United States · United States Congress · 2 August 1996
Restores Federal armed forces provisions relating to the status of missing persons as in effect before amendments made by the National Defense Authorization Act for Fiscal Year 1997.
United States · United States Congress · 2 August 1996
TABLE OF CONTENTS: Title I: Aviation Security Title II: Antiterrorism Aviation Security and Antiterrorism Act of 1996 - Title I: Aviation Security - Directs the Administrator of the Federal Aviation Administration (FAA) to: (1) facilitate the interim deployment of commercially available explosive detection devices that will significantly enhance aviation security; (2) require that an employment investigation, including a criminal history record check in specified cases, be conducted for individuals who will be responsible for screening passengers or property and their supervisors; and (3) provide for the periodic audit of criminal history record checks. Requires employment standards for air carrier and airport security personnel to include performance standards for airport and airline security personnel, including counter personnel, and guidelines for encouraging the retention of security personnel responsible for passengers and cargo. Direct the FAA, the Secretary of Transportation, the intelligence community, and the law enforcement community to continue to assist air carriers in developing computer-assisted passenger profiling programs. (Sec. 106) Permits the use of airport improvement project grant funds and passenger facility fees to expand and enhance air transportation security programs and other activities at airports to ensure the safety and security of passengers and others involved in air travel. (Sec. 107) Requires the Administrator to review: (1) FAA oversight of inspections of shipments of mail and cargo by domestic and foreign air carriers; (2) the need for additional security measures with respect to such inspections; and (3) the adequacy of inspection and screening of cargo on passenger air carriers. Directs the President to submit relevant legislative proposals to the Congress. Requires the Director of the Federal Bureau of Investigation (FBI) to assure that FBI agents assigned to an area where there are high- risk airports carry out periodic threat and vulnerability assessments of security at least every three years at such airports. Requires the operator of each major airport to use dogs or other appropriate animals to supplement existing equipment used for screening passengers and cargo for plastic explosives and other devices or materials which may be used in aircraft piracy, subject to specified limitations. Directs the Administrator to initiate a rulemaking to revise Federal regulations regarding airplanes having fewer than 61 passenger seats to enhance safety and security of travel in such planes. (Sec. 110) Replaces a provision permitting grants to continue the program to detect explosives at airports and on aircraft with provisions directing the Secretary of Transportation to make grants for expenses of training and evaluation of dogs for the explosive detection K-9 team training program and extending such program to the largest 50 airports in the United States within 180 days of the enactment of the Aviation Security Improvement Act of 1996. Authorizes appropriations. (Sec. 112) Establishes the Civil Aviation Security Review Commission to conduct a comprehensive review of aviation security. Authorizes appropriations. Title II: Antiterrorism - Adds specified terrorist offenses as predicate offenses under the Racketeer Influenced and Corrupt Organizations Act. (Sec. 202) Enhances penalties for unlawfully disclosing specified material under the civil and criminal remedy provisions of the Privacy Act and under wiretap provisions of the Federal criminal code. (Sec. 203) Urges the President to commence diplomatic efforts to establish a multilateral sanctions regime against nations certified under the Export Administration Act of 1979 as having repeatedly provided support for acts of international terrorism. Requires the President to provide to: (1) the Congress an action plan for inducing such nations to cease their support for such acts; and (2) the House and Senate intelligence committees a report on the capability of the U.S intelligence community to detect, assess, and eliminate international terrorist activities. (Sec. 204) Directs: (1) the Secretary of State to designate, before October 1, 1996, foreign terrorist organizations pursuant to the Antiterrorism and Effective Death Penalty Act of 1996; (2) the Secretary of the Treasury, if possible, as justified by the evidence, and consistent with the needs of law enforcement and intelligence, to freeze assets; and (3) the Attorney General to initiate the removal of known alien terrorists and criminals. (Sec. 205) Requires the Director of the National Institute of Justice to: (1) contract for an independent study of the feasibility, safety, and law enforcement effectiveness of including taggants in black and smokeless powder; and (2) submit to the Congress recommendations for legislation for the addition of taggants to black and smokeless powder manufactured in or imported into the United States if specified conditions are met. (Sec. 206) Establishes the National Commission on Terrorism.
United States · United States Congress · 2 August 1996
Financial Regulator Independence Protection Act - Amends the Federal Credit Union Act and the Federal Deposit Insurance Act with respect to the terms of office of the National Credit Union Administration Board and the Board of Directors of the Federal Deposit Insurance Corporation (FDIC), respectively, to provide that each member shall: (1) serve a six-year term of office unless removed for cause by the President; and (2) continue to serve after the term expiration date until a successor is appointed and has qualified.
United States · United States Congress · 2 August 1996
Antiterrorism Law Enforcement Enhancement Act of 1996 - Modifies wiretapping provisions under the Federal criminal code to make certain requirements to obtain an order authorizing the interception of a wire, oral, or electronic communication inapplicable where: (1) the applicant shows that the subject had the intent to thwart interception or that the subject's actions and conduct would have the effect of thwarting interception from a specified facility; and (2) the judge finds that such showing has been adequately made. Grants authority for the use of: (1) emergency wiretaps in cases involving an act of terrorism; and (2) pen registers and trap and trace devices in foreign counterintelligence investigations. Adds specified terrorist offenses as predicates under the Racketeer Influenced and Corrupt Organizations Act. Authorizes interceptions with respect to specified terrorism-related offenses, such as violations relating to the murder of foreign officials or providing material support to terrorists. Modifies wiretap provisions to provide that, whenever an order authorizing an interception is entered, the order shall require the attorney for the Government to file a report with the judge who issued the order showing what progress has been made toward achieving the authorized objective and the need for continued interception. Requires such report to be made 15 days after the interception has begun. Revises the Antiterrorism Act of 1996 to make an exception to the sovereign immunity of a foreign state if certain conditions are met or if neither the claimant nor the victims were U.S. nationals when the act upon which the claim is based occurred. Makes technical corrections to the Antiterrorism and Effective Death Penalty Act of 1996.
United States · United States Congress · 30 July 1996
Waives the limitations relating to the time for filing protests of certain decisions of the Customs Service with respect to a certain corporation in Florida for the refund of antidumping duty deposits in connection with specified entries.
United States · United States Congress · 24 July 1996
Expresses the sense of the Congress that: (1) the 19 men and women who died in the bombing in Dhahran, Saudi Arabia, should be accorded all honor due to heroes; and (2) those who continue to serve in the United States armed forces anywhere in the world should be assured that their well-being and interests will at all times be safeguarded and given the highest priority.
United States · United States Congress · 17 July 1996
Transportation Empowerment Act - Amends the Intermodal Surface Transportation Efficiency Act of 1991 to authorize appropriations out of the Highway Trust Fund (HTF) for the interstate maintenance program, the bridge program, the Federal lands highways program, public lands highways, and parkways and park roads through FY 2001. Repeals all funding for the surface transportation program, the congestion mitigation and air quality improvement program, and Federal Highway Administration highway safety (including research and development) programs. Amends the Internal Revenue Code (IRC) to: (1) extend until October 1, 2001, the availability of HTF funds for authorized expenditures; (2) set a core programs financing rate for gasoline, special motor fuels, and diesel fuel; (3) establish in HTF an Infrastructure Special Assistance Fund; and (4) provide for the return of excess tax receipts to States for transportation purposes. Terminates transfers to the HTF's Mass Transit Account on and after October 1, 1997. (Sec. 6) Grants congressional consent to States to enter into interstate compacts to: (1) promote the continuity, quality, and safety of the Interstate System; (2) develop programs to promote and fund safety initiatives and establish safety standards; (3) conduct long-term planning for transportation infrastructure in, and develop transportation infrastructure design and construction standards to be used by, participating States; and (4) establish transportation infrastructure banks. Sets forth provisions regarding financing and establishment of infrastructure banks. (Sec. 7) Requires the head of each executive agency to: (1) assist State and local governments in efforts to privatize the transportation infrastructure assets of the State and local governments; and (2) approve requests from State and local governments to privatize transportation infrastructure assets and waive or modify any grant condition, subject to specified requirements. Sets forth provisions regarding criteria for approval of requests, lack of obligation to repay Federal grant funds, use of proceeds from the privatization of a transportation infrastructure asset, and cost recovery. (Sec. 8) Amends the IRC to reduce taxes on gasoline, diesel fuel, and special fuels funding HTF. (Sec. 9) Directs the Secretary to report to the Congress describing technical and conforming amendments and other laws that are appropriate in light of this Act.
United States · United States Congress · 10 July 1996
ISTEA Integrity Restoration Act - Authorizes appropriations out of the Highway Trust Fund (other than the Mass Transit Account) for FY 1998 through 2002 for: (1) the National Highway System (NHS); (2) the Surface Transportation Program (STP); and (3) the Federal Lands Highway Program (FLHP), including Indian reservation roads, public lands highways, and parkways and park highways. (Sec. 6) Modifies the definition of: (1) "Federal-aid system" to mean the NHS; and (2) NHS to mean the Federal-aid highway system established pursuant to Federal highway provisions. Defines: (1) "highest priority corridor" to mean (with exceptions) any NHS corridor that the Secretary determines has national and international significance, that directly accounts for at least 35 percent of the truck-borne traffic for Canadian and Mexican imports and exports, that has at least 20 percent truck traffic, that directly benefits impoverished areas, that provides multiple intermodal connections, and that connects to military bases; and (2) "highway funds" to mean the funds apportioned to a State for a fiscal year and the funds allocated to a State for the preceding fiscal year for Federal-aid highway and highway safety construction (other than funds made available for the FLHP and for emergency relief). Modifies provisions regarding Federal-aid systems and the formula for apportionments of NHS funds. (Sec. 7) Repeals provisions regarding: (1) apportionments for resurfacing, restoring, rehabilitating, and reconstructing the Interstate System (IS); and (2) the transfer of interstate construction apportionments, the transfer of funds for STP projects, and limits on new capacity. (Sec. 8) Modifies STP provisions regarding the location of projects and allocations of apportioned funds. Authorizes a State, in nonattainment areas for ozone or carbon monoxide, or for PM-10 resulting from transportation activities, or any combination thereof, to obligate STP funds for any congestion mitigation and air quality improvement project or program without regard to any Department of Transportation limitation relating to the type of ambient air quality standard such project or program addresses. (Sec. 9) Directs that, for purposes of STP and IS provisions, population shall be determined based on the most recent decennial census for which data are available. (Sec. 10) Repeals provisions regarding: (1) the highway bridge replacement and rehabilitation program; and (2) the congestion mitigation and air quality improvement program. (Sec. 12) Replaces provisions regarding minimum allocations to States with an apportionment adjustment program to provide that the Secretary shall allocate among the States amounts sufficient to ensure that the ratio of the highway funds of the State to those of all States for the fiscal year is not less than certain listed percentages for the State. Repeals existing apportionment adjustment programs.
