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Official portrait of Sen. Durenberger, Dave [R-MN]

Sen. Durenberger, Dave [R-MN]

United States · Official source

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3,436 records where Sen. Durenberger, Dave [R-MN] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· SS. 1968 (101st)referred

A bill to amend the Stevenson-Wydler Technology Innovation Act of 1980 (15 U.S.C. 3701) relating to the relative competitiveness of industry in the United States.

United States · United States Congress · 21 November 1989

Amends the Stevenson-Wydler Technology Innovation Act of 1980 to require the Secretary of Commerce to compile annual reports assessing the relative competitiveness of U.S. industry. Requires the reports to identify: (1) industries likely to be critical to U.S. economic security and global competitiveness (including industries involving advanced technology, high value-added, and high research and development costs); and (2) industries in other countries which are beneficiaries of government programs (such as tax policies, export promotions, antitrust exemptions, patent policies, technology assistance, or other forms of financial assistance). Requires the annual report to be submitted to the Congress and to include what other countries and the United States are doing to remain or become globally competitive.

Bill· SS. 1956 (101st)referred

Citizens Drug Control Contributions Act of 1989

United States · United States Congress · 21 November 1989

Citizens Drug Control Contributions Act of 1989 - Amends the Internal Revenue Code to provide for contributions by taxpayers with their income tax returns to the Special Forfeiture Fund (established under the Anti-Drug Abuse Act of 1988) for drug control efforts.

Resolution· SRESS.Res. 217 (101st)passed

A resolution deploring the escalating violence in El Salvador; condemning the killing of innocent civilians, including six Jesuit priests; and calling for an immediate cessation of hostilities.

United States · United States Congress · 21 November 1989

Condemns the Farabundo Marti National Liberation Front (FMLN) for initiating a military offensive on November 11, 1989. Deplores the armed seizure of a San Salvador hotel. Deplores the murder of six Jesuit priests and two women. Demands that those responsible for their murder, as well as for the bombing of the headquarters of a local labor union, be brought to justice. Deplores the continuing violence in El Salvador. Calls for a disengagement of military forces to allow international humanitarian organizations to provide medical attention and supplies to the civilian casualties. Urges the United Nations and the Organization of American States to encourage the FMLN and the Salvadoran Government to enter into a ceasefire and withdrawal of FMLN forces from urban areas. Urges the Government of El Salvador and the FMLN to resume a peaceful dialogue. Commends President Cristiani for sending representatives to the meeting scheduled in Caracas, Venezuela, to seek a political settlement of the conflict. Declares that if the Salvadoran Government fails to make every good faith effort to prosecute and punish those responsible for the November 16 murder of six Jesuit priests and two women, the Congress will review the question of aid to El Salvador. Requests the Administration to report to the Congress by February 20, 1990, on the status of the investigation of such murders. Urges the administration to provide emergency assistance to the innocent victims of the war through the International Red Cross and other appropriate channels.

Bill· SS. 1933 (101st)open

Benjamin Franklin Memorial Fire Service Bill of Rights Act

United States · United States Congress · 20 November 1989

Benjamin Franklin Memorial Fire Service Bill of Rights Act - Title I: Minting of Benjamin Franklin National Memorial Commemorative Coin - Benjamin Franklin National Memorial Commemorative Coin Act - Provides for the sale of Benjamin Franklin commemorative coins at a surcharge of which 25 percent shall be paid to the Benjamin Franklin National Memorial and the remainder be distributed in specified percentages to the National Fire Center and Museum Account, the National Hero Scholarship Account, the Firefighter's Tuition Assistance Account, the Hazardous Materials Response Computer Account, the In Search of Excellence Research and Education Account, and the Burn Research Grant Account of the Firefighter Assistance Trust Fund (Fund). Prohibits the issuance of such coins from resulting in any net cost to the Federal government. Title II: Fire Service Bill of Rights - Fire Service Bill of Rights Act - Amends the Federal Fire Prevention and Control Act of 1974 to establish a fire service bill of rights. Establishes the National Fire Center and Museum in the District of Columbia to provide information about the fire service and safety to the public and fire services. Funds such museum exclusively through the Fund. Establishes a National Hero Scholarship to fund the higher education of the children or spouse of a deceased firefighter. Establishes a scholarship providing tuition assistance to firefighters for higher education in fire safety or protection. Authorizes the Administrator of the United States Fire Administration to use amounts in the In Search of Excellence Research and Education Account of the Fund to fund other specified programs under the Fire Prevention and Control Act of 1974. Establishes the Firefighters Assistance Trust Fund. Places the National Academy for Fire Prevention and Control within the United States Fire Administration. Directs the Administrator to use funds from the Hazardous Materials Response Computer Account of the fund to procure computer equipment for fire services that want such equipment. Directs the Administrator to make a grant from the Burn Research Grant Account of the Fund to one national firefighter's burn foundation dedicated to reducing burn injuries. Requires the Administrator to prepare and make available to State fire marshals, upon request, a manual describing Federal procedures for disposing of surplus property and highlighting how fire services could obtain such property. Directs the Administrator to distribute to such marshals information on the infectious diseases to which firefighters are particularly vulnerable.

