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Official portrait of Rep. McGrath, Raymond J. [R-NY-5]

Rep. McGrath, Raymond J. [R-NY-5]

United States · Official source

Records

2,516 records where Rep. McGrath, Raymond J. [R-NY-5] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 1842 (100th)open

Petroleum Marketing Practices Act Amendments of 1987

United States · United States Congress · 26 March 1987

Petroleum Marketing Practices Act Amendments of 1987 - Amends the Petroleum Marketing Practices Act to provide that, with respect to the sale, consignment, or distribution of motor fuel, the term "franchise" includes any contract between specified parties which is economically necessary to the operation of the leased marketing premises. Provides that the termination or non-renewal of a franchise relationship, upon expiration of an underlying lease for a marketing premises, is reasonable in the event that the franchisor: (1) has an option to renew or purchase an underlying lease or premises and, at least 90 days before such option expires, provides the franchisee with the name, address, and phone number of the owner or lessor; and (2) agrees not to terminate the franchise relationship solely because of the lease and option expiration during any term during which the franchisee is able to retain possession of the premises as a result of entering into an agreement with the owner or lessor.

Bill· HRH.R. 1786 (100th)open

Telephone Decency Act

United States · United States Congress · 25 March 1987

Telephone Decency Act - Amends the Communications Act of 1934 to prohibit any obscene or indecent telephone communication, in foreign or interstate communication or in the District of Columbia, for commercial purposes to any person. (Current law prohibits such communication to any person without his or her consent or to any person under 18 years of age.)

Bill· HRH.R. 1778 (100th)referred

Imported Raw Agricultural Commodity Safety Act of 1987

United States · United States Congress · 25 March 1987

Imported Raw Agricultural Commodity Safety Act of 1987 - Directs the Secretary of Health and Human Services to prepare a fiscal year plan for the distribution of Food and Drug Administration (FDA) resources for sampling imported raw agricultural commodities to ensure: (1) compliance with pesticide residue laws; and (2) sharing of violations data among FDA districts. Directs the Secretary to prepare a fiscal year summary of sampling activities which shall specify: (1) commodity types and volume; (2) country of export; (3) numbers of samples taken; and (4) violations, including commodity and pesticide, and the name of the importer. Directs the Secretary, when a violation has been found, to monitor such commodity during the successive growing season. Directs the Secretary to: (1) submit an enforcement report to the appropriate congressional committees; and (2) include within such report a description of any pesticide residue detection research.

Bill· HRH.R. 1779 (100th)referred

Residential Lot Interest Expense Conforming Act of 1987

United States · United States Congress · 25 March 1987

Residential Lot Interest Expense Conforming Act of 1987 - Amends the Internal Revenue Code to treat a residential lot as a qualified residence for the purpose of the mortgage interest income tax deductions when the taxpayer has purchased such lot for the purpose of building a dwelling unit. Provides for recapture if the lot is used in a trade or business or held for investment.

Bill· HRH.R. 1770 (100th)open

A bill to amend section 19 of the Animal Welfare Act (7 U.S.C. 2149).

United States · United States Congress · 24 March 1987

Amends the Animal Welfare Act to permit citizen suits to compel enforcement of such Act. Authorizes the court in such suits to award litigation expenses, including attorney fees, to: (1) a prevailing plaintiff; or (2) a prevailing defendant if such action is found to be frivolous, unreasonable, or without foundation.

Bill· HRH.R. 1766 (100th)open

Antitrust Damages Clarification Act of 1987

United States · United States Congress · 24 March 1987

Antitrust Damages Clarification Act of 1987 - Provides that no damages, costs, or attorney's fees shall be awarded under an antitrust suit with respect to the establishment or use of any rate, charge, or premium filed by a title insurance company with a State insurance department or authorized, approved, or permitted to become effective pursuant to State insurance laws.

Bill· HJRESH.J.Res. 198 (100th)referred

A joint resolution proposing an amendment to the Constitution of the United States to allow an item veto with respect to certain appropriation bills.

