United States · United States Congress · 2 May 1977
Comprehensive Oil Pollution Liability and Compensation Act - Title I: Domestic Oil Pollution Liability, Compensation, and Fund - Establishes in the Treasury of the United States a fund for the purpose of paying for otherwise uncompensated losses resulting from oil pollution. Enumerates the sources of moneys to be deposited in such fund, including a fee, not to exceed three cents per barrel of oil, imposed upon owners of facilities receiving oil. Authorizes the Secretary of Transportation to issue obligations to the Secretary of the Treasury at times when fund assets are insufficient to meet fund liabilities. Lists the types of injuries which may be compensated under this Act and the potential claimants who have standing to assert claims involving each such type of damage. Imposes joint, several, and strict liability on the owners and operators of each pollution source. Specifies liability limits, except in cases of gross negligence or willful misconduct, for ships and other vessels. Directs the Secretary of Transportation to establish limits on the liability of classes of facilities used for transporting, producing, processing, storing, or transferring oil. Requires the owner or operator: (1) of any such facility; or (2) any ship which uses such facility or navigable waters of the United States, to establish and maintain evidence of financial responsibility in an amount sufficient to satisfy applicable liability limits. Directs the person in charge of a vessel or facility to immediately notify the Secretary of Transportation of any pollution incident in which the vessel or facility is involved. Specifies procedures whereby the Secretary may, in the absence of such an admission, designate and advertise pollution sources. Directs the Secretary, in instances in which: (1) the owner and operator of a vessel or facility designated by the Secretary deny such vessel's or facility's involvement; (2) the source of the discharge is a public vessel; or (3) the Secretary is unable to designate the pollution source, to advertise procedures for presenting claims directly to the fund. Requires all other claims with limited exceptions, to be initially presented to the owner or operator, or to such person's guarantor. Permits claimants to either present a claim to the fund or to bring an action in an appropriate United States liability or fail to settle the claim within a specified period. Sets forth procedures for the disposition and appeal of claims submitted to the fund. Requires both the plaintiff and the defendant in a court action brought against an owner, operator, or guarantor to forward copies of all pleadings to the fund. Permits the fund to intervene in such actions. Subrogates any person or government entity, including the fund, paying compensation to all the claimant's claims and rights under this Act. Specifies procedures for and the measure of recovery in actions brought by the fund against owners, operators, or guarantors of alleged pollution sources. Declares that the rights and remedies under this Act shall be exclusive with respect to economic loss caused by oil pollution. Sets penalties for persons failing to comply with specified provisions in this Act Title II: Effective Dates; Conforming Amendments; Severability - Specifies the effective date of this Act. Amends specified laws, including the Deepwater Port Act of 1974 and the Federal Water Pollution Control Act, to conform with the provisions of this Act.
United States · United States Congress · 2 May 1977
Authorizes appropriations for the Coast Guard for fiscal year 1978. Sets forth the authorized end strength for active duty personnel and prescribes the average military student loads for the Coast Guard for such fiscal year. Stipulates that the obligated balances against appropriations for use by the Coast Guard for operation and maintenance and Reserve training purposes for the two preceeding fiscal years shall be merged with the current appropriations.
United States · United States Congress · 2 May 1977
Department of Energy Organization Act - Title I: Declaration of Findings Policy and Purposes - Declares it the policy of the United States that energy conservation be given the highest priority in any national energy program. Title II: Establishment of Department - Established a Department of Energy in the executive branch. Establishes an Energy Information Administration and an Economic Regulatory Administration within such Department. Establishes within the Department an Office of Inspector General to review and investigate problems relating to the administration of the programs and operations of the Department. Title III: Transfers of Functions - Transfers to the Secretary of Energy all functions now vested in the Federal Energy Administration and the Energy Research and Development Administration. Transfers energy-related functions from the Department of the Interior to the new Secretary. Transfers specified functions of the Federal Power Commission, the Secretary of Housing and Urban Development, the Interstate Commerce Commission, the Secretary of the Navy, and the Secretary of Commerce to the new Secretary. Title IV: Federal Energy Regulatory Commission - Establishes a Federal Energy Regulatory Commission within the Department to be composed of five members appointed by the President and confirmed by the Senate. Transfers regulatory functions of the Federal Power Commission under the Federal Power Act and the Natural Gas Act to the new Commission. Establishes procedures governing the operation of the Commission. Authorizes the Secretary of Energy to delegate additional functions to the Commission. Title V: Administrative Procedures and Judicial Review - Stipulates that the provisions of the Administrative Procedure Act shall apply to rules and regulations issued by the Secretary or a delegate. Requires that opportunity for oral presentations of viewpoints be afforded when regulations are likely to have a substantial economic impact. Requires hearings on rules which substantially impact on a single geographic area, to be held in such geographic area. Stipulates that United States district courts shall have exclusive jurisdiction of cases arising under this Act without regard to amount in controversy, except where otherwise provided in authority transferred to the Secretary. Title VI: Administrative Provisions - Prohibits supervising employees from holding any interest in energy companies. Authorizes the Secretary to grant waivers from such prohibition in cases of exceptional hardship. Requires disclosure of known financial interest by officers and employees of the Department, subject to criminal sanctions. Grants the Secretary limited authority to reorganize organizational units within the Department. Directs the Secretary to submit annual reports of the activities of the Department to the President. Authorizes the Secretary to delegate authority to other officers, to create regional offices, and to establish advisory committees. Requires the Secretary to submit annual reports to the President for submission to the Congress. Title VII: Transitional Savings and Conforming Provisions - Stipulates that transfers of personnel as authorized by this Act shall not result in reduction in grade or unemployment for one year after enactment of this Act. Stipulates that orders, rules, and proceedings reestablished or commenced under previous authority shall not be affected by the transfers under this Act. Amends the Federal Energy Administration Act, the Energy Reorganization Act, the Atomic Energy Act, the Motor Vehicle Information and Cost Savings Act, the Energy Conservation Standards for New Buildings Act, the Rural Electrification Act of 1936, and other provisions of law to conform with the changes made by this Act. Title VIII: Effective Date and Interim Appointments - Stipulates that the provisions of this act shall take effective no later than 120 days after the Secretary first takes office. Establishes procedures for interim appointments of officers prior to the effective date of this Act.
United States · United States Congress · 28 April 1977
Emergency Amendments to the Marine Mammal Protection Act - Amends the Marine Mammal Protection Act of 1972 to declare that a duty of due care should be imposed on the tuna fishing industry in connection with purse-seine tuna fishing in order to reduce porpoise mortality to insignificant levels approaching zero, while still allowing for accidental porpoise mortality. Revises the definition of "take" under the Act in the case of purse-seine setting on porpoises for the purpose of tuna fishing to mean to kill or attempt to kill any marine mammal. Requires the Secretary of the Interior or the Secretary of the Department in which the National Oceanic and Atmospheric Administration is operating to achieve the purposes of the Act by establishing progressively lower quotas for the incidental taking of certain species and populations of marine mammals. Requires the Secretary of the Treasury to ban the importation of commercial fish and fish products from any foreign country having jurisdiction over fishing vessels which cause the incidental killing of or serious injury to marine mammals in excess of standards set by this Act. Authorizes the Secretary of the Interior or the Secretary of the Department in which the National Oceanic and Atmospheric Administration is operating to issue permits for the taking of the eastern stock of spinner dolphin incidental to commercial fishing for yellowfin tuna. Restricts the transfer or repair of any commercial fishing vessel, operated pursuant to a permit under this Act authorizing the taking of marine mammals incidental to commercial purse-seine fishing for yellowfin tuna, to any person for operation under the jurisdiction of a foreign country. Authorizes the Secretary to deny permits under the Act, and to modify, suspend, or revoke any permit if the Secretary finds, on the basis of observer reports, that the permittee has not exercised due care in complying with the conditions of the Act with respect to reducing the incidental killing of marine mammals. Establishes the basis upon which fees for permits shall be calculated. Requires the Secretary, upon a determination that a reasonable probability exists that certain fishing vessels will engage in the incidental taking of marine mammals, to direct agents to board such vessels for the purpose of monitoring compliance with this Act.
