Skip to content
PoliticalRepoPoliticalRepo

Person

Official portrait of Rep. Schneider, Claudine [R-RI-2]

Rep. Schneider, Claudine [R-RI-2]

United States · Official source

Records

1,690 records where Rep. Schneider, Claudine [R-RI-2] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 2492 (100th)referred

Federal Industrial Extension Act of 1987

United States · United States Congress · 21 May 1987

Federal Industrial Extension Act of 1987 - Establishes an Office of Extension Services within the National Bureau of Standards to inform State Industrial Extension Services of Federal research and development programs and to provide a contact point for such Services. Establishes a three-year Industrial Extension Service Grant Program in the Department of Commerce to demonstrate methods of Federal assistance to States for the development of State Industrial Extension Services designed to help businesses enhance competitiveness through the application of the latest science and technology. Limits participants to not more than 15 States, with preference given on the basis of need and regional distribution. Makes grants available for FY 1988 through 1990. Requires that funds be used to expand the number of businesses served or the quality of services provided. Requires that participating States provide at least 20 percent of the costs of such Program. Authorizes States to provide services directly or through other State agencies or through universities or nonprofit organizations. Permits the charging of fees. Requires States to report annually to the Secretary. Requires the Secretary to report to the Congress at the end of FY 1990 on the operation of the Program. Authorizes appropriations for FY 1988 through 1990.

Bill· HRH.R. 2456 (100th)referred

A bill to amend the Internal Revenue Code of 1986 to increase the amount of the credit for dependent care expenses, to make such credit refundable, and to provide that certain respite care expenses are eligible for such credit.

United States · United States Congress · 18 May 1987

Amends Internal Revenue Code provisions relating to the income tax credit for employment-related dependent care expenses to: (1) make the credit refundable; (2) increase the amount of the credit from 30 percent to 50 percent of the relevant expenses, reduced (but not below 20 percent) by one percent for each full $1,000 amount by which the taxpayer's adjusted gross income (AGI) exceeds $15,000, subject to an annual adjustment for inflation (the current reduction is one percent for each $2,000 in excess of $10,000 AGI with no provision for a cost of living adjustment); and (3) apply the credit to expenses for certain respite care of qualifying dependents of the taxpayer. Permits credit for up to $1,200 of respite care expenses ($2,400 in the case of more than one qualifying individual) incurred in the care of: (1) a dependent of the taxpayer who is at least 15 years old; or (2) a spouse or other dependent of the taxpayer who is physically or mentally incapable of self-care.

Resolution· HCONRESH.Con.Res. 120 (100th)referred

A concurrent resolution establishing a commission to study compensation and other personnel policies and practices in the legislative branch.

United States · United States Congress · 8 May 1987

Establishes a Commission on Employment Discrimination in the Legislative Branch. Directs the Commission to: (1) employ a nongovernmental consultant to study the compensation paid to Library of Congress personnel and analyze personnel policies of the Library; (2) evaluate the compensation system of the Library for compliance with title VII of the Civil Rights Act of 1964 and make any recommendations needed to achieve compliance; (3) develop a plan for the application of title VII through the legislative branch; and (4) make recommendations to the Congress for improvement of personnel policies and practices in the legislative branch. Directs the Commission to submit a final report to the Congress 18 months after enactment of this Act. Terminates the Commission 30 days after submission of the final report.

Bill· HRH.R. 2327 (100th)open

Veterans' Administration Beneficiary Travel, Quality assurance, and Readjustment Counseling Amendments of 1987

United States · United States Congress · 7 May 1987

Amends Federal veterans' benefits provisions to direct (current law authorizes) the Administrator of Veterans Affairs to pay travel expenses of certain veterans and their eligible dependents to or from a Veterans Administration facility or other authorized place in connection with rehabilitation, counseling, or medical treatment or care. Defines those veterans entitled to such payment, including: (1) those veterans financially unable to meet such travel costs; and (2) those veterans unable to bear the cost of special transportation necessitated due to a medical disability. Limits such payments in the case of travel by a privately-owned vehicle to the cost of similar public transportation for such travel. Limits such payment to the actual cost incurred for such travel.

Resolution· HCONRESH.Con.Res. 116 (100th)open

A concurrent resolution expressing the sense of Congress with respect to denial of the rights to travel and emigrate by the Socialist Republic of Romania, noting the effects of that denial in preventing the reunification of families such as the family of Napoleon Fodor.

United States · United States Congress · 5 May 1987

Declares that: (1) the Department of State should pursue with the Government of Romania the importance of permitting the reunification of families such as the family of Napoleon Fodor and of respecting the right of individuals to travel or emigrate from Romania; (2) Romania should cease to place barriers against the reunification of families and the right to travel and emigrate; and (3) Romania should give urgent consideration to such matters before the renewal of the Most-Favored-Nation trade status of Romania.

Bill· HRH.R. 2238 (100th)reported

General Aviation Standards Act of 1988

United States · United States Congress · 30 April 1987

General Aviation Standards Act of 1987 - Amends the Federal Aviation Act of 1958 (relating to aviation accident investigations) to apply such Act, with specified exceptions, to any action for damages for harm arising out of a general aviation accident brought against a general aviation manufacturer, owner, or operator of a general aviation aircraft, or a person who supports or maintains such aircraft. Establishes guidelines for uniform standards of liability of general aviation manufacturers for general aviation accidents. States that all actions for harm arising out of a general aviation accident shall be governed by the principles of comparative responsibility. Establishes, with specified exceptions, a limitation of actions period of 12 years from delivery of aircraft or harm-causing part to the purchaser for general aviation civil liability brought against a general aviation manufacturer. Declares admissible as evidence certain income tax and payroll tax liability for purposes of establishing financial harm arising out of a general aviation accident. Permits the award of punitive damages if a claimant establishes by clear and convincing evidence that the harm suffered was the direct result of conduct manifesting conscious, flagrant indifference to safety. Establishes a two-year limitation of actions period for actions arising out of a general aviation accident. Confers original jurisdiction upon the Federal district courts, concurrently with State courts, for all civil actions for harm arising out of a general aviation accident. Provides procedures for removal from State to Federal district courts of such actions. Declares that this Act supersedes any State law regarding recovery of damages for harm arising out of a general aviation accident. Declares the intent of the Congress that sanctions be strictly enforced for violations of Rule 11 of the Federal Rules of Civil Procedure, including orders to pay to the other party the reasonable costs of legal fees.

Bill· HRH.R. 2253 (100th)open

Ground Water Research, Development, and Demonstration Act

United States · United States Congress · 30 April 1987

Ground Water Research, Development, and Demonstration Act - Directs the Administrator of the Environmental Protection Agency to establish a research, development, and demonstration program for the protection, maintenance, and restoration of groundwater resources. Authorizes the Administrator to contract or cooperate with other government or private entities, including using existing Federal facilities on a reimbursable basis. Requires the Administrator to establish a media-specific research committee for groundwater resources to annually summarize major research issues, including State and local needs. Requires the Administrator to establish a standing subcommittee on groundwater resources within the Science Advisory Board established under the Environmental Research, Development, and Demonstration Act of 1978 to review and report to the Congress on the research committee's report. Directs the Administrator to carry out a program of research, evaluation, testing, development, and demonstration of practices, methods, technologies, and processes which may be effective in controlling sources or potential sources of groundwater contaminants. Authorizes the Administrator to contract out or make grants for demonstration projects selected on the basis of their potential for mitigating contaminants which pose the greatest risk to human health and the environment, their broad-based applicability, and cost effectiveness. Sets forth monitoring and quality control requirements. Authorizes the Administrator to make grants or enter into cooperative agreements or loans with State and local governments for activities under this Act, limiting the Federal share of research and survey costs. Authorizes the Administrator to research the effects of groundwater contaminants on human health, including laboratory, clinical, and epidemiological studies. Authorizes the Administrator to conduct training and establish research fellowships. Directs the Administrator to make grants to research institutions to establish and operate three groundwater research institutes for research and information dissemination. Requires such institutions to be located in areas making significant use of groundwater which has experienced significant contamination problems. Limits the Federal share of such institutional costs. Sets forth program approval procedures. Directs the Administrator to establish a national groundwater clearinghouse and a technology transfer program. Authorizes appropriations.