United States · United States Congress · 27 June 1996
TABLE OF CONTENTS: Title I: Domestic Preparedness Title II: Interdiction of Weapons of Mass Destruction and Related Materials Title III: Control and Disposition of Weapons of Mass Destruction and Related Materials Threatening the United States Title IV: Coordination of Policy and Countermeasures Against Proliferation of Weapons of Mass Destruction Title V: Miscellaneous Defense Against Weapons of Mass Destruction Act of 1996 - Title I: Domestic Preparedness - Directs the Secretary of Defense (Secretary) to carry out a civilian training program regarding emergency responses to a use or threatened use of a weapon of mass destruction (WMD) or related materials. Authorizes the President to designate another agency head to assume responsibility for such program on or after October 1, 1999. Provides funding and earmarks a specified amount of such funds to assist the U.S. Surgeon General in the establishment of metropolitan emergency medical response teams. (Sec. 102) Directs the Secretary and the Secretary of Energy to designate a department official to coordinate assistance to Federal, State, and local officials in response to threats involving biological, chemical, or nuclear weapons or related materials or technologies. (Sec. 103) Authorizes the Secretary, upon request of the Attorney General, to provide assistance in support of Department of Justice activities during an emergency situation involving a biological or chemical WMD. Directs the President to take reasonable measures to reduce the reliance of civilian law enforcement officials on Department of Defense (DOD) resources to counter the threat posed by the use or potential use of biological and chemical WMDs within the United States. Requires reports from the President to the Congress on the policy functions and operational roles of Federal agencies in countering such a threat. (Sec. 104) Directs the Secretary to develop and carry out a program for testing and improving the response of Federal, State, and local agencies to emergencies involving biological and chemical weapons and related materials. Directs the Secretary of Energy to develop and carry out an identical program with respect to nuclear and radiological weapons and related materials. Title II: Interdiction of Weapons of Mass Destruction and Related Materials - Earmarks funds for the procurement of equipment capable of detecting and interdicting the movement of WMDs and related materials into the United States. Authorizes the Secretary to make such equipment available to the Commissioner of Customs for such use. (Sec. 202) Directs the Secretary to be the lead Government official for coordinating the Federal research and development (R&D) on technical means for detecting the presence, or illegal transportation, production, or use, of materials and technologies that may be used to make a biological or chemical weapon as well as materials and technologies that are suitable for use in making such a weapon. Directs the Secretary of Energy to be the lead official in the same capacity with respect to nuclear or radiological weapons and related materials and technologies. Requires specified consultation. Provides funding for each R&D program. (Sec. 203) Amends the International Emergency Economic Powers Act to state that the President does not have the power to investigate, regulate, or prohibit the attempted importation from any country, or exportation, of: (1) property in which any foreign country or national has an interest; or (2) specified information or informational materials. (Sec. 204) Urges the United States Sentencing Commission to increase the penalties for offenses relating to the importation and exportation of nuclear, biological, or chemical weapons or related materials or technologies. (Sec. 205) Directs the Secretary to carry out programs for assisting customs and border guard officials in the independent states of the former Soviet Union, the Baltic states, and other Eastern European countries in preventing the unauthorized transfer and transportation of nuclear, biological, and chemical weapons and related materials. Provides funding. Title III: Control and Disposition of Weapons of Mass Destruction and Related Materials Threatening the United States - Authorizes the Secretary of Energy to provide assistance for securing from theft or other unauthorized disposition nuclear materials that are located at any site within the former Soviet Union where effective security controls are not in place. Authorizes the Secretary to provide specified assistance under the DOD Cooperative Threat Reduction (CTR) Program for securing from theft or other unauthorized disposition, or for destroying, nuclear, radiological, biological, or chemical weapons that are located within the former Soviet Union and are not secure. Provides funding for each program. (Sec. 302) Earmarks funds for cooperative activities with Russia for the development of nuclear weapons dismantlement, conversion, and verification technology. Amends the National Defense Authorization Act for Fiscal Year 1996 to include the elimination, and safe transportation and storage, of fissile materials suitable for use in nuclear weapons as an authorized purpose under the CTR program. (Sec. 303) Directs the Secretary to develop a cooperative program with Russia to eliminate the production of weapons grade plutonium through the replacement of certain reactors. (Sec. 304) Directs the Secretary of Energy to expand the Industrial Partnership Program of the Department of Energy (DOE) to include coverage of all of the independent states of the former Soviet Union. Directs the Secretary of Defense to establish a program to support the dismantlement, or conversion to nondefense purposes, of the biological and chemical weapons facilities in such states. Provides funding. (Sec. 305) Authorizes the Secretary of Energy to expand the DOE Lab-to-Lab program to improve the safety and security of nuclear materials in those states of the former Soviet Union where such program is not currently being carried out. Provides funding. (Sec. 306) Makes the Secretary of Energy responsible for carrying out U.S. cooperative activities with Russia on improving the security of highly enriched uranium used for propulsion of Russian military and civilian ships. (Sec. 307) Earmarks funds for expanding military-to-military programs of the United States that focus on countering the threats of proliferation of WMDs so as to include the security forces of independent states of the former Soviet Union. (Sec. 308) Provides funds transfer authority for the Secretary and the Secretary of Energy with respect to programs authorized under title I. Title IV: Coordination of Policy and Countermeasures Against Proliferation of Weapons of Mass Destruction - Directs the President to designate an individual in the Executive Office of the President to serve as the National Coordinator for Nonproliferation Matters. Requires the senior directors of the National Security Council (NSC) to report to the Coordinator regarding specified nonproliferation matters. Earmarks funds for nonproliferation research efforts. (Sec. 402) Establishes within the NSC the Committee on Nonproliferation to review and coordinate, and make recommendations to the President regarding, Federal programs, policies, and directives relating to the proliferation of WMDs and related materials and technologies, including matters relating to terrorism and international organized crime. (Sec. 403) Directs the President to develop, and report to the Congress on, a comprehensive program for carrying out this Act. (Sec. 404) Provides that, after September 30, 1999, the President: (1) is not required to maintain a Coordinator; and (2) may terminate the Committee. Title V: Miscellaneous - Expresses the sense of the Congress that the Secretaries of Defense, Energy, the Treasury, and State should contract directly with suppliers in the independent states of the former Soviet Union to facilitate the purchase of goods and services necessary to carry out programs for the control and disposition of WMDs and related materials threatening the United States. (Sec. 502) Allows funds authorized under a prior-year defense authorization Act for CTR programs to be used for any such purposes without regard to program allocation requirements set forth in such Act. (Sec. 503) Authorizes assistance from CTR and other programs to additional states of the former Soviet Union other than Russia, Ukraine, Kazakstan, and Belarus, as long as the President certifies to the Congress that it is in the U.S. national security interest to do so. (Sec. 504) Expresses the sense of the Congress that U.S. allies and other nations should participate in efforts to ensure that stockpiles of weapons-grade nuclear material are reduced. Urges the Secretary of State to encourage other countries to purchase low-enriched uranium that is derived from highly-enriched uranium extracted from Russian nuclear weapons. (Sec. 505) Expresses the sense of the Congress that the Secretaries of Defense, Energy, the Treasury, and State should purchase, package, and transport to secure locations weapons-grade nuclear materials from a stockpile when there is a significant risk of the theft of such materials. (Sec. 506) Reduces by: (1) $150 million the total amount authorized to be appropriated to the Navy for FY 1997 for research, development, test, and evaluation; and (2) $85 million the amount authorized to be appropriated to DOE for FY 1997 for national defense programs.
United States · United States Congress · 26 June 1996
Economic Espionage Act of 1996 - Amends the Federal criminal code to prohibit wrongfully copying or otherwise controlling economic proprietary information: (1) with intent to, or with reason to believe that the offense will, benefit any foreign government, instrumentality, or agent or disadvantage any owner of proprietary economic information that is related to or included in a product produced for or placed in interstate or foreign commerce; or (2) with intent to divert that information to the use or benefit of anyone other than the owner. Sets penalties for violation of such provision, including forfeiture of property constituting or derived from any proceeds obtained as the result of such violation. Directs the court, in any prosecution or other proceeding pursuant to this Act, to take such action as necessary and appropriate to preserve the confidentiality of proprietary economic information. Includes economic espionage among the offenses with respect to which the Attorney General may authorize an application for, and a Federal judge may grant, an order authorizing interception of wire, oral, or electronic communications.
United States · United States Congress · 26 June 1996
Directs the Commissioner of Social Security to improve the social security card for purposes of carrying out illegal alien employment provisions under the Immigration and Nationality Act. Amends Federal law to provide criminal penalties for fraud and related activities concerning work authorization documents.