United States · United States Congress · 23 March 1987

Constitutional Amendment - Permits the President to disapprove any item of appropriation in any bill except an item of appropriation for the legislative branch or the judicial branch. Requires the President to return with his objections any item of appropriation disapproved to the House in which the bill originated. Subjects such bills to the same proceedings as other bills disapproved by the President.

Bill· HRH.R. 1729 (100th)referred

President's Pro-Life Bill of 1987

United States · United States Congress · 19 March 1987

President's Pro-Life Bill of 1987 - Prohibits the use of Federal funds for abortions, except when continuing the pregnancy would endanger the mother's life. Prohibits the granting of funds relating to certain population research and voluntary family programs under the Public Health Service Act to organizations providing abortions or abortion referrals, unless the life of the mother would be endangered by continuing the pregnancy.

Bill· HRH.R. 1692 (100th)open

Employee Educational Assistance Act of 1987

United States · United States Congress · 18 March 1987

Employee Educational Assistance Act of 1987 - Amends the Internal Revenue Code to make permanent the income tax exclusion for employee educational assistance programs. (Present law terminates such exclusion as of December 31, 1987.) Requires, for every taxable year beginning after 1988, an annual cost of living adjustment of the maximum excludable amount. Waives the maximum excludable amount for any educational assistance furnished by certain educational institutions to graduate students engaged in teaching or research activities for such organization.

Bill· HRH.R. 1707 (100th)open

A bill to establish the Veterans' Administration as an executive department.

United States · United States Congress · 18 March 1987

Establishes the Veterans Administration as an executive department redesignated as the Department of Veterans' Affairs. Makes technical and conforming changes, including the redesignation of the Administrator of Veterans Affairs as the Secretary of Veterans' Affairs.

Bill· HRH.R. 1683 (100th)open

A bill to amend the Immigration and Nationality Act to provide for additional immigration visa numbers for natives of certain foreign states which have had a significant decrease in immigration to the United States.

United States · United States Congress · 18 March 1987

Amends the Immigration and Nationality Act to make additional immigrant visas available to aliens of a country whose modified average number of U.S. entry visas during 1956 through 1965 exceeded FY 1985 levels. Allocates such additional visas under the current preference category system. Allocates any remaining unused visas: (1) first, to such preference categories without regard to numerical limits; and (2) second, to nonpreference aliens not to exceed 5,000 per fiscal year.

Bill· HJRESH.J.Res. 192 (100th)referred

WIC Food For Life Resolution

United States · United States Congress · 18 March 1987

WIC Food for Life Resolution - Expresses the sense of the Congress that: (1) the Special Supplemental Food Program for Women, Infants, and Children (WIC) should receive increasing appropriations until all eligible persons are being served; and (2) an outreach program should be conducted to identify persons eligible for WIC assistance.

Resolution· HCONRESH.Con.Res. 83 (100th)open

A concurrent resolution calling upon the President to express to the Soviet Union the strong moral opposition of the United States to the forced labor policies of the Soviet Union by every means possible, including refusing to permit the importation into the United States of any products made in whole or in part by such labor.

United States · United States Congress · 18 March 1987

Expresses the sense of the Congress that the President should express to the Soviet Union the U.S. opposition to the Soviet Union's slave labor policies by all possible means, including refusing to permit imports of products made by such labor. Requests the President to end the delay in enforcing the restriction against importing goods produced by forced labor.