Resolution· HCONRESH.Con.Res. 114 (100th)referred

A concurrent resolution urging the President to implement a new policy with respect to the countries of Indochina in order to resolve the issue of American prisoners of war and Americans missing in action.

United States · United States Congress · 30 April 1987

Urges the President to restructure U.S. policy with respect to the countries of Indochina in order to secure the release of any American prisoners of war and an accounting of Americans missing in action. Recommends that: (1) the President assign to the Secretary of State the responsibility to develop and direct the implementation of this new policy; (2) an ambassador be appointed to represent the U.S. Government in all its relations with the governments of Indochina; and (3) all departments and agencies of the U.S. Government support the implementation of such policy.

Law· HRH.R. 2210 (100th)enacted

Organotin Antifouling Paint Control Act of 1988

United States · United States Congress · 29 April 1987

Organotin-Based Antifoulant Paint Control Act of 1987 - Prohibits the use on a vessel or marine structure of organization-based antifoulant paint with more than a specified release rate or of any compound containing organization which can be added to paint. Requires the Administrator of the Environmental Protection Agency to certify the release rate of organization-based antifoulant paint. Directs the Administrator to monitor and report annually to specified congressional officials on the concentrations of organization in representative estuaries. Imposes civil and criminal penalties for violations of this Act.

Bill· HRH.R. 2212 (100th)open

Global Resources, Environment, and Population Act of 1987

United States · United States Congress · 29 April 1987

Global Resources, Environment, and Population Act of 1987 - Declares public policy with respect to promoting national population stabilization and encouraging other nations to achieve population stabilization to balance population, resources, and environmental quality. Requires that Federal policies, regulations, and public laws be interpreted and administered in accordance with this Act. Directs Federal agencies to use reliable demographic, natural resource, and environmental information in planning and decisionmaking and to assist State and local governments in efforts to balance population, resources, and environmental quality. Requires Federal agencies to act to eliminate any deficient or inconsistent policy which limits or prevents compliance with this Act. Directs the agencies to recommend to the President and the Congress any administrative or legislative action deemed necessary. Requires the President, within three years of enactment of this Act, to report to the Congress on: (1) the current and foreseeable trends in national and global population size and age structure and consumption patterns, including annual figures on population increases or decreases in each nation and the level of net migration into the United States; (2) an evaluation of the adequacy of available natural resources to fulfill population requirements; (3) an evaluation of the short-term and long-term impact that such trends will have on the economy and national security of the United States; (4) a review of the effects of Federal, State, and local laws, regulations, programs, and activities on the attainment of national and global population stabilization; (5) a detailed demographic analysis of population growth, losses, or shifts in different regions of the United States and their impact on the economy, natural resources, environmental quality, and the provision of public services; (6) any destabilizing impacts which population growth and shifts may have on other nations, particularly the developing nations; (7) a summary of the findings of agency policy reviews; and (8) recommendations for legislative actions as considered necessary.

Bill· HRH.R. 2219 (100th)referred

Competitiveness Enhancement Act of 1987

United States · United States Congress · 29 April 1987

Competitiveness Enhancement Act of 1987 - Amends the Stevenson-Wydler Technology Innovation Act of 1980 to establish in the Office of Productivity, Technology and Innovation of the Department of Commerce a Center on State and Local Initiatives on Productivity, Technology, and Innovation. States that such Center shall be headed by a Director and serve as a clearinghouse on State and local initiatives to enhance the competitiveness of American businesses. Requires the Director to: (1) establish relations with State and local governments and organizations; (2) evaluate the effectiveness of State and local initiatives; and (3) collect and disseminate information. Permits the Director to contract out such evaluations as specified. Requires the Director to evaluate Federal programs, provide technical assistance to State or local governments upon request, and support generic research on stimulating productivity, technology, and innovation and evaluating such initiatives. Requires the Director to report to the Congress annually on such initiatives. Requires the Director to establish an advisory board to advise the Assistant Secretary and the Director on the activities of the Center. Authorizes appropriations.

Bill· HRH.R. 2141 (100th)open

Price-Anderson Amendments Act of 1987

United States · United States Congress · 23 April 1987

Price-Anderson Amendments Act of 1987 - Title I: Liability for Production and Utilization Facilities - Amends the Atomic Energy Act of 1954 to provide that the amount of financial protection required of licensees of facilities having a rated capacity of 100,000 electrical kilowatts or more shall be the maximum amount available at reasonable cost. Limits the maximum deferred premium that may be charged following a nuclear incident to $10,000,000 per year, per incident, for each facility required to maintain the maximum amount of primary financial protection. Establishes procedures to be followed by the Nuclear Regulatory Commission (NRC) in borrowing funds from the Treasury to compensate victims of a nuclear incident if the NRC is liable for any deferred premiums, or if damages in any year exceed the amount available to pay claims. Precludes such borrowed funds from being used to pay any cost of investigating or settling claims, or defending suits for damages. Extends from August 1, 1987, to August 1, 1997, the period in which NRC will indemnify licensees from public liability in excess of the level of financial protection required of them. Directs the Secretary of Energy to enter into indemnification agreements until August 1, 1997, with contractors who: (1) construct or operate production or utilization facilities; or (2) perform activities that may result in a nuclear incident or precautionary evacuation. Sets forth agreement guidelines. Directs the Secretary to compensate public liability claims arising from a nuclear incident resulting from certain nuclear material that is: (1) illegally diverted; or (2) cannot be traced to an insured Commission licensee. Defines "public liability" for purposes of this Act to include reasonable costs incurred by a State or its political subdivision in the course of responding to a nuclear incident or precautionary evacuation. Sets aggregate liability limits for nuclear incidents. Directs the Congress to provide full compensation to the public for all public liability claims in the event of a nuclear incident involving damages in excess of the amount of the aggregate liability limits. Sets an aggregate liability ceiling with respect to any nuclear incident occurring outside of the United States. Requires the Secretary of Energy or the NRC to survey the causes and extent of damage of any nuclear incident involving damages likely to exceed the statutory aggregate liability and report the results of such survey to the Congress, the Representatives and Senators of the affected districts and States, and the public. Requires the President to report to the Congress: (1) an estimate of the aggregate dollar value of damages exceeding the statutory limit; (2) a recommendation for additional sources of funds for such compensation; and (3) specific proposals for disbursing compensation to the public. Extends from August 1, 1987, to August 1, 1997, the NRC's authority to indemnify certain nonprofit educational institutions licensed to operate nuclear research reactors. Repeals the condition that a State statute of limitations be waived only if suit is filed within 20 years after a nuclear incident. (Thus, conditions the waiving of a statute of limitations only upon institution of a suit within three years of the date the claimant knew or reasonably could have known of the injury.) Revises the application of the waiver-of-defenses to include extraordinary nuclear occurrence involving nuclear materials licensees indemnified by the NRC. Permits the consolidation and removal of public liability actions pending on the date of enactment of this Act. Sets forth conditions under which the chief judge of the Federal district court in which claims are consolidated is authorized to establish a special caseload management panel for the coordination of cases arising out of a nuclear incident. Extends from August 1, 1983, to August 1, 1993, the deadline by which the Department and the NRC must report to the Congress on the need for continuation or modification of the Price-Anderson Act. Authorizes any person who pays deferred premium assessments to bring an action to recover such payments from any contractor (or related personnel) whose gross negligence contributed to the nuclear incident. Authorizes the NRC or the Secretary to bring an action to recover from a licensee or contractor the compensation or indemnification amounts paid by the Federal Government for public liability resulting from the gross negligence of such licensee or contractor. Prohibits the Department of Energy from reimbursing such contractors. Title II: Liability Involving Nuclear Waste - Requires the Secretary to enter into indemnification agreements with contractors for activities involving radioactive waste subject to the Nuclear Waste Policy Act of 1982, including the transportation, treatment, storage, and disposal of such waste. Sets forth such indemnification agreement guidelines. Sets forth indemnification guidelines for public liability claims arising out of activities involving transuranic waste or activities authorized under a certain Waste Isolation Pilot Project. Title III: Miscellaneous Amendments - Makes the Atomic Energy Act of 1954 applicable to any nuclear incident rather than exclusively to an extraordinary nuclear occurrence. Requires the NRC to make an annual inflation adjustment for the maximum annual standard deferred premium required under this Act. Prohibits the NRC from entering into an indemnification agreement with any one possessing a byproduct materials license for a nuclear pharmacy or a nuclear medicine department of a clinic or hospital. Requires such entities to maintain liability insurance in accordance with this Act.