United States · United States Congress · 25 June 1996
TABLE OF CONTENTS: Title I: Effective Compassion Subtitle A: Charity Tax Credit Subtitle B: Other Provisions Title II: Community Empowerment Subtitle A: Education Subtitle B: Restitution and Responsibility Subtitle C: Independence Subtitle D: Housing Title III: Other American Renewal Incentives Subtitle A: Housing Subtitle B: Responsible Parenting Subtitle C: Character Development Subtitle D: Family Reconciliation Subtitle E: Mentor Schools Subtitle F: Role Models Academy Subtitle G: Kinship Care Project for American Renewal Act - Title I: Effective Compassion - Subtitle A: Charity Tax Credit - Amends the Internal Revenue Code to create a credit for charitable contributions, which shall be in lieu of any deduction for such contributions, equal to the sum of: (1) 100 percent of contributions not exceeding $100; and (2) 90 percent of contributions in excess of $100 up to a maximum dollar amount of $500. Provides for a study of such credit. (Sec. 111) Repeals the earned income credit for individuals without children. (Sec. 112) Requires reports from the House Committee on Ways and Means and the Senate Committee on Finance on changes in laws which would reduce corporate tax subsidies sufficient to raise specified amounts of revenues. (Sec. 121) Provides for the authorization of appropriations under the Food Stamp Act of 1977 regardless of whether payments to the States provisions of part A (Aid to Families with Dependent Children) (AFDC) of title IV of the Social Security Act are repealed. (Sec. 131) Provides for reductions in amounts paid to each State under the AFDC program. (Sec. 132) Repeals title XX (Block Grants to States for Social Services) of the Social Security Act. (Sec. 141) Amends the Housing and Community Development Act of 1974 to reduce community development block grants. (Sec. 142) Amends the Cranston-Gonzalez National Affordable Housing Act to repeal title II (HOME Investment Partnerships Act). Subtitle B: Other Provisions - Creates a tax credit of $500 for each eligible individual for the home care of: (1) unmarried pregnant women; (2) hospice care patients, including AIDS and cancer patients; (3) homeless individuals; and (4) battered women and battered women with children. (Sec. 152) Amends the Public Health Service Act to: (1) deem specified free clinic health professionals providing qualifying health services as employees of the Public Health Service; and (2) provide such health professionals with specified limited legal liability. Authorizes appropriations for making payment for judgments against the United States pursuant to this section for the acts or omissions of such professionals. Requires a report to the Congress concerning such judgments. (Sec. 153) Directs the Attorney General and the Secretary of Health and Human Services to establish and carry out a competitive grant program to provide funding to States and communities to: (1) establish an information network to enhance coordination of matches between various nonprofit organizations and electing AFDC families or nonviolent criminal offenders; (2) hire staff to coordinate such matches; and (3) disseminate information about such program. Authorizes appropriations. Provides for the establishment of a national information clearinghouse concerning such program. Title II: Community Empowerment - Subtitle A: Education - Educational Choice and Equity Act of 1995 - Authorizes appropriations for the Secretary of Education to award grants to eligible entities for at least 100 demonstration projects under which low-income parents receive education certificates for the costs of enrolling their eligible children in a choice school. Reserves funds for the Comptroller General to evaluate such projects. Requires each participating school to comply with title VI of the Civil Rights Act of 1964, which prohibits discrimination on the basis of race, color, or national origin. (Sec. 206) Requires such projects to involve: (1) at least one local educational agency (LEA) that receives a concentration grant under the Elementary and Secondary Education Act of 1965 (ESEA) and meets other specified criteria; and (2) a sufficient number of public and private choice schools, in the Secretary's judgment, to allow for a valid demonstration project. Requires priority be given to projects: (1) in which choice schools offer an enrollment opportunity to the broadest range of eligible children; (2) that involve diverse types of choice schools; and (3) that will contribute to geographic diversity of grant awards. Subtitle B: Restitution and Responsibility - Authorizes the Attorney General to provide grants to enable the States to: (1) collect data on victim restitution over a specified period; (2) create or expand automated data systems to track restitution payments; (3) make improvements in the manner in which restitution is ordered and collected; and (4) enhance and expand methods of enforcement of restitution orders. (Sec. 211) Requires a State, to be eligible, to certify that it has a victim advocacy program that provides assistance to crime victims throughout the judicial process and provides courts with a victim impact statement prior to sentencing. Authorizes appropriations. Subtitle C: Independence - Provides for the establishment of demonstration projects designed to determine: (1) the social, civic, psychological, and economic effects of providing to individuals and families with limited means an incentive to accumulate assets; (2) the extent to which an asset-based welfare policy that promotes saving for education, home ownership, and microenterprises may be used to enable individuals and families with low income to achieve economic self-sufficiency; and (3) the extent to which an asset-based welfare policy improves the community in which participating individuals and families live. (Sec. 222) Requires each qualified not-for-profit organization or State or local government agency receiving a grant to establish a Reserve Fund. Specifies income and net worth tests for individuals eligible for assistance under a demonstration project. Authorizes appropriations. (Sec. 223) Amends the Internal Revenue Code to allow a deduction for contributions to an individual development account by or on behalf of a qualified individual. Limits such contributions to $2,000 per year, and qualified expenses to: (1) postsecondary educational expenses; (2) a first-home purchase; and (3) business capitalization. Excludes distributions for such purposes from gross income. Exempts such accounts from taxation, except the tax on unrelated business income. Disregards funds in an individual development account of a demonstration project participant for purposes of all means-tested Federal programs. Subtitle D: Housing - Directs the Secretary of Housing and Urban Development (Secretary) to transfer ownership (after satisfying any indebtedness) of unoccupied and substandard public housing units to the appropriate local governmental entities. Grants the appropriate community development corporations a six-month right of subsequent first purchase. (Sec. 233) Directs the Secretary to establish a program to provide maternal health certificates to eligible pregnant women for maternity home expenses. Authorizes appropriations. (Sec. 237) Authorizes the Secretary to make demonstration grants for State maternity care programs. Authorizes appropriations. (Sec. 241) Directs the Secretary to make grants to eligible nonprofit organizations for rehabilitation of structures for use as maternity housing and services facilities. Authorizes appropriations. (Sec. 248) Directs the Secretary to evaluate and report on programs under this part. Prohibits funds under this part from being used to promote or perform abortions or abortion counseling. Title III: Other American Renewal Incentives - Subtitle A: Housing - Amends the United States Housing Act of 1937 to reserve a specified percentage of public housing units for legally married families. Subtitle B: Responsible Parenting - Amends title V (Maternal and Child Health Services) of the Social Security Act to provide for various specified program changes, including: (1) an increase in funding, as well as a corresponding increase in Federal set-asides; (2) provision and promotion of sexual abstinence and adoption-related services; (3) prohibitions on the use of funds for family planning services in schools and for programs or projects that provide abortions or abortion counseling or referral; (4) additional application requirements related to maximizing the role of families and religious and charitable organizations in solving problems relating to parenthood or adolescent pregnancies; and (5) new reporting requirements for the State and the Secretary of Health and Human Services involving State activities in connection with program services relating to abstinence and adoption. (Sec. 318) Amends the Public Health Service Act to repeal certain programs and demonstration projects related to population research and voluntary family planning as well as adolescent family life. Subtitle C: Character Development - Authorizes the Secretary of Education to award: (1) mentor program grants to eligible local educational agencies to establish mentoring programs designed to link individual at-risk youth with responsible, individual adults who serve as mentors; and (2) implementation and evaluation grants to national organizations or agencies serving youth to conduct a multisite demonstration project, involving five to ten project sites, develop and evaluate screening standards for school-linked mentoring programs, and develop and evaluate volunteer recruitment activities for school-linked mentoring programs. (Sec. 325) Sets forth permitted and prohibited uses of grant funds awarded under this Act. (Sec. 326) Directs the Secretary to develop and distribute to eligible local educational agencies receiving a mentor program grant specific model guidelines for the screening of mentors. (Sec. 330) Authorizes appropriations for Mentoring Program Grants and Implementation and Evaluation Grants. Subtitle D: Family Reconciliation - Amends part B (Child-Welfare Services) of title IV of the Social Security Act with regard to family preservation and support services to create certain set-asides for States with approved family reconciliation plans which require a minimum 60-day waiting period and participation in counseling programs before final dissolution of a marriage involving one or more children under age 12. (Sec. 332) Amends the Legal Services Corporation Act to prohibit the use of funds under that Act for legal assistance in certain actions relating to divorces or separations except where there is court-determined spousal abuse. Subtitle E: Mentor Schools - Mentor Schools Act - Amends the Education Amendments Act of 1972 to provide that nothing in specified provisions of such Act shall be construed to prohibit the establishment or operation of a same gender public elementary or secondary school if: (1) comparable courses, services and facilities are available to students of each sex; and (2) the same policies and criteria for admission to such schools are used for both sexes. Subtitle F: Role Models Academy - Directs the Secretary of Education to carry out a demonstration program under which a four-year, residential, military-style academy (the Role Models Academy) is established which: (1) shall offer at-risk youth secondary school coursework and vocational training (and may offer precollegiate coursework); (2) focuses on the education and vocational training of youth at risk of delinquency or dropping out of secondary school; (3) has a teaching staff primarily composed of former members of the armed forces or participants in the Troops to Teachers Program, if they are qualified and trained to teach at the Academy; (4) operates a mentoring program involving role models from all sectors of society; (5) may contain a Junior Reserve Officers' Training Corps unit; (6) is housed on the site of any military installation closed pursuant to a base closure law; and (7) if effective, serves as a model for similar military-style academies throughout the United States. (Sec. 354) Authorizes appropriations. Subtitle G: Kinship Care - Directs the Secretary of Health and Human Services to award grants to States for demonstration projects to develop or implement procedures to use adult relatives as the preferred placement for children removed from their parents. Sets forth grant eligibility and program evaluation requirements. (Sec. 362) Requires States that receive grants under this Act to develop procedures to ensure that reasonable efforts will be made, prior to the placement of a child in foster care, to provide notice to a relative who might be available to care for the child. (Sec. 363) Authorizes appropriations.
United States · United States Congress · 19 June 1996
Demands that Syria: (1) declare its commitment to completely withdraw its armed forces from Lebanon and to set a firm timetable for such withdrawal to be completed by December 31, 1997; and (2) prevent Hizbollah and other terrorist groups from launching attacks on Israel from Lebanese areas under its occupation. Recognizes the public Israeli commitment to withdraw its armed forces from the "security zone" in southern Lebanon once security conditions permit. Declares that the Congress will not accept Syria's continued hegemony over Lebanon and rejects linking the Syrian presence there to Israeli-Syrian negotiations or to an Israeli-Syrian peace agreement. Urges the President to withhold U.S. assistance to Syria and to direct U.S. executive directors of all international financial institutions to oppose loans or assistance to Syria until Syria withdraws its armed forces from Lebanon. Calls for Syria to cooperate with ongoing international efforts to curb terrorism and holds it responsible for all terrorist acts planned, trained for, financed, or initiated in Syrian or Lebanese territories under its occupation. Calls on Lebanon to: (1) initiate negotiations with Syria for the withdrawal of Syrian armed forces from Lebanon, the disarming of all remaining nongovernment paramilitary groups, and the redeployment of Lebanese armed forces to all Lebanese areas in order to assert the sovereignty of the Lebanese state over all of its territory; (2) enter into bilateral negotiations with Israel in order to agree on mutual security arrangements and realize a full and permanent peace; (3) prosecute all individuals responsible for crimes against U.S. or foreign diplomats and citizens; and (4) hold the parliamentary elections on time and take specified measures to ensure that such elections are conducted in a free and fair manner. Requires the Secretary of State to report to congressional committees on the results of the Lebanese elections and, every six months thereafter, on Syrian efforts to withdraw its forces from Lebanon.