Bill· HRH.R. 1663 (100th)open

Small Business Prompt Payment Act Amendments of 1987

United States · United States Congress · 17 March 1987

Small Business Prompt Payment Act Amendments of 1987 - Revises Federal law to deem the head of a Federal agency to have received an invoice on the later of: (1) the date on which the designated office or employee of an agency actually receives it; or (2) the fifth day after the date on which a property is actually delivered, or final performance of a service is actually completed, unless the contract specifies otherwise. Makes Federal prompt payment provisions applicable to the United States Postal Service. Makes the Postmaster General responsible for issuing procurement regulations, solicitation provisions, and contract clauses. Reduces the 15-day grace period for payment of interest penalties to eight days for solicitations (other than meat products and agricultural commodities) issued before October 1, 1990. Eliminates such grace period for procurement solicitations issued on or after October 1, 1990. Requires an agency to pay a double interest penalty if: (1) the agency owes the interest penalty; (2) the interest penalty is not paid to the business concern on or after the date the penalty is due; (3) the agency does not pay the penalty within ten days after such payment is made; and (4) a written demand is made within 40 days after such payment is made. Requires regulations on interest penalties, in the case of construction contracts, to provide for the payment of interest on: (1) progress payments due for more than seven days, or a longer period if the prevailing practice in private construction contracts is to provide such longer period; and (2) amounts retained during the performance of a contract, if such amounts are not paid by the required payment date. Requires regulations on interest penalties to provide for periodic payments in the case of supply or service contracts upon: (1) the submission of an invoice for supplies delivered or services performed; and (2) acceptance of supplies or services by an authorized employee or certification of performance by such an employee. Requires Government construction contractors to include a payment provision in their agreements with their subcontractors which provides for payment in accordance with prevailing industry standards. Requires the contractor to pay a late payment interest penalty to the subcontractor at the rate applicable between the prime contractor and the Government. Specifies the calculation of time for interest penalties on discount payments. Revises agency reporting requirements on interest penalty payments to include: (1) a description of agency payment practices; and (2) an analysis by the Office of Small and Disadvantaged Business Utilization for each of the various Federal agencies on the impact of such payments on small and disadvantaged businesses. Requires the Chief Counsel for Advocacy of the Small Business Administration to report to the congressional committees on Small Business on current Government compliance with the payment of interest penalties and the impact on small business. Requires the Chief Counsel to monitor the compliance of all agencies and of the Director of the Office of Management and Budget with interest penalty payments. Requires the modification of the Federal acquisition regulation to implement Federal prompt payment provisions.

Bill· HRH.R. 1664 (100th)referred

Acid Deposition Act

United States · United States Congress · 17 March 1987

Acid Deposition Act - Title I: Acid Deposition Control Program - Amends the Clean Air Act to limit the application of such Act's sulfur dioxide emissions limitations to sources constructed or modified in 1980 and earlier. Requires electric utilities in the acid deposition impact region which convert to coal after 1980 to meet an emission standard not in excess of 1.2 pounds of sulfur dioxide per million British thermal units (Btu's). Designates an acid deposition impact region comprising a long-range transport corridor of 31 States east of the Mississippi and the District of Columbia. Requires such region to achieve in two equal phases a total reduction of annual emissions of sulfur dioxide of ten million tons below 1980 levels, the first five million by the start of 1991. Directs the Acid Precipitation Task Force to implement an accelerated research program during the first stage to examine the pattern of effects of atmospheric loading of pollutants such as sulfur and nitrogen oxides. Authorizes appropriations for FY 1986 through 1990. Requires the Administrator of the Environmental Protection Agency (EPA) to evaluate such results until no later than the start of FY 1992. Authorizes appropriations for such evaluations for FY 1989 through 1991. Requires the completion of the second phase's five million ton emissions reduction by the start of 1996. Authorizes the Administrator to vary through rulemaking by April 1, 1992, the requirements of the second stage based upon the first stage research evaluations. Requires the Administrator to report to the Congress on proposed changes and requires such changes to increase protection of sensitive areas and mitigation of identified damage. Directs the Administrator to report to the Congress by the end of FY 1992 if a determination is made that individual State nitrogen oxides reduction standards should not be established. Requires each State to reduce its proportional share of annual sulfur dioxide emissions, permitting two or more States to reallot their shares among themselves so long as the total, required reduction is achieved. Requires each State to adopt enforceable reduction measures within two years of this Act's enactment, submitting them to the Administrator for approval and other States for comment. Provides for revisions of such measures by the State or the Administrator. Applies Federal reduction standards of 1.2 pounds of sulfur dioxide per million Btu's in addition to State established requirements for any major stationary source in noncompliance with the applicable implementation plan by the end of 1986. Applies the Federal standard to all facilities owned or operated by an owner or operated of a facility which continues to be in noncompliance by 1991. Applies Federal reduction standards of an average among facilities of 1.2 pounds of sulfur dioxide per million Btu's on a 30-day average to covered sources in States in the impact region without the required enforcement measures. Requires the owner or operator of such sources to submit a compliance plan and schedule to the Administrator for approval. Permits the use of the following measures to reduce emissions in addition to enforceable continuous emission reduction measures if such measures are enforceable by entities and persons other than the State in which the emissions occur: (1) least emissions dispatch to meet electric generating demand at existing generating capacity; (2) retirement of major stationary sources at an earlier than provided for date; (3) investments in energy conservation where emission reductions can be identified with such investments; (4) trading of emission reduction requirements and actual reductions through emission reduction banks or brokerage institutions; (5) precombustion cleaning of fuels, and (6) fuel substitution. Directs the Administrator and the Secretaries of Energy, Commerce, and State to induce Canada to achieve comparable reductions. Requires the Administrator to certify that progress on such front is being made by Canada before the Department of Energy approves agreements for the importation of electric energy from Canada under the Federal Power Act. Directs the President and Secretary of State to seek the installation and monitoring of air pollution control equipment on new major emissions sources, including copper and other metal smelters in Mexico. Directs the President to report periodically to the Congress on progress in such endeavor. Directs the Administrator to report to the appropriate congressional committees on compliance with emission limitations and other enforceable measures under this Act.

