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Official portrait of Rep. McCollum, Bill [R-FL-8]

Rep. McCollum, Bill [R-FL-8]

United States · Official source

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3,111 records where Rep. McCollum, Bill [R-FL-8] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 6021 (98th)referred

A bill to repeal the changes made by the Tax Reform Act of 1984 with respect to the tax treatment of debt instruments issued for property.

United States · United States Congress · 25 July 1984

Amends the Internal Revenue Code to repeal rules relating to the determination of the issue price of certain debt instruments issued for property. Amends the Tax Reform Act of 1984 to repeal the revisions made to rules for the imputation of interest on certain deferred payments. Provides that the Internal Revenue Code shall be applied and administered as if such revisions had not been enacted.

Resolution· HCONRESH.Con.Res. 339 (98th)open

A concurrent resolution calling upon the President to seek an international convention for the suppression of international terrorism.

United States · United States Congress · 29 June 1984

Expresses the sense of the Congress that the President should make every effort to convene an international conference on terrorism: (1) at which participating countries would share intelligence about international terrorist organizations and discuss counterterrorism strategy and techniques; and (2) which would result in the adoption of a Convention for the Suppression of International Terrorism to strengthen international law with respect to terrorist acts. Provides for the establishment by the Convention of effective procedures for dealing with such international terrorism.

Bill· HRH.R. 5955 (98th)referred

A bill to require the Secretary of Health and Human Services to study duplicative collection of information by the Department of Health and Human Services and to recommend methods for reducing such duplicative collection.

United States · United States Congress · 28 June 1984

Requires the Secretary of Health and Human Services to conduct a study on the collection of information by the Department of Health and Human Services in order to determine what information is being collected from the same class of individuals more than once. Requires the Secretary to report to Congress on such study by a specified date. Requires that such report include detailed recommendations for collecting information more efficiently and reducing information collection that is duplicative.

Bill· HRH.R. 5943 (98th)referred

A bill to repeal the Service Contract Act of 1965, and for other purposes.

United States · United States Congress · 27 June 1984

Repeals the Service Contract Act of 1965. Provides that any provision of law requiring the payment of wages and benefits at rates determined by reference to determinations of the Secretary of Labor under such Act shall cease to be effective on the enactment date of this Act. Provides that nothing in this Act shall be construed to impair or otherwise affect rights and duties under contracts entered into prior to such enactment date.

Bill· HRH.R. 5919 (98th)open

A bill to amend title 18 of the United States Code with regard to the admissibility of business records located in foreign nations and for other purposes.

United States · United States Congress · 22 June 1984

Amends the Federal criminal code to admit into evidence in any criminal proceeding foreign business records kept in the course of regularly conducted business activity. Provides for certification in order to insure the documents' authenticity and accuracy. Provides procedures for service on the Attorney General and other appropriate Government attorneys of papers filed in opposition to an official request by the United States to a foreign government for criminal evidence. Allows for the appointment of a special master at a foreign deposition. Allows the district court before which a grand jury is impaneled to suspend the statute of limitations for an offense to permit the United States to obtain foreign evidence. Limits the total of all periods of suspension for a single offense to three years.

Bill· HRH.R. 5893 (98th)referred

Synthetic Fuels Reform and Budget Reduction Act

United States · United States Congress · 19 June 1984

Synthetic Fuels Reform and Budget Reduction Act - Provides that, except as provided below, all funds in the Energy Security Reserve shall be deposited in the Treasury and shall not be available for obligation with respect to synthetic fuels projects. Sets aside $500,000,000 of the funds in the Reserve to be made available to the Secretary of Energy to carry out a five-year program for the advanced research and development of coal utilization technologies. Provides that $2,500,000,000 which shall be available for obligations by the United States Synthetic Fuels Corporation in accordance with this Act and with the Energy Security Act, plus the funds necessary to meet obligations with respect to binding commitments entered into before enactment of this Act and still in effect, shall be retained in the Reserve. Requires the Corporation to submit for congressional approval a proposed comprehensive strategy to achieve the national synthetic production goal established under the United States Synthetic Fuels Corporation Act of 1980. Requires that such strategy be submitted within a specified time period. Requires that such strategy include a financial or investment prospectus justifying the proposed obligation of amounts retained in the Reserve for synthetic fuels projects. Permits such obligations only after the proposed strategy has been approved by joint resolution. Amends the United States Synthetic Fuels Corporation Act of 1980 to provide that the Administrative Procedure Act, the Freedom of Information Act, the Government in the Sunshine Act, and Federal law relating to disclosure of confidential information shall apply to the Corporation as if it were a Federal agency. Requires the Board of Directors of the Corporation to fix the compensation of Corporation officers and other employee categories in accordance with the Executive Schedule and the General Schedule. (Under current law, the Board must take the Executive and General Schedules into consideration in fixing such compensation.) Requires the Board of Directors, the Secretary of Energy, and the Administrator of the Environmental Protection Agency to agree on a Memorandum of Understanding establishing a program for monitoring and accumulating data with respect to the technical performance, environmental and socioeconomic impacts, and economic viability of projects funded by the Corporation. Provides that contracts for financial assistance shall require the financial assistance recipient to develop a plan ensuring full cooperation with such program. Changes the date on which the Corporation shall terminate from September 30, 1997, to June 30, 1987. Provides that the liquidation of the Corporation and the winding up of its affairs shall be transferred to the Secretary of the Treasury, the Secretary of Energy, and the Administrator of the Environmental Protection Agency jointly in accordance with a Memorandum of Understanding agreed to by them if the Board of Directors of the Corporation has not completed the termination of the Corporation's affairs and its liquidation by the termination date. (Under current law, such duties are to be transferred to the Secretary of the Treasury only.)