United States · United States Congress · 12 June 1996
TABLE OF CONTENTS: Title I: Recognition of the Millennium Society Title II: Commemorative Coins Title III: Commemorative Postage Stamps Millennium Society Act of 1996 - Title I: Recognition of the Millennium Society - Recognizes the Millennium Society (a nonprofit U.S. corporation chartered and organized under the laws of the State of Illinois on November 21, 1983) and any other organization that is organized and operated by the corporation exclusively for charitable and educational purposes. (Sec. 105) Sets forth the goals and purposes of the Society, which include: (1) establishing national goals for commemoration and celebration of the millennium in the United States and U.S. participation in such international events; (2) exercising exclusive jurisdiction over all matters pertaining to U.S. participation in commemorations or celebrations of the millennium; (3) coordinating activities and holding forums and symposiums to promote educational and cross-cultural exchange; and (4) establishing, endowing, and administering the Millennium Scholars Program. (Sec. 114) Grants the Society the sole and exclusive right to the use of specified symbols, emblems, trademarks, and names to carry out its functions. Authorizes the Society to allow contributors and suppliers of goods and services to use the Society's trade name, trademarks, symbols, insignia, emblems, seals, descriptive or designating marks, and slogans in advertising under specified conditions. Subjects to a civil action by the Society for the remedies provided in the Trademark Act of 1946 any person who, without the Society's consent, uses its trademark, symbol, insignia, emblem, seal, descriptive or designating mark, or slogan: (1) for the purposes of trade; (2) to induce the sale of any goods or services; (3) or to promote any theatrical exhibition, performance, or competition. Exempts persons who lawfully used such a symbol or slogan before the enactment of this Act. Allows the individuals to continue such lawful use for the same purpose and for the same goods or services. Title II: Commemorative Coins - Directs the Secretary of the Treasury to mint five-dollar gold coins and one-dollar silver coins emblematic of the events of the second millennium and the advent of the third. (Sec. 204) Provides for the issuance of such coins beginning on July 1, 1999, and ending on January 1, 2001. (Sec. 207) Requires all surcharges received from coin sales to be promptly paid to the Society, under specified conditions, to be used only for the purpose of supporting the Millennium Scholars Program. Title III: Commemorative Postage Stamps - Urges the U.S. Postal Service to cooperate with the Secretary and the Society in the: (1) issuance of appropriate first day of issuance postage stamps commemorating the end of the second millennium and the advent of the third; and (2) production of a philatelic numismatic combination as a unique item to be made available to the public for such commemoration.
United States · United States Congress · 12 June 1996
Standard Trade Relations Act - Declares that any duty or other import restriction or duty-free treatment proclaimed in any trade agreement shall apply to products of all countries, whether imported directly or indirectly. Amends the Trade Expansion Act of 1962 and the Trade Act of 1974 to replace the terms "most-favored-nation" and "reciprocal nondiscriminatory treatment" with the terms "standard trade relations" and "standard trade relations principle," respectively.
United States · United States Congress · 6 June 1996
TABLE OF CONTENTS: Title I: Repeal of the Public Utility Holding Company Act of 1935 Title II: Enactment of the Public Utility Holding Company Act of 1996 Title III: Conforming Changes to Other Statutes Public Utility Holding Company Act of 1996 - Title I: Repeal of the Public Utility Holding Act of 1935 - Repeals the Public Utility Holding Company Act of 1935 (PUHCA). Title II: Enactment of the Public Utility Holding Company Act of 1996 - Declares that this Act does not apply to persons previously exempted from regulations under the PUHCA. Authorizes the Federal Energy Regulatory Commission (FERC) to institute proceedings to terminate any such exemption if termination would be necessary for regulating the rates of a public utility company and for protecting consumers. Empowers FERC to exempt any person or transaction from this title if it finds that regulation of such person or transaction is irrelevant to the rates of a public utility company. Prescribes procedural guidelines for both FERC and State access to holding company records (including subsidiaries and affiliates). Retains the jurisdiction of FERC and State commissions to determine whether a public utility company may recover in rates any costs of affiliate transactions. Grants FERC certain Federal Power Act enforcement powers. Transfers from the Securities and Exchange Commission (SEC) to FERC all resources that relate primarily to the functions vested in FERC by this Act. Expresses the sense of the Congress that all personnel of the Office of Public Utility Regulation of the SEC should be transferred to FERC. Title III: Conforming Changes to Other Statutes - Amends the Federal Power Act to repeal its conflict of jurisdiction guidelines.
United States · United States Congress · 5 June 1996
Worker Right to Know Act - Amends the National Labor Relations Act (NLRA) to limit the scope of allowable union security agreements to requiring employee payment of union dues or fees related only to collective bargaining, contract administration, or grievance adjustment necessary to performing the duties of exclusive representation. Requires, under NLRA, employee consent in an annual signed written agreement before a union may accept that employee's payment of dues or fees for purposes beyond the scope of the union security agreement as limited by this Act. Requires such an agreement to include a ratio of the dues or fees related to the limited purposes and those related to other purposes. Amends the Labor Management Relations Act, 1947 to prohibit payroll deduction for union dues unrelated to the limited scope purposes, unless a written agreement authorizes such deduction. Requires, under NLRA, employers to post notice of worker rights to organize and collectively bargain, as well as of the limited scope of any union security agreement. Directs the National Labor Relations Board to prescribe the size and form of such notice. Provides, under NLRA, that employees subject to union security agreements who pay dues and fees for the required limited purposes shall have the same right as any union member to participate in union affairs related to such purposes (collective bargaining, contract administration, or grievance adjustment). Amends the Labor-Management Reporting and Disclosure Act of 1959 to require every labor union to attribute and report expenses by function classification in detail necessary to allow its members to determine whether such expenses were related to collective bargaining, contract administration, or grievance adjustment necessary to performing the duties of exclusive representation or were related to other purposes. Requires disclosure under such Act to employees required to pay any union dues or fees (under a union security agreement) as well as to union members. Directs the Secretary of Labor to prescribe related regulations.
United States · United States Congress · 4 June 1996
TABLE OF CONTENTS: Title I: Federal Prosecution of Serious Violent Juveniles Title II: Mandatory Minimum Sentences for Armed Violent Predators Title III: Armed Violent Youth Predator Apprehension Directive Title IV: Block Grants and Incentive Grants for Accountability-Based Reforms Violent Youth Predator Act of 1996 - Title I: Federal Prosecution of Serious Violent Juveniles - Modifies Federal criminal code provisions to require that a juvenile alleged to have committed an offense against the United States or an act of juvenile delinquency be surrendered to State authorities or be proceeded against in Federal court as a juvenile or tried as an adult. Sets guidelines for proceeding against a juvenile in Federal court as a juvenile and as an adult. (Sec. 102) Modifies provisions regarding: (1) custody prior to appearance before a magistrate to provide that whenever a juvenile is taken into custody, the arresting officer shall immediately advise such juvenile of the juvenile's rights and promptly take reasonable steps to notify the juvenile's parents, guardian, or custodian (and directs that the juvenile be taken before a judicial officer without unreasonable delay); and (2) detention prior to disposition to direct that a juvenile be detained in such suitable place as the Attorney General may designate, with preference for a location within, or a reasonable distance of, the district in which the juvenile is being prosecuted (and sets forth provisions regarding the place and conditions of detention). (Sec. 105) Extends from 30 to 45 days the period during which an alleged delinquent who is in detention pending trial must be brought to trial. (Sec. 106) Modifies provisions regarding dispositional hearings to direct the court, upon finding a juvenile to be a juvenile delinquent, to hold a hearing concerning the appropriate disposition of the juvenile no later than 40 court days (currently, 20) after such finding. Directs that: (1) a predisposition report be prepared by the probation officer; (2) victim impact information be included in the report and victims be provided the opportunity to make a statement to the court or present information relating to disposition; and (3) the court impose an appropriate sanction. Directs the Attorney General to develop a list of possible sanctions for juveniles adjudicated delinquent. (Sec. 107) Revises provisions regarding juvenile records to require that: (1) the court keep a record relating to the arrest and adjudication that is equal to an adult arrest and conviction record and retained for an equal period; and (2) such records be made available for official purposes, including communications with victims or school officials. Directs the Attorney General to establish guidelines for juvenile fingerprinting and photographing. (Sec. 108) Modifies provisions regarding commitment to prohibit the Attorney General from causing any juvenile under age 19 adjudicated delinquent to be placed or retained in an adult correctional facility in which the juvenile has regular contact with adults incarcerated because they have been convicted of a crime or are awaiting trial on criminal charges, except for placement in a community-based facility. (Sec. 110) Makes acts of juvenile delinquency that would be a serious drug offense if committed by an adult a predicate offense under the Armed Career Criminal Act. Title II: Mandatory Minimum Sentences for Armed Violent Predators - Revises the Federal criminal code to provide for mandatory prison terms for possessing, brandishing, or discharging (currently, limited to using or carrying) a firearm or destructive device during a crime of violence or drug trafficking crime. Establishes penalties for second or subsequent convictions. Bars the court from imposing probationary sentences or concurrent terms of imprisonment on persons convicted of such violations. Title III: Armed Violent Youth Predator Apprehension Directive - Directs the Attorney General to establish an armed violent youth predator apprehension program under which each U.S. Attorney shall: (1) designate at least one assistant U.S. Attorney to prosecute armed violent youth predators; and (2) establish an armed youth predator criminal apprehension task force. Sets forth provisions regarding: (1) reporting requirements; and (2) waivers. Title IV: Block Grants and Incentive Grants for Accountability- Based Reforms - Revises Juvenile Justice and Delinquency Prevention Act of 1974: (1) findings to specify that juvenile delinquency requires action by Federal, State, and local governments (currently, the Federal Government); and (2) purposes to include assisting State and local governments in promoting public safety by improving the openness of the juvenile justice system, encouraging the identification of violent and hard-core juveniles and transferring them into adult criminal court jurisdiction, and providing resources to States to build or expand juvenile detention facilities. (Sec. 403) Redesignates the Office of Juvenile Justice and Delinquency Prevention as the Office Of Juvenile Crime Control (Office). (Sec. 404) Revises the Act to authorize: (1) specified initiatives, including improving juvenile court and law enforcement records (including fingerprints and photographs); and (2) the Office Administrator to use specified funds to establish and maintain a clearinghouse regarding juvenile delinquency prevention, treatment, and control and to provide training and technical assistance to improve State juvenile justice system administration. (Sec. 405) Repeals provisions regarding: (1) allocations and State plans, including provision for an advisory group; and (2) National Programs, Gang-Free Schools and Communities, State Challenge Activities, Treatment for Juvenile Offenders who are Victims of Child Abuse or Neglect, Mentoring, Boot Camps, and a White House Conference on Juvenile Justice. (Sec. 408) Directs the Administrator to provide juvenile delinquent accountability grants to States that ensure that juveniles who commit an act after attaining age 14 that would be a serious violent crime if committed by an adult are treated as adults for prosecution purposes. Makes such States eligible for additional sums upon demonstrating compliance with specified "accountability-based juvenile crime control practices." (Sec. 409) Authorizes appropriations. Specifies that the source of such appropriations may be the Violent Crime Reduction Trust Fund.