United States · United States Congress · 28 April 1977
National Food Stamp Reform Act - Extends the Food Stamp Act of 1964 through fiscal year 1982. Excludes from the definition of "food" which may be purchased with food stamps alcoholic beverages, tobacco, ice cubes, artificial food colorings, powdered and liquid cocktail mixes, carbonated beverages, cooking wines, and chewing gum; and any other food, class of food, food product or condiment which the Secretary of Agriculture, in consultation with the President of the National Academy of Sciences - National Research Council (Food and Nutrition Board), determines to have a negligible or low nutritional value or to be an insignificant enhancement of palatability. Includes residents of federally subsidized housing for the elderly in the definition of "household". Redefines "elderly person" as someone 65 years or older (currently, 60 years of age). Defines "nutritionally adequate diet" as a diet sufficient to feed a family of four persons, consisting of a man and a woman between 20 and 54 years of age, one child between ages nine and eleven and one child between six and eight, and which meets additional specified conditions. Directs the Secretary to establish uniform national standards of eligibility for participation by households in the food stamp program. Requires the income standards of eligibility in every State to be the nonfarm income poverty guidelines prescribed by the Office of Management and Budget, adjusted annually; but limits the standards for Puerto Rico, the Virgin Islands, and Guam to those of the 50 States. Sets a 90-day accounting period for certification or recertification of food stamp applicants. Limits the maximum allowable financial resources (liquid and nonliquid assets) of a household to $1,500, except that, for households or two or more persons with one or more members 65 years or older, such resources are limited to $2,250. Specifies holdings excluded from the determination of such resources. Requires household income for purposes of the food stamp program to be the gross income of the household less: (1) a deduction of $25 a month for any household in which there is at least one elderly person; and (2) an additional deduction equal to 15 percent of all earned income to compensate for taxes, mandatory deductions, and work expenses. Includes in gross income: (1) all monetary payments to or on behalf of any household member except payments made for medical costs; (2) all income tax refunds and Federal income tax credits; (3) the value of all in-kind items; and (4) the value of all benefits received under any publicly or privately funded assistance program. Excludes from gross income: (1) payments for medical costs made on behalf of the household; (2) compensation for services performed by a student residing with the household who is not yet 18; (3) Uniform Relocation Assistance payments; (4) infrequent or irregular quarterly income; (5) all loans except deferred repayment education loans; and (6) the cost of producing self-employed income. Authorizes the Secretary to establish temporary emergency eligibility standards for households which are victims of a disaster. States that no household shall be eligible for participation in the Food Stamp program which includes an able- bodied adult between the ages of 18 and 65 who: (1) incurs a reduction of income as a result of voluntarily reducing his or her number of hours of employment without good cause; (2) fails to register for employment at a State or Federal employment office; (3) has refused to accept employment or public work within 30 miles of the person's principal residence; (4) fails to actively seek employment; or (5) is enrolled in an institution of post-secondary education as a substitute for full-time employment. Excludes from this class of ineligible individuals mothers with dependent children, primary or secondary school students, post-secondary level students or trainees' employed part-time, enrollees in a drug addiction or alcoholic treatment program, and persons working at least 30 hours per week. States that refusal to work at a plant site because of a strike or other labor dispute shall be deemed to be a refusal to accept employment. Declares that no person shall be eligible who is not a citizen or an alien lawfully admitted for permanent residence. States that no minor shall be considered a household member if such minor resides in a household in which no other member has a legal duty to support him unless: (1) the individual who had such a duty is financially unable to perform it; or (2) no individual with such duty exists. Requires each household receiving food stamps to report its income at least once each month. Declares that no household that knowingly transfers liquid or nonliquid assets for the purpose of qualifying or attempting to qualify for the food stamp program shall be eligible to participate in the program for a minimum of 90 days. States that no person who receives supplementary security income benefits under title XVI (Supplemental Security Income) of the Social Security Act. State supplementary payments under such title, or payments under specified provisions of title II (Old Age, Survivors, and Disability Insurance) of such Act, shall be considered a member of a household for any month, if for such month, such individual resides in a State in which the Supplemental Security Income benefit has been increased specifically to include the bonus value of food coupon allotments. Requires food coupons to be designed with spaces for the user to sign upon receipt and redemption. Requires coupon users to present suitable identification; including signature and photograph, when redeeming coupons at approved food stores. States that the value of the food coupon allotment to which eligible households will be entitled shall be an amount sufficient to allow a household to purchase a nutritionally adequate diet. Requires the semi-annual adjustment of the value of an allotment based on changes in the cost of food. Establishes as the charge a household shall pay for its coupon allotment the lesser of: (1) the percentage of its income which would be expended for food by an average household of its size and income range in the same region of the country; or (2) 30 percent. Provides, under the requirements for State plans for the administration of the food stamp program, for closer State supervision of eligibility by households. Requires the State agencies administering the program to conduct nutrition education programs for recipients. Directs each State agency to establish an earnings clearance system for the purpose of checking the actual income and assets of a household against those reported by the household. Provides that if a State agency does not comply with the provisions of the Food Stamp Act, the Secretary may refer the matter to the Attorney General with a request for an injunction, or he may direct that there be no further issuance of coupons in the political subdivisions where such failure has occurred until such time as satisfactory corrective action has been taken. Establishes a national system for providing information to State agencies in order to assist them in preventing households from receiving food stamps in more than one State or in more than one political subdivision within a State. Sets a civil penalty not in excess of $10,000 for each violation of the Food Stamp Act of 1964 or regulations issued pursuant to it by specified persons, including State agencies. Directs the Secretary to pay to each State agency out of funds appropriated by Congress an amount equal to 75 percent of all direct costs of State food stamp program investigations, prosecutions, and State activities related to recovering losses sustained in the food stamp program. Specifies information to included in the Secretary's annual report in addition to information already given.
United States · United States Congress · 21 April 1977
Amends the Intercoastal Shipping Act, 1933, to require water carriers to file general increases or decreases in rates with the Federal Maritime Commission 60 days before the effective date of such rate change. Defines general increase or decrease in rates as increases or decreases of 50 percent or more of the rate, fare, or charge items in the tariffs per trade of common carriers by water in intercoastal commerce which will result in increases or decreases in the gross revenues of such carrier of three percent or more. Prohibits the Commission from ordering hearings on the lawfulness of rate changes or practices on its own initiative unless it publishes the reasons for such a hearing in the Federal Register or upon protest unless the protestant has established that the proposed rate or practice may cause substantial injury to the protestant and that it is likely that the protestant will win on the merits. Requires the Commission to prescribe guidelines for the determination of what constitutes a just and reasonable rate of return for common carriers by water. Requires the Commission to complete such a hearing within 60 days and to issue a final decision within 180 days. Allows the Commission to extend such time period for an additional 60 days if three or more Commissioners agree to such an extension. Stipulates that if a final decision is not reached within this 180 day period or by the end of an extension period the proposed rate change or practice shall be deemed just and reasonable. Prohibits the Commission from suspending: (1) any tariff schedule or service which extends to any additional port at the rates of the carrier involved for similar service in effect at the nearest port of call to such port; or (2) the operation of that portion of any changed rate representing an increase or decrease of seven percent or less and filed as part of a general increase or decrease in rates. Stipulates that if the Commission finds that, with respect to a general increase in rates, any unsuspended portion of the increase in the carrier's operating revenues resulting from such increase is not just and reasonable, the Commission shall order the carrier involved to refund such increased costs plus interest to persons charged on the basis of such general increase.