Bill· HRH.R. 5883 (98th)open

Contractor Liability and Indemnification Act

United States · United States Congress · 18 June 1984

Contractor Liability and Indemnification Act - Directs a State court or a U.S. district court, in any civil action brought by a Government employee (including a member of the U.S. Armed Forces or the National Guard) alleging liability of a Government contractor for harm concerning which the employee is entitled to receive Federal benefits: (1) at the request of any party, to make findings of fact as to the proportion of fault of the United States in causing such harm; and (2) to reduce any judgment of liability rendered against the contractor by the proportion of fault of the United States. Reduces the amount the United States is entitled to be reimbursed through right of subrogation for Federal benefits provided as a result of harm for which a contractor is liable by the proportion of fault of the United States. Prohibits any reduction of a judgment against a contractor in a civil action unless the contractor notifies the U.S. Attorney General, within 90 days after such civil action is filed, that the contractor intends to seek an equitable reduction of liability. Allows the United States 90 days after receipt of such notice to intervene as a party in such action. Sets forth factors to be considered by the court in determining the proportion of fault of the United States. Requires the United States to hold harmless and indemnify a contractor against any liability (for damages arising from personal injury, illness, or death or from damage to, or loss of use of, property) resulting from goods or services supplied pursuant to a Government contract to the extent such liability exceeds the amount of commercial insurance or qualified self-insurance protection the contractor is required to carry under the contract. Prohibits such indemnification of a contractor: (1) if the goods or services supplied under the contract are also sold by the contractor to nongovernmental purchasers for identical application or for nongovernmental use; (2) for liability caused by the gross negligence, willful misconduct, or lack of good faith of any of the directors, officers, or managing officials of the contractor; and (3) for liability resulting from any claim or action against the contractor unless the contractor notifies the contracting agency of such claim or action within a reasonable time. Permits the United States to control or assist in the settlement or defense of any such claim or action which can reasonably be expected to give rise to a claim for indemnification. Requires a contractor seeking indemnificiation to present a claim to the contracting agency. Allows a contractor aggrieved by the agency's determination to appeal such determination under the Contract Disputes Act of 1978. Permits the United States to discharge its indemnification obligation by making direct payments from specified funds to the contractor involved or the third persons to whom the contractor may be liable. Provides that the provisions of the Act shall not apply with respect to any risks against which indemnification may be obtained under the Atomic Energy Act of 1954. Declares that nothing in this Act shall be construed to create any liability of the Government.

Law· HRH.R. 5846 (98th)enacted

Criminal Fine Enforcement Act of 1984

United States · United States Congress · 14 June 1984

Criminal Fine Enforcement Act of 1984 - Amends the Federal criminal code in regard to the collection and payment of fines and penalties. Provides that a judgment may direct imprisonment until a fine or penalty is paid if the court finds that the defendant has the present ability to pay such fine or penalty. States that a judgment imposing the payment of a fine or penalty is a lien in favor of the United States and it applies to all property of the defendant other than property exempt from levy under the Internal Revenue Code. States that payment of a fine is due immediately unless the court requires payment by installment or by any date certain. Allows the Attorney General to make payment due immediately upon the default of any installment payment. Requires the defendant to pay interest at a rate of 1.5 percent per month on any amount of a fine or penalty that is past due (plus an extra 25 percent if the delinquency extends beyond 90 days). Allows the Attorney General and the Director of the Administrative Office of the U.S. Courts to provide by regulation that fines for specified categories of offenses be paid to the clerk of the court. Provides that if the fine is imposed on an organization, payments are authorized from the assets of the organization; but if the fine is imposed on a director, officer, employee, or agent of the organization, payment shall not be authorized from organization assets unless expressly permitted by State law. Requires a defendant to pay a fine made a condition of probation even after the probation's end. Provides penalties for criminal default on a fine. Lists factors that the court must consider in determining whether to impose a fine, including: (1) the ability of the defendant to pay; (2) the burden that payment will impose on the defendant; and (3) any restitution or reparation made by the defendant. States that if a defendant has the obligation to make restitution to a victim of the offense, the court shall impose a fine only to the extent that such fine will not impair the ability of the defendant to make restitution. Increases the maximum fine levels for certain felonies, misdemeanors, and offenses which result in pecuniary gain. Provides a procedure for establishing security if a fine is stayed. Conditions parole upon a diligent effort to pay a fine. Increases the fine for the commission of a misdemeanor to $5,000 for an individual and $10,000 for an organization.