Bill· HRH.R. 2165 (100th)referred

National Policy and Technology Foundation Act of 1987

United States · United States Congress · 23 April 1987

National Policy and Technology Foundation Act of 1987 - Establishes, as an independent agency, the National Policy and Technology Foundation to develop and coordinate the collection, analysis, and dissemination through existing information systems of information as it relates to national and international economies, economic and industrial trends, technological advances, and related matters. Requires the Foundation to become a repository of such information and to provide a full array of informational and statistical services as well as monitor the quality of U.S. life through economic and other indicators. Establishes in the Foundation, in order to facilitate its purposes: (1) a National Policy and Technology Board; (2) an Office of Director of the Foundation; (3) a National Information Office; (4) an Office of National Policy, Analysis, and Assessment; (5) an Office of National Programs; (6) an Office of the Professions; (7) an Office of Institutional and Human Resource Development; (8) an Office of Small Business; and (9) an Office of Intergovernmental Technology and Professions Delivery Systems. Transfers to the Foundation: (1) the National Bureau of Standards; (2) the Patent and Trademark Office; (3) the National Technical Information Service; (4) the Office of Small Business Research and Development; (5) the Directorate for Engineering; (6) the Division of Industrial Science and Technological Innovation (exclusive of the nonengineering programs of the industry/university cooperative research projects program element) of the National Science Foundation; (7) the Intergovernmental Programs section of the National Science Foundation; (8) the Office of Industrial Technology; (9) the Center for the Utilization of Federal Technology; (10) the Division of Policy Research and Analysis of the National Science Foundation; and (11) functions of the Departments of Energy and Defense, of the National Aeronautics and Space Administration, and of the Public Printer which relate to the sale of Government information to the public. Transfers to the Foundation all the functions and authorities of the National Science Foundation and the Secretary of Commerce under the Stevenson-Wydler Technology Innovation Act of 1980. Requires the Foundation to monitor and assess such information, developing indicators and evaluating the impact of such information on current or proposed policy and the impact of policy upon economic indicators. Requires the Foundation to support research and professional development. States that advisory councils covering the full range of Foundation responsibilities shall be appointed by the Director. Requires the Director to coordinate Foundation programs with other government and private programs. States that a National Foundation Coordinating Board shall be appointed. Authorizes the Foundation to award scholarships and graduate scholarships. Requires the foundation to report biennially to the Congress and the President on the activities, issues, and recommendations of the Council. Authorizes appropriations for FY 1987.

Bill· HRH.R. 2138 (100th)open

Medicare Home Health Services Improvement Act of 1987

United States · United States Congress · 22 April 1987

Medicare Home Health Services Improvement Act of 1987 - Amends title XVIII (Medicare) of the Social Security Act to permit patients to receive Medicare home health services on a daily basis for up to 60 days and longer when the patient's physician certifies that exceptional circumstances require continued daily services. Provides Medicare coverage of up to three weeks of post-hospital skilled nonskilled home health care, as long as the cost of such benefits does not exceed the cost of care in a skilled nursing facility for an equivalent period of time. Defines as "homebound" (as prerequisite of eligibility for Medicare home health services) any person who has a condition which restricts his or her ability to leave the home without support or for whom leaving the home is medically contraindicated. Provides Medicare home health coverage for homebound individuals in need of occupational therapy. (Currently, occupational therapy is included only after an individual qualifies for home health services by reason of needing skilled nursing care or speech or physical therapy.) Requires Medicare fiscal intermediaries which perform home health payment services to provide an explanation of claim denials for home health services and promptly notify the parties requesting a reconsideration of such determinations of the result of such reconsideration. Requires fiscal intermediaries to make partial payments of disputed claims when such notice has not been transmitted within 60 days of receipt of the reconsideration request. Makes an intermediary's performance on appeals of home health care payment determinations part of the Secretary of Health and Human Services' overall appraisal of the intermediary. Requires a Medicare home health agency to: (1) protect and promote the rights of each individual under its care; (2) furnish the State licensing entity with the name and social security number of any individual hired by the agency as well as information as to whether such individual has been convicted of a felony; (3) inform the State licensing entity of changes in agency ownership or control; (4) furnish items and services through licensed health professionals or persons who have completed or are enrolled in a training program which meets minimums standards established by the Secretary by July 1988; and (5) include the patient's plan of care within its clinical records. Requires an appropriate State or local agency to conduct a standard survey every nine to fifteen months and upon a change in the ownership of, or significant number of complaints against, a home health agency, of the quality of patient care provided by such agencies. Subjects home health agencies which perform poorly on such surveys to an extended survey. Directs the Secretary to evaluate the assessment process, report to the Congress on the result of such evaluation, and make appropriate modifications to such process by 1992. Requires the Secretary to develop and implement criteria and procedures for evaluating plans of correction submitted by home health agencies found out of compliance with Medicare participation requirements. Authorizes the Secretary to impose intermediate sanctions on agencies whose failure to correct deficiencies pursuant to approved plans of correction does not immediately jeopardize the health and safety of health care beneficiaries. Requires the Secretary to promulgate major Medicare rules, requirements, or policy statements through the regulatory process. Sets forth publication requirements. Directs the Secretary to publish and make available to the public without change a directory of home health agencies certified to participate in the Medical program, including certain information garnered with respect to each agency during the latest certification survey. Requires appropriate State or local agencies to maintain: (1) toll-free hotlines to receive complaints and answer questions regarding home health agencies in the State or locality; and (2) units with enforcement authority and access to consumer medical records and survey reports to investigate such complaints. Directs the Secretary to: (1) report to the Congress before 1988 on the appropriateness of reimbursing home health agencies on either a rural or urban basis rather than considering an agency's mix of urban and rural clientele; and (2) determine home health agency cost limits on the basis of recent agency cost reports.

Bill· HRH.R. 2036 (100th)referred

Stratospheric Ozone Protection Act of 1987

United States · United States Congress · 9 April 1987

Stratospheric Ozone Protection Act of 1987 - Amends the Clean Air Act to direct the Administrator of the Environmental Protection Agency to promulgate regulations controlling aggregate emissions of fully halogenated alkanes from the United States, setting a schedule which ultimately requires a 95 percent reduction from 1986 levels within seven years of enactment. Sets forth an emissions calculation formula which multiplies each fully halogenated alkane by its ozone depletion weight, adjusting aggregate amounts for imports, exports, production, and destruction or encapsulation. Requires the Administrator to establish a monitoring network to detect or predict modifications in the ozone layer. Requires the Administrator to conduct a detailed scientific assessment before implementing each stage of required reductions, adjusting the control measures as necessary. Prohibits, within one year of enactment, the import of fully halogenated alkanes in bulk from any nation without sufficiently stringent control measures. Prohibits, within three years of enactment, the import of all products containing fully halogenated alkanes from any nonequivalent nation. Sets forth a schedule of trade restrictions concerning the import or export of such alkanes, the technologies used to produce them, and the products produced by them. Requires the Administrator to report to the Congress annually on aggregate emissions and compliance. Sets forth enforcement provisions, including provisions allowing citizen suits.