United States · United States Congress · 21 April 1977
Amends the Indochina Migration and Refugee Assistance Act of 1975 to extend through 1980 assistance: (1) to refugees from Cambodia, Vietnam, and Laos; (2) to State and local public agencies providing assistance for such aliens; (3) for transportation to, and resettlement in, other areas of the United States; and (4) for employment assistance rendered to such aliens. Directs that funds appropriated under this Act be made available to State or local public agencies to reimburse them for the non-Federal share of costs under Titles IV (Grants to States for Aid and Services to Needy Families with Children and for Child Welfare Services) and XIX (Medicaid) of the Social Security Act. Limits the amount of assistance to be provided for a State or local public agency in fiscal years 1979, and 1980 for providing cash or medical assistance to aliens from Cambodia, Vietnam, and Laos. Requires the President to submit a report to specified Committees of Congress on the states of such refugees at regular intervals until December 31, 1980.
United States · United States Congress · 21 April 1977
Amends the Indochina Migration and Refugee Assistance Act of 1975 to extend through 1980 assistance: (1) to refugees from Cambodia, Vietnam, and Laos; (2) to State and local public agencies providing assistance for such aliens; (3) for transportation to, and resettlement in, other areas of the United States; and (4) for employment assistance rendered to such aliens. Directs that funds appropriated under this Act be made available to State or local public agencies to reimburse them for the non-Federal share of costs under Titles IV (Grants to States for Aid and Services to Needy Families with Children and for Child Welfare Services) and XIX (Medicaid) of the Social Security Act. Limits the amount of assistance to be provided for a State or local public agency in fiscal years 1979, and 1980 for providing cash or medical assistance to aliens from Cambodia, Vietnam, and Laos. Requires the President to submit a report to specified Committees of Congress on the states of such refugees at regular intervals until December 31, 1980.
United States · United States Congress · 21 April 1977
Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to provide that the automatic cost-of-living increases in benefits be made on a semiannual basis (rather than on an annual basis as at present).
United States · United States Congress · 20 April 1977
Authorizes and directs the Secretary of Labor, through the Bureau of Labor Statistics, to prepare, as part of the Consumer Price Index published monthly by the Bureau of Labor Statistics, a consumer price index (to be known as the Consumer Price Index for the Aged and Other Social Security Beneficiaries) designed to reflect the relevant price information for individuals, as a group, who are 65 years of age or older or are otherwise entitled to monthly benefits under Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act.
United States · United States Congress · 20 April 1977
Allows any Federal employee or Member of Congress who is a Japanese-American World War II internee to credit, for civil service retirement purposes, the period during which such individual was detained or interned in a camp or similar facility.
United States · United States Congress · 19 April 1977
Amends the Internal Revenue Code to allow taxpayers a credit against the income tax for specified higher education expenses, including tuition, fees, books and supplies, incurred by the taxpayer for himself or any dependent.
United States · United States Congress · 6 April 1977
Amends the Internal Revenue Code to repeal the carryover basis provisions enacted by the Tax Reform Act which provide that beneficiaries receiving property from a decedent's estate will retain the decedent's basis in the property. Restores prior law which "stepped up" or "stepped down" the property's basis to its market value at the time of death without imposing tax consequences on the appreciation or depreciation the property underwent while held by the decedent.
United States · United States Congress · 6 April 1977
Constitutional Amendment - Provides that the people of the several States, and the District of Columbia, shall elect the President and Vice President. Requires each voter to cast a single vote for two persons who shall have consented to the joining of their names as candidates for the offices of President and Vice President. Requires the voters for President and Vice President in each State to have the qualifications requisite for voters for the most numerous branch of the State legislature, except that for voters for President and Vice President, the legislature of any State may prescribe less restrictive residence qualifications and for voters for President and Vice President the Congress may establish uniform residence qualifications. Provides that the pair of persons having the greatest number of votes for President and Vice President shall be elected, if such number be at least 40 percent of the whole number of votes cast for such offices. Provides that if the choice of President and Vice President shall be made from the two pairs of persons who received the highest numbers of votes. Requires the days for such elections to be determined by Congress and to be uniform throughout the United States. Requires Congress to prescribe by law the time, place, and manner in which the results of such elections shall be ascertained and declared. Allows Congress to provide for the case of the death, inability, or withdrawal of any candidate for President or Vice President before a President and Vice President have been elected, and for the case of the death of both the President-elect and Vice President-elect.
United States · United States Congress · 4 April 1977
Repeals all the price support and marketing provisions relating to tobacco of the Agricultural Act of 1949, the Agricultural Adjustment Act of 1938, and related laws. Prohibits the Commodity Credit Corporation, under its Charter Act, from exercising any of its specified powers with respect to tobacco.
United States · United States Congress · 31 March 1977
Solar and Energy Conservation Commercialization Act - Amends the National Housing Act to specify additional types of Solar energy systems eligible for financial assistance under such Act. Stipulates that such systems shall include solar heating and cooling and hot water systems, geothermal and wind energy systems, and other energy conservation measures and equipment such as insulation, heat pumps and devices to improve furnace efficiency. Authorizes the Secretary of Housing and Urban Development to make grants and loans to individuals and families to assist in the purchase of solar, renewable source, and energy conservation measures and equipment. Authorizes grants and loans for similar purposes to neighborhood, community, or nonprofit groups. Amends the Small Business Act to authorize the Administrator of the Small Business Administration to make loans to small businesses to assist in the purchase and installation of solar, renewable source, and energy conservation improvements and equipment. Directs the Secretary of Housing and Urban Development, the Administrator of the Small Business Administration, and the Federal Energy Administrator to cooperate in carrying out the provisions of this Act and to jointly submit an annual report to the President and the Congress on activities carried out under this Act. Authorizes appropriations for fiscal years 1978 through 1981.
United States · United States Congress · 31 March 1977
Renewable Energy and Energy Conservation Act - Allows an income tax credit for 30 percent of the expenditures not exceeding $750 which the taxpayer paid or incurred during the taxable year for installation of insulation or energy-conserving components which improve heating plant efficiency in his principal residence. Limits the application of this credit to expenditures paid or incurred for installations made between 1976 and 1982 in pre-existing dwellings. Reduces the allowable credit, on a graduated scale, for individuals with adjusted gross incomes greater than $10,000. Allows an income tax credit for 40 percent of the first $1,500, and a secondary credit for 25 percent of the next $7,600 paid or incurred by the taxpayer during the taxable year for the installation of qualified solar, wind and geothermal energy equipment in his principal residence. Allows an income tax credit for 20 percent of the first $1,500, and a secondary credit for 12.5 percent of the next $7,600 paid or incurred for the installation of wood stove, heat pump, or burner equipment in connection with new solar, wind or geothermal energy equipment which will be the principal source of space heat in the taxpayer's principal residence. Reduces these limitations in subsequent tax years by subtracting the amounts taken into account for these credits in previous tax years. Limits these credits to equipment installed between 1976 and 1982. Prorates each of the above credits for residential improvements among joint owners and cooperative shareholders according to their proportionate interests in the residential property. Provides for the carryover of any allowable credit which exceeds the taxpayer's current income tax liability. Reduces the allowable credits, on a graduated scale for and Conservation Act. persons with adjusted gross incomes greater than $15,000. Allows an investment tax credit for 25 percent of the qualified investment cost of depreciable geothermal, solar or wind energy equipment placed in service. Allows such a credit for 12 percent of the qualified costs of ventilation, heating, water and other components primarily designed to reduce the heat loss or gain of a structure, and origin ally used by the taxpayer. Prohibits these credits for property originally funded with Federal grants, or located in States which take these energy conserving measures into account for property assessment, or which don't enforce the thermal design requirements of the Energy Policy
United States · United States Congress · 31 March 1977
Ocean Dumping Amendments Act -- Amends the Marine Protection, Research, and Sanctuaries Act of 1972 to authorize the issuance of interim permits through December 31, 1981, for ocean dumping without regard to preexisting criteria. Limits such interim authorizations to persons already engaged in dumping of similar materials prior to the enactment of the Act, and where such person has no feasible alternative for disposal other than ocean dumping. Stipulates that such interim permits shall be reviewable on an annual basis. Requires that holders of interim permits expend adequate funds for research into alternate methods of material disposal, subject to conditions specified by the Administrator of the Environmental Protections Agency. Requires applicants for permits to pay a processing fee for administrative costs directly incurred in the processing of permits. Directs the Administrator to conduct studies to reduce or eliminate the dumping of radiological, chemical, or biological warfare agents or high-level radioactive wastes into ocean waters. Repeals various authorities of the Secretary of Commerce with respect to evaluation of substantive programs of other agencies.