United States · United States Congress · 23 May 1996
Church Arson Prevention Act of 1996 - Makes Federal criminal code prohibitions against damaging religious property applicable where: (1) the offense is in or affects interstate or foreign commerce; and (2) the amount of the loss resulting from the damage exceeds $5,000. (Currently such provisions apply where: (1) the defendant, in committing the offense, travels in interstate or foreign commerce or uses a facility or instrumentality of interstate or foreign commerce in interstate or foreign commerce; and (2) the loss exceeds $10,000.)
United States · United States Congress · 16 May 1996
Repeals the minimum wage requirement under the Fair Labor Standards Act of 1938. Prohibits the Federal Government from taking any action to regulate or otherwise impede actions taken by the States or local governments to enact or implement minimum wage laws.
United States · United States Congress · 16 May 1996
Biomaterials Access Assurance Act of 1996 - Provides that, in any civil action, a biomaterials supplier (one who supplies components or raw materials used to manufacture implants) may raise any defense provided under this Act. Exempts a biomaterials supplier from liability for harm to a claimant caused by an implant, with exceptions in the case of a supplier who: (1) is a registered manufacturer of the implant; (2) is a seller of the implant and who held title to the implant at the time of sale (or is related by common ownership or control to such a seller); or (3) furnishes raw materials or components that fail to meet applicable contractual requirements or specifications. States that a supplier may be considered a manufacturer of an implant, for purposes of such civil actions, only if the supplier has registered with the Secretary of Health and Human Services and included the implant on a list of devices filed pursuant to the Federal Food, Drug, and Cosmetic Act. Requires claimant payment of attorney's fees if the court finds the claim to be without merit and frivolous.
United States · United States Congress · 10 May 1996
Congressional Pension Integrity Act of 1996 - Amends Federal law to deny annuity or retirement pay to an individual convicted on or after the enactment of this Act of a felony or a crime under State or Federal law that results from conduct directly related to the performance of the individual's official duties as a Member of Congress: (1) for which the individual is convicted on or after the date such individual first becomes a Member of Congress (including a Delegate to Congress), whether or not such individual is still such a Member on the date of conviction; and (2) which was committed after enactment of this Act. Denies annuity benefits to such an individual who willfully remains outside the United States or its territories and possessions for more than one year with knowledge of his or her indictment or charges. Provides for forfeiture of retirement contributions and deposits made by such individuals, including contributions into the Thrift Savings Plan.
United States · United States Congress · 9 May 1996
Fairness and Voluntary Arbitration Act of 1996 - Requires each party to a sales and service contract that provides for the use of arbitration in resolving controversies to have the option to reject arbitration as the means of settling a controversy. Requires the arbitrator, whenever arbitration is elected to settle a dispute under such a contract, to provide the parties with a written explanation of the factual and legal basis for the award.
United States · United States Congress · 7 May 1996
National Manufactured Housing Construction and Safety Standards Act of 1996 - Amends the Housing and Community Development Act of 1974 to direct the Secretary of Housing and Urban Development to establish a consensus committee for maintenance and revision of Federal manufactured home construction and safety standards. Repeals: (1) provisions establishing the National Manufactured Home Advisory Council; and (2) certain reporting requirements. Includes expenses incurred in connection with and related to such committee within existing inspection fee authority.
United States · United States Congress · 1 May 1996
State Occupancy Standards Affirmation Act of 1996 - Prohibits the Secretary of Housing and Urban Development from establishing a national occupancy standard (as defined by this Act). Provides that: (1) a State standard shall be considered reasonable; and (2) the Secretary, in the absence of a State standard, shall take no action respecting a two-person per bedroom standard established by a housing provider.
United States · United States Congress · 30 April 1996
Directs the Secretary of Defense to enter into an agreement with the Office of Personnel Management (OPM) under which current or former military personnel who are or become entitled to hospital insurance benefits under part A of title XVIII (Medicare) of the Social Security Act are offered enrollment in a Federal employees health benefits plan in lieu of receiving care in military treatment facilities or through the Civilian Health and Medical Program of the Uniformed Services (CHAMPUS). Allows such enrollment for any dependent of such individual if the dependent is entitled to health care under CHAMPUS and is or becomes entitled to hospital insurance benefits under Medicare. Outlines provisions concerning: (1) contributions for such coverage; (2) management of member participation; and (3) cancellation of coverage. Directs the Secretary and the OPM Director to report jointly to the Congress each year on the provision of such services to eligible persons during the preceding fiscal year. Requires the Secretary to offer such health benefits option no later than January 1, 1997.
United States · United States Congress · 24 April 1996
Regulatory Fair Warning Act - Amends Federal Government operations law to limit the sanctions which may be imposed by courts and agencies for rule violations: (1) involving agency rules which failed to give the defendant fair warning of the conduct that the rule prohibits or requires; (2) where the defendant reasonably and in good faith determined prior to the violation that he or she was in compliance with, exempt from, or otherwise not subject to, the rule requirements based upon his or her understanding of the rule text and published guidances and policies related to the rule; or (3) committed in reasonable reliance upon a written statement by a Federal or State official authorized to implement or ensure compliance with the rule, made after disclosure by the defendant of all material facts, that the defendant was in compliance with, exempt from, or otherwise not subject to the rule requirements. Prohibits the court or agency in an action brought to impose a civil or criminal sanction for an alleged rule violation from giving deference to any interpretation of such rule relied upon by the promulgating agency that was not published in the Federal Register or was not available to the defendant before the alleged violation.
United States · United States Congress · 23 April 1996
TABLE OF CONTENTS: Title I: Credit for Adoption Expenses Title II: Interethnic Adoption Title III: Child Custody Proceedings Affected by the Indian Child Welfare Act of 1978 Title IV: Revenue Offsets Subtitle A: Exclusion for Energy Conservation Subsidies Limited to Subsidies With Respect to Dwelling Units Subtitle B: Foreign Trust Tax Compliance Adoption Promotion and Stability Act of 1996 - Title I: Credit for Adoption Expenses - Amends the Internal Revenue to allow for a limited adoption credit of up to $5,000. Excludes from an employee's gross income up to $5,000 of amounts paid by the employer for adoption expenses. Prohibits a double benefit. Title II: Interethnic Adoption - Amends title IV (Grants to States for Aid and Services to Needy Families with Children and for Child-Welfare Services) of the Social Security Act to prohibit any State or entity receiving Federal adoption or foster care assistance from limiting an adoption because of race, color, or national origin. Title III: Child Custody Proceedings Affected by the Indian Child Welfare Act of 1978 - Amends the Indian Child Welfare Act of 1978 to make title I of such Act inapplicable to any child custody proceeding involving a child who does not reside or is not domiciled within a reservation unless: (1) at least one of the child's biological parents is of Indian descent; and (2) at least one of the child's parents maintains a significant social, cultural, or political affiliation with the tribe of which either parent is a member. Title IV: Revenue Offsets - Subtitle A: Exclusion for Energy Conservation Subsidies Limited to Subsidies with Respect to Dwelling Units - Amends the Internal Revenue Code to limit to dwelling units the exclusion from gross income of any energy conservation subsidy provided by a public utility. Subtitle B: Foreign Trust Tax Compliance - Revises the requirements regarding information that must be reported regarding certain foreign trusts. Modifies the circumstances (with regard to foreign trusts having one or more U.S. beneficiaries) in which a transferor is treated as the owner. Replaces provisions setting forth a special rule applicable to foreign grantors with provisions declaring that provisions relating to treating grantors and others as substantial owners shall apply only when that application results in an amount being currently taken into account in computing the income of a U.S. citizen or resident or a domestic corporation. Requires a United States person to report information regarding foreign gifts or bequests when the gifts' aggregate value during a taxable year exceeds $10,000. Modifies requirements regarding the interest charge on accumulation distributions from foreign trusts. Changes the circumstances in which an estate or trust is included in the definition of "United States person." Modifies the definition of "foreign estate or trust." Requires (for provisions relating to the imposition of a tax on transfers to avoid income tax) treating a trust which is not a foreign trust and which becomes a foreign trust as having transferred, immediately before becoming a foreign trust, all of its assets to a foreign trust.
United States · United States Congress · 15 April 1996
Small Business OSHA Relief Act of 1996 - Amends the Occupational Safety and Health Act of 1970 (OSHA) to require each OSHA standard promulgated by the Secretary of Labor to be based upon a cost-benefit assessment and a determination that the standard's benefits justify the costs it imposes. Directs the Secretary, in the case of any employer of 250 or fewer employees cited for a violation of specified requirements, standards, or rules, which is a significant threat to an employee's health or safety, but where the employer has made a good faith correction effort, to waive up to 100 percent of the penalty otherwise proposed for such violation: (1) if the employer corrects the violation within the time set for abatement; or (2), if the employer does not correct the violation within such time, to the extent that the employer uses the amount which would have been paid as the penalty for correction of the violation. Prohibits issuance of a citation for any posting requirement and any requirement to prepare and maintain injury and illness records or written plan or verification, unless: (1) the employer has willfully or repeatedly violated the requirement; or (2) the failure to meet such requirement has resulted in employee exposure to a hazard. Directs the Secretary to enter into cooperative agreements with States for consultation to employers concerning the provision of safe and healthful working conditions. Requires the Secretary to reimburse States that enter into such agreements for 90 percent of costs and 100 percent of State staff training and specified out-of-State travel expenses. Prohibits the Secretary from establishing any performance measures for any subordinate within the Occupational Safety and Health Administration (including any regional director, area director, supervisor, or inspector) with respect to the number of inspections conducted, citations issued, or penalties assessed.
United States · United States Congress · 29 March 1996
Truth in Employment Act of 1996 - Amends the National Labor Relations Act to provide that nothing in specified prohibitions against unfair labor practices shall be construed as requiring an employer to employ any person who seeks or has sought employment with the employer in furtherance of other employment or agency status.
United States · United States Congress · 29 March 1996
Two Strikes Act of 1996 - Amends the Federal criminal code to provide for mandatory life imprisonment of persons convicted of a second or subsequent serious violent felony or serious drug offense.
United States · United States Congress · 27 March 1996
Government Accountability Act of 1996 - Revises Federal criminal code provisions regarding fraud and false statements to impose penalties upon whoever, in any matter within the jurisdiction of the executive, legislative, or judicial branch of the U.S. Government, knowingly and willfully: (1) falsifies, conceals, or covers up by any trick, scheme, or device a material fact; (2) makes any materially false, fictitious, or fraudulent statement or representation; or (3) makes or uses any false writing or document knowing the same to contain any materially false, fictitious, or fraudulent statement or entry. Makes such provision inapplicable to a party to a judicial proceeding, or that party's counsel, for statements, representations, writings, or documents submitted by such party or counsel to a judge in that proceeding.
