavior. Permits the introduction of evidence of specific instances of a person's past sexual behavior only if such evidence is offered by the accused and is either: (1) on the issue of whether the accused was the source of pregnancy, disease, semen, or injury; or (2) on the issue of whether the alleged victim consented to the sexual behavior with respect to which the crime is alleged and restricted to the victim's past sexual relations with the defendant. Requires an accused who intends to introduce any such evidence to make a written motion to the court accompanied by a written offer of proof. Directs the court to hold a hearing on any such motion in chambers to determine admissibility.
United States · United States Congress · 8 March 1977
Amends the Disaster Relief Act of 1974 to provide disaster victims with respect to disasters occurring on or after December 1, 1976, with two options for loan repayment of borrowed funds under certain provisions of the Small Business Act or the Consolidated Farm and Rural Development Act: (1) a three percent interest rate with up to $2,500 forgiveness on the loan; or (2) a one percent interest rate with no forgiveness clause.
United States · United States Congress · 8 March 1977
Provides that the fees payable to agents or attorneys who represent veterans in allowed claims under the veterans laws shall be paid by the Administrator of Veterans' Affairs rather than deducted from amounts awarded under the claims.
United States · United States Congress · 8 March 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to provide that attorneys' fees allowed in administrative or judicial proceedings under that Title (Or under title XVIII (Medicare) of such Act), in cases where the claimants are successful, shall be paid by the Secretary of Health, Education, and Welfare rather than deducted from the amounts awarded claimants.
United States · United States Congress · 8 March 1977
Consumer Food Labeling Act - Title I: Truth in Food Labeling Act - Truth in Food Labeling Act - Requires, under the Federal Food, Drug, and Cosmetic Act, that the labels on all foods disclose each of their ingredients in order of predominance and the amounts of the ingredients in the food. Title II: Nutritional Labeling Act - Nutritional Labeling Act - Requires any packaged consumer food product to be labeled by the processor in conformity with specified information, including: with respect to processed food products, an analysis of nutritional contents including fat content, vitamin, and protein value, fats and fatty acids, calories, and any other nutritional information deemed appropriate. Requires such label to contain a statement of the nutritional value of the food commodity, and to appear in conspicuous and easily legible type on the package. Provides that the label of any packaged consumer product which has been packaged in a container of any given net content (by weight or volume) and which afterwards is packaged in a container of a different net content, shall conspicuously set forth the amount of difference. States that the appropriate Federal agencies shall prescribe regulations to carry out the purposes of this title. Provides for injunctions in Federal courts to assure compliance with this title. Prescribes a civil penalty of not to exceed $1,000 for any willful violation of this title; such sum to be assessed by the appropriate agency and enforced in a Federal court in the name of the United States. Title III: Open Dating of Perishable Food Act - Open Dating of Perishable Food Act - Provides, under the Fair Packaging and Labeling Act, that no person who manufactures or packages a perishable or semiperishable food in the form in which it is sold by retail distributors to consumers may distribute for purposes of sale a perishable or semiperishable food packaged by him in such form unless he has labeled such packaged to show the pull date for such food and the optimum temperature and humidity conditions for its storage by the ultimate consumer. Provides, with certain exceptions, that no retail distributor may sell, offer to sell, or display for sale any food whose pull date has expired. States that no person may place perishable or semiperishable foods in packages in shipping containers or in wrappings, unless such containers or wrappings are labeled by him to show the pull date. Provides that no person may change, alter, deface or remove before sale to the ultimate consumer any pull date. States that any person who violates any provision of this title shall be imprisoned for not more than one year or fined not more than $5,000, or both. Provides that the United States district courts shall have jurisdiction to restrain violations of this title. Requires the Secretary of Health, Education, and Welfare to submit an annual report to the Congress concerning activities and enforcement of this title. Title IV: Marketing Practices Disclosure Act - Marketing Practices Disclosure Act - Requires that labels on packaged foods contain the names and places of business of the manufacturer, packer and distributor, rather than just one of the three. Title V: Consumer Food Grading Act - Consumer Food Grading Act - Requires the Secretary of Agriculture, after consultation with representatives of consumers, producers, and processors, to develop and promulgate a system of retail quality grade designations for consumer food products expressed in a uniform nomenclature. Authorizes the Secretary to determine the manner in which the system of consumer food grade designations shall be displayed and disseminated to the public. Provides that in developing and updating quality grade standards, consideration shall be given to the nutritional quality and wholesomeness of food products, as well as the acceptability of the products. Requires that any food products sold more than nine months after the promulgation of applicable quality standards in accordance with this title shall either be conspicuously labeled in accordance with such standards or shall be conspicuously labeled "not quality graded by the United States Department of Agriculture". Title VI: Unit Pricing Act - Unit Pricing Act - Provides that no person engaged in business in the sale at retail of any packaged consumer commodity which has been distributed in commerce, or the distribution of