Bill· SS. 1911 (101st)open

Young Americans Act of 1989

United States · United States Congress · 17 November 1989

Young Americans Act of 1989 - Title I: The Administration on Children, Youth, and Families - Establishes in the Department of Health and Human Services an Administration on Children, Youth, and Families (the Administration) which shall be headed by a Commissioner on Children, Youth, and Families. Directs the Commissioner to cooperate with the head of each Federal agency or department proposing or administering programs or services substantially related to the purpose of this Act. Establishes a Federal Council on Children, Youth, and Families. Directs the Council to report annually to the President in FY 1992 and thereafter. Authorizes appropriations for FY 1990 through 1993. Directs the Commissioner to report annually to the President and the Congress on the activities carried out under this Act and other activities delegated by the Secretary to the Commissioner. Title II: Grants for State and Community Programs for Children, Youth, and Families - Directs the Commissioner to: (1) enter into new cooperative agreements in each State for the planning and advocacy of services to ensure young individuals the availability of developmental, preventive, and remedial services to promote specified factors; and (2) administer programs under this title through the Administration. Sets forth requirements for a State to be eligible to participate in grant programs under this title. Requires designation of an independent State body to: (1) serve as an effective and visible advocate for children and youth by reviewing and commenting on all State plans, budgets, and priorities which affect children, youth, and their families and by providing technical assistance to those representing the needs of the young; (2) develop and administer the State plan; (3) coordinate all pertinent State activities; and (4) divide the State into district planning and service areas and designate area agencies for children, youth, and families. Directs the Commissioner to make grants to States under approved State plans to demonstrate successful program approaches to service gaps identified through State and area planning and advocacy efforts. Authorizes appropriations for FY 1990 through 1993 for grants under this title. Title III: White House Conference on Young Americans - White House Conference on Young Americans Act of 1989 - Directs the President to call a White House Conference on Young Americans in 1990. Provides that the Conference shall be planned and conducted under the direction of the Secretary of Health and Human Services in cooperation with the Commissioner on Children, Youth, and Families and the heads of other appropriate Federal agencies. Requires a final report of the Conference to the President. Directs the Secretary to send the President and the Congress recommendations for administrative action and legislation necessary to implement the report's recommendations. Directs the Secretary to establish an advisory committee to the Conference and such other committees as may be necessary to assist in planning, conducting, and reviewing the Conference. Authorizes appropriations for FY 1990 and 1991 to carry out this title.