United States · United States Congress · 27 March 1996
Enterprise Resource Bank Act of 1996 - Redesignates the: (1) Federal home loan banks as enterprise resource banks (ERBs); (2) Federal Home Loan Bank Act (FHLBA) as the Enterprise Resource Bank System Act; and (3) Federal Home Loan Bank System as the enterprise resource bank system. (Sec. 3) Declares that such banks are established by the Congress as profitmaking financial institutions whose purpose is to: (1) promote residential mortgage lending (including low- and moderate-income housing); (2) facilitate community and economic development lending, including rural economic development lending; and (3) assist such lending through a program of collateralized advances and other financial services that provide long-term funding, liquidity, operational, and interest rate risk management. Establishes 12 regional enterprise resource bank districts. Prescribes guidelines for FHLB mergers. Proscribes joint or collective offices of the ERBs. (Sec. 4) Establishes the Federal Housing Finance Board as an independent agency to regulate ERB safety and soundness. Grants the Board oversight and enforcement powers with respect to ERBs and the office of finance. (Sec. 5) Amends the FHLBA to declare that the ERBs shall: (1) operate jointly an office of finance (the office) to issue notes, bonds, and debentures; (2) establish a central board of directors; and (3) regularly report to the Finance Board the closing positions on their respective investments and qualified financial contracts. Mandates that the ERBs, the Finance Board, and the office jointly establish monitoring procedures for investment exposure, including credit and interest rate risk of the banks' individual and combined investment portfolios. (Sec. 6) Amends the FHLBA to set forth ERB capital structure plan requirements. Amends the Home Owners' Loan Act to repeal: (1) the ineligibility to obtain cash advances of savings associations that have failed to acquire or maintain qualified thrift lender status; and (2) the requirement that such associations repay outstanding FHLB advances in a prompt and prudent manner. Revises the FHLB membership guidelines to: (1) repeal the automatic membership of any newly chartered Federal savings association in the FHLB of the district in which it is located; and (2) make each Federal savings association eligible to acquire shares of stock in an ERB (voluntary membership). (Sec. 7) Amends the FHLBA to set forth a capital classifications scheme for prompt corrective action to ensure that ERBs remain: (1) adequately capitalized; (2) able to raise funds in the capital markets; and (3) able to meet their obligations. (Sec. 8) Prescribes the composition and duties of each ERB board of directors. (Sec. 9) Declares that the purpose of the community support requirements, the community investment program, and the affordable housing program is to serve depository institutions as an intermediary to: (1) aid in the development of a sustainable economic base in the banks' communities; (2) promote credit access throughout the Nation by increasing the liquidity of economic development financing and improving the distribution of investment capital available for such financing; and (3) assist with technical expertise for compliance with the Community Reinvestment Act of 1977. Provides that any member which receives a rating of satisfactory or better in its most recent examination in connection with the Community Reinvestment Act of 1977 shall be treated as having satisfied specified statutory requirements. Prohibits an ERB board of directors from delegating its funding approval authority under the FHLBA to any officer or employee of the bank. (Sec. 10) Grants the Finance Board enforcement authority to promote the safety and soundness of ERBs. (Sec. 11) Revises the requirement that, if available funds are insufficient to cover the amount of interest payments, each FHLB contribute to such payments to require each ERB to pay annually to the Resolution Funding Corporation 23.7 percent of its net earnings for the year for which such amount is required to be paid. (Sec. 13) Prescribes incorporation guidelines for ERBs. Declares the Finance Board custodian of ERB organizational certificates previously filed with the FHLB Board. Prohibits excessive compensation for ERB employees. Prohibits the Finance Board from prescribing or setting a specific level or range of compensation. Declares that no ERB officers, employees, or agents shall be considered Federal officers or employees for purposes of Federal civil service law.
United States · United States Congress · 26 March 1996
TABLE OF CONTENTS: Title I: Improved Availability and Portability of Health Insurance Coverage Subtitle A: Coverage Under Group Health Plans Subtitle B: Certain Requirements for Insurers and HMOs in the Group and Individual Markets Subtitle C: Affordable and Available Health Coverage Through Multiple Employer Pooling Arrangements Subtitle D: Definitions; General Provisions Title II: Preventing Health Care Fraud and Abuse; Administrative Simplifications; Medical Liability Reform Subtitle A: Fraud and Abuse Control Program Subtitle B: Revisions to Current Sanctions for Fraud and Abuse Subtitle C: Data Collection Subtitle D: Civil Monetary Penalties Subtitle E: Revisions to Criminal Subtitle F: Administrative Simplification Subtitle G: Duplication and Coordination of Medicare-Related Plans Subtitle H: Medical Liability Reform Title III: Tax-Related Health Provisions Subtitle A: Medical Savings Accounts Subtitle B: Increase in Deduction for Health Insurance Costs of Self-Employed Individuals Subtitle C: Long-Term Care Services and Contracts Subtitle D: Treatment of Accelerated Death Benefits Subtitle E: High-Risk Pools Subtitle F: Organizations Subject to Section 833 Title IV: Revenue Offsets Subtitle A: Repeal of Bad Debt Reserve Method for Thrift Savings Associations Subtitle B: Reform of the Earned Income Credit Subtitle C: Treatment of Individuals Who Lose United States Citizenship Health Coverage Availability and Affordability Act of 1996 - Title I: Improved Availability and Portability of Health Insurance Coverage - Subtitle A: Coverage Under Group Health Plans - Requires a group health plan and an insurer or health maintenance organization (HMO) offering health insurance in connection with a group health plan to: (1) reduce any preexisting condition period by the aggregate period of prior coverage; and (2) limit any preexisting condition period to not more than 12 months. Prohibits: (1) preexisting condition periods for newborns and regarding certain adoptions; and (2) treating pregnancy as a preexisting condition. Allows an HMO that does not use preexisting condition limitations to: (1) impose an eligibility period; and (2) use alternative methods to address adverse selection as approved by a State authority. (Sec. 103) Prohibits coverage exclusion and premium or contribution discrimination on the basis of health status. Requires a plan to allow an otherwise-eligible employee to enroll if the employee previously declined enrollment because of other coverage and subsequently lost the other coverage. Prohibits, if a plan offers family coverage, a waiting period for a newborn, certain adopted children, or a spouse. (Sec. 104) Amends the Internal Revenue Code to impose a tax on any failure of a group health plan to meet certain requirements of this Act. Deems sections 101 through 103 of this subtitle and subtitle D as it is applicable to those sections to be provisions of the Employee Retirement Income Security Act of 1974 (ERISA). Provides for civil money penalties for failure to meet a requirement of this subtitle. Subtitle B: Certain Requirements for Insurers and HMOs in the Group and Individual Markets - Part 1: Availability of Group Health Insurance Coverage - Requires each insurer or HMO that offers health insurance coverage in the small group market in a State to accept every applying small employer and every applying eligible individual. Allows minimum participation or contribution rules. (Sec. 132) Requires an insurer or HMO that offers coverage in the small or large group market to renew or continue the coverage at the option of the employer, except for nonpayment of premiums, fraud, and similar reasons. Allows uniform termination or modification of coverage. Part 2: Availability of Individual Health Insurance Coverage - Requires each insurer or HMO that issues individual health insurance to offer coverage to each individual who previously had group coverage. Prohibits declining issuance based on health status. Allows superseding State mechanisms reasonably designed to meet the goals of guaranteeing coverage to qualifying individuals and assuring that the individuals receive credit for prior coverage toward the new coverage's preexisting condition exclusion period. (Sec. 142) Mandates renewal or continuation of individual coverage, except for nonpayment of premiums, fraud, or similar matters. Part 3: Enforcement - Applies the civil money penalty provisions of section 104 of this Act to parts 1 and 2. Subtitle C: Affordable and Available Health Coverage Through Multiple Employer Pooling Arrangements - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to set forth rules regarding multiple employer health plans. Treats a multiple employer welfare arrangement (MEWA) under which the benefits consist solely of medical care, and under which some or all benefits are not fully insured, as an employee welfare benefit plan that is a health plan. Provides for the treatment of such arrangements under preemption rules. Regulates reserves, notice regarding voluntary termination, and corrective actions and mandatory termination. (Sec. 166) Provides for the treatment of church plans. (Sec. 167) Provides for enforcement through civil monetary penalties, injunctions, and criminal penalties, as well as Federal- State cooperation in enforcement. (Sec. 169) Requires each MEWA to register before beginning operations and annually thereafter. (Sec. 170) Provides for a single annual report regarding all employers participating in a MEWA. Subtitle D: Definitions; General Provisions - Excludes church plans from the requirements of this title as they apply to group health plans. Allows governmental plans to elect not to be subject to such requirements. Requires treatment as group health plans of State Medicaid (unless a State elects otherwise) and Medicare plans and Indian Health Service programs for individual coverage certification purposes. Provides for the treatment of partnerships. Title II: Preventing Health Care Fraud and Abuse; Administrative Simplification; Medical Liability Reform - Subtitle A: Fraud and Abuse Control Program - Amends title XI of the Social Security Act (SSA) to direct the Secretary of Health and Human Services (HHS), acting through the HHS Office of Inspector General (IG), and the Attorney General to establish a program to: (1) coordinate Federal, State, and local law enforcement programs to control health care fraud and abuse; (2) conduct investigations, audits, and inspections relating to the delivery of and payment for health care; (3) facilitate enforcement of certain provisions of SSA and other Acts applicable to health care fraud and abuse; (4) provide for the modification and establishment of safe harbors and to issue advisory opinions and special fraud alerts; and (5) provide for the reporting and disclosure of certain final adverse actions against health care providers, suppliers, or practitioners pursuant to the data collection system established by this title. (Sec. 201) Establishes the Health Care Fraud and Abuse Control Account (Account) in Medicare's Federal Hospital Insurance Trust Fund (Trust Fund) to hold the criminal fines and civil monetary penalties and assessments obtained from Federal health care cases, as well as property forfeiture proceeds resulting from such cases, and other specified amounts for financing the program above and the Medicare Integrity Program established by this title. Makes certain appropriations to the Trust Fund and Account, earmarking certain amounts for activities of the Department of Health and Human Services' (HHS) Office of the Inspector General (IG) with respect to the Medicare and Medicaid programs under SSA titles XVIII and XIX. (Sec. 202) Establishes under Medicare the Medicare Integrity Program under which the HHS Secretary shall promote the integrity of the Medicare program by entering into contracts with certain eligible private entities to: (1) review the activities of service providers under Medicare and audit cost reports to determine whether payment should not have been made; (2) educate service providers, beneficiaries, and other persons with respect to payment and benefit issues; and (3) develop and periodically update a list of items of durable medical equipment which are subject to prior authorization. Prohibits fiscal intermediaries under Medicare part A (Hospital Insurance) and carriers under Medicare part B (Supplementary Medical Insurance) from carrying out certain activities to the extent the activity is carried out pursuant to a contract under the Medicare Integrity Program. (Sec. 203) Directs the HHS Secretary to provide an explanation of