Bill· HRH.R. 2017 (100th)referred

Sugar Program Improvements Act of 1987

United States · United States Congress · 8 April 1987

Sugar Program Improvements Act of 1987 - Amends the Food Security Act of 1985 to set sugar price supports at 12 cents per pound through 1991. (Current price support levels are 18 cents per pound through 1990.) Limits payments to persons who produced 1985 or 1986 sugarcane or sugar beet crops and who produced sugarcane or sugar beets from at least two of the 1982 through 1984 crops. Sets forth payment rate provisions.

Resolution· HRESH.Res. 141 (100th)passed

A resolution calling for the immediate release of all the children detained under the state of emergency regulations in South Africa.

United States · United States Congress · 8 April 1987

Declares that the House of Representatives: (1) calls for the immediate release of all the children detained under state of emergency regulations in South Africa; and (2) pending the release of the children, calls on South Africa to permit parental access to the children, make public their names and their location, provide them with adequate food, clothing, and protection, and permit an international organization to verify the above and make sure that such children are not abused or tortured.

Bill· HRH.R. 1961 (100th)reported

Pension Portability Act of 1988

United States · United States Congress · 7 April 1987

Pension Portability Act of 1987 - Title I: Rules Generally Applicable to Simplified Employee Pensions - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to define a "simplified employee pension plan" as a pension plan consisting of one or more individual retirement accounts or annuities that meet certain requirements of the Internal Revenue Code. Directs the Secretary of Labor to prescribe an alternative method of compliance with requirements for simplified employee pension plans. Establishes participation and vesting requirements for such plans. Requires each simplified employee pension plan and portable pension plan to provide that: (1) the distribution of the accrued benefit with respect to each participant will be only in a permitted retirement income form; (2) no distribution may be made without the consent of the participant or beneficiary; and (3) the benefit will be distributed in accordance with a timely application in accordance with the terms of the plan. Describes a standard retirement income form for simplified employee pension plans as: (1) a qualified joint and survivor annuity; (2) any other joint life annuity, including a cash refund annuity; (3) a single life annuity, including a refund annuity; or (4) any series of substantially equal periodic payments described under the Internal Revenue Code. Allows participants to elect a form of distribution other than distribution over life expectancy, if such spousal consent requirements are met. Requires the administrator of a simplified employee pension plan, prior to making a distribution, to provide to the individual who is to receive the distribution a written explanation of: (1) the provisions under which the distribution may be subject to tax or penalty under the Internal Revenue Code; and (2) the terms and conditions of the applicable permitted retirement income form, the participant's rights with respect to electing other forms of distribution, and spousal rights. Declares that for simplified employee pension plans a beneficiary means a spouse of the participant or any other person designated by the participant or by the terms of the plan. Specifies conditions under which spousal consent requirements are to be met. Amends the Internal Revenue Code to make conforming amendments. Exempts simplified employee pension plans from specified funding provisions of ERISA. Authorizes employees to elect alternative salary reduction arrangements under such plans where the employer may make elective contributions to the pension on behalf of the employee or directly to the employee in cash for any year. Specifies the maximum salary reduction amount. Establishes rules governing employer contributions, including participation requirements, the method of determining employer contributions and compensation amounts, and tax reporting requirements. Allows employees to establish simplified employee pension plans with respect to separate lines of business. Title II: Portable Pensions - Amends the Internal Revenue Code and ERISA to define a portable pension plan as an arrangement of one or more individual retirement accounts or annuities which: (1) meets the requirements of a simplified employee pension; and (2) provides for the transfer of plan investment accumulations to other tax-qualified plans. Makes provisions relating to favorable tax treatment inapplicable to cash distributions from rollovers from portable pension plans. Preserves the five-year income averaging treatment for lump sum distributions from portable pension plans which are separately accounted for under such plans. Provides that amounts exceeding the maximum rollover allowable shall not be taxable if such amounts are transferred to a portable pension plan in a direct trustee-to-trustee transfer. Establishes special rules for portable pension plans under ERISA. Relieves the administrators of such plans of liability for reliance in good faith on information provided by an employer, participant, or beneficiary which constitutes a misrepresentation or mistake of fact. Sets forth the responsibilities of the plan sponsor, administrator, and employer. Requires a portable pension plan to: (1) meet employee self-directed account regulations; (2) designate a fiduciary; and (3) provide at least one investment option in U.S. securities. Directs the Secretary and the Secretary of the Treasury to prescribe by regulation one or more prototype portable pension plans. Amends ERISA and the Internal Revenue Code to provide for the direct transfer to a portable pension plan from any other pension plan of the entire nonforfeitable benefit of a participant under such other pension plan.

Bill· HRH.R. 1962 (100th)open

Pension Portability Act of 1987

United States · United States Congress · 7 April 1987

Pension Portability Act of 1987 - Title I: Rules Generally Applicable to Simplified Employee Pensions - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to define a "simplified employee pension plan" as a pension plan consisting of one or more individual retirement accounts or annuities that meet certain requirements of the Internal Revenue Code. Directs the Secretary of Labor to prescribe an alternative method of compliance with requirements for simplified employee pension plans. Establishes participation and vesting requirements for such plans. Requires each simplified employee pension plan and portable pension plan to provide that: (1) the distribution of the accrued benefit with respect to each participant will be only in a permitted retirement income form; (2) no distribution may be made without the consent of the participant or beneficiary; and (3) the benefit will be distributed in accordance with a timely application in accordance with the terms of the plan. Describes a standard retirement income form for simplified employee pension plans as: (1) a qualified joint and survivor annuity; (2) any other joint life annuity, including a cash refund annuity; (3) a single life annuity, including a refund annuity; or (4) any series of substantially equal periodic payments described under the Internal Revenue Code. Allows participants to elect a form of distribution other than distribution over life expectancy, if such spousal consent requirements are met. Requires the administrator of a simplified employee pension plan, prior to making a distribution, to provide to the individual who is to receive the distribution a written explanation of: (1) the provisions under which the distribution may be subject to tax or penalty under the Internal Revenue Code; and (2) the terms and conditions of the applicable permitted retirement income form, the participant's rights with respect to electing other forms of distribution, and spousal rights. Declares that for simplified employee pension plans a beneficiary means a spouse of the participant or any other person designated by the participant or by the terms of the plan. Specifies conditions under which spousal consent requirements are met. Exempts simplified employee pension plans from specified funding provisions of ERISA. Title II: Portable Pensions - Amends ERISA to define a portable pension plan as an arrangement of one or more individual retirement accounts or annuities which: (1) meets the requirements of a simplified employee pension; and (2) provides for the transfer of plan investment accumulations to other tax-qualified plans. Establishes special rules for portable pension plans under ERISA. Relieves the administrators of such plans of liability for reliance in good faith on information provided by an employer, participant, or beneficiary which constitutes a misrepresentation or mistake of fact. Sets forth the responsibilities of the plan sponsor, administrator, and employer. Requires a portable pension plan to: (1) meet employee self-directed account regulations; (2) designate a fiduciary; and (3) provide at least one investment option in U.S. securities. Directs the Secretary and the Secretary of the Treasury to prescribe by regulation one or more prototype portable pension plans. Amends ERISA to provide for the direct transfer to a portable pension plan from any other pension plan of the entire nonforfeitable benefit of a participant under such other pension plan.