which affects commerce, shall sell, offer for sale, or display for sale any such commodity unless: (1) the total selling price of such commodity is plainly marked by a stamp, tag, or label affixed to a principal display panel of the package; and (2) the retail unit price of such commodity is plainly marked by: (a) stamp, tag, or label affixed to a principal display panel of the package, or (b) a label or sign in close proximity to the point of display of such package, which label or sign shall also contain the name and quantity of contents of such commodity. Exempts from the requirement of marking the unit price of commodities: (1) any individual retail outlet which sells or offers for sale packaged consumer commodities and whose total gross sales do not exceed $250,000 annually unless such outlet is one of a number of outlets owned substantially or whose inventory is supplied substantially, by a single person, partnership, or corporation whose total gross sales exceed $500,000 annually; (2) any retail mandatory unit pricing laws and whose laws, in the judgment of the Federal promulgating authority, are in scope and comprehensiveness superior to the requirements of this title; except that retailers (including chainstores and affiliated stores) who operate outlets in any such geographical area shall be subject to the unit pricing requirement of this title if they also operate outlets in one or more other States or political subdivisions. Title VII: New Ingredient Notification Act - New Ingredient Notification Act - Requires a food to carry a label setting forth in a conspicuous manner any change in its ingredients for six months after such change. Title VIII: Misleading Brand Names Act - Misleading Brand Names Act - Expands the meaning of "unfair or deceptive act or practice" under the Federal Trade Commission Act to include advertising a brand name of a product which inherently misleads the public as to the product's value, quantity, quality of contents, or performance.
United States · United States Congress · 8 March 1977
Authorizes the Secretary of the Treasury, for cash management purposes, to invest any portion of the Treasury's operating cash for periods of up to 90 days in (1) obligations of depositories maintaining Treasury tax and loan accounts secured by a pledge of collateral acceptable to the Secretary as security for tax and loan accounts, and (2) obligations of the United States and of agencies of the United States. Amends the Home Owners' Loan Act to authorize the Secretary of the Treasury to deposit public money in any federal savings and loan association or member of a federal home loan bank. Amends the National Housing Act to make institutions insured by the Federal Savings and Loan Insurance Corporation depositories of public money. Amends the Internal Revenue Code to define qualified savings and loan associations which may receive tax payments.
United States · United States Congress · 7 March 1977
Airport Noise Curfew Act - Establishes the Airport Noise Curfew Commission to study and make recommendations to the Congress regarding the establishment of curfews on nonmilitary aircraft operations over populated areas of the United States during normal sleeping hours. Requires the Commission to report its findings and recommendations to the Congress no later than six months after the enactment of this Act. Authorizes the Commission to secure directly from any department or agency of the United States information necessary to carry out its duties and functions. Requires the head of such department or agency to furnish such requested information to the Commission. Empowers the Commission to issue subpenas requiring the attendance and testimony of witnesses and the production of any evidence that relates to any subject that the Commission is authorized to investigate by this Act.
United States · United States Congress · 7 March 1977
Requires the prominent labeling of prescription and over-the- counter drugs and pharmaceuticals whose effectiveness or potency becomes diminished after storage as to the date beyond which the product shall not be used. Authorizes the Food and Drug Administration to establish the "beyond use" dates for all applicable products, and the manner in which they shall be labeled.
United States · United States Congress · 7 March 1977
Appliance Dating Act - Requires any consumer durable product determined by the Federal Trade Commission to be of a type whose design or performance features are changed on a periodic basis in such a manner as to make its date of manufacture a relevant factor in connection with sales to consumers to be labeled by the manufacturer as to the month and year of manufacture. Empowers the Federal Trade Commission to enforce this Act.
United States · United States Congress · 7 March 1977
Prescription Drug Labeling Act - Amends the Federal Food, Drug, and Cosmetic Act to require that in the labeling and advertising of drugs sold by prescription the established name of such drug must appear each time the drug's proprietary name is used. Permits a pharmacist to fill or refill a prescription for a drug identified by its proprietary name with any substitute drug if: (1) the practitioner does not specify in the prescription (in the case of a written prescription) or in transmitting the prescription to the pharmacist (in the case of an oral prescription) that the prescription is to be filled or refilled with only the drug so identified; and (2) the cost of the substitute drug to the patient for whom the prescription is made less than the cost to him of the drug so identified, and any other substitute drug. Directs that if a drug to be dispensed pursuant to a prescription of a practitioner licensed by law to administer the drug is identified in the prescription by its established name, any pharmacist who fills or refills the prescription shall fill or refill it with the substitute drug whose cost to the patient for whom the prescription is made is less than the cost to him of any other substitute drug, except that this provision shall not apply if the practitioner specifies in the prescription (in the case of a written prescription) or in transmitting the prescription to the pharmacist (in the case of an oral prescription) that the prescription is to be filled or refilled with another drug.