Medicare benefits with respect to each furnished item or service for which payment may be made to an individual without regard to whether or not a deductible or coinsurance may be imposed. Directs the HHS Secretary to establish a program for encouraging individuals to: (1) report information on fraud and abuse under Medicare; and (2) submit suggestions on methods to improve the efficiency of the Medicare program. Provides for the payment to such individuals of a portion of: (1) any amounts collected due to any reports of fraud or abuse; or (2) any savings resulting from any suggestions that are adopted. (Sec. 204) Amends SSA title XI to require application of criminal penalties for acts involving the Medicare program to similar violations of any plan or program that provides health benefits, whether directly, through insurance, or otherwise, which is funded directly, in whole or in part, by the Federal Government, except the Federal Employees' Health Benefits Program (Federal health care programs). (Sec. 205) Directs the HHS Secretary to periodically publish a notice in the Federal Register soliciting proposals for: (1) modifications to existing safe harbors issued under the Medicare and Medicaid Patient and Program Protection Act of 1987; (2) additional safe harbors specifying payment practices that shall not be treated as a criminal offense or serve as the basis for an exclusion; (3) advisory opinions by the HHS IG with regard to prohibited remuneration constituting grounds for the imposition of a sanction; and (4) special fraud alerts by the HHS IG, upon request, with regard to suspect practices under the Medicare program or a State health care program. Requires the Secretary to issue appropriate implementing regulations. Subtitle B: Revisions to Current Sanctions for Fraud and Abuse - Excludes from participation in Medicare and State health care programs any individual or entity convicted after the enactment of this Act of a felony related to: (1) fraud in connection with the delivery of a health care item or service; or (2) a controlled substance. (Sec. 212) Revises specified current sanctions involving exclusion for fraud and abuse under Medicare and State health care programs, among other changes establishing minimum periods of exclusion for: (1) certain individuals and entities subject to permissive exclusion from Medicare and State health care programs; and (2) practitioners and persons failing to meet certain statutory obligations with regard to services or items. Repeals the prerequisite that a health care practitioner or person be determined "unwilling or unable" to comply substantially with a corrective action plan before sanctions may be imposed (thus permitting the Secretary to exclude such practitioner or person from eligibility to provide services for failure to comply with a corrective action plan, regardless of circumstances). (Sec. 215) Permits the imposition of intermediate sanctions on Medicare health maintenance organizations in addition to the current option of termination. Provides additional intermediate sanctions for miscellaneous program violations. (Sec. 216) Provides an additional exception to anti-kickback penalties for discounting and managed care arrangements. (Sec. 217) Establishes a criminal penalty for fraudulent disposition of assets in order to obtain Medicaid benefits. Subtitle C: Data Collection - Directs the HHS Secretary to establish a national health care fraud and abuse data collection program for the reporting of final adverse actions against health care providers, suppliers, or practitioners. Requires each Government agency and health care plan to report to the Secretary any final adverse action taken against a health care provider, supplier, or practitioner. (Sec. 221) Allows the HHS Secretary, under the system for unique identifiers for Medicare physicians, to impose appropriate fees on such physicians to cover the costs of investigation and recertification activities with respect to the issuance of the identifiers. Subtitle D: Civil Monetary Penalties - Revises civil monetary penalties, providing among other changes for: (1) the exclusion from participation in Federal and State health care programs of persons subject to penalties and assessments for applicable program violations; (2) modifications in the amounts of various specified penalties and assessments, including the sanctions against health care practitioners who violate their statutory obligations with regard to the services or items ordered or provided by them to a covered beneficiary or recipient; (3) a prohibition against offering inducements to individuals enrolled under Medicare or a State health care program; (4) subjecting to civil money penalties certain excluded individuals retaining an ownership or control interest in a participating entity if they knew or should have known of the action constituting the basis for the exclusion of such entity at the time of violation; (5) a specific definition, for such penalty purposes, for remuneration which includes the waiver of coinsurance and deductible amounts and transfers of items or services for free or for other than fair market value; and (6) a penalty for false certification for home health services. Subtitle E: Revisions to Criminal Law - Amends the Federal criminal code to define a Federal health care offense and to cover within the general purview of the code health care fraud, theft or embezzlement in connection with health care, obstruction of criminal investigations of health care offenses, and other specified matters related to health care fraud, such as the laundering of monetary instruments. (Sec. 247) Provides for injunctive relief relating to covered health care offenses, as well as for property forfeitures. Subtitle F: Administrative Simplification - Amends SSA title XI to add a new part C (Administrative Simplification) for development of an electronic system for: (1) processing health care information consistent with the goal of improving the operation of the overall health care system; and (2) reducing related administrative costs through the HHS Secretary's adoption of certain standards for information transactions (including enrollment, disenrollment, claims attachments, and coordination of benefits) and data elements as well as standards relating to security and privacy, and performance of tasks pursuant to specified requirements, assisted by the National Committee on Vital and Health Statistics. (Sec. 252) Provides penalties for violations of provisions of this subtitle, including for the wrongful disclosure of individually identifiable health information. (Sec. 253) Amends the Public Health Service Act to provide for a change in the membership and duties of the National Committee on Vital and Health Statistics, including responsibility for advising the HHS Secretary and the Congress on the implementation of SSA title XI part C added above. Subtitle G: Duplication and Coordination of Medicare-Related Plans - Provides for the treatment of certain health insurance policies as nonduplicative under Medicare or Medicaid, such as policies providing for benefits which are payable to or on behalf of an individual without regard to other health benefit coverage of such individual. Subtitle H: Medical Liability Reform - Outlines various specified measures addressing health care liability issues, including changes establishing: (1) limitations for health care liability actions brought in a State or Federal court against a health care provider; (2) a limitation on the total amount of noneconomic damages which may be awarded to a claimant for losses resulting from an injury; (3) certain restrictions on punitive damage awards; and (4) standards for alternative dispute resolution used to resolve a health care liability action or claim. Title III: Tax-Related Health Provisions - Subtitle A: Medical Savings Accounts - Amends the Internal Revenue Code to allow a deduction for limited amounts paid to a medical savings account (MSA). Defines "medical savings account" as a trust for paying the account holder's medical expenses. Exempts an MSA from taxation unless it has ceased being an MSA. Provides for the treatment of distributions. Allows the MSA deduction to be taken whether or not the individual itemizes deductions. Excludes limited employer MSA contributions from employee gross income. Excludes employer MSA contributions from provisions relating to social security, railroad retirement, unemployment, and withholding taxes. Makes MSA contributions unavailable under cafeteria plans. Excludes MSAs from the value of taxable estates. Imposes a tax on excess MSA contributions. Exempts an MSA holder from prohibited transactions taxes if the MSA ceases to be an MSA. Imposes a penalty on MSA reporting failure. Exempts MSAs from the definition of "specified insurance contract" for provisions relating to capitalization of certain policy acquisition expenses. Subtitle B: Increase in Deduction for Health Insurance Costs of Self-Employed Individuals - Allows self-employed individuals to deduct a portion of their expenditures for medical insurance for the individual, spouse, and dependents. Subtitle C: Long-Term Care Services and Contracts - Part I: General Provisions - Requires treating: (1) a long-term care insurance as accident and health insurance and associated amounts received as received for personal injuries and sickness and as reimbursement for medical care expenses actually incurred; (2) an employer's plan providing long-term care as an accident and health plan; (3) limited amounts paid for such insurance as payments for medical care; and (4) such insurance as guaranteed renewable under specified provisions. Provides for the treatment of: (1) excess aggregate long-term care payments; and (2) long-term care coverage provided in conjunction with life insurance. Excludes long-term care from cafeteria plans. Includes in an employee's gross income employer-provided long-term care overage provided through a flexible spending arrangement. Declares that a group health plan does not fail to meet continuation requirements solely because it fails to provide long-term coverage. (Sec. 322) Amends the definition of "medical care" (for provisions allowing a deduction for medical care expenses) to include qualified long-term care services. (Sec. 323) Imposes reporting requirements on long-term care benefit payors. Part II: Consumer Protection Provisions - Sets forth provisions regarding: (1) the model regulation and model Act promulgated by the National Association of Insurance Commissioners; and (2) certain disclosure and nonforfeitability requirements. (Sec. 326) Imposes a tax the failure to meet requirements regarding: (1) the model regulation and model Act; (2) policy or certificate delivery; and (3) claims denials information. Subtitle D: Treatment of Accelerated Death Benefits - Treats life insurance amounts paid as an amount paid because of death if the insured is terminally or chronically ill and the amount is received under a provision that is treated as long-term care insurance. Treats the amount paid by a viatical settlement provider for a life insurance contract as an amount paid by reason of the death of the insured. (Sec. 332) Treats, for life insurance company provisions, references to life insurance contracts as including references to accelerated death benefit riders (unless a rider is treated as a long-term care contract). Subtitle E: High-Risk Pools - Exempts from taxation a State-established membership organization providing nonprofit medical care coverage to high risk individuals. Subtitle F: Organizations Subject to Section 833 - Allows (for provisions affording a special deduction) an organization that is not a blue cross or blue shield (BCBS) organization to be treated as if it were a BCBS organization if it is not for profit and meets other requirements. Title IV: Revenue Offsets - Subtitle A: Repeal of Bad Debt Reserve Method for Thrift Savings Associations - Declares that bad debt reserve banking provisions shall not apply after a specified date. Provides for the resulting accounting method change. Subtitle B: Reform of the Earned Income Credit - Requires, in order to be eligible for the earned income credit (EIC), that a taxpayer include on the return the taxpayer's (and, if married, the spouse's) social security number (SSN). Adds to the definition of "mathematical or clerical error" references to omission of a SSN required by EIC provisions. Subtitle C: Treatment of Individuals Who Lose United States Citizenship - Requires that individuals who lose U.S. citizenship and who meet specified criteria be treated (for income, estate, and gift tax provisions) as having a principal purpose to avoid taxes. Requires, for these purposes, treating long-term U.S. residents who cease being permanent U.S. residents or begin being the resident of a foreign country as if they were U.S. citizens who lost U.S. citizenship. (Sec. 422) Requires a person who loses U.S. citizenship or ceases to be a long-term U.S. resident to provide a statement with specified contents. (Sec. 423) Mandates a report to specified congressional committees on income tax compliance by citizens and lawful permanent U.S. residents residing outside the United States.