Bill· HRH.R. 1647 (100th)referred

A bill to redesignate May 30 of each year as Memorial Day.

United States · United States Congress · 17 March 1987

Changes the date for which Memorial Day is designated as a legal public holiday from the last Monday in May to May 30. Changes Memorial Day as a particular day for displaying the flag from the last Monday in May to May 30. Makes Memorial Day an exception to the observance on Mondays.

Bill· HRH.R. 1654 (100th)referred

A bill to amend the Tax Reform Act of 1986 to clarify the study of source rules for sales of inventory property and to provide additional time to complete the study.

United States · United States Congress · 17 March 1987

Amends the Tax Reform Act of 1986 to provide that the required study of the source rules for sales of inventory shall be conducted by the Secretary of the Treasury in conjunction with the Secretary of Commerce and the United States Special Trade Representative or their delegates. (Present law requires that such study be performed solely by the Secretary of the Treasury.) Extends from September 30, 1987, to September 30, 1988, the date by which such study must be submitted to specified Committees of the Congress.

Bill· HRH.R. 1602 (100th)referred

A bill to amend title 18 of the United States Code to provide capital punishment for first degree murders committed by prisoners serving a life sentence.

United States · United States Congress · 12 March 1987

Amends the Federal criminal code to impose the death penalty or life imprisonment without the possibility of parole for first degree murders committed by prisoners serving life sentences in Federal correctional institutions. Requires the Government, for any offense punishable by death, to serve notice upon the defendant a reasonable time before trial or acceptance of a guilty plea that it intends to seek the death penalty and the aggravating factors upon which it will rely. Requires a separate sentencing hearing before a jury or the court upon motion by the defendant with the approval of the Government when the defendant is found guilty or pleads guilty to an offense punishable by death. Eliminates the requirement for a presentence report. Allows the defendant and the Government to present any information relevant to sentencing, without regard to the rules of evidence, but permits information to be excluded where its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading of the jury. Specifies mitigating factors which the defendant must establish by a preponderance of the evidence and aggravating factors which the Government must prove beyond a reasonable doubt. Directs the jury or the court to consider all the information and return a special finding identifying any mitigating or aggravating factors. Conditions imposition of the death penalty on a unanimous finding by the jury (or finding by the court) that: (1) some threshold aggravating factor exists; and (2) the aggravating factors sufficiently outweigh any mitigating factor found to exist. Directs the court, upon a finding that a sentence of death is justified, to impose the death penalty. Requires the court, in any hearing before a grand jury under this Act, to instruct the jury in considering the death sentence to disregard the race, color, national origin, creed, or sex of the defendant. Establishes procedures for appeal from a death sentence. Requires the Court of Appeals, upon considering the record and the information and procedures of the sentencing hearing, to affirm the decision if: (1) the sentence was not imposed under influence of passion, prejudice, or arbitrariness; and (2) the information supports the finding of aggravating factors or the absence of mitigating factors. Requires the court to provide a written explanation of its determination.