Bill· SS. 1883 (101st)reported

Tobacco Product Education and Health Protection Act of 1990

United States · United States Congress · 15 November 1989

Tobacco Product Education and Health Protection Act of 1990 - Amends the Public Health Service Act to add a new title establishing, at the Centers for Disease Control, a Center for Tobacco Products to coordinate Federal education and research with regard to tobacco products. Directs the Center to conduct certain activities, including to study tobacco product additives and disclose their health risks to consumers and to establish ten model State programs to enforce laws concerning the sale of tobacco products to minors. Authorizes appropriations for FY 1991 through 1993. Transfers functions of the Federal Interagency Committee on Smoking and Health to the Center. Amends the Comprehensive Smoking Education Act to require the establishment of an outreach program to youth about the health consequences of smoking. Directs the Center to make grants: (1) for public information campaigns concerning the use of tobacco products; (2) to States for anti-tobacco use programs and programs to limit youth access to tobacco products; and (3) to unions and others to attempt to reduce the incidence of smoking among workers. Amends the Drug-Free Schools and Communities Act of 1986 and the Anti-Drug Abuse Act of 1988 to add coverage of tobacco under such Acts. Authorizes appropriations to the Secretary of Education to make grants, distributed in accordance with the Augustus F. Hawkins-Robert T. Stafford Elementary and Secondary School Improvement Amendments of 1988, to establish smoke-free schools. Requires the establishment of a program, with an Interagency Committee on Smoking and Health, to inform the public of any dangers to human health presented by cigarette smoking and by smokeless tobacco products. Requires related reports to the Congress. Details administrative requirements of grants. Imposes criminal penalties for adulteration and misbranding of tobacco products, allowing seizure of such products, and penalties against retailers engaged in a pattern of sale to minors. Declares tobacco products to be misbranded for not disclosing to the public information on additives and harmful constituents. Describes conditions which constitute adulteration of tobacco products, including if the product contains any filthy, putrid, or decomposed substance. Makes it unlawful to manufacture, import, or package any tobacco product unless the person has provided the Center: (1) a complete list of tobacco additives and the quantity of each; and (2) a complete list of all brands that includes the levels of tar, nicotine, carbon monoxide, and other constituents for each brand. Repeals the Federal preemption of State regulation of local tobacco advertising, allowing the enactment by States and local governments of additional restrictions on the sale of tobacco products to minors and on the placement of tobacco advertising displayed solely within the applicable geographic area. Makes conforming amendments to the Comprehensive Smoking Education Act and the Comprehensive Smokeless Tobacco Health Education Act of 1986. Changes the warning label on cigarettes.

Law· SS. 1853 (101st)enacted

A bill to award a Congressional Gold Medal to Laurance Spelman Rockefeller.

United States · United States Congress · 8 November 1989

Authorizes the President, on behalf of the Congress, to present a gold medal to Laurance Spelman Rockefeller in recognition of his leadership on behalf of natural resource conservation and historic preservation. Authorizes appropriations. Authorizes the Secretary of the Treasury to provide for the sale of bronze duplicates of the medal.