United States · United States Congress · 22 March 1996
Amends the Wild and Scenic Rivers Act to designate the Wekiva River, the Seminole Creek tributary, and the Rock Springs Run tributary in Florida for potential addition to the national wild and scenic rivers system. Requires a study of and a report on the River and the tributaries within one year after enactment of this Act.
United States · United States Congress · 21 March 1996
Uniformed Services Medicare Subvention Demonstration Project Act - Directs the Secretaries of Defense and Health and Human Services (HHS) to jointly establish a demonstration project (project) to provide the Department of Defense (DOD) with reimbursement, under provisions of title XVIII (Medicare) of the Social Security Act, for health services provided through DOD to certain Medicare-eligible covered military beneficiaries. Requires the project to be conducted in one or more regions in which the TRICARE program (a DOD managed health care program) has been implemented. Allows such project to be conducted for up to two years. Requires such Secretaries to jointly submit to the Congress a first annual report and a final report containing specified information concerning project participants and such project's effects on military medical care access, readiness, and training. Directs the HHS Secretary to make monthly payments to DOD from the Federal Hospital Insurance Trust Fund and the Federal Supplementary Medical Insurance Trust Fund (HHS trust funds) representing appropriate reimbursement amounts. Provides for the determination of such amounts. Directs such Secretaries to jointly: (1) establish a base level of TRICARE coverage required in a geographic region for eligibility under the project; (2) determine baseline costs of such care and coverage; and (3) establish upper reimbursement limits. Directs the Secretary of Defense to waive the enrollment fee for individuals enrolled in a TRICARE program participating in the project. Establishes in the Treasury the Medicare Subvention Fund (Fund) for providing payments to the HHS Secretary for reimbursement of the HHS trust funds and for the payment of all expenses related to the participation of Medicare-eligible covered military beneficiaries in excess of the base level established under this Act, as well as administrative expenses. Authorizes appropriations for FY 1997 and 1998 for deposit into the Fund to carry out the purposes of this Act.
United States · United States Congress · 21 March 1996
Defend America Act of 1996 - Expresses U.S. policy to deploy by the end of 2003 a National Missile Defense (NMD) system that: (1) is capable of providing a highly effective defense of U.S. territory against limited, unauthorized, or accidental ballistic missile attack; (2) will be augmented over time to provide a layered defense against larger and more sophisticated ballistic missile threats; and (3) does not feature an offensive-only form of deterrence. Directs the Secretary of Defense to develop for deployment an affordable and operationally effective NMD system which shall achieve an initial operational capability by the end of 2003. Outlines system elements, including the use of missile interceptors on the ground, at sea, and in space. Directs the Secretary to take specified actions to implement the NMD system development upon enactment of this Act, including the conduct of an integrated systems test by the end of 1998. Requires the Secretary to report to the Congress the Secretary's plans for the development and deployment of the NMD system. Urges the President to pursue high-level discussions with the Russian Federation to achieve an agreement to amend the Anti-Ballistic Missile (ABM) Treaty to allow deployment of the NMD system. Requires the President to present any such agreement to the Senate for its advice and consent. Requires the President and the Congress, if such an agreement is not achieved within one year after enactment of this Act, to consider exercising the option of withdrawing the United States from the ABM Treaty.
United States · United States Congress · 19 March 1996
Iran Oil Sanctions Act of 1996 - Directs the President to impose certain economic sanctions against persons who with actual knowledge or reason to know: (1) export certain petroleum and natural gas-related goods or technology that would significantly and materially enhance Iran's ability to develop its petroleum resources; or (2) make an investment of $40 million or more in any 12-month period that directly contributes to Iran's development of such resources. Specifies exceptions to trade sanctions, among other things for certain defense-related articles or services essential to U.S. national security. Prohibits with respect to any sanctioned person: (1) extension of Export-Import Bank assistance; (2) licenses or permits for the exportation of goods or technology; (3) importation into the United States of products produced by such person; and (4) loans from U.S. financial institutions. Specifies sanctions against financial institutions. Authorizes the Secretary of State upon request to issue an advisory opinion to any person as to whether a proposed activity would be subject to sanctions. Waives the requirements of this Act if the President certifies to the appropriate congressional committees that Iran has: (1) ceased its efforts to develop or acquire a nuclear explosive device, chemical or biological weapons, or ballistic missiles and missile launch technology; and (2) been removed from the list of countries determined, under the Export Administration Act of 1979, to have repeatedly supported acts of international terrorism. Sets forth additional criteria for such waiver. Directs the President to establish a List of Petroleum and Natural Gas-Related Goods and Technology which shall be subject to the export control restrictions of this Act. Requires the President to report periodically to the appropriate congressional committees on efforts to persuade other countries to: (1) pressure Iran to cease its weapons of mass destruction programs and support of international terrorism; and (2) ask Iran to reduce the presence of Iranian diplomats and other personnel and withdraw any of them who participated in the takeover of the U.S. embassy in Tehran on November 4, 1979. Requires the President to ensure continued reports to the Congress on Iran's: (1) nuclear and other military capabilities; and (2) support for acts of international terrorism. Applies the sanctions required under this Act to persons making investments for the development of petroleum resources in Libya. Declares that determinations to impose sanctions under this Act are not reviewable in any court.
United States · United States Congress · 13 March 1996
Commission on Retirement Income Policy Act of 1996 - Establishes the Commission on Retirement Income Policy to study and report to the President and Congress on: (1) trends in retirement savings in the United States; (2) existing Federal incentives and programs to encourage and protect such savings; and (3) new Federal incentives and programs needed for such purpose. Requires the Commission to address specified issues and to include in its recommendation measures addressing specified needs of future retirees.
United States · United States Congress · 7 March 1996
Condemns: (1) the visit of Louis Farrakhan to Libya, Iran, and Iraq; and (2) his statements made during those visits which support the governments of these countries (all of which have been designated by the Secretary of State as state sponsors of terrorism). Calls upon the President to direct appropriate Government agencies to determine if Farrakhan violated any Federal laws by such visits or by actions resulting from agreements or understandings reached during these visits and to vigorously prosecute any such violations.
United States · United States Congress · 7 March 1996
Expresses the sense of the Congress that the People's Republic of China should: (1) reaffirm its commitment to conduct relations with Taiwan by peaceful means; (2) engage in diplomatic negotiations to discuss any disagreement with Taiwan without any threat of military or economic coercion against Taiwan; and (3) immediately live up to its commitment to work for a peaceful resolution of any disagreements with Taiwan and desist from military actions designed to intimidate Taiwan. Calls on Taiwan to adhere to its commitment to negotiate its future relations with the mainland by mutual, not unilateral, decision. Calls for the United States: (1) to maintain its commitment to resist any resort to force or use other forms of coercion that would jeopardize the security, or the social or economic system, of the people on Taiwan, consistent with its undertakings in the Taiwan Relations Act; (2) to maintain a naval presence sufficient to keep open the sea lanes in and near the Taiwan Straits; (3) in the face of the several overt military threats by the People's Republic of China against Taiwan, and consistent with the commitment of the United States under the Taiwan Relations Act, to supply Taiwan with defensive weapons systems; and (4) to assist in defending the people of Taiwan against invasion, missile attack, or blockade by the People's Republic of China.
United States · United States Congress · 7 March 1996
Condemns the terror attacks in Jerusalem, Ashkelon, and Tel Aviv. Extends condolences to the victims' families and to the Government and people of Israel. Reaffirms full support for Israel in its efforts to combat terrorism as it attempts to pursue peace with its neighbors in the region. Calls upon the Palestinian Authority, the Palestinian Council, and Chairman Arafat to: (1) apprehend and punish the perpetrators of terror attacks, prevent such acts in the future, confiscate all unauthorized weapons, and avoid and condemn all statements and gestures which signal tolerance for such acts and their perpetrators; (2) eliminate the terrorist structure and terrorist activities of Hamas, Palestinian Islamic Jihad, the Popular Front for the Liberation of Palestine, and all other terror groups; and (3) adopt legislative and executive measures to ban the existence and operations of all terrorist organizations resident in the Palestinian autonomous areas. Insists that Chairman Arafat ensure the timely inauguration of the Council so that the Palestinian National Covenant will be amended of vile references to Israel within 60 days thereafter. Reaffirms that the Covenant must be amended in order for the peace process to succeed. Calls upon the Palestinian people to support the deletion of anti-Israel language from the Covenant, to express their revulsion for terrorism against Israel, and to condemn and isolate those elements of Palestinian society that employ and support such terrorist acts. Urges: (1) all parties to the peace process to bring to justice the perpetrators of acts of terrorism and to cease harboring, financing, and arming terror groups; and (2) the Clinton Administration to act against those who continue to harbor, arm, or finance terror groups seeking to undermine the peace process. Calls upon: (1) those Arab states that have failed to condemn these acts of terrorism to do so immediately and to support all efforts in the region to combat terrorism; and (2) the international community to cooperate with the United States in isolating states which engage in international terrorism. Insists that Iran and Syria cease all support for all terrorist groups operating in areas under their control and refrain from all activities in opposition to the Middle East peace process. Expresses the intent to reconsider U.S. assistance to the Palestinian Authority in light of the steps that must be taken by the Authority against terrorist infrastructures and operations. Praises efforts to provide Israel with all appropriate antiterrorism resources to eliminate the tide of terrorist incidents against Israel.
United States · United States Congress · 6 March 1996
Amends the Federal criminal code (the code) to require public disclosure of amounts paid to court-appointed attorneys in certain criminal cases. Amends the Controlled Substances Act to require: (1) in capital cases, the rate of compensation paid to court-appointed attorneys to be not less than $75, and not more than $125, per hour for in-court and out-of-court time, with fees and expenses paid for investigative, expert, and other reasonably necessary services authorized at the rates and in the amounts authorized under the code; and (2) public disclosure of such amounts paid.
United States · United States Congress · 6 March 1996
Judicial Disciplinary Proceedings Act of 1996 - Amends the Federal judicial code to direct that proceedings on complaints filed with respect to the conduct of a judge or magistrate judge be held by a circuit other than the circuit within which the judge serves. Directs the Judicial Conference to prescribe rules, consistent with this Act, establishing: (1) procedures for the filing of complaints regarding the conduct of any judge of the United States Court of Federal Claims, the Court of International Trade, or the Court of Appeals for the Federal Circuit, and for the investigation and resolution of such complaints; and (2) a system for referring complaints filed regarding the conduct of a judge of any such court to any of the first 11 judicial circuits or to another court for investigation and resolution.
United States · United States Congress · 4 March 1996
Amends the Higher Education Act of 1965 to exempt from certain annual compliance audit requirements of the guaranteed student loan program those lenders with guaranteed student loan portfolios that do not exceed $10 million.