Bill· HRH.R. 5865 (98th)open

Bail Reform Act of 1984

United States · United States Congress · 14 June 1984

Bail Reform Act of 1984 - Repeals the Bail Reform Act of 1966 and sets forth new bail procedures. Authorizes a judicial officer to consider the safety of any person or the community when making a pretrial release determination. Establishes as a mandatory release condition that the person not commit a Federal, State, or local crime during release. Authorizes pretrial release upon execution of an unsecured appearance bond. Expands the discretionary release conditions to require that the defendant: (1) maintain employment or an educational program; (2) avoid contact with an alleged victim or potential witness; (3) report to a law enforcement or pretrial service agency; (4) comply with a curfew; (5) refrain from possessing a firearm or using alcohol or narcotic drugs; (6) undergo medical treatment; (7) forfeit designated property upon failure to appear; and (8) return to custody at specified hours. Authorizes a judicial officer to order the detention for up to ten days of a person who is presently on pretrial release for a felony under Federal, State, or local law or on probation or parole or release pending sentencing or appeal for any offense, if no conditions will assure his appearance and the safety of the community and any other person. Provides for the detention of an alien whose presence in the United States is not under color of law. Authorizes a judicial officer to order the pretrial detention of a person upon finding that no condition will reasonably assure such person's appearance and the safety of any other person and the community. Requires that a detention hearing be held in any case involving: (1) a crime of violence; (2) any offense punishable by life imprisonment or death; (3) a narcotics offense punishable by at least ten years imprisonment; or (4) any offense committed after the person has been convicted of two or more offenses for which a hearing is mandated. Permits the government or the court to move for a detention hearing in any other case involving a serious risk of flight or obstruction of justice. Enumerates additional factors to be considered by the judicial officer in making a release determination, including the defendant's past conduct, history of drug or alcohol abuse, criminal history, and the nature and seriousness of the danger to the community or any person. Requires the detention of a person who has appealed his conviction unless the judicial officer finds by clear and convincing evidence that: (1) such person is not likely to flee or pose a danger to another person or property; and (2) the appeal raises a substantial question of law or fact. Requires the detention of a person awaiting sentencing unless the officer finds by clear and convincing evidence that the person is not likely to flee or pose a danger to any other person or the community. Authorizes a U.S. attorney to appeal a release order. Provides additional penalties for failing to appear before the court or surrender for service of sentence as required. Establishes mandatory additional penalties for commission of an offense while on pretrial release. Subjects a person who has been conditionally released and violates a condition of release to revocation of release and prosecution for contempt of court. Grants new authority to law enforcement officers to arrest a person who violates certain pretrial release conditions.

Bill· HRH.R. 5845 (98th)open

Law Enforcement Officers Protection Act of 1984

United States · United States Congress · 14 June 1984

Law Enforcement Officers Protection Act of 1984 - Amends the Federal criminal code to define "armor piercing ammunition." Excludes from the definition: (1) shot gun shot required by Federal or State regulations for hunting; (2) frangible projectiles for target shooting; and (3) projectiles that the Secretary of Treasury determines are primarily intended for sporting purposes. Makes it unlawful for any person to manufacture or import armor piercing ammunition. Allows for: (1) the manufacture or importation of armor piercing ammunition for the use of the United States or any State or local government; and (2) manufacture for the sole purpose of exportation. Establishes a licensing fee of $1,000 per year for manufacturers and importers of armor piercing ammunition. Imposes an additional mandatory sentence of not less than five years for any person who uses or carries a firearm and is in possession of armor piercing ammunition during the commission of a violent felony. Provides that such sentence shall not be suspended nor probation nor parole granted.

Bill· HRH.R. 5835 (98th)open

A bill to amend Chapter 44, Title 18, United States Code, to regulate the manufacture and importation of armor piercing ammunition.

United States · United States Congress · 13 June 1984

Amends the Federal criminal code to define "armor piercing ammunition." Excludes from the definition: (1) shot gun shot required by Federal or State regulations for hunting; (2) frangible projectiles for target shooting; and (3) projectiles that the Secretary of Treasury determines are primarily intended for sporting purposes. Makes it unlawful for any person to manufacture or import armor piercing ammunition. Allows for: (1) the manufacture or importation of armor piercing ammunition for the use of the United States or any State or local government; and (2) manufacture for the sole purpose of exportation. Establishes a licensing fee of $1,000 per year for manufacturers and importers of armor piercing ammunition. Imposes an additional mandatory sentence of not less than five years for any person who uses or carries a firearm and is in possession of armor piercing ammunition during the commission of a violent felony. Provides that such sentence shall not be suspended nor probation nor parole granted.

Bill· HRH.R. 5786 (98th)referred

A bill to deauthorize the Cross-Florida Barge Canal project, to adjust the boundaries of the Ocala National Forest, Florida, and for other purposes.

United States · United States Congress · 6 June 1984

Deauthorizes the Cross-Florida Barge Canal project. Authorizes the Secretary of the Army, acting through the Chief of Engineers, to operate and maintain existing facilities and appurtenant lands of such project. Extends the boundaries of the Ocala National Forest, Florida. Provides for the transfer of certain lands, administered by the Corp of Engineers, to the Secretary of Agriculture to be administered and made part of the Ocala National Forest. Provides for the acquisition of certain lands within the Ocala National Forest which are held by the State of Florida. Establishes the Lake Ocklawaha Federal Recreation District as part of the Ocala National Forest. Directs the Secretary of the Army, acting through the Chief of Engineers, to operate the Rodman Dam located within such District. Directs the Secretary of Agriculture to receive and administer easements to further the purposes of such District. States that this Act shall not take effect until the State of Florida takes certain specified action in conformity with the purposes of this Act. Authorizes appropriations beginning with FY 1985 to carry out the purposes of this Act.