Law· SS. 1824 (101st)enacted

Education of the Handicapped Act Amendments of 1990

United States · United States Congress · 31 October 1989

Education of Individuals with Disabilities Act of 1989 - Amends the Education of the Handicapped Act (the Act) to reauthorize funding and to change references to handicapped individuals or children to references to individuals or children with disabilities. Extends coverage of children with disabilities to include those with autism or with head injuries. Provides for a waiver of State immunity to suits in Federal court for violations of the Act. Directs the Secretary of Education (the Secretary) to: (1) require applicants for grants, contracts, and cooperative agreements to demonstrate how they will address the needs of infants, toddlers, children, and youth with disabilities from the diversity of racial, ethnic, and linguistic backgrounds; (2) require funding recipients to prepare procedures, findings, and other information in a form to maximize dissemination and use; and (3) conduct at least one site visit for each such grant, contract, or cooperative agreement receiving more than a specified amount annually. Revises requirements for State plans to set forth the components of the comprehensive system of personnel development which such plans must include. Revises evaluation provisions with respect to collection of data, technical assistance, and annual report preparation. Authorizes appropriations for FY 1990 through 1994 for such evaluation activities. Requires regional resource centers to focus on special education, related services, and early intervention. Authorizes specified activities for the coordinating technical assistance center. Revises services for deaf-blind children and adults. Mandates that infants and toddlers be included among those served by deaf-blind programs, especially for early intervention services. Authorizes: (1) pilot projects; (2) single- and multi-State centers for technical assistance for program development and expansion; and (3) a national center on deaf-blindness to disseminate materials and information. Revises early education programs for children with disabilities to authorize projects for: (1) early identification of infants and toddlers with disabilities; (2) transition of infants with disabilities from medical care to early intervention and then to preschool education; (3) assistive technology devices and services; (4) early intervention and preschool needs of children exposed prenatally to maternal substance abuse; and (5) synthesis and preparation for dissemination of early education knowledge. Revises programs for children with severe disabilities to authorize demonstration projects for extended school year programs. Revises the postsecondary education program to increase the minimum amount which must be first made available to four regional centers for the deaf before the remainder of specified funds is made available to other model postsecondary programs for individuals with disabilities. Revises secondary education and transitional services for children and youth with disabilities to authorize projects developing and disseminating programs for assistive technology and services for students with disabilities as they make the transition from secondary school. Directs the Secretary to award at least five grants on a competitive basis to joint projects by State agencies for education and vocational rehabilitation to implement and improve transition services for youth with disabilities age 14 through 21. Authorizes the Secretary to make grants or contracts for projects to address the various transitions that children with disabilities may face throughout their years in school. Provides for coordination and geographic dispersal of such projects. Provides for programs for children and youth with serious emotional disturbances. Authorizes the Secretary to make grants for research, demonstrations, and training studies and projects to improve special education and related services for such children. Authorizes appropriations for FY 1990 through 1994 for the specified programs for centers and services to meet special needs of individuals with disabilities. Provides for grants for training of related services personnel and for those involved in personnel preparation of special educators and providers of related services. Allows regular or special education personnel to participate in such training on a preservice or inservice basis. Directs the Secretary to establish priorities for: (1) recruitment and preparation of individuals from the diversity of racial, ethnic, and linguistic backgrounds, and individuals with disabilities, for careers in special education, related services, and early intervention, including leadership; and (2) preservice preparation of such personnel to serve individuals from such diverse backgrounds. Requires that grants to State educational agencies and institutions for traineeships: (1) prepare special and regular education, related services, and early intervention personnel; and (2) assist States in developing and maintaining their comprehensive systems of personnel development, and in recruiting and retaining personnel. Authorizes the Secretary to provide technical assistance to States to implement specified requirements for comprehensive systems of personnel development. Requires the Secretary (who currently is merely authorized) to make a grant or contract or cooperative agreement for a national clearinghouse on the education of individuals with disabilities. Authorizes appropriations for FY 1990 through 1994 for specified programs for training personnel for the education of individuals with disabilities. Authorizes the Secretary to make research grants, contracts, and cooperative agreements for assessment and improvement of the practice of personnel (and others, including parents) in the provision of special education, related services, and early intervention. Directs the Secretary to make grants, contracts, and cooperative agreements for studies and investigations to: (1) improve program management, administration, delivery, and effectiveness necessary to provide full educational opportunities and early interventions for all children with disabilities from birth through age 21; (2) assess progress in implementation of the Act and related efforts by States, localities, and the Secretary of the Interior; and (3) organize, synthesize, interpret, and integrate relevant information. Requires specified types of studies. Requires the Secretary to provide technical assistance to participating State agencies in assessing the impact of the Act. Requires the Secretary to establish research priorities. Authorizes appropriations for FY 1990 through 1994 for research programs. Revises programs for instructional media to provide for: (1) the captioning of television and video programs and the audio description of video materials; and (2) services for hard-of-hearing and visually impaired individuals. Authorizes appropriations for FY 1990 through 1994 for such instructional media programs. Provides for technology, educational media, and materials for projects that increase access to and use of assistive technology devices and services in the education of infants, toddlers, children, and youth with disabilities, and in other related activities authorized by the Technology-Related Assistance for Individuals with Disabilities Act of 1988. Authorizes appropriations for FY 1990 through 1994 for such programs. Revises the composition of each State interagency coordinating council.