United States · United States Congress · 31 March 1977
Establishes within the House of Representatives a Standing Committee on Intelligence to oversee and make continuing studies of the intelligence activities and programs of the United States Government, and to submit to the House proposals for legislation. Directs referral to the Committee of all matters relating to the Central Intelligence Agency and its Director, intelligence activities of all other Government departments and agencies, organization or reorganization of such departments and agencies related to intelligence activities, and authorizations for appropriations for specified departments and agencies. Amends rules X of the Rules of the House of Representatives to establish a procedure whereby certain legislation reported by the Committee may be referred to other standing committees for consideration, and conversely from other standing committees to the Committee. Requires the Committee to obtain an annual report from the Director of the Central Intelligence Agency, the Secretaries of State and of Defense, and the Director of the Federal Bureau of Investigation reviewing the intelligence activities of the agency or departments, and of foreign countries directed at the United States. Sets forth procedures whereby the Committee may disclose publicly any information in its possession which will serve the public interest. Requires the Committee to notify the President of any such proposed disclosure if the information has been previously classified, submitted to it by the executive branch, and if the executive branch has requested that such information by kept secret. Permits the Committee, upon objection by the President to disclosure, to refer the question to the House for consideration. Authorizes the House to (1) approve the public disclosure, (2) disapprove the public disclosure, or (3) leave the final determination to the Committee. Allows the Committee to make certain information regarding lawful intelligence activities which has been classified, available to other committees or Members under specified circumstances. Requires the Committee on Standards of Official Conduct to investigate an unauthorized disclosures. Prohibits the appropriation of funds for any fiscal year beginning after September 30, 1978 for specified intelligence activities of Federal departments or agencies unless such funds have been authorized by a House bill or joint resolution.
United States · United States Congress · 30 March 1977
Camp Safety Incentive Act - Directs the Secretary of Health, Education, and Welfare to develop and promulgate model youth camp safety standards within six months after the enactment of this Act. Defines "youth camp" as any camp advertised as a youth camp; conducted for ten or more children under the age of 18; and operated for five or more consecutive days. Authorizes Federal financial assistance to States for the development of State youth camp safety plans which include either penalties or loss of certification as a means of enforcement. Requires States receiving financial assistance under this Act to file annual accident reports with the Secretary. Directs the Secretary to make annual reports to the President and to the Congress. Terminates the assistance program established by this Act on September 30, 1980.
United States · United States Congress · 29 March 1977
Equity in Social Security Act - Amends Title II (Old-Age, Survivors', and Disability Insurance) of the Social Security Act: (1) to eliminate the requirement that a husband be receiving at least one-half of his support from his wife, and that a widower be receiving at least one-half of his support from his wife at the time of her death in order to qualify for husband's and widower's insurance benefits; (2) to extend eligibility for such benefits to unmarried divorced husbands and widowers; (3) to extend without regard to any age limitation, husband's benefits to a husband who has in his care a minor child who is entitled to child's insurance benefits under Title II; and (4) to extend to widowers and surviving divorced fathers the same benefits as are available to widows and surviving divorced mothers with minor children in their care. Permits the payment of old-age insurance benefits to a married couple on their combined earnings record.
United States · United States Congress · 28 March 1977
Amends the Legislative Reorganization Act of 1946 and the Bankruptcy Act to repeal provisions allowing automatic cost-of-living adjustments in the salaries of Members of Congress, persons paid pursuant to the Executive Schedule, the Vice President, and specified judicial positions including bankruptcy referees.
United States · United States Congress · 28 March 1977
Surface Mining Control and Reclamation Act - Title I: Statement of Findings and Policy - Declares that most of the nation's coal reserve can only be mined by underground methods. Lists the purposes of this Act, including the establishment of a nationwide program to prevent adverse effects to society and the environment from surface coal mining. Title II: Office of Surface Mining Reclamation and Enforcement - Establishes in the Interior Department the Office of Surface Mining Reclamation and Enforcement with a Director appointed by the President. States that such Office shall administer the programs required by this Act and assist the States in development of State programs for surface coal mining and reclamation. States that the Office shall be considered an independent Federal regulatory body. Title III: State Mining and Mineral Resources Research Institute - Authorizes appropriations to the Secretary of the Interior of sums adequate to provide for each participating State $200,000 for fiscal year 1978, $300,000 for fiscal year 1979, and $400,000 for each fiscal year thereafter for five years, to assist the States in carrying on the work of a competent and qualified mining and mineral resources research institute or center at the school of mines of one public college or university of the State. Requires such monies to be matched dollar-for-dollar by the States. Authorizes appropriations of $15,000,000 for fiscal year 1978, such sum to be increased by $2,000,000 each fiscal year for six years thereafter, for specific projects in mining and mineral research in institutes. Directs the Secretary to establish a center for cataloging current and projected scientific research in mining and mineral resources. Requires the Secretary to appoint an Advisory Committee on Mining and Mineral Research for advice on all matters concerning mining and mineral resources research. Title IV: Abandoned Mine Reclamation - Creates the Abandoned Mine Reclamation Fund in the Treasury. Requires operators of coal mines to pay into the fund quarterly fees of $.35 per ton of coal produced by surface mining and $.15 per ton of coal produced by underground mining, or ten percent of the value of the coal in the mine, whichever is less. Authorizes use of money in the Fund for acquisition and reclamation of abandoned and unreclaimed mine lands and for acquisitions and fillings of voids and sealing of tunnels and entryways in abandoned mines. Authorizes the Secretary of Agriculture to enter into agreements with landowners of water rights under which such landowners shall furnish a conservation and development plan and shall effect such plan in return for financial assistance from the Secretary of Agriculture of up to 80 percent of the cost of such a reclamation effort. Encourages States to acquire abandoned and unreclaimed land, and to transfer it to the Secretary for reclamation, and authorizes matching grants for such purpose, up to 90 percent of the land price. Allows resale of reclaimed land by public bidding, and allows local public participation in determining the use of reclaimed land. Title V: Control of the Environmental Impacts of Surface Coal Mining - Directs the Secretary of the Interior to publish, within 180 days of the enactment of this Act, regulations which establish a permanent regulatory procedure and performance standards for surface coal mining and reclamation standards. Requires the Secretary to obtain the concurrence of the Administrator of the Environmental Protection Agency with respect to regulations concerned with air or water quality standards. Establishes a permit program to require mining operators to comply with environmental protection standards. Allows State control over surface mining permits if certain requirements are met. Authorizes the implementation of a Federal program if States fail to act. Permits State laws and regulations that are more stringent than those set forth pursuant to this Act. Requires permit applications to describe the method of mining and equipment proposed to be used, to describe by maps the land to be affected, and to contain a statement of results of test borings or core samplings of the affected land. Stipulates that permits must be accompanied by a mining and reclamation plan which shall include a description of present uses of the land, steps to be taken to prevent environmental damage and a description of the reclamation activities. Requires the posting of performance bonds and possession of liability insurance by applicants for permits. Requires the establishment of coal exploration regulations by appropriate State and Federal authorities. Requires that such regulations include provisions for reclamation of lands disturbed in exploration activities. Imposes the following general environmental performance standards on surface mining operations as a condition of the issuance of a permit under this Act: (1) restoration of the land affected to a prior use, consistent with public health and safety; (2) restoration to the original contour of the land and backfilling, grading, and compacting the excess overburden and other waste materials to attain the lowest grade; (3) removal and segregation of topsoil in a separate layer where it is able to support vegetation; (4) minimization of disturbances to the hydrologic balance at the mine site and surrounding areas by eliminating or reducing toxic drainage, siltation, and contamination problems; (5) conformity with standards for the design and location of coal mine waste piles; and (6) establishment of a diverse, effective, and permanent vegetation on regraded