Resolution· HCONRESH.Con.Res. 76 (100th)open

A concurrent resolution expressing the sense of the Congress in support of a private initiative established for the purpose of enhancing small business access to U.S. trade laws.

United States · United States Congress · 12 March 1987

Expresses the sense of the Congress that the corporate, legal, labor, and academic communities should pursue establishment of an organization to provide pro bono legal assistance to small businesses in cases involving foreign unfair trade practices. Urges such organization to: (1) develop an outreach program to inform businesses of remedies available under U.S. trade laws; and (2) provide pro bono legal assistance to those businesses lacking resources to seek such remedies.

Bill· HRH.R. 1550 (100th)open

Deceptive Mailings to Senior Citizens Prevention Act of 1987

United States · United States Congress · 11 March 1987

Deceptive Mailings to Senior Citizens Prevention Act of 1987 - Declares, as nonmailable matter, matter which constitutes a solicitation by a non-governmental entity: (1) for the purchase of products or services which are provided free of charge or at a lower price by the Social Security Administration or Health Care Financing Administration (HCFA); (2) for the purchase of products or services which contain a seal, insignia, trade or brand name, or any other term or symbol implying Social Security Administration or HCFA connection, approval, or endorsement; and (3) for the contribution of funds and which contains a seal, insignia, trade or brand name, or any other term implying Social Security Administration or HCFA connection, approval, or endorsement. Allows the mailing of such matter if it contains a conspicuous disclaimer that it is not a Government document. Establishes penalties for violations of this Act.

Bill· HRH.R. 1546 (100th)open

Cancer Patients' Employment Rights Act

United States · United States Congress · 11 March 1987

Cancer Patients' Employment Rights Act - Makes it an unlawful employment practice for an employer, because of an individual's cancer history, to: (1) fail or refuse to hire or to discharge the individual, or to otherwise discriminate against the individual with respect to compensation, terms, conditions, or privileges of employment; or (2) limit, segregate, or classify employees or applicants for employment in any way which would tend to deprive an individual of employment opportunities or otherwise adversely affect the individual's status as an employee. Makes it an unlawful employment practice for an employment agency to: (1) fail or refuse to refer for employment, or otherwise discriminate against, an individual because of the individual's cancer history; or (2) classify or refer for employment an individual on the basis of the individual's cancer history. Makes it an unlawful employment practice for a labor organization to: (1) exclude or to expel from its membership, or otherwise discriminate against, an individual because of the individual's cancer history; (2) limit, segregate, or classify its membership, or to classify or fail or refuse to refer an individual for employment because of the individual's cancer history; or (3) cause or attempt to cause an employer to discriminate against an individual. Makes it an unlawful employment practice for an employer, labor organization, or joint labor-management committee controlling an apprenticeship, training, or retraining program to discriminate against an individual because of the individual's cancer history in admission to, or employment in, such programs. Declares that it is not an unlawful employment practice to hire individuals on the basis of their cancer history in cases where cancer history is a bona fide occupational qualification. Declares it to be an unlawful employment practice for an employer to give and to act upon the results of a professionally developed ability test if such test is designed or used to discriminate because of cancer history. Provides that nothing in this Act shall be interpreted to require an employer, employment agency, labor organization, or joint labor-management committee to grant preferential treatment to an individual or group because of the individual's or group's cancer history for the purpose of certain numerical comparisons. Describes other unlawful employment practices with respect to individuals with a cancer history, including: (1) retaliation; (2) published job notices; (3) medical examinations and medical information; and (4) reasonable accommodations for such individuals. Requires all personnel actions in the following government entities to be made free from discrimination based on cancer history: (1) military departments; (2) executive agencies; (3) the United States Postal Service and Postal Rate Commission; (4) units of the District of Columbia government having positions in the competitive service; and (5) units of the judicial branch having positions in the competitive service. Empowers the Equal Employment Opportunity Commission to enforce this Act and to make investigations and require recordkeeping as appropriate.