Resolution· HRESH.Res. 518 (98th)referred

Sunshine Resolution of 1984

United States · United States Congress · 6 June 1984

Sunshine Resolution of 1984 - Amends Rule XXVIII of the Rules of the House of Representatives to provide that, after the approval of any matter, House conferees shall be entitled to three days in which to file supplemental, minority, or additional views. Establishes Rule LI which requires the Speaker of the House to provide for printing of the floor schedule in the Congressional Record at least two legislative days in advance. Amends Rule XXVII to require the printing in the Record of the names of Members who have signed, or withdrawn a signature to, a motion to discharge a committee from consideration of a bill or resolution, whenever 100 Members have signed such a motion. Amends Rule I to require the broadcasting system to include frequent, wide-angle visual coverage of the chamber when the House is in session. Amends Rule X to provide for the compilation of an oversight agenda resolution. Requires the House to complete action on such resolution within 100 days after the Congress convenes. Amends Rule XI to prohibit proxy voting in committees. Establishes Rule LII which requires the body of the Congressional Record for the House to contain an accurate and verbatim account of remarks actually delivered on the floor. Limits extension and revision of remarks delivered on the floor to the correction of grammatical and typographical errors. Authorizes Members, by unanimous consent, to make insertions of remarks not actually delivered on the floor and requires such insertions to be clearly distinguished from verbatim remarks. Amends Rule X to require committee ratios to reflect the majority to minority party ratio in the House.

Bill· HRH.R. 5734 (98th)open

Financial Institutions Equity Act of 1984

United States · United States Congress · 24 May 1984

Financial Institutions Equity Act of 1984 - Amends the Bank Holding Company Act of 1956 to redefine the term "bank" as either a bank insured by the Federal Deposit Insurance Corporation, an institution eligible to apply for such insurance, or a State or federally chartered institution that accepts transaction accounts and makes commercial loans. Prohibits any bank from engaging in any tandem operation with its bank holding company or any subsidiary or affiliate of such holding company, unless the Board of Governors of the Federal Reserve System determines that such tandem operation is not likely to cause unfair competition or pose risks to consumers. Amends the Federal Deposit Insurance Act to state that the provisions of the Banking Act of 1933 relating to affiliations between member banks and organizations engaged principally in certain securities activities, and relating to officer, director, or employee relationships involving a member bank and a person or an organization primarily engaged in certain securities activities, shall apply to every nonmember insured or uninsured bank in the same manner and to the same extent as if such nonmember bank were a member. Permits any affiliation or relationship that becomes unlawful because of such restriction to continue for a period of two years after enactment of this Act. Declares that for the purposes of the Banking Act of 1933, engaging in the business of receiving deposits through affiliates shall be deemed the same as engaging in the business of receiving deposits directly by a person, firm, corporation, association, business trust, or other similar organization. Prohibits, after the date of enactment of this Act, any depository institution, bank holding company, savings and loan holding company or multiple savings and loan holding company from providing retail securities brokerage services. Permits any such activity which was taking place on May 24, 1984, to continue for a period not to exceed two years after enactment of this Act. Amends the National Housing Act to make savings and loan holding companies owning institutions insured under State law subject to the same requirements as institutions insured under such Act. Prohibits a savings and loan holding company, or any subsidiary that is not an insured or uninsured institution, from commencing or continuing any business activity other than those specified for multiple savings and loan holding companies and their subsidiaries. Permits any such existing activity to continue for two years after the date of enactment of this Act. Declares that such prohibition shall not apply to a unitary savings and loan holding company the subsidiary insured or uninsured institution of which is a qualified institution. Prohibits a savings and loan holding company, the subsidiary insured or uninsured institution of which is a nonqualified institution, from commencing, or continuing for more than two years, any business activity not permissible for a multiple savings and loan holding company. Declares that for the ten-year period following enactment of this Act a qualified institution shall also include an institution chartered (as of May 24, 1984) as a mutual savings bank or a savings bank under Federal or state law. Requires the Federal Savings and Loan Insurance Corporation to determine that such institution: (1) does not decrease the percentage of its assets invested in residential mortgages and related investments below the percentage it held on the date of enactment of this Act; and (2) increases such percentage by amounts equal to specified percentages. Prohibits any savings and loan holding company from commencing or continuing for more than two years any activity not permitted a multiple savings and loan holding company, if in any case an institution owned or controlled by such holding company engages in tandem operations. Prohibits nonqualified institutions from engaging in any commercial lending activity. Prohibits from engaging in commercial lending activities any institution owned by a unitary savings and loan holding company that engages in activities not permitted for a multiple savings and loan holding company. Declares that the provisions of the Banking Act of 1933 relating to affiliations between member banks and organizations engaged principally in certain securities activities, and relating to officer, director, or employee relationships involving a member bank and a person or organization primarily engaged in certain securities activities, shall apply to every insured or uninsured institution in the same manner and to the same extent as if such institution were a member of the Federal Reserve System. Prohibits any State chartered depository institution engaged in activities not authorized by the Bank Holding Company Act of 1956 or the National Housing Act as of such date, from continuing such activities unless such activities are conducted within such State and solely for its residents. Permits a State chartered depository institution, pursuant to State law, to engage in any activity authorized by the Bank Holding Company Act of 1956 or the National Housing Act. Permits any State, after January 1, 1983, to enact a law permitting State chartered depository institutions to engage in activities not authorized pursuant to the Bank Holding Company Act of 1956 or the National Housing Act, so long as such activities are within such State and solely for its residents. Declares that in any case in which a depository institution commences any activity which becomes prohibited under this Act between May 24, 1984, and the date of enactment of this Act, such depository institution shall cease such prohibited activity on the date of enactment.