areas. Stipulates that the regulatory authority shall make test borings of core samplings for mining operators with an estimated annual production of less than 250,000 tons of coal. Establishes additional requirements for steep-slope surface mining operations. Defines the term "steep-slope" to include any slope above 20 degrees or lesser slopes as may be defined by the regulatory authority. Directs the Secretary to promulgate rules and regulations directed at the surface effects of underground mining. Directs and authorizes inspection of surface coal mining and reclamation to determine compliance with this Act and regulations. Provides requirements for recordkeeping and submittal and monitoring by mine operators. Imposes civil penalties for violation of this Act or regulations under it. Establishes procedures for citizen suits and judicial review of actions under this Act. Establishes conditions under which mine operators may request a release of all or part of the performance bond. Requires public notice and hearings upon applications for such releases. Requires States to establish, as a condition of assuming primary regulatory control, a planning process designed to identify lands unsuitable for surface coal mining. Requires designation of lands as unsuitable if it can be shown that reclamation pursuant to the requirements of the Act is not feasible. Authorizes designation of lands as unsuitable where operations mining will: (1) be incompatible with land use plans or programs; (2) affect fragile or historic lands of significant historic, scientific or esthetic value; (3) affect renewable land resources with an impact on long-range food and water supply; and (4) increase a significant hazard to life and property, including the possibility of flood and earthquake damage. Prohibits surface coal mining operations on certain Federal lands, or within 100 feet of a public road or within 300 feet of a building or dwelling, unless the consent of the affected public or private interest is obtained. Requires implementation of a Federal lands program applicable to all surface coal mining and reclamation activities pursuant to Federal laws or taking place on Federal lands. Requires that coal exploration operations which substantially disturb the natural land surface on such lands be subject to a permit program established by the Secretary of the Interior. Requires separate regulations for programs for special bituminous coal surface mines that meet specified criteria, and for anthracite coal surface mines which are regulated by environmental protection standards of the States. Title VI: Designation of Lands Unsuitable for Noncoal Mining - Allows the Secretary to designate Federal lands unsuitable for mining materials other than coal, if they are predominantly urban or suburban in character or if such mining operations would have an adverse impact on lands used primarily for residential and related purposes. Title VII: Administrative and Miscellaneous Provisions - Defines the terms used in this Act. Prohibits discrimination against employees for filing suit under this Act and for testifying in a proceeding under this Act. Authorizes the Secretary to make annual grants to the States to assist the States in developing, administering, and enforcing State programs under this Act. Authorizes the Secretary to provide technical assistance and training, and assistance in preparing and maintaining a continuing inventory of information on surface coal mining and reclamation projects. Requires the Secretary to submit an annual report to the President and the Congress. Directs the Secretary to contract with the National Academy of Sciences-National Academy of Engineering for a study of surface coal mining conditions in Alaska in order to determine which, if any, of the provisions of this Act should be modified with respect to such operations in Alaska. Directs the Chairman of the Council on Environmental Quality to contract with the National Academy of Sciences-National Academy of Engineering and other groups for a study of the technology for surface and open-pit mining and reclamation for minerals other than coal designed to assist in the development of regulation for such operations. Directs the Secretary to consult with Indian tribes in studying the regulation of surface mining on Indian lands. Requires all surface coal mining operations on Indian lands to comply with requirements at least as stringent as specified provisions in this Act within 30 months from the enactment of this Act. Authorizes the appropriation of the following sums to carry out this Act: (1) for various contract authority, $10,000,000 per fiscal year for fiscal years 1978, 1979, and 1980; (2) for the performance of test borings by the regulatory authority, an amount reserved for such purpose from the Abandoned Mine Reclamation Fund not to exceed $40,000 per fiscal year; (3) for administrative and other purposes, $10,000,000 for fiscal year 1978, $20,000,000 for fiscal years 1979 and 1980, and $30,000,000 for fiscal years thereafter; and (4) for research and demonstration projects of alternative coal mining technologies, $35,000,000 for fiscal year 1978, and for the next four years. Stipulates that no new budget authority for fiscal year 1977 is authorized by the provisions of this Act.
United States · United States Congress · 23 March 1977
Amends title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to reduce from 72 to 65 the age beyond which deductions on account of an individual's outside earnings will no longer be made from such individual's benefits.
United States · United States Congress · 22 March 1977
Food Additive Safety Amendments - States that a food additive shall be deemed safe if the Secretary of Health, Education, and Welfare (1) makes a finding, based on recommendations of an advisory committee, that the public benefit from permitting the use of such additive would exceed the public risk which might result from such use; (2) gives notice in the Federal Register of such a finding and invites public comment thereon; and (3) issues a final order not earlier than 120 days of such publication in the Federal Register of such findings. Specifies factors the Secretary must take into consideration when evaluating a food additive. Deems saccharin a safe food additive unless the Secretary declares it unsafe under the provisions of this Act.
United States · United States Congress · 22 March 1977
Equity in Social Security for Individuals and Families Act - Amends Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act to permit married couples to elect to share their income for social security purposes in a manner similar to the filing of a joint tax return. Provides that, for any year a husband and wife file a joint income tax return, both the husband and the wife shall each be considered to have been paid wages or to have derived self-employment income in such year for the purpose of determining the average monthly wage of the husband and the wife for Old-Age, Survivors, and Disability Insurance purposes. States that the amount with which each spouse will be credited shall be equal to the higher of: (1) one- half the total of the wages and self-employment income paid to or derived by both of them in such year; or (2) three-fourths of the wages and self-employment income paid to or derived by whichever of them had the larger amount of such wages and self-employment income for such year. States that any person who: (1) is the spouse of a person entitled to old-age or disability insurance and who has no wages or self-employment income; or (2) is the surviving spouse of a fully insured individual shall be credited with the amount of any benefits received under such insurance in determining the average monthly wage of such person for Old-Age, Survivors, and Disability Insurance purposes. Lowers from 62 to 50 the age at which individuals become eligible for wife's, husband's widow's, and widower's insurance benefits under the Old-Age, Survivor's, and Disability Insurance program. Establishes the percentage of the benefit amount of an eligible spouse to which an ineligible or surviving spouse shall be entitled at 75 percent of the amount to which the eligible spouse is or was entitled under Title II. States that, when the ineligible spouse becomes entitled to benefits in his or her own right, the portion of the other spouse's benefit amount to which the previously ineligible spouse shall be entitled shall be decreased to 25 percent. States that a spouse or surviving spouse not entitled to benefits under Title II but who is or was married to an individual who is or was insured for disability insurance benefits shall be considered insured for benefits with a primary insurance amount equal to the primary insurance amount of the insured spouse. Eliminates the requirement that husbands and widowers be receiving support from their wives in order to qualify for husband's and widower's benefits. Enables a child who is entitled to more than one child's insurance benefit to receive the total amount of all such benefits as a single monthly insurance benefit..
United States · United States Congress · 21 March 1977
Ocean Dumping Amendments Act -- Amends the Marine Protection, Research, and Sanctuaries Act of 1972 to authorize the issuance of interim permits through December 31, 1981, for ocean dumping without regard to preexisting criteria. Limits such interim authorizations to persons already engaged in dumping of similar materials prior to the enactment of the Act, and where such person has no feasible alternative for disposal other than ocean dumping. Stipulates that such interim permits shall be reviewable on an annual basis. Requires that holders of interim permits expend adequate funds for research into alternate methods of material disposal, subject to conditions specified by the Administrator of the Environmental Protections Agency. Requires applicants for permits to pay a processing fee for administrative costs directly incurred in the processing of permits. Directs the Administrator to conduct studies to reduce or eliminate the dumping of radiological, chemical, or biological warfare agents or high-level radioactive wastes into ocean waters. Repeals various authorities of the Secretary of Commerce with respect to evaluation of substantive programs of other agencies.