Bill· HJRESH.J.Res. 185 (100th)referred

A joint resolution to provide for a settlement to the Long Island Rail Road labor-management dispute.

United States · United States Congress · 11 March 1987

Requires parties to the Long Island Rail Road labor-management dispute to take all necessary steps to restore or preserve the conditions out of which the dispute arose as such conditions existed on January 17, 1987. Declares that the report and recommendations of the advisory board established under Public Law 100-2 to provide for a temporary prohibition of strikes or lockouts with respect to the Long Island Rail Road labor-management dispute shall be binding on the parties, except that nothing in this joint resolution prevents a mutual written agreement by the parties different from those established by this joint resolution. Prohibits the parties to the dispute from taking action with respect to the issue of repair and maintenance of a certain motor vehicle fleet until the next conference between such parties under the Railway Labor Act. Directs the parties to consider such issue in the conference.

Law· HJRESH.J.Res. 181 (100th)enacted

A joint resolution commemorating the bicentennial of the Northwest Ordinance of 1787.

United States · United States Congress · 10 March 1987

Commemorates the Northwest Ordinance of 1787 as one of the fundamental legal documents of the United States. Authorizes and requests the President to issue a proclamation calling upon the people of the United States to observe the bicentennial of the Northwest Ordinance.

Bill· HRH.R. 1436 (100th)open

A bill to amend the Agricultural Act of 1949 to limit the quantity of milk protein products that may be imported into the United States.

United States · United States Congress · 5 March 1987

Amends the Agricultural Act of 1949 to limit annual imports of milk protein products (casein) to 50 percent of the average annual amount imported during the period 1981 through 1985. Directs the Secretary of Agriculture to establish a preferential import licensing system for such products based on the availability of domestic substitutes.