Bill· HRH.R. 5641 (98th)open

A bill to amend titles XVIII and XIX of the Social Security Act concerning the definition of the term "physician".

United States · United States Congress · 10 May 1984

Amends titles XVIII (Medicare) and XIX (Medicaid) of the Social Security Act concerning the definition of the term "physician." Includes only doctors of medicine or osteopathy within the definition of the term "physician." Classifies as an "independently licensed health care practitioner" a podiatrist, optometrist, or chiropractor. Defines a "dentist" as a doctor of dental surgery or dental medicine.

Bill· HRH.R. 5594 (98th)referred

Crime Control Act of 1984

United States · United States Congress · 3 May 1984

Crime Control Act of 1984 - Title I: Bail - Bail Reform Act of 1984 - Repeals the Bail Reform Act of 1966 and sets forth new bail procedures. Retains execution of a money bond as a condition for pretrial release. Authorizes a judicial officer to consider the safety of any person or the community when making a pretrial release determination. Establishes as a mandatory release condition that the person not commit a Federal, State, or local crime during release. Expands the discretionary release conditions to include that the defendant: (1) maintain employment or an educational program; (2) avoid contact with an alleged victim or potential witness; (3) report to a law enforcement or pretrial service agency; (4) comply with a curfew; (5) refrain from possessing a firearm or using alcohol or narcotic drugs; (6) undergo medical treatment; (7) agree to forfeit designated property, including money, upon failure to appear; and (8) return to custody at specified hours. Prohibits a judicial officer from imposing financial conditions that result in the pretrial detention of a person. Authorizes a judicial officer to order detention for up to ten days: (1) if a person who is presently on pretrial release for a felony under Federal, State, or local law or on probation or parole or release pending sentencing or appeal for any offense, upon a determination that such person may flee or pose a danger to any person or the community; or (2) if such person is not a U.S. citizen. Requires that a detention hearing be held upon motion of the attorney for the Government or upon the judge's own motion in any case involving: (1) a crime of violence; (2) any offense punishable by life imprisonment or death; (3) a narcotics offense punishable by at least ten years' imprisonment; (4) a serious risk of flight or obstruction of justice; or (5) any felony committed after the person has been convicted of two or more offenses for which a hearing is mandated. Authorizes a judicial officer after such a hearing to order the pretrial detention of a person upon finding that no condition will reasonably assure such person's appearance and the safety of any other person and the community. Enumerates additional factors to be considered by the judicial officer in making a release determination, including the defendant's past conduct, history of drug or alcohol abuse, criminal history, and the nature and seriousness of the danger to the community or any person. Requires the detention of a person who has appealed his conviction unless the judicial officer finds by clear and convincing evidence that: (1) such person is not likely to flee or pose a danger to another person or property; and (2) the appeal raises a substantial question of law or fact. Requires the detention of a person awaiting sentencing unless the officer finds by clear and convincing evidence that the person is not likely to flee or pose a danger to any other person or the community. Authorizes a U.S. attorney to appeal a release order. Allows a defendant to file a motion for amendment of a condition of release. Makes a person guilty of an offense for failing to appear after having been released. Provides increased penalties for persons charged with more serious offenses. Makes it an affirmative defense to such crime that uncontrollable circumstances prevented the person from appearing. Establishes mandatory additional penalties for commission of an offense while on pretrial release. Subjects a person who has been conditionally released and violates a condition of release to revocation of release and prosecution for contempt of court. Authorizes a surety to arrest a person charged with an offense who is released upon execution of an appearance bond with such surety. Requires such person to be delivered promptly to a judicial officer for a revocation determination. Grants new authority to law enforcement officers to arrest a person who violates pretrial release conditions. Title II: Limitation of the Exclusionary Rule - Exclusionary Rule Limitation Act of 1984 - Amends the Federal criminal code to provide that evidence obtained by a search or seizure shall not be excluded in a Federal proceeding if the seizure was undertaken in a reasonable good faith belief in its conformity with the fourth amendment to the Constitution. Provides that evidence obtained in accordance with a warrant is prima facie evidence of good faith, absent intentional and material misrepresentation. Title III: Reform of Federal Intervention in State Proceedings - Reform of Federal Intervention in State Proceedings Act of 1984 - Conditions consideration of a habeas corpus claim by a State prisoner on a showing of actual prejudice resulting from the Federal right violated and a showing that: (1) State action precluded assertion of the right; (2) the Federal right did not previously exist; or (3) the factual basis of the claim could not have been discovered by reasonable diligence. Establishes a one-year statute of limitations for habeas corpus actions brought by State prisoners. Vests authority to issue certificates for probable cause for appeal or habeas corpus orders exclusively in the courts of appeals. Permits denial on the merits of habeas corpus writs notwithstanding the failure to exhaust State remedies. Prohibits the granting of a habeas corpus writ with respect to any claim which has been fully and fairly adjudicated in State proceedings. Title IV: Reinstitution of Capital Punishment - Establishes procedures for imposition of the death penalty in certain homicide, treason and espionage cases.