United States · United States Congress · 17 March 1977
Directs the Secretary of the Interior: (1) to study opportunities to augment, utilize or conserve water supplies available to Federal reclamation projects and to undertake conservation activities to mitigate damages to such project from the 1976-77 drought period; (2) to purchase water supplies and redistribute such water within Federal reclamation projects; (3) to study and evaluate studies of potential facilities to mitigate the effects of a recurrence of drought and make recommendations to the President and to Congress evaluating such facilities; and (4) to assist financially Federal reclamation project landowners who are without irrigation water supplies to carry out soil conservation measures. Authorizes the Secretary to defer without penalty the 1977 and 1978 payments of any installment charges owned to the United States on Federal reclamation projects as he deems necessary because of financial hardship caused by extreme drought conditions. Requires the Secretary to report to Congress by March 1, 1978, on expenditures under this Act.
United States · United States Congress · 17 March 1977
Designates service as a Member of the Women's Air Forces Service Pilots as active duty for the purposes of all laws administered by the Veterans' Administration.
United States · United States Congress · 17 March 1977
Amends rules XIII of the Rules of the House of Representatives to require that each committee report accompanying a public bill or joint resolution contain an evaluation of the paperwork which would be incurred in carrying out such bill or resolution including estimates of time and cost required of affected parties, a showing of whether the effect of the bill could be substantial, and an estimate of recordkeeping requirements.
United States · United States Congress · 16 March 1977
Campaign Financing Act -- Title I: Public Financing of Congressional General Election Campaigns - Entitles to payments under this Act Congressional candidates who agree to certain reporting and recordkeeping procedures and who certify that (1) he and his authorized committees will not incur campaign expenses in excess of certain limitations, (2) he has qualified to have his name placed on the election ballot in an election for Congressional office, and (3) he has received contributions in excess of a certain sum and no person has given more than $100 toward the amount so certified. Sets the amount of payments to an eligible candidate at the amount of contributions received up to a specified maximum. Stipulates that sums given by any one contributor totalling over $100 shall be disregarded for purposes of matching grants. Restricts use of funds forwarded under this Act to defraying campaign expenses either directly or through repayment of campaign loans. Specifies a limit on the amount of personal funds which a candidate may spend in connection with a Congressional campaign and remain eligible to matching grants. Amends the Federal Election Campaign Act of 1971 to specify spending limits for candidates receiving payments under this Act. Waives such limits for candidates whose opponents are not receiving matching payments and have spent sums in excess of the limit imposed for candidates receiving payments. Directs the Secretary of the Treasury to establish a separate Congressional General Election Payment Account in the Presidential Election Campaign Fund and to deposit certain sums in such account in accordance with specified guidelines. Requires repayment of excess payments and unexpended payments. Penalizes use of funds for other than campaign purposes. Authorizes the Federal Election Commission to institute repayment actions in district courts. Specifies the administrative authority of the Commission in carrying out this Act. Title II: Public Financing of Presidential General Election Campaigns - Raises the general election spending limit for Presidential candidates who are eligible to receive public funds under either the Presidential Election Campaign Fund Act or the Presidential Primary Matching Payment Account Act. Sets limits on the amount which a State party committee may spend in connection with the general election campaign of its Presidential candidate. Provides an alternative method for determining the amount of money to which candidates are entitled under the Presidential Election Campaign Fund Act based upon amount of contributions received after the final primary. Specifies conditions for candidates electing such method. Permits Presidential candidates eligible to receive payment under the Presidential Election Campaign Fund Act to receive additional small contributions from individual contributors up to a specified limit. Title III: Miscellaneous Provisions - Amends the Federal Election Campaign Act of 1971 to reduce the maximum amount which a multicandidate committee may contribute to any candidate or his committees. Specifies the effective date of the provisions of this Act and guidelines with respect to deposit in the Congressional General Election Campaign Fund during 1977.
United States · United States Congress · 15 March 1977
Reorganization Act - Permits the President to prepare and submit to Congress a plan to reorganize any Executive agency for the purpose of improving the functioning of the Executive branch. Requires such plan to itemize, so far as is practicable, estimates of any reduction or increase in expenditures called for by such plan and to describe any improvements in management, delivery of Federal services, execution of the laws, and increases in Government efficiency which are expected as a result of such reorganization. States that such plan may not provide for the abolition of existing agencies or the creation of new ones. States that no such plan shall take effect which is not submitted to Congress within three years after the enactment of this Act. Makes a plan submitted pursuant to this Act effective at the end of 60 calendar days of continuous session of Congress after the date of submission of such plan unless disapproved by either House within such period. Sets forth procedures for consideration of any disapproval resolutions.
United States · United States Congress · 14 March 1977
Synthetic Fuels Research and Demonstration Act - Title I: Motor Vehicle Synthetic Fuel Research and Demonstration Project - Directs the Administrator of the Energy Research and Development Administrator of the Energy Research and Development Administration to establish a synthetic fuels project for motor vehicles in accordance with a research and development plan. Prescribes criteria to be followed by the Administrator in: (1) the selection of a synthetic fuel; (2) the selection of a project agency; and (3) the establishment of a research and demonstration plan. Requires that the Administrator submit interim reports to Congress and a final report within three years of the enactment of this Act. Authorizes the appropriation of $15,000,000 through fiscal year 1980 for such project. Title II: Electrical Generation Synthetic Fuel Research and Demonstration Projects - Directs the Administrator of the Energy Research and Development Administration to establish a program of Federal assistance to public utilities for the support of synthetic fuels projects for the generation of electricity. Establishes criteria for applicants to be considered for financial assistance. Establishes guidelines for the Administrator in selecting projects from eligible applicants. Stipulates that the amount of funds for any such project shall be based on the difference between the cost of conventional fuel which would ordinarily be used. Limits payments under this title to $1,000,000 for any single project. Requires the Administrator to submit interim reports to Congress and a final report within three years of the enactment of this Act. Authorizes appropriations of $6,000,000 through fiscal year 1980 for such program.
United States · United States Congress · 14 March 1977
Solar Energy for Homes Act - Authorizes the administrators of Federal housing programs, established under title II or III of the National Housing Act or (of) title V of the Housing Act of 1949, to increase the amount of loans made on single- or multi-family dwelling units by up to 20 percent where such increase reflects the cost of solar energy equipment. Amends the National Housing Act to authorize home improvement loans for the cost of acquisition and installation of solar energy system. Amends the Housing and Community Development Act of 1974 to authorize the use of community development block grants for payments to assist in the acquisition and installation of solar energy equipment.
United States · United States Congress · 14 March 1977
Guarantees automatically any loan to a qualified veteran for the purchase and installation of solar heating and/or cooling in a dwelling which he owns and occupies. Exempts such loans from the existing $17,500 maximum amount of guaranty entitlement, and sets the amount of such entitlement at either: (1) the reasonable total cost of such purchase and installation, or (2) 20 percent of the value of the structure in which such system is to be installed, whichever is less. States that the original principal amount of such a loan shall not exceed the amount of guaranty entitlement so set.
United States · United States Congress · 14 March 1977
Amends the Consolidated Farm and Rural Development Act to authorize the Secretary of Agriculture to make and insure loans under such Act for the solar heating or cooling of residential structures on family farms.
United States · United States Congress · 14 March 1977
Calls for the consideration of the relationship between the violence depicted on television and violence in society by those persons responsible for television programming and broadcasting in the United States.