Bill· SS. 1809 (101st)referred

Medicare Physician Payment Reform Act of 1989

United States · United States Congress · 31 October 1989

Medicare Physician Payment Reform Act of 1989 - Amends part B (Supplementary Medical Insurance) of title XVIII (Medicare) of the Social Security Act to provide for the gradual transition, from 1992 through 1995, to the determination of Medicare payments for physician services pursuant to a fee schedule which takes into account the relative value of the work, overhead, and malpractice risks associated with each physician service. Allows for geographic variations in resource values. Sets Medicare payments for nonparticipating physicians' services at 95 percent of the fee schedule amount. Prohibits payments for the same physician service from varying on the basis of whether or not the physician is a specialist. Sets forth sumptuary provisions. Limits nonparticipating physicians' actual charges for unassigned claims. Requires that payments for physician services to Medicaid (title XIX of the Social Security Act)-eligible Medicare beneficiaries be made on an assignment-related basis. Increases the incentive payment for physicians' services furnished in manpower shortage areas from five to ten percent of the payment for such services. Sets forth miscellaneous study and reporting requirements. Directs the Secretary of Health and Human Services to establish: (1) a patient outcomes assessment research and education program focusing primarily on the study of the management of health conditions; and (2) a practice parameters development program providing health care professionals with information regarding the health care practices found to be most effective. Directs the Secretary to establish the Independent Advisory Committee on Managing Patient Outcomes and enter into a contract with the National Academy of Sciences for assistance in conducting such programs and reviewing outcomes research. Sets forth reporting requirements. Authorizes appropriations for such programs through FY 1992.

Bill· SS. 1791 (101st)open

Tourism Policy and Export Promotion Act of 1990

United States · United States Congress · 25 October 1989

Tourism Policy and Export Promotion Act of 1989 - Declares it to be the national goal to increase U.S. export earnings from U.S. tourism and transportation services with an eye toward: (1) the elimination of the travel and tourism export deficit of the United States and the U.S trade deficit; and (2) the achievement of a travel and tourism export surplus. Amends the Trade Act of 1974 to require the United States Trade Representative (USTR) to identify foreign trade barriers to U.S. travel and tourism. Requires the USTR to submit the National Trade Estimate to the President and the Senate Committees on Finance and Commerce, Science, and Transportation. Amends the International Travel Act of 1961 to require each annual tourism trade development plan to focus on those countries in which tourism trade development has the greatest potential for increasing travel and tourism export revenues. Declares that the Congress finds that increased efforts directed at the promotion of rural tourism will contribute to the economic development of rural America. Establishes the Rural Tourism Foundation. Authorizes appropriations.

Bill· SS. 1787 (101st)referred

A bill to restore the recordkeeping requirement of the Child Protection and Obscenity Enforcement Act of 1988.

United States · United States Congress · 24 October 1989

Amends the Child Protection and Obscenity Enforcement Act of 1988 to prohibit: (1) knowingly selling or otherwise transferring, or offering for sale or transfer, any book, magazine, periodical, film, videotape, or other matter produced with materials which have been mailed or shipped in interstate or foreign commerce or intended for such shipment, which contains one or more visual depictions of actual sexually explicit conduct and which does not have affixed to it a statement of the location of records with respect to the performance depicted on every copy of such matter; or (2) any person to whom such Act applies from failing to create or maintain records required by, or from knowingly failing to comply with provisions of, such Act or from knowingly making a false entry or failing to make an appropriate entry in such records. Deletes provisions providing that proof that a person fails to comply with recordkeeping requirements raises a rebuttable presumption that a performer (i.e., a person depicted engaging in, or assisting another to engage in, sexually explicit conduct) was a minor. Establishes criminal penalties for violations of such Act.

Bill· SS. 1782 (101st)open

Low Income Treatment Assistance Program Act of 1989

United States · United States Congress · 23 October 1989

Low Income Treatment Assistance Program Act of 1989 - Amends the Public Health Service Act to make allotments to States, based on the number of cases of acquired immune deficiency syndrome (AIDS) in each State, for FY 1990 through 1992, to provide assistance in the provision of therapeutics determined to prolong life or prevent the serious deterioration of health arising from AIDS or Human Immunodeficiency Virus (HIV) disease in eligible individuals. Describes eligible individuals as those having AIDS or related conditions and low incomes. Requires an initial report to the Congress and a follow-up efficacy report assessing the program established under this Act. Requires the National Commission on Acquired Immune Deficiency Syndrome to recommend program improvements for long-term solutions to providing care of AIDS patients.

Bill· SS. 1771 (101st)referred

A bill to amend the Internal Revenue Code of 1986 to promote savings and long-term investment through a reduced capital gains tax rate and individual retirement plus accounts.