Bill· HRH.R. 1940 (100th)open

Indochinese Refugee Resettlement and Protection Act of 1987

United States · United States Congress · 6 April 1987

Indochinese Refugee Resettlement and Protection Act of 1987 - Amends the Immigration and Nationality Act to establish a specific time period in which the President must consult with the Congress regarding emergency refugee admissions. States that the Secretary of State shall have sole authority to admit certain South Asian refugees. Prohibits denial of refugee status to aliens who are otherwise eligible for immigrant classification. Allocates a specified number of FY 1988 through 1990 refugee admissions for: (1) East Asians; and (2) the Orderly Departure Program (from Vietnam). Expresses the sense of the Congress that under the leadership of the United States renewed efforts should be made to settle Indochinese refugees who have lived in camps for at least three years. Allocates specified numbers of FY 1988 through 1990 East Asian entries for: (1) persons who have lived in refugee camps for at least three years; and (2) other camp residents. Amends the Foreign Assistance Act of 1961 to allocate specified amounts from FY 1988 and 1989 authorizations for education, economic, and military training border projects in Thailand. Expresses the sense of the Congress that the international community should increase efforts to protect Indochinese refugee camps in Thailand from cross-border attacks, and that international personnel should be present on a 24-hour-a-day basis at camp "Site 2" in Thailand.

Resolution· HRESH.Res. 138 (100th)referred

A resolution to express the sense of the House of Representatives that the Nuclear Regulatory Commission should preserve the role of State and local government in radiological emergency planning in the nuclear licensing process.

United States · United States Congress · 6 April 1987

Expresses the sense of the House of Representatives that for each nuclear power plant that does not currently possess a full-power operating license, the Nuclear Regulatory Commission should apply its regulations so that such a license may be issued only if all of the Commission's emergency planning requirements are met. Includes in such requirements: (1) submission of off-site emergency plans to the Commission by State and local governments; and (2) a finding by the Federal Emergency Management Agency, and a determination by the Commission, that such plans and emergency preparedness are deemed adequate to protect the public safety in the event of a serious reactor accident.

Bill· HRH.R. 1928 (100th)open

Small Business Trade Competitiveness and Innovation Act

United States · United States Congress · 2 April 1987

Small Business Trade Competitiveness and Innovation Act - Amends the Small Business Act to require the Office of International Trade (OIT) to work with relevant Federal agencies, Small Business Development Centers, local Small Business Administration (SBA) offices, small businesses, and State and local export promotion programs to: (1) develop a distribution network for trade promotion, finance, adjustment, and data collection programs through use of the SBA's regional and local offices and the Small Business Development Center (SBDC) network; and (2) market such programs and disseminate marketing information to small businesses. Requires the OIT to promote sales opportunities for small business goods and services abroad by: (1) developing a mechanism for identifying subsectors of the small business community with strong export potential, identifying areas of demand in foreign markets, prescreening foreign buyers for commercial and credit purposes, and disseminating information linking potential sellers and buyers; (2) assisting small businesses in the formation of export trading companies, export management companies, and research and development pools; (3) establishing a pilot program for the provision of translation services; and (4) working with the Department of Commerce to develop data collection systems for small businesses, improve the utility and accessibility of export promotion programs, increase the accessibility of the Export Trading Company facilitating service, and alleviate obstacles in the export licensing system for small high technology companies. Directs the OIT to: (1) work with the Export-Import Bank and small businesses to develop a program to identify, market, and increase the access of small businesses to export financing programs of the Bank and the SBA; (2) establish a Trade Assistance Division to assist small businesses in trade remedy proceedings; and (3) establish a committee to develop mechanisms for providing assistance to small businesses regarding export control policy and export licensing procedures. Directs the OIT to: (1) submit semiannual reports to the House and Senate Committees on Small Business on the implementation of such requirements; and (2) undertake and report to such Committees within six months on specified studies pertaining to small business exports. Authorizes the SBA to provide extensions and revolving lines of credit for export purposes and pre-export financing to small business concerns for periods not exceeding three years. Directs the SBA, when considering loan or guarantee applications, to give weight to export-related benefits. Authorizes additional grants to applicants already funded as SBDCs to be used solely to develop exports by small businesses or to assist in technology transfer. Authorizes appropriations. Authorizes the use of grant funds by SBDCs for management and technical assistance regarding export promotion and technology transfer. Directs SBDCs to work with the SBA's local offices, small businesses, and appropriate agencies to disseminate information on trade promotion, finance, adjustment, and data collection programs for small businesses. Includes among SBDC services: (1) developing new networks for technology transfer that encourage partnership between the small business and academic communities; (2) assisting small businesses in developing export markets, obtaining export financing, and implementing marketing and production strategies to better compete within the domestic market; (3) developing a program to serve as a distribution network and service delivery mechanism for Bank financing programs; (4) developing computer software for distribution to small firms aimed at enhancing their export capabilities; and (5) making translation services more readily available to small businesses doing business in foreign markets. Requires the Deputy Associate Administrator of the SBDC Program to implement mechanisms for the sharing of information between SBDCs or between SBDCs and program applicants. Directs SBDCs to work with the relevant State agency to develop a comprehensive plan for enhancing the export potential of small businesses in that State. Authorizes the SBA to guarantee industrial mortgage loans not exceeding $1,000,000 to assist small businesses in the production of goods and services involved in international trade where such loans are sold off into the secondary market. Specifies limitations on SBA participation in such loans on a deferred basis. Directs the SBA Administrator to report to the House and Senate Committees on Small Business on: (1) the viability of creating cooperative Federal-State guarantee programs, particularly for purposes of export financing, to encourage States to coinsure Federal loans; (2) amending the Small Business Innovation Research program to increase each agency's share of research and development expenditures and target products with export potential, make the program permanent with a congressional review every ten years, allocate an appropriate share of each agency's program fund for administrative purposes, determine annually each agency's compliance with laws concerning program funding, and create pooled solicitations of subjects submitted by small agencies expending $20,000,000 to $100,000,000 for extramural research and development; and (3) the effect of increased outsourcing on U.S. subcontractors, the impact of specific economic policies in facilitating outsourcing and other internationalized production arrangements, and recommendations for changes in Government policy to improve the competitive position of small U.S. subcontractors. Requires the SBA to conduct a National Conference on Small Business Exports during 1988. Directs the Conference to make recommendations regarding a subsequent International Summit on Small Business and Trade that would help develop a consensus regarding international and national institutional and policy changes necessary to build an international small business sector capable of long-term growth.