Bill· HRH.R. 5525 (98th)open

Semiconductor Chip Protection Act of 1984

United States · United States Congress · 26 April 1984

Semiconductor Chip Protection Act of 1984 - Extends copyright protection to original mask works fixed in semiconductor chip products. Defines a mask work as the two- and three-dimensional features of shape, pattern, and configuration of the surface of the layers of a semiconductor chip product which portray the appearance of a product or convey information. Requires as a condition of protection that: (1) the owner of the mask work be a resident or citizen of the United States or of a country which is party to a protection treaty to which the United States is also a party on the date the work is first commercially exploited or registered; (2) the work is first commercially exploited in the United States; or (3) the mask work comes within the scope of a presidential proclamation extending reciprocal protection to the works of foreign citizens or residents. Vests exclusive rights in the mask work in the owner who may transfer, convey, or bequeath such interest. Recognizes the first registered transfer in case of a conflict. Sets the copyright term for mask works at ten years from the date of registration or first commercial exploitation, whichever comes first. Sets forth the exclusive rights of the owner of such a copyright, including the rights to: (1) reproduce the mask; (2) import or distribute a semiconductor chip product in which the mask work is embodied; and (3) cause another to perform such acts. Excludes from the applicability of an owner's exclusive rights a mask work used for educational purposes or an innocent purchaser of a semiconductor chip product. Protects works registered within two years of the date of their first commercial exploitation. Sets forth administrative procedures for the Register of Copyrights. Permits the owner of the mask work to place a notice of copyright on such works which includes the words 'mask work' or M in a circle, the year the work was first fixed in a semiconductor chip product, and the name of the owner of the work. Entitles the owner of a mask work whose protection has been infringed or whose registration of such work has been refused to institute a civil action. Directs the Secretary of the Treasury and the U.S. Postal Service to issue regulations for the enforcement of the right to import mask works. Permits the impoundment and seizure of mask works imported in violation of the owner's exclusive rights. Sets forth remedies for infringement, including temporary and permanent injunctive relief, actual damages, and the award of the infringer's profits to the owner. Authorizes appropriations.