United States · United States Congress · 19 October 1989

Title I: Capital Gains Provisions - Subtitle A: Reduction in Capital Gains Tax - Amends the Internal Revenue Code to reduce the capital gains tax for noncorporate taxpayers. Establishes a scale for determining such deduction up to a maximum of 35 percent after owning assets for seven years. Provides for not taking into account net capital gain under the phaseout of the 15-percent rate and personal exemptions. Provides for recapturing the gain from disposition of certain depreciable property. Subtitle B: Alternative Capital Gains Rate for Corporations - Reduces the alternative capital gains tax for corporations by establishing a scale for determining such tax rate based on ownership of assets for three to 15 years. Subtitle C: Indexing of Certain Assets for Purposes of Determining Gain - Provides for indexing assets held for more than two years as an option for individuals who elect not to take advantage of the lower capital gains rate. Title II: Individual Retirement Plus Accounts - Allows individuals to establish individual retirement plus accounts with tax treatment similar to that for individual retirement plans. Makes contributions to such accounts nondeductible. Provides for qualified distributions from such accounts, other than for general retirement purposes, including special purposes distributions made for the purchase of a first home and for medical or educational purposes. Prohibits special purpose distributions from being made during the first five years of the account.

Bill· SS. 1758 (101st)referred

Small Governments Regulatory Partnership Act of 1989

United States · United States Congress · 16 October 1989

Small Governments Regulatory Partnership Act of 1989 - Title I: Establishment of the Office for Small Government Advocacy and Small Government Coordinators - Establishes within the Office of Management and Budget (OMB) the Office for Small Government Advocacy (OSGA) to: (1) receive complaints, criticisms, and suggestions concerning the regulatory policies and activities of agencies which affect small governments (governments of localities with populations of less than 50,000); (2) represent the views and interests of small governments before such agencies; (3) develop proposals for changes in such policies and activities to fulfill the purposes of this Act and communicate such proposals to appropriate agencies; (4) monitor the costs and other burdens of Federal regulation on small governments and make proposals for eliminating excessive or unnecessary regulatory burdens; (5) monitor agency compliance with regulatory function analysis provisions applicable to small governments; (6) oversee and consult with the Small Government Coordinators; (7) chair the Interagency Committee of Small Government Coordinators; and (8) consult and cooperate with the Small Government Advisory Council. Requires OSGA to be managed by a Director who is familiar with small government needs and problems with the Federal regulatory process. Requires the Director to submit an annual report to the Congress which includes: (1) a summary of proposals and actions taken pursuant to such proposals; (2) a detailed assessment of the costs and other burdens of Government regulation on small governments; (3) a description of the Director's activities under regulatory function analysis provisions; (4) an account of agency compliance with such provisions; and (5) a summary of the activities of the Interagency Committee and the Small Government Advisory Council. Requires such report to be based upon the information submitted by Small Government Coordinators. Establishes within certain Federal agencies a Small Government Coordinator to be responsible for: (1) representing the small government perspective on agency rules and policies; (2) overseeing agency efforts to comply with regulatory function analysis as applied to small governmental jurisdictions; (3) overseeing establishment of agency small government data banks; (4) reporting annually to the Director on his or her activities and involvement in rulemaking processes; and (5) participating in the Interagency Committee. Establishes within OMB the Interagency Committee to coordinate the programs, plans, activities, and policies of the Small Government Coordinators. Requires the Director to establish a Small Government Advisory Council to advise him or her to ensure that OSGA programs and policies are familiar to, and meet the needs of, small governments. Requires the Council to report annually to the Director on its activities. Title II: Small Government Considerations in the Analysis of Regulatory Functions - Authorizes the Director to appear as amicus curiae in any action brought in a U.S. court to review a rule to present his or her views with respect to its effect on small governmental jurisdictions. Revises provisions concerning regulatory function analysis to increase the scope of analysis of regulatory impact on small entities. Revises the contents of initial regulatory flexibility analyses to include: (1) a description of data resources including outreach efforts used in making certain determinations; and (2) a statement as to whether adequate information was available to determine the number of small businesses, organizations, and governmental jurisdictions affected by the proposed rule and the significance of that impact. Prohibits application of provisions relating to regulatory flexibility analysis descriptions of significant alternatives to certain proposed rules and application of final regulatory flexibility analysis to any proposed or final rule, if the agency head certifies that the rule will not have a significant impact on a substantial number of small entities. Requires agencies to publish such certification in the Federal Register with the general notice of proposed rulemaking, along with a statement explaining the reasons for such certification. Title III: Data Banks on Small Governments - Directs the General Accounting Office (GAO) to issue a report which develops and assesses: (1) at least three measures of the impact of the implementation of Federal regulations on small governments; and (2) a standard designation of government size categories which agencies can use in data collection on such governments. Requires Government Coordinators to establish and oversee data banks on small governments which shall contain all information collected by the agency relating to the impact of Federal regulations on such governments for use as an agency-wide resource to develop regulatory burden estimates. Directs the head of each agency with a Small Government Coordinator to require its offices to assist such Coordinator by contributing all information it has collected that relates to the impact of the implementation of Federal regulations on small governments. Directs Small Government Coordinators to issue guidelines to govern such information to facilitate establishment and maintenance of such data banks. Requires such guidelines to include a designation of the three measures developed by GAO and standard government size categories.