United States · United States Congress · 10 March 1977
Tanker Safety Act - Amends the Ports and Waterways Safety Act of 1972 to direct the Secretary of Transportation to establish and maintain vessel traffic systems for the waters of the maritime safety zone. Defines "maritime safety zone" as extending 200 nautical miles from the shoreline of the United States. Exempts from this title foreign vessels which are in transit to places outside the United States. Directs the Secretary to : (1) establish procedures for the handling and emergency removal of oil or hazardous materials; (2) prescribe minimum safety equipment requirements for structures in or on the navigable waters of the United States or on the shores adjacent to such waters; (3) establish water or waterfront safety zones or other measures for controlled access and activity to protect vessels, structures, waters, or shore areas; and (4) establish procedures for inspection to assure compliance with minimum safety requirements. Requires the Secretary to take into account specified factors regarding navigation and vessel safety and protection of the marine environment in carrying out the duties required under this Act. Authorizes the Secretary to require the use of pilots on self-propelled vessels of the United States engaged in foreign commerce or on foreign vessels operating in the navigable waters of the United States. Requires the Secretary to develop, and seek adoption by the States of uniform, minimum standards relating to the regulation of pilotage at least equal to those required of federally licensed pilots. Authorizes the Secretary or the National Transportation Safety Board to investigate incidents which cause damage to any vessel or structure or which affect or may affect the navigation or vessel safety or environmental quality of ports, harbors, navigable waters, or the waters of the maritime safety zone. Grants subpoena powers in order to conduct such inquiry. Prohibits vessels which are determined to be unsafe or which may create a threat to the marine environment or which fail to comply with applicable regulations from entering or operating in the navigable waters or ports of the United States. Exempts the Panama Canal from the provisions of this Act. Directs the Secretary of the department in which the Coast Guard is operating to establish specified standards governing the design, repair, manning and maintenance of any vessel to increase navigation and vessel safety and marine environmental protection for vessels carrying oil or any hazardous material in bulk which are documented under the laws of the United States or which enter the navigable waters of the United States. Requires that all such vessels, after January 1, 1979, be equipped with specified navigational devices, a segregated ballast capacity and gas inerting system, and a double hull. Requires that such vessels hold a certificate of compliance issued by the Secretary in order to enter the navigable waters of the United States. Directs the Secretary to prescribe manning and training requirements for the crews of such vessels. Directs the Commandant of the Coast Guard to establish eligibility requirements for the issuance of a license to pilot any steam vessel. Specifies certain qualifications which must be met to receive such a license. Specifies conditions under which the Commandant may revoke such a license. Stipulates that the Federal Government shall exercise authority in the 200 mile maritime safety zone established under this Act by: (1) prohibiting the discharge of any oil or hazardous material within such zone; (2) by enforcing the provisions of any international agreement to which the United States is a party concerning navigation or vessel safety or protection of the marine environment; (3) prescribing vessel control traffic; and (4) inspecting vessels destined for any port or place within the United States. Authorizes the Secretary of Transportation to appoint persons as maritime safety officers. Grants such individuals arrest powers, and boarding and inspection powers, with or without a warrant. Directs the Secretary to establish a national program for inspection of any vessel subject to the Ports and Waterways Safety Act of 1972. Requires yearly inspection of all vessels and a special structure inspection for vessels over ten years old. Specifies the documents which must be kept on board any vessel subject to such Act. Sets forth civil and criminal penalties for violations of this Act. Requires the Secretary to report annually to the Congress regarding: (1) the administration of the Ports and Waterways Safety Act; (2) a summary of inspection and enforcement activities; and (3) recommendations to Congress for any necessary additional legislative authority.
United States · United States Congress · 10 March 1977
Tanker Safety Act - Amends the Ports and Waterways Safety Act of 1972 to direct the Secretary of Transportation to establish and maintain vessel traffic systems for the waters of the maritime safety zone. Defines "maritime safety zone" as extending 200 nautical miles from the shoreline of the United States. Exempts from this title foreign vessels which are in transit to places outside the United States. Directs the Secretary to : (1) establish procedures for the handling and emergency removal of oil or hazardous materials; (2) prescribe minimum safety equipment requirements for structures in or on the navigable waters of the United States or on the shores adjacent to such waters; (3) establish water or waterfront safety zones or other measures for controlled access and activity to protect vessels, structures, waters, or shore areas; and (4) establish procedures for inspection to assure compliance with minimum safety requirements. Requires the Secretary to take into account specified factors regarding navigation and vessel safety and protection of the marine environment in carrying out the duties required under this Act. Authorizes the Secretary to require the use of pilots on self-propelled vessels of the United States engaged in foreign commerce or on foreign vessels operating in the navigable waters of the United States. Requires the Secretary to develop, and seek adoption by the States of uniform, minimum standards relating to the regulation of pilotage at least equal to those required of federally licensed pilots. Authorizes the Secretary or the National Transportation Safety Board to investigate incidents which cause damage to any vessel or structure or which affect or may affect the navigation or vessel safety or environmental quality of ports, harbors, navigable waters, or the waters of the maritime safety zone. Grants subpoena powers in order to conduct such inquiry. Prohibits vessels which are determined to be unsafe or which may create a threat to the marine environment or which fail to comply with applicable regulations from entering or operating in the navigable waters or ports of the United States. Exempts the Panama Canal from the provisions of this Act. Directs the Secretary of the department in which the Coast Guard is operating to establish specified standards governing the design, repair, manning and maintenance of any vessel to increase navigation and vessel safety and marine environmental protection for vessels carrying oil or any hazardous material in bulk which are documented under the laws of the United States or which enter the navigable waters of the United States. Requires that all such vessels, after January 1, 1979, be equipped with specified navigational devices, a segregated ballast capacity and gas inerting system, and a double hull. Requires that such vessels hold a certificate of compliance issued by the Secretary in order to enter the navigable waters of the United States. Directs the Secretary to prescribe manning and training requirements for the crews of such vessels. Directs the Commandant of the Coast Guard to establish eligibility requirements for the issuance of a license to pilot any steam vessel. Specifies certain qualifications which must be met to receive such a license. Specifies conditions under which the Commandant may revoke such a license. Stipulates that the Federal Government shall exercise authority in the 200 mile maritime safety zone established under this Act by: (1) prohibiting the discharge of any oil or hazardous material within such zone; (2) by enforcing the provisions of any international agreement to which the United States is a party concerning navigation or vessel safety or protection of the marine environment; (3) prescribing vessel control traffic; and (4) inspecting vessels destined for any port or place within the United States. Authorizes the Secretary of Transportation to appoint persons as maritime safety officers. Grants such individuals arrest powers, and boarding and inspection powers, with or without a warrant. Directs the Secretary to establish a national program for inspection of any vessel subject to the Ports and Waterways Safety Act of 1972. Requires yearly inspection of all vessels and a special structure inspection for vessels over ten years old. Specifies the documents which must be kept on board any vessel subject to such Act. Sets forth civil and criminal penalties for violations of this Act. Requires the Secretary to report annually to the Congress regarding: (1) the administration of the Ports and Waterways Safety Act; (2) a summary of inspection and enforcement activities; and (3) recommendations to Congress for any necessary additional legislative authority.
United States · United States Congress · 10 March 1977
Directs the United States to pay reasonable litigation costs, including attorney fees, to prevailing defendants in civil actions in which the United States is a plaintiff.