Bill· HRH.R. 5533 (98th)referred

Fair and Simple Tax Act of 1984

United States · United States Congress · 26 April 1984

Fair and Simple Tax Act of 1984 - Title I: Reduction of Individual and Corporate Tax Rates - Subtitle A: Reduction of Rates - Amends the Internal Revenue Code to revise individual tax rates. Imposes a tax rate of 25 percent on the taxable income of every individual. Imposes a tax rate of 15 percent on corporate income which does not exceed $50,000 and a tax rate of 30 percent on corporate income exceeding $50,000. Subtitle B: Increase in Amount of Personal Exemption and Zero Bracket Amount - Increases the amount of the personal exemption to $2,000. Increases the "zero bracket amount" to $2,700 for single taxpayers and $3,500 for a joint return or surviving spouse. Provides for an annual adjustment in the "zero bracket amount" by a cost-of-living adjustment based on the Consumer Price Index. Subtitle C: Employment Income Exclusion Established - Allows an individual taxpayer to exclude 20 percent of the amount received during the taxable year by such individual as employment income. Provides that the exclusion is phased out when the individual's wages and salaries exceed the Federal Insurance Contributions Act maximum wage base for the calendar year. Excludes all of an individual's employment income where the employment income for the taxable year is $10,000 or less ($20,000 or less in the case of a joint return). Subtitle D: Repeals Related to Reduction in Rates - Repeals provisions relating to: (1) tax tables for individuals; (2) personal service corporations; (3) special averaging rules for lump-sum distributions; (4) accumulated corporate surplus; (5) personal holding companies; (6) income averaging; and (7) graduated corporate tax rates. Applies the trust throwback rules only to amounts distributed from a foreign trust. Title II: Base Broadening - Subtitle A: Credits - Repeals the general tax credit, the investment tax credit, and the income tax credits relating to: (1) the elderly and the permanently and totally disabled; (2) investments in certain depreciable property; (3) work incentive expenses; (4) contributions to candidates for public office; (5) home purchases; (6) expenses for household and dependent care services necessary for gainful employment; (7) employment of certain new employees; (8) residential energy credit; (9) producing fuel from a nonconventional source; (10) alcohol used as fuel; (11) research activities; (12) employee stock ownership credit; and (13) clinical testing for certain drugs. Subtitle B: Exclusions - Repeals the tax exclusion for: (1) compensation for injuries or sickness; (2) amounts received under accident and health plans; (3) partial exclusion of dividends received by individuals; (4) amounts received under qualified group legal service plans; (5) qualified transportation furnished by an employer; (6) dividend reinvestment in public utilities; (7) partial exclusion of interest as in effect in 1985; and (8) payments to encourage exploration, development, and mining for defense purposes. Reduces the maximum amount of the earned income credit from $5,000 to $4,000. Treats as taxable income: (1) unemployment compensation; (2) the annual increase in the cash surrender value of life insurance policies; and (3) interest on industrial development bonds and mortgage subsidy bonds. Provides that the transfer of a corporation's stock in satisfaction of indebtedness will be treated as having satisfied the indebtedness with money equal to the fair market value of the stock. Provides a limited exclusion from income for scholarships and fellowships. Amends the Merchant Marine Act to repeal the tax exemption for deposits into, and withdrawals from, a capital construction fund. Subtitle C: Deductions - Repeals the tax deductions for: (1) the additional exemption for the elderly and the blind; (2) unused investment credits; (3) two-earner married couples; and (4) adoption expenses. Provides that the deduction for losses shall be limited to capital losses. Increases the floor on the deduction for medical and dental expenses from five to 10 percent. Subtitle D: Adjustment to Basis; Changes in Certain Special Capital Gains Treatment Provisions - Allows an inflation adjustment, based on the gross national product deflator, to the adjusted basis of capital assets which have been held for more than one year at the time of sale or exchange solely for the purpose of determining gain or loss on such assets. Excludes from such treatment: (1) creditor's interest; (2) options; (3) net lease property in the case of the lessor; (4) preferred stock with fixed dividends; and (5) stock in small business corporations and certain foreign corporations. Allows the Secretary of the Treasury to disallow all or part of an adjustment where there was a transfer to increase the inflation adjustment or depreciation allowance. Reduces the alternative tax rate for corporations from 28 to 20 percent. Repeals the deduction for individuals for capital gains. Repeals the limitation on the deduction of capital losses by individuals. Permits the carryover of the excess of capital losses over gross income by individuals. Applies the rules for capital gains and losses only to corporations relating to: (1) the sale of land with an unharvested crop; (2) the disposal of coal or domestic iron ore; (3) the gain or loss in the case of timber, coal, or domestic iron ore; (4) the distribution of property; (5) collapsible partnerships; (6) property used in the trade or business and involuntary conversions; (7) the sale or exchange of patents; (8) amortization in excess of depreciation; (9) gain from the sale of depreciable property between certain related taxpayers; (10) gain from dispositions of certain depreciable property; (11) gain on foreign investment company stock; (12) an election by foreign investment companies to distribute income currently; (13) gain from certain sales or exchanges of stock in certain foreign corporations; (14) gain from certain sales or exchanges of patents, etc., to foreign corporations; (15) gain from disposition of certain depreciable realty; (16) gain from disposition of property used in farming where farm losses offset nonfarm income; (17) gain from disposition of farm land; (18) gain from disposition of interest in oil, gas, or geothermal property; and (19) gain from disposition of property acquired with certain cost-sharing payments. Provides a transition period of ten years beginning January 1, 1985, in which a taxpayer may elect to not apply the inflation adjustment to the basis of capital assets for purposes of determining capital gain or loss. Provides that when such election is made, 25 percent of any gain from the sale or disposition of such asset shall be excludible from gross income, or 25 percent of any loss shall not be deductible. Title III: Capital Cost Recovery - Subtitle A: Simplified Cost Recovery System for Depletable Property - Allows individuals and corporations a depletion deduction for qualified depletable property equal to an applicable percentage determined by the cost recovery tables for cost recovery property. Requires qualified depletable property be assigned to one class of recovery property. Uses the anticipated productive life of such depletable property, rather than the present class life, for making the assignment. Assigns oil, gas wells, or wells drilled for any geothermal deposit to the class of three year property. Provides that these rules shall not deny any deduction allowable for loss sustained by reason of the abandonment of a nonproductive well or mine. Subtitle B: Other Changes - Repeals the income tax deductions for: (1) research and experimental expenditures; (2) soil and water conservation expenditures; (3) depreciation or amortization of improvements made by a lessee on a lessor's property; (4) expenditures by farmers for clearing land; (5) amortization of reforestation expenditures; (6) start-up expenditures; (7) intangible drilling and development costs in the case of oil and gas wells and geothermal wells; (8) percentage depletion; (9) development expenditures; and (10) deduction and recapture of certain mining exploration expenditures. Allows a ten year period for the amortization of construction period interest and taxes. Allows a deduction for circulation expenses for a newspaper, magazine, or other periodical ratably over a five-year period. Excludes amounts chargable to a capital account from such treatment. Title IV: Miscellaneous Provisions - Subtitle A: Foreign Income - Repeals the domestic international sales corporations (DISC) provisions for taxable years beginning after December 31, 1984. Subtitle B: Other Miscellaneous Provisions - Requires farmers to compute their taxable income using the accrual method of accounting with the capitalization of preproduction expenses. Exempts taxpayers who do not have gross receipts of $1,000,000. Requires farming syndicates to use the accrual method of accounting without regard to gross receipts. Requires the recognition of the gain or loss on distributions of property by corporations. Eliminates the special bad debt reserves of financial institutions. Title V: Effective Dates - Sets forth the effective dates of the provisions of this Act.

Bill· HRH.R. 5459 (98th)referred

Federal Reserve Reform Act of 1984

United States · United States Congress · 12 April 1984

Federal Reserve Reform Act of 1984 - Amends the Federal Reserve Act to place the Secretary of the Treasury on the Federal Open Market Committee. Changes the term of office of the Chairman of the Board of Governors of the Federal Reserve System from four years to the period ending on January 31 of the first calendar year beginning after the calendar year during which the term of the President who appointed the Chairman is scheduled to expire. Provides that in the event of the absence or unavailability of the chairman, the vice chairman (or in the vice chairman's absence another member of the Board) may be designated acting chairman. Provides that the vice chairman shall perform the duties of the chairman until a successor is appointed in the event of the chairman's death or resignation. Provides that in the case of the death or resignation of the chairman and the vice chairman or a vacancy in both offices, the member of the Board with the most years of service shall perform the duties of the chairman until a successor is appointed. Changes from 14 years to seven years the term of office of members of the Federal Reserve Board. Requires each change, of any nature whatsoever, in the intermediate targets for monetary policy that is adopted by the Federal Open Market Committee to be disclosed to the public on the date of adoption. Defines "intermediate targets" as any policy objectives regarding monetary aggregates, credit aggregates, prices, interest rates, or bank reserves.