Law· SJRESS.J.Res. 213 (101st)enacted

A joint resolution to designate October 22 through October 29, 1989, as "National Red Ribbon Week for a Drug-Free America".

United States · United States Congress · 2 October 1989

Designates the week of October 22 through October 29, 1989, as National Red Ribbon Week for a Drug-Free America. Recognizes and commends the hard work and dedication of certain individuals and organizations and urges activities that support community and alcohol education during such week. Encourages Americans to wear or display red ribbons during such Week to present and symbolize their commitment to a healthy, drug-free lifestyle, and to develop an attitude of intolerance to the use of drugs.

Bill· SS. 1696 (101st)referred

Racial Justice Act of 1989

United States · United States Congress · 28 September 1989

Racial Justice Act of 1989 - Amends the Federal judicial code to make it unlawful to impose or execute sentences of death under color of State or Federal law in a racially discriminatory pattern. Prohibits a person from being put to death in the execution of a sentence imposed pursuant to any law if that person's death sentence furthers a racially discriminatory pattern. Provides that ordinary methods of statistical proof shall suffice to establish a racially discriminatory pattern. States that it shall not be necessary to show discriminatory motive, intent, or purpose on the part of any individual or institution. Establishes the requirements for a prima facie showing that a racially discriminatory pattern exists. States that a State or Federal entity may rebut a prima facie showing by establishing by clear and convincing evidence that identifiable nonracial factors explain the racial disparities constituting the pattern. Requires any State or Federal entity that provides for the imposition of the death penalty to collect and maintain pertinent data on the charging, disposition, and sentencing patterns for all cases of death-eligible crimes. Provides for the appointment of counsel for all indigent clients (and the furnishing of investigative and other services) for habeas corpus actions arising under this Act. Provides that no State court determination on the merits of a factual issue pertinent to a claim under this Act shall be presumed to be correct unless: (1) the State has collected and maintained the necessary death penalty data; and (2) the determination was made in a court proceeding where the defendant was afforded his rights required under this Act. States that nothing contained in this Act shall be construed to affect the lawfulness of any sentence of death that does not violate this Act. States that the failure to raise such a claim before the enactment of this Act shall not bar future claims.

Law· SJRESS.J.Res. 206 (101st)enacted

A joint resolution calling for the United States to encourage immediate negotiations toward a new agreement among Antarctic Treaty Consultative parties, for the full protection of Antarctica as a global ecological commons.

United States · United States Congress · 26 September 1989

Declares that: (1) Antarctica is a global ecological commons and should be managed under a new agreement among the Antarctic Treaty Consultative Parties or a protocol to the Convention on the Regulation of Antarctic Mineral Resource Activities which should for an indefinite period establish Antarctica as a region closed to commercial minerals development and related activities; (2) under such new agreement, information about minerals or other resources in Antarctica should be obtained under strictly controlled arrangements and should be openly shared in the international scientific community; (3) the Convention is not adequate to protect the environment of Antarctica and could stimulate commercial exploitation; (4) pending the negotiations and entry into force of a new agreement or protocol ensuring the full protection of Antarctica as a global ecological commons, the President should not