Bill· HRH.R. 1854 (100th)open

Small Business Trade Competitiveness and Innovation Act

United States · United States Congress · 30 March 1987

Small Business Trade Competitiveness and Innovation Act - Amends the Small Business Act to require the Office of International Trade (OIT) to work with relevant Federal agencies, Small Business Development Centers, local Small Business Administration (SBA) offices, small businesses, and State and local export promotion programs to: (1) develop a distribution network for trade promotion, finance, adjustment, and data collection programs through use of the SBA's regional and local offices and the Small Business Development Center (SBDC) network; and (2) market such programs and disseminate marketing information to small businesses. Requires the OIT to promote sales opportunities for small business goods and services abroad by: (1) developing a mechanism for identifying subsectors of the small business community with strong export potential, identifying areas of demand in foreign markets, prescreening foreign buyers for commercial and credit purposes, and disseminating information linking potential sellers and buyers; (2) assisting small businesses in the formation of export trading companies, export management companies, and research and development pools; (3) establishing a pilot program for the provision of translation services; and (4) working with the Department of Commerce to develop data collection systems for small businesses, improve the utility and accessibility of export promotion programs, increase the accessibility of the Export Trading Company facilitating service, and alleviate obstacles in the export licensing system for small high technology companies. Directs the OIT to: (1) work with the Export-Import Bank and small businesses to develop a program to identify, market, and increase the access of small businesses to export financing programs of the Bank and the SBA; (2) establish a Trade Assistance Division to assist small businesses in trade remedy proceedings; and (3) establish a committee to develop mechanisms for providing assistance to small businesses regarding export control policy and export licensing procedures. Directs the OIT to: (1) submit semiannual reports to the House and Senate Committees on Small Business on the implementation of such requirements; and (2) undertake and report to such Committees within six months on specified studies pertaining to small business exports. Authorizes the SBA to provide extensions and revolving lines of credit for export purposes and pre-export financing to small business concerns for periods not exceeding three years. Directs the SBA, when considering loan or guarantee applications, to give weight to export-related benefits. Authorizes additional grants to applicants already funded as SBDCs to be used solely to develop exports by small businesses or to assist in technology transfer. Authorizes appropriations. Authorizes the use of grant funds by SBDCs for management and technical assistance regarding export promotion and technology transfer. Directs SBDCs to work with the SBA's local offices, small businesses, and appropriate agencies to disseminate information on trade promotion, finance, adjustment, and data collection programs for small businesses. Includes among SBDC services: (1) developing new networks for technology transfer that encourage partnership between the small business and academic communities; (2) assisting small businesses in developing export markets, obtaining export financing, and implementing marketing and production strategies to better compete within the domestic market; (3) developing a program to serve as a distribution network and service delivery mechanism for Bank financing programs; (4) developing computer software for distribution to small firms aimed at enhancing their export capabilities; and (5) making translation services more readily available to small businesses doing business in foreign markets. Requires the Deputy Associate Administrator of the SBDC Program to implement mechanisms for the sharing of information between SBDCs or between SBDCs and program applicants. Directs SBDCs to work with the relevant State agency to develop a comprehensive plan for enhancing the export potential of small businesses in that State. Authorizes the SBA to guarantee industrial mortgage loans not exceeding $1,000,000 to assist small businesses in the production of goods and services involved in international trade where such loans are sold off into the secondary market. Specifies limitations on SBA participation in such loans on a deferred basis. Directs the SBA Administrator to report to the House and Senate Committees on Small Business on: (1) the viability of creating cooperative Federal-State guarantee programs, particularly for purposes of export financing, to encourage States to coinsure Federal loans; (2) amending the Small Business Innovation Research program to increase each agency's share of research and development expenditures and target products with export potential, make the program permanent with a congressional review every ten years, allocate an appropriate share of each agency's program fund for administrative purposes, determine annually each agency's compliance with laws concerning program funding, and create pooled solicitations of subjects submitted by small agencies expending $20,000,000 to $100,000,000 for extramural research and development; and (3) the effect of increased outsourcing on U.S. subcontractors, the impact of specific economic policies in facilitating outsourcing and other internationalized production arrangements, and recommendations for changes in Government policy to improve the competitive position of small U.S. subcontractors. Requires the SBA to conduct a National Conference on Small Business Exports during 1988. Directs the Conference to make recommendations regarding a subsequent International Summit on Small Business and Trade that would help develop a consensus regarding international and national institutional and policy changes necessary to build an international small business sector capable of long-term growth.

Law· HRH.R. 1841 (100th)enacted

Commercial Fishing Industry Vessel Safety Act of 1988

United States · United States Congress · 26 March 1987

Commercial Fishing Industry Vessel Safety and Compensation Act of 1987 - Title I: Compensation for Temporary Injury on Fishing Industry Vessels - Amends Federal law to limit the liability of an employer for the temporary illness, injury, or disability of a seaman employed on a fishing, fish tender, or fish processing vessel as long as the employer has in effect certain prescribed minimum illness or injury maintenance coverage. Requires the Secretary of Transportation to annually review the dollar figure representing the annual minimum payment for a seaman's illness or disability, and to make certain adjustments to such figure if necessary. Requires a seaman to bring an action to obtain such coverage within two years from the date the cause of action accrued. Title II: Commercial Fishing Industry Vessel Safety - Amends Federal law concerning fishing vessels to prescribe and require the prescription of certain safety standards on all fishing, fish tender, or fish processing vessels. Defines the international equivalent of such required vessel safety standards. Authorizes the appropriate safety official to take action with respect to vessels operating in an unsafe condition or in violation of standards set forth under this Act. Authorizes the Secretary to exempt certain vessels from such standards for good cause shown. Imposes civil and criminal penalties for violations of this Act. Directs the Secretary to establish a Commercial Fishing Industry Vessel Advisory Committee (the Committee) to advise, consult with, report to, and make recommendations to the Secretary concerning various vessel safety matters. Directs the Secretary, at least once a year, to publish a notice soliciting nominations for membership on the Committee. Directs the Secretary to designate a representative to participate as an observor with the Committee. Requires the Secretary to consult with the Committee before taking specified action affecting fishing, fish tender, or fish processing vessels. Terminates such Committee on September 30, 1992. Requires the Committee, two years prior to such termination, to recommend to the Congress whether the Committee should be renewed and continue beyond the termination date. Requires the Secretary to compile statistics concerning marine casualties in connection with fishing, fish tender, or fish processing vessels. Requires a person underwriting insurance for such vessels to periodically submit to the Secretary certain data regarding marine casualties. Provides penalties for those persons failing to provide such data.

Bill· HRH.R. 1802 (100th)referred

A bill to promote the integration of women in the development process in developing countries.

United States · United States Congress · 25 March 1987

Requires the Administrator of the Agency for International Development to: (1) develop and implement a plan to provide training for all Washington and mission-based professional staff that provides guidance on strategies for incorporating women in the planning, design, and management of the Agency's development activities; (2) develop an Agency-wide action plan for implementation of the Women in Development policy guidelines; (3) develop and implement a comprehensive strategy for providing appropriate extension and related services to low-resource women who are engaged in subsistence or cash crop production; (4) develop and implement a strategy for providing training, technical assistance, credit, and other services to strengthen the managerial skills and capabilities for women; and (5) increase training opportunities for women and set the target that a minimum of 40 percent of participant trainees be women by the year 1992, with appropriate geographical representation. Amends the Foreign Assistance Act of 1961 to require that a minimum of $5,000,000 of funds made available for foreign assistance programs be used for programs to promote the participation and integration of women in the development process in developing countries. (Present law places a maximum of $10,000,000 on the use of such funds.) Authorizes appropriations to be made available for the United Nations Development Fund for Women. Requires the Secretary of the Treasury to instruct the U.S. Executive Director of the International Bank for Reconstruction and Development (World Bank) to: (1) propose that the Bank establish policy guidelines and implement an action plan to integrate women in the planning, design, implementation, management, and evaluation of Bank activities; and (2) report to the Congress on the implementation of that plan.

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. 1737 (100th)open

Small Business Trade Remedies Act of 1987

United States · United States Congress · 19 March 1987

Small Business Trade Remedies Act of 1987 - Directs the Administrator of the Small Business Administration to establish within the Small Business Administration's Advocacy Office the Small Business Trade Remedies Office. Provides that the functions of the Office are to assist small businesses by preparing, initiating, and participating in proceedings relating to the administration of U.S. trade laws. Amends the Tariff Act of 1930 to require the International Trade Commission (ITC), with respect to countervailing and antidumping duty investigations, to make determinations concerning whether a U.S. small business has been materially injured by reason of imported merchandise upon information (available at the time of the determination) which was provided by the parties to the investigation or generally available to the public. (Previously, determinations were based upon the best information available to the Commission at the time of the determination.) Sets forth special rules the ITC must use in making determinations as to material injury to U.S. small businesses in countervailing and antidumping duty investigations.

Resolution· HRESH.Res. 127 (100th)passed

A resolution relating to the semiconductor antidumping enforcement agreement.

United States · United States Congress · 19 March 1987

Expresses the sense of the House of Representatives that: (1) the President should take appropriate actions under the Trade Act of 1974 to remedy and prevent further violation of the U.S.-Japan agreement on semiconductors by Japan, to induce compliance, to compensate the United States for the harm suffered because of non-compliance by Japan, and to prevent further injury to the United States; (2) such actions should serve to increase international semiconductor trade and help enforce commitments and achieve the objectives of the agreement; (3) such actions should penalize those who have acted inconsistently with the agreement; and (4) such actions may be directed at products which contain semiconductors.