Bill· HRH.R. 5446 (98th)referred

Interstate Banking Act of 1984

United States · United States Congress · 12 April 1984

Interstate Banking Act of 1984 - Amends specified Federal banking laws to: (1) permit a bank to operate out-of-State if the foreign State's statutory law specifically grants such authority; and (2) provide that in considering bank acquisitions, mergers, or reorganizations effect shall be given to any State laws authorizing such activities by out-of-State banks.

Bill· HRH.R. 5460 (98th)referred

Balanced Monetary Policy and Price Stability Act of 1984

United States · United States Congress · 12 April 1984

Balanced Monetary Policy and Price Stability Act of 1984 - Amends the Federal Reserve Act to make it the policy of the Federal Open Market Committee to maintain low interest rates and stable exchange rates, and to encourage strong economic growth, to the extent that such policy is consistent with long-term price stability. Requires the Chairman of the Board of Governors of the Federal Reserve System and the Secretary of the Treasury to develop a price index to assist the Committee in establishing intermediate targets for the conduct of monetary policy. Requires the Chairman and the Secretary to establish a target range for such price index which will not result in a decline in the general level of prices. Requires the Committee, if the price index rises above such target range, to restrict the availability of bank reserves, or raise their cost, or both, and if the index falls below the target to increase the availability of bank reserves, or reduce their cost, or both. Permits a new target range to be set after a declaration of the existence of extraordinary circumstances by the Chairman and the Secretary. Repeals the requirements of such Act concerning the targeting of monetary aggregates. Directs the Secretary to seek the establishment of an international advisory task force, and ultimately an international monetary conference, consisting of representatives of the major industrial nations. Declares the purposes of such task force and conference to be: (1) the improvement of price stability throughout the world; (2) the improvement of the stability of currency exchange rates; and (3) the improvement of the prospects for liberal trade and strong noninflationary economic growth.

Bill· HRH.R. 5365 (98th)open

A bill to amend title 28, United States Code, to provide for the selection of the court of appeals to decide multiple appeals filed with respect to the same agency order.

United States · United States Congress · 4 April 1984

Amends the judicial code to require an administrative body to notify the judicial panel on multidistrict litigation if administrative review petitions regarding the same order are filed in multiple appellate courts within ten days after its issuance. Directs such panel to: (1) designate by random selection one appellate court from among those in which review petitions have been instituted; and (2) consolidate all review petitions in such designated court. Requires the appropriate administrative body to file the record in the designated court. Directs an administrative body to file the record in only one court of appeals if the review petition was received for only one court within ten days after the contested order's issuance. Directs an administrative body to file the record in the court in which review petitions were first instituted if petitions regarding the same order were instituted in multiple appellate courts after the initial ten days of the issuance of an order. Requires the courts to transfer all review proceedings regarding the same order to the court designated by the judicial panel.

Resolution· HCONRESH.Con.Res. 285 (98th)referred

A concurrent resolution expressing the sense of the Congress that the Secretary of State should request the Organization of American States to consider as soon as possible the question of involvement by the Government of Cuba in drug dealing, smuggling, and trafficking in the Western Hemisphere.

United States · United States Congress · 4 April 1984

Expresses the sense of the Congress that the Secretary of State should request the Organization of American States to consider the question of the involvement by Cuba in drug trafficking and the need for international inspections and factfinding hearings regarding such problem.

Resolution· HCONRESH.Con.Res. 284 (98th)referred

A concurrent resolution urging the President to direct the Permanent Representative of the United States to the United Nations to bring before the United Nations the question of the involvement by the Government of Cuba in drug dealing, smuggling, and trafficking.

United States · United States Congress · 4 April 1984

Expresses the sense of the Congress that the President should take steps to place the question of the involvement by Cuba in drug trafficking on the United Nations' agenda and to request of U.N. agencies investigations and reports regarding such problem.

Resolution· HCONRESH.Con.Res. 283 (98th)referred

A concurrent resolution expressing the sense of congress concerning the use and supplying of chemical and biological weapons.

United States · United States Congress · 3 April 1984

Expresses the sense of the Congress that the use of chemical and biological weapons pose grave threats and that the United States should: (1) increase its investigations of suspected instances of chemical and biological warfare; (2) encourage the development of antidotes for such weapons, especially for the mycotoxin; (3) urge other nations to investigate suspected instances of such warfare; (4) help U.N. investigators gain access to areas where such warfare is suspected; and (5) negotiate with the Soviet Union and other nations to strengthen existing treaties regarding such warfare by ensuring compliance with such treaties.

Bill· HRH.R. 5278 (98th)passed

Federal Reserve Bank Directors Act of 1984

United States · United States Congress · 28 March 1984

Federal Reserve Bank Directors Act of 1984 - Amends the Federal Reserve Act to increase from nine to 11 the number of members of the board of directors of a Federal Reserve bank. Increases from three to five the number of class C members selected by the Board of Governors of the Federal Reserve System for membership on the board of a Federal Reserve bank. Provides that not more than two directors of class C shall be officers or directors, employees, or stockholders of any depository institution which is not a member of the Federal Reserve System. Prohibits the chairman or deputy chairman of the board of a Federal Reserve bank from being an officer or director, employee, or stockholder of any depository institution. Provides that the class C director with the longest tenure on the board who is not an officer or director, employee, or stockholder of any depository institution shall preside at meetings in the absence of the chairman and deputy chairman. Requires the designation of the two new members appointed pursuant to this Act at the first meeting of the full board of directors of each Federal Reserve bank after the date of enactment of this Act. Sets the respective terms of office of such new members.