Law· HRH.R. 1444 (100th)enacted

Medicare and Medicaid Patient and Program Protection Act of 1987

United States · United States Congress · 5 March 1987

Medicare and Medicaid Patient and Program Protection Act of 1987 - Amends part A (General Provisions) of title XI of the Social Security Act to direct the Secretary of Health and Human Services to exclude from participation in programs under title XVIII (Medicare) of the Social Security Act and to require the prohibition from participation in any State health care program of any individual or entity: (1) convicted of a criminal offense related to the delivery of an item or service under title XVIII or under titles XIX (Medicaid), V (Maternal and Child Health Block Grant), or XX (Block Grants to States for Social Services) of such Act; or (2) convicted of a criminal offense related to neglect or abuse of patients in connection with the delivery of a health care item or service. Authorizes the Secretary to exclude from Medicare participation and to require the prohibition from participation in any State health care program of any individual or entity: (1) convicted of fraud with respect to any Federal, State, or locally financed health care program; (2) convicted of interfering with the investigation of health care fraud or patient abuse; (3) convicted of a felony for manufacturing, distributing, or dispensing a controlled substance; (4) whose health care license has been suspended or revoked; (5) suspended or excluded from participation in a Federal health care program; (6) claiming excessive charges or providing unnecessary services; (7) committing certain acts prohibited under title XI; (8) owned or controlled by an individual convicted of health care-related crimes, fined for health care abuses, or excluded from Medicare or a State health care program; (9) failing to supply certain information; and (10) defaulting on health education loans or scholarship obligations made or secured by the Secretary. Authorizes the Secretary to exclude any hospital failing to comply with corrective action required under title XVIII. Sets forth provisions relating to notice requirements, judicial review, and period of exclusion. Directs the Secretary to promptly notify each appropriate State agency administering or supervising the administration of a State health care program of each exclusion and the period of exclusion. Permits an excluded individual or entity to apply, following a period of exclusion, to the Secretary for reinstatement. Sets forth provisions providing for civil and criminal penalties for acts involving Medicare or State health care programs abuse, including penalties for physician misrepresentations. Requires a State, as a condition of Medicaid plan approval, to provide for the following: (1) a system of reporting any type of adverse action concluded against any health care practitioner or entity by the State or a local licensing authority; and (2) such access to documents as may be necessary by the Secretary. Requires the Secretary to provide suitable safeguards for the confidentiality of such information. Requires any health care provider providing health care services for which payment may be made under the Act to assure that services or items furnished: (1) will be provided economically and only when, and to the extent, medically necessary; (2) will be quality services which meet professionally recognized standards of health care; and (3) will be supported by evidence of medical necessity and quality in such form and fashion and at such time as may reasonably be required by a reviewing peer review organization in the exercise of its duties and responsibilities. Permits a State to exclude from Medicaid participation any individual or entity excluded under Medicare pursuant to the patient and program protection provisions. Requires a State, in order to receive Federal payments with respect to a health maintenance organization (HMO), to exclude any HMO that: (1) could be excluded because of the conviction of the owners or managers of certain crimes; or (2) contracts with any individual or entity convicted of such crimes. Prohibits Federal payments with respect to any amount expended for items or services furnished by or at the direction of any individual or entity excluded from Medicaid participation because of the patient and program protection provisions. Prohibits a State from making payments under title V with respect to any amount expended for items or services furnished by or at the direction of any individual or entity excluded from participation pursuant to the patient and program protection provisions of title XI. Prohibits Federal payments with respect to any amount expended for items or services furnished by or at the direction of any individual or entity excluded from Medicare because of the patient and program protection provisions of title XI. Prohibits using a grant under title XX for payment for any item or service furnished by or at the direction of a person excluded from title XX participation because of the patient and program protection provisions of title XI. Revises disclosure requirements under part A of title XI. Revises Medicare provisions concerning agreements with providers. Modifies the Medicaid moratorium provisions of the Deficit Reduction Act of 1984 to consider a State's Medicaid plan to include any plan change and any policy or guideline delineated in the State Medicaid operation or program manuals submitted to the Secretary either before or after the enactment of that Act and whether or not approved or disapproved by the Secretary. Requires the Secretary to restore, for the duration of the moratorium, the policy in effect at the beginning of the moratorium regarding the period when homeownership by an institutionalized individual is permitted and the time permitted for the sale of a home. Amends the Medicare program to provide payment to beneficiaries for services rendered by an individual or entity which has been excluded from Medicare participation if such beneficiary did not know or have reason to know of the exclusion. Revises the definition under title XI of a "person with an ownership or control interest" in a provider of services under title V, XVIII, or XIX to limit reporting on ownership interests to those interests at or exceeding five percent of the entity's assets. Authorizes the Secretary to impose an intermediate sanction on a renal disease facility whose noncompliance with regulations the Secretary prescribes does not immediately jeopardize patient health and safety by denying it Medicare payments for services it provides after receiving notice of the sanction and before correcting its deficiencies. Provides that individuals who knowingly and willfully (currently, the intent must be knowing or willful) make a false statement or misrepresent a material fact in the sale of Medicare supplemental health insurance shall be guilty of a felony. Directs the Secretary to promulgate final regulations within two years of enactment of this Act specifying payment practices which shall not be considered as violations of the Social Security Act's anti-kickback provisions. Sets forth effective date provisions.

Resolution· HCONRESH.Con.Res. 68 (100th)open

A concurrent resolution expressing the sense of Congress regarding the inability of American citizens to maintain regular contact with relatives in the Soviet Union.

United States · United States Congress · 5 March 1987

Expresses the sense of the Congress that: (1) the promotion of unrestricted family visits between related people of the United States and the Soviet Union is an essential part of American policy toward the Soviet Union; and (2) the President, the Secretary of State, and other administration members should raise the issue of family visitation at all appropriate opportunities in discussions with leaders of the Communist Party and the Government of the Soviet Union.