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. 1708 (100th)referred

Information Dissemination and Research Accountability Act

United States · United States Congress · 18 March 1987

Information Dissemination and Research Accountability Act - Establishes in the National Library of Medicine a National Center for Research Accountability to assist in eliminating duplication of effort in Federal research proposals involving live animals. Directs the President to appoint as members of the Center 20 experts in the biomedical information sciences who are currently employed by a Federal agency in a capacity which qualifies them to make determinations as to whether research proposals involving live animals are duplicative of other research efforts. Sets forth provisions for a Director of the Center. Prohibits Federal agencies from carrying out or funding any research proposal involving live animals unless the proposal is submitted to the Center following agency approval. Prohibits Federal funding of any such proposal which the Center determines would duplicate other research completed or in process. Authorizes the Center to contract with private entities to assist in the conduct of comprehensive full-text literature searches. Directs the President to establish rules to preclude any conflict of interest in the awarding of such contracts. Authorizes the President to appoint uncompensated advisors to the Members of the Center. Directs the Center to report annually to the President and the Congress. Provides for modernization of biomedical information storage and dissemination by the National Library of Medicine. Directs the Library to: (1) acquire, in full-text form, all biomedical information owned or available for use by Federal agencies (except information already in the Library or classified for national security reasons); (2) transcribe and store in full-text all such information acquired by the Library after January 1, 1960; (3) translate into English all foreign-language biomedical information owned or used by the Library; (4) make available through modern technologies, at cost, to medical libraries all full-text biomedical information in its collection; (5) support, by grants and contracts, the creation of new information for teaching and demonstrations, including audiovisual aids and computer graphics technologies; (6) make available, at cost, such new information to research and teaching institutions; and (7) increase the number of persons trained in modern methods of biomedical information storage and dissemination technologies by making available stipends, awards, and grants to persons engaged in such training. Provides that the cost to those requesting such biomedical or such teaching and demonstration information shall include the Federal expenses incurred in acquiring and making it available. Authorizes the Library to award contracts to the private-sector data recording industry to improve: (1) the development of technologies for storage and dissemination of full-text biomedical information; and (2) dissemination of such information to medical libraries for research use. Authorizes the Secretary of Health and Human Services to appoint uncompensated advisors to the Library for purposes of this Act. Requires the Library to report annually to the Congress on its progress. Authorizes appropriations for FY 1986 and thereafter.

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.

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. 1635 (100th)open

Consumer Products Safe Testing Act

United States · United States Congress · 17 March 1987

Consumer Products Safe Testing Act - Expresses congressional findings that: (1) the Federal Government has encouraged the use of the LD50 test through regulations which mandate or encourage its use or do not prescribe other less costly, more accurate, and more humane alternatives; and (2) private industry is reluctant to use these other tests without Federal Government encouragement. (LD50 is a procedure whereby toxicity is measured in terms of the median dose that will kill 50 percent of the test animals within a specified time.) Prohibits Federal department or agency heads from considering LD50 test results when determining product safety, labeling, or transportation requirements for purposes of Federal regulation. Requires Federal department and agency heads to: (1) review and evaluate directives that call for the use of an animal toxicity test; and (2) promulgate regulations specifying the use of nonanimal alternatives. Permits the use of animal toxicity tests under certain conditions. Requires that animal toxicity testing regulations be subject to periodic agency review and to public comment in certain cases.

Bill· HRH.R. 1632 (100th)open

Oil Pollution Liability and Compensation Act of 1987

United States · United States Congress · 17 March 1987

Oil Pollution Liability and Compensation Act of 1987 - Title I: Oil Pollution Liability and Compensation - Imposes joint, several, and strict liability for specified removal costs and damages upon the party responsible for a vessel or facility from which oil is either discharged into certain waters, or which poses a substantial threat of such a discharge. Exempts from such liability certain discharges permitted under Federal law. Defines conditions under which a mobile offshore drilling unit will be treated as either a tanker or as a facility for purposes of determining responsibility or excess liability. Sets forth defenses to liability under this Act. Sets forth limits to liability under this Act, with specified exceptions. Authorizes the Secretary of Transportation to establish by regulation a maximum liability limit. Requires the Secretary to report to the Congress from time to time regarding liability adjustments. Defines circumstances under which liability for injury to natural resources shall be to either: (1) the United States; (2) the affected State; or (3) a foreign government. Sets forth recovery and indemnification procedures. Sets forth the uses of the Oil Spill Liability Trust Fund (the Fund) including: (1) payment of removal costs and administrative expenses; and (2) contributions to the International Fund. Sets forth defenses to liability for such Fund and a specified maximum amount which may be paid from the Fund. Confers rights of subrogation upon the United States for payment of any claim by the Fund. Sets forth a claims procedure for removal costs or damages. Requires the Secretary to designate the source of a discharge (or potential discharge), and to immediately notify the responsible party or guarantor of such designation. Sets forth the advertisement procedures to be followed by such a designee or guarantor. Grants subrogation rights to any person (including the Fund) who pays compensation under this Act to any claimant for costs or damages. Requires the party responsible for certain vessels over 300 gross tons to establish and maintain evidence of financial responsibility to meet maximum liability limits. Requires the Secretary of the Treasury to withhold or revoke the clearance of any vessel which fails to certify such financial responsibility. Sets forth circumstances under which such vessels may have entry into U.S. ports or waters denied, or have their oil cargo seized. Imposes a civil penalty for failure to comply with the financial responsibility requirement. Restricts judicial review of any regulation promulgated under this Act to the Circuit Court of Appeals for the District of Columbia. Grants the district courts original jurisdiction over all actions arising under this Act. Sets forth a limitation period for actions for removal costs, damages, or contribution. Title II: Conforming Amendments - Sets forth conforming amendments to certain related statutes. Title III: Implementation of International Conventions - States that during any period in which the Civil Liability Convention and the Fund Convention are in force with respect to the United States, owner liability for pollution damage arising from a ship-related incident shall be determined according to such Conventions. Grants recognition to the International Oil Pollution Compensation Fund as a legal person under Federal law, and deems the Director of such Fund to have irrevocably appointed the Secretary of State as the Fund's agent for service of process for legal proceedings involving the Fund within the United States. Exempts such Fund and its assets from all direct taxation in the United States. Provides that certain required contributions with respect to oil received in the United States shall be paid to the International Fund from the Oil Spill Compensation Fund. Grants recognition of any final judgment of a court of any country which is a party to either the Civil Liability Convention or the Fund Convention. Sets forth the financial responsibility requirements of ship-owners whose vessels are subject to the Civil Liability Convention. Imposes specified sanctions and civil penalties upon persons violating the financial responsibility requirements. Waives all U.S. defenses based upon sovereign immunity with respect to any controversy arising under the Civil Liability Convention or the Fund Convention relating to any ship owned by the United States and used for commercial purposes. Authorizes the Secretary to prescribe regulations to implement this Act, and all Federal obligations under the specified Oil Pollution Conventions.

Bill· HRH.R. 1583 (100th)open

Defense Savings Act

United States · United States Congress · 12 March 1987

Defense Savings Act - Establishes the Bipartisan Commission on the Consolidation of Military Bases (the Commission) to: (1) review the military importance of all major military installations; and (2) identify which such installations can be closed or realigned without impairing the security of the United States. Outlines administrative procedures concerning membership, staff, meetings, and powers of the Commission. Directs the Commission, within 180 days after the enactment of this Act, to submit to the President, the Secretary of Defense, and each House of the Congress a final report on the findings and conclusions of the Commission. Terminates the Commission 30 days after the submission of such report. Authorizes the Secretary of Defense to take certain specified action with respect to the implementation of the Commission's recommendations.