United States · United States Congress · 10 March 1977
Department of Energy Organization Act - Title I: Declaration of Purposes - Declares it the purpose of this Act to establish a permanent Department or Energy in the executive branch to assist in the development of a coordinated national energy policy. Title II: Establishment of Department - Establishes a Department of Energy in the executive branch. Establishes an Energy Information Administration and an Economic Regulatory Administration within such Department. Title III: Transfers of Functions - Transfers to the Secretary of Energy all functions now vested in the Federal Energy Administration, the Energy Research and Development Administration, and the Federal Power Commission. Transfers energy-related functions from the Department of the Interior to the new Secretary. Transfers specified functions of the Securities and Exchange Commission, the Secretary of Housing and Urban Development, the Interstate Commerce Commission, the Secretary of the Navy, and the Secretary of Commerce to the new Secretary. Title IV: Board of Hearings and Appeals - Establishes a three-member Board of Hearings and Appeals within the Department to make agency determinations as required by law. Prohibits persons having interests in energy companies from serving as Board members. Title V: Administrative Procedures and Judicial Review - Stipulates that the provisions of the Administrative Procedure Act shall apply to rules and regulations issued by the Secretary or his delegate. Requires that opportunity for oral presentations of viewpoints be afforded where regulations are likely to have a substantial economic impact. Requires hearings on rules which substantially impact on a single geographic area to be held in such geographic area. Stipulates that United States district courts shall have exclusive jurisdiction of cases arising under this Act without regard to the amount in controversy, except where otherwise provided in authority transferred to the Secretary. Title VI: Administrative Provisions - Establishes a Leasing Liaison Committee to obtain information and make recommendations on Federal leasing activities conducted by the Secretary of the Interior which relate to energy resources. Requires officers and employees of the Department of Energy to disclose known financial interests in energy companies. Imposes criminal penalties for knowing violations of such disclosure requirements. Authorizes the Secretary to delegate authority to other officers, to create regional offices, and to establish advisory committees. Requires the Secretary to submit annual reports to the President for submission to the Congress. Title VII: Transitional Savings and Conforming Provisions - Stipulates that transfers of personnel as authorized by this Act shall not result in reduction in grade or unemployment for one year after enactment of this Act. Stipulates that orders, rules, and proceedings established or commenced under previous authority shall not be affected by the transfers under this Act. Amends the Federal Energy Administration Act, the Energy Reorganization Act, the Federal Power Act, the Motor Vehicle Information and Cost Savings Act, the Energy Conservation Standards for New Buildings Act, the Public Utility Holding Company Act of 1935, the Rural Electrification Act of 1936, and other provisions of law to conform with the changes made by this Act. Title VIII: Effective Date and Interim Appointments - Stipulates that the provisions of this Act shall take effect no later than 120 days after the Secretary first takes office. Establishes procedures for interim appointment of officers prior to the effective date of this Act.
United States · United States Congress · 10 March 1977
Directs the President to appoint a specified number of additional judges to designated United States district courts and courts of appeals. Authorizes the Director of the Administrative Office of the United States Courts to place an additional eight positions in grades 16, 17, and 18 of the General Schedule.
United States · United States Congress · 9 March 1977
Prohibits the consideration of any cost of living increase of Old Age, Survivors, and Disability Insurance benefits after May 1977 for purposes of determining the eligibility for or amount of assistance which any individual or family is provided under specified Federal housing programs.
United States · United States Congress · 9 March 1977
Privacy Protection for Rape Victims Act - Amends the Federal Rules of Evidence to prohibit in cases of rape or assault with intent to rape the introduction of reputation or opinion evidence of a person's past sexual behavior. Permits the introduction of evidence of specific instances of a person's past sexual behavior only if such evidence is offered by the accused and is either: (1) on the issue of whether the accused was the source of pregnancy, disease, semen, or injury; or (2) on the issue of whether the alleged victim consented to the sexual behavior with respect to which the crime is alleged and restricted to the victim's past sexual relations with the defendant. Requires an accused who intends to introduce any such evidence to make a written motion to the court accompanied by a written offer of proof. Directs the court to hold a hearing on any such motion in chambers to determine admissibility.
United States · United States Congress · 9 March 1977
National Aquaculture Organic Act - Directs the Secretary of Commerce to establish a National Aquaculture Development Plan. Requires that such plan (1) identify each aquatic species which can be cultured on a commercial basis (priority aquatic species), and (2) contain a program of aquaculture development for such priority aquatic species. Directs the Secretary of Commerce or the Secretary of the Interior, whichever is appropriate, to review annually each aquatic species not identified as a priority species and the program established for each priority species. Directs the Secretary of Commerce to (1) establish and maintain an aquaculture information center, (2) maintain an inventory of public and private aquaculture being carried out in the United States, (3) arrange for the mutual exchange of information relating to aquaculture with foreign nations, and (4) submit an annual report to Congress on the implementation of the provisions of this Act. Establishes the Interagency Committee on Aquaculture comprised of the heads of various Federal agencies to insure that there is a continuing exchange of information relating to the aquacultural programs and projects of the various agencies and to review on a continuing basis the relevant programs and projects of all Federal agencies. Authorizes the Secretary of Commerce or the Secretary of the Interior to carry out any function under this Act through grants or contracts. Limits the amount of any grant made available under this Act to one-half of the estimated cost of the project for which the grant was made. Authorizes either Secretary to guarantee obligations issued for the financing of any aquaculture facility within the United States. Stipulates that the aggregate unpaid principal amount of all such guaranteed obligations shall not exceed $100,000,000. Authorizes the Secretary to collect a fee for guaranteed obligations not to exceed one-half of one percent per annum of the outstanding principal balance of the obligation. Sets forth the allowable interest rate, maturity date, and default procedures relating to such loans. Authorizes the appropriate Secretary to issue notes or obligations to the Secretary of the Treasury if the monies in the loan fund are insufficient to pay such a loan in the event of default. Authorizes the Secretary to make disaster loans available to individuals who have guaranteed loans under this Act. Establishes within the Treasury a Federal Aquaculture Assistance Fund for the purpose of guaranteeing loans or making disaster loans available under this Act. Directs the Secretary of Commerce to establish an insurance program for persons with guaranteed loans under this Act. Authorizes appropriations to the Secretaries of Commerce and the Interior to carry out the various provisions of this Act.
United States · United States Congress · 9 March 1977
Ocean Dumping Amendments Act -- Amends the Marine Protection, Research, and Sanctuaries Act of 1972 to authorize the issuance of interim permits through December 31, 1981, for ocean dumping without regard to preexisting criteria. Limits such interim authorizations to persons already engaged in dumping of similar materials prior to the enactment of the Act, and where such person has no feasible alternative for disposal other than ocean dumping. Stipulates that such interim permits shall be reviewable on an annual basis. Requires that holders of interim permits expend adequate funds for research into alternate methods of material disposal, subject to conditions specified by the Administrator of the Environmental Protections Agency. Requires applicants for permits to pay a processing fee for administrative costs directly incurred in the processing of permits. Directs the Administrator to conduct studies to reduce or eliminate the dumping of radiological, chemical, or biological warfare agents or high-level radioactive wastes into ocean waters. Repeals various authorities of the Secretary of Commerce with respect to evaluation of substantive programs of other agencies.
United States · United States Congress · 8 March 1977
Excludes cost-of-living increases in Social Security benefits from consideration as household income for purposes of determining: (1) eligibility for participation in the food stamp program; (2) the charge for issuing a coupon allotment to a household; and (3) eligibility for any Federal program administered by the Department of Agriculture which provides for the donation or distribution of surplus agricultural commodities to low-income persons.
United States · United States Congress · 8 March 1977
Amends the program of Aid to Families with Dependent Children of Title IV and Title XVI (Supplemental Security Income for the Aged, Blind, and Disabled) of the Social Security Act to assure that recipient of aid and benefits under such Titles do not have the amount of such and or benefits reduced because of increases in the amount of benefits under Title II (Old-Age, Survivors, and Disability Insurance) of the Social Security Act.
United States · United States Congress · 8 March 1977
Amends Title XIX (Medicaid) of the Social Security Act to assure the individuals otherwise eligible for benefits under such Title do not lose such eligibility, or have the amount of such benefits reduced, because of increases in the amount of benefits under Title II (Old-Age, Survivors, and Disability Insurance) of such Act.
United States · United States Congress · 8 March 1977
Provides that recipients of veterans' pensions and compensation will not have the amount of such pension or compensation reduced because of increases in social security benefits. Applies to annual income determinations made for calendar years after 1976.