Resolution· HCONRESH.Con.Res. 67 (100th)referred

A concurrent resolution expressing the sense of Congress regarding the continuing disregard and systematic abuse of the most fundamental rights by the Government of Cuba and the failure of the United Nations Human Rights Commission to address the human rights situation in Cuba.

United States · United States Congress · 5 March 1987

Expresses the sense of the Congress that the United Nations, and in particular the Human Rights Commission, should include among its highest priorities of its human rights agenda consideration of the question of human rights in Cuba.

Bill· HRH.R. 1370 (100th)referred

A bill to accelerate the inclusion of the Medicare (Part A) trust fund among the social security trust funds removed from the unified budget of the United States Government.

United States · United States Congress · 3 March 1987

Amends title VII (Administration) of the Social Security Act to include, beginning in FY 1989, the Federal Hospital Insurance Trust Fund among the social security trust funds removed from the unified Federal budget. (Currently, such trust fund is not to be removed from the unified Federal budget until FY 1993.)

Bill· HRH.R. 1369 (100th)referred

A bill to amend the Social Security Act to safeguard the integrity of the social security trust funds by ensuring prudent investment practices.

United States · United States Congress · 3 March 1987

Amends titles II (Old Age, Survivors and Disability Insurance) and XVIII (Medicare) of the Social Security Act to require that all amounts appropriated to, or deposited in, a trust fund established under one of those programs be immediately and exclusively available for the purposes for which trust fund amounts are specifically made available under such program. Requires the President, in addition to appointing one member of the the public to the Board of Trustees of the social security trust funds (currently two members of the public are chosen), to appoint a Managing Trustee to the Board, by and with the advice and consent of the Senate, for a term of four years. Provides that the Managing Trustee may be removed only for cause, but is prohibited from engaging in any other business, vocation, or employment. Requires the Department of Health and Human Services to provide the Managing Trustee with appropriate assistance. Directs the Managing Trustee to invest that portion of the social security trust funds which is not required to meet current withdrawals in accordance with an annual investment plan submitted by the Board. Requires the Board to conduct a continuing study and actuarial analysis of the status of investments made by the Managing Trustee and, by August 1 of each year, formulate and submit to the President and each House of the Congress an investment plan to govern the investments of the social security trust funds during the fiscal year. Requires the annual investment plan to set forth standards governing the investment and disinvestment of the trust funds which ensure, so far as is possible, that the OASDI and Medicare programs fulfill their intended purposes in a fiscally and actuarially sound nonpartisan manner, free from the influence of irrelevant budgetary or fiscal considerations. Directs that such plan be accompanied by any recommendations of the Board regarding investment of the social security trust funds. Directs that the investment plan and recommendations be incorporated in a special message to each House. Sets a minimum and maximum on amounts of the social security trust funds to be invested in obligations which are not obligations of the United States but which are guaranteed as to both principal and interest by the United States. Sets forth effective date and transitional provisions.

Bill· HRH.R. 1332 (100th)referred

A bill to amend title 18 of the United States Code to establish procedures for imposition of the death penalty for Presidential assassination, and for other purposes.

United States · United States Congress · 2 March 1987

Amends the Federal criminal code to establish procedures for the imposition of the death penalty for presidential assassination. Requires a separate sentencing hearing before a jury, or the court upon motion by the defendant, when the defendant is found guilty or pleads guilty to an offense punishable by death. Provides that no presentence report shall be prepared in such cases. Allows the defendant and the Government to present any information relevant to sentencing, without regard to the rules of evidence, but permits information to be excluded where its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading of the jury. Specifies mitigating factors which the defendant must establish by a preponderance of the information and aggravating factors which the Government must prove beyond a reasonable doubt. Conditions imposition of the death penalty on a unanimous finding by the jury (or finding by the court) that: (1) some aggravating factor exists; and (2) the aggravating factor sufficiently outweighs any mitigating factor found to exist. Directs the court to impose the death penalty upon a finding that such sentence is justified. Establishes procedures for appeal from the death sentence.