Bill· HRH.R. 1580 (100th)open

Anti-Apartheid Act Amendments of 1988

United States · United States Congress · 12 March 1987

Prohibits any investments in South Africa by U.S. persons. Prohibits the importation into the United States of any article from South Africa, except for strategic minerals which the President certifies to the Congress are essential for military uses, are not sufficiently available from domestic supplies, and for which no substitutes are available. Prohibits the exportation to South Africa of any goods, technology, or other information subject to U.S. jurisdiction. Prohibits any such exportation by any person subject to U.S. jurisdiction. Exempts from such prohibition certain medical supplies and food. Directs the Secretary of Transportation to prohibit the takeoff and landing of any aircraft except for emergencies by a foreign air carrier owned by South Africa or South African nationals. Prohibits the importation into the United States of any South African gold coin. Prohibits any U.S. depository institution from accepting, receiving, or holding a deposit account from South Africa. Prohibits the United States from engaging in any military or intelligence activities in cooperation with South Africa. Authorizes the President to limit imports into the United States from a foreign country to the extent that such foreign country benefits from, or takes commercial advantage of, any prohibition imposed by this Act. Provides for the enforcement of this Act. Repeals the Comprehensive Anti-Apartheid Act of 1986 and the amendments made by that Act to the Foreign Assistance Act of 1961 and the Export-Import Bank Act of 1945.

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. 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· HRH.R. 1563 (100th)referred

A bill to amend the Internal Revenue Code of 1986 to disallow any deduction for advertising or other promotion expenses with respect to sales of tobacco and tobacco products.

United States · United States Congress · 11 March 1987

Amends the Internal Revenue Code to disallow an income tax deduction for any tobacco and tobacco product sale promotion expenses. Defines "tobacco and tobacco products" as any small cigarette, large cigarette, cigar, or smokeless tobacco product, including snuff and chewing tobacco.

Bill· HRH.R. 1516 (100th)open

Tongass Timber Reform Act

United States · United States Congress · 10 March 1987

Tongass Timber Reform Act - Amends the Alaska National Interest Lands Conservation Act to repeal the ongoing appropriations for timber utilization in the Tongass National Forest, Alaska. Repeals the requirement for identifying lands unsuitable for timber production in such forest. Repeals the reporting requirement on the adequacy of timber supply from such forest lands. Requires the biennial report on such Forest to include the impact of timber management on subsistence resources, wildlife, and fisheries habitats.

Bill· HRH.R. 1512 (100th)open

Idaho Wilderness Act

United States · United States Congress · 10 March 1987

Idaho Wilderness Act - Designates the following lands in Idaho as components of the National Wilderness Preservation System: (1) the Salmo-Priest Wilderness in the Panhandle National Forest; (2) the Long Canyon-Selkirk Crest Wilderness in the Panhandle National Forest; (3) the Scotchman's Peak Wilderness in the Panhandle National Forest; (4) the Grandmother Mountain Wilderness in the Panhandle National Forest; (5) the Mallard-Larkins Wilderness in the Panhandle and Clearwater National Forests; (6) the Great Burn Wilderness in the Clearwater National Forest; (7) the Moose Mountain Wilderness in the Clearwater National Forest; (8) the Elk Summit Wilderness in the Clearwater National Forest; (9) the North Fork Clearwater Wilderness in the Clearwater National Forest; (10) the Fish and Hungry Creeks Wilderness in the Clearwater National Forest; (11) the Rapid River Wilderness in the Payette National Forest; (12) the Salmon River Breaks Wilderness in the Payette National Forest; (13) the Snowbank Mountain Wilderness in the Payette and Boise National Forests; (14) the Payette Crest Wilderness in the Payette and Boise National Forests; (15) the Peace Rock Wilderness in the Boise National Forest; (16) the Deadwood River Wilderness in the Boise National Forest; (17) the Breadwinner Wilderness in the Boise National Forest; (18) the Lime Creek Wilderness in the Boise National Forest; (19) the Red Mountain Wilderness in the Boise National Forest; (20) the Sawtooth Completion Wilderness in the Boise, Sawtooth, and Challis National Forests; (21) the Smoky Mountain Wilderness in the Boise and Sawtooth National Forests; (22) the Trinities Wilderness in the Boise National Forest; (23) the Danskin-South Fork Boise River Wilderness in the Boise National Forest; (24) the Pioneer Wilderness in the Sawtooth and Challis National Forests; (25) the Cache Peak Wilderness in the Sawtooth National Forest; (26) the Boulder-White Clouds Wilderness in the Sawtooth and Challis National Forests and the Salmon District; (27) the Borah Peak Wilderness in the Challis National Forest; (28) the King Mountain Wilderness in the Challis National Forest; (29) the Pahsimeroi Wilderness in the Challis National Forest; (30) the North Lemhi's Wilderness in the Salmon and Challis National Forests; (31) the West Bigholes Wilderness in the Salmon National Forest; (32) the Diamond Peak Wilderness in the Targhee, Salmon, and Challis National Forests; (33) the Italian Peaks Wilderness in the Targhee, Salmon, and Challis National Forest; (34) the Lionhead Wilderness in the Targhee National Forest; (35) the Centennial Mountains Wilderness in the Targhee National Forest; (36) the Garns Mountain Wilderness in the Targhee National Forest; (37) the Palisades Wilderness in the Targhee National Forest; (38) the Bear Creek Wilderness in the Targhee National Forest; (39) the Cache Crest Wilderness in the Caribou National Forest; (40) the Mt. Naomi Wilderness in the Caribou National Forest; (41) the Caribou Wilderness in the Caribou National Forest; and (42) the Stump Creek Wilderness in the Caribou National Forest. Permits livestock grazing in the North Lemhi's Wilderness. Provides that the RARE II (second roadless area review and evaluation) final environmental statement (dated January 1979) with respect to national forest system lands in Idaho shall not be subject to judicial review. Releases national forest system lands in Idaho which were reviewed in the RARE II program from further review by the Department of Agriculture, pending the revision of initial national forest management plans. Releases lands in Idaho reviewed in the RARE II program and not designated as wilderness from management as wilderness areas. Prohibits the Department of Agriculture from conducting any further statewide roadless area review and evaluation of national forest system lands in Idaho without express congressional authorization.

Bill· HJRESH.J.Res. 176 (100th)referred

A joint resolution requiring the United States to continue during fiscal year 1988 the existing United States-Soviet Union mutual moratorium on testing antisatellite (ASAT) weapons against objects in space so long as the Soviet Union does the same and urging the President to seek with the Soviet Union a mutual and verifiable treaty placing the strictest possible limitations on the testing, deployment, and use of antisatellite weapons.

United States · United States Congress · 10 March 1987

Prohibits the United States from carrying out a test of the Space Defense System (antisatellite weapon) involving the miniature homing vehicle against an object in space until the President certifies to the Congress that the Soviet Union has conducted, after enactment of this Act, a test against an object in space of a dedicated antisatellite weapon. Provides that such prohibition expires on October 1, 1988. Declares that the President should seek with the Soviet Union a mutual and verifiable treaty which limits the testing, deployment, and use of any antisatellite weapon.

Resolution· HCONRESH.Con.Res. 70 (100th)referred

A concurrent resolution expressing the sense of the Congress that the Secretary of Health and Human Services should prepare, and encourage the preparation of, public service announcements about acquired immune deficiency syndrome (AIDS); and that commercial television networks and local television stations should accept for broadcast during selected adult programming such announcements, and commercial advertisements concerning the use of condoms to prevent infection by the AIDS virus.

United States · United States Congress · 10 March 1987

Expresses the sense of the Congress that: (1) the Secretary of Health and Human Services should prepare public service announcements regarding acquired immune deficiency syndrome (AIDS); and (2) the commercial television networks and local television stations should accept for broadcast during selected adult programming such public service announcements and commercial advertisements concerning the use of condoms to prevent infection by the virus that causes AIDS.

Bill· HRH.R. 1481 (100th)open

Public Rangelands Fee Act of 1987

United States · United States Congress · 9 March 1987

Public Rangelands Fee Act of 1987 - Sets forth a formula, beginning with grazing year 1987, for determining fees for domestic livestock grazing on public rangelands. Bases the formula on appraised base value, expressed in dollars per head or pair month, and the forage value index. Prohibits annual fee adjustments greater or less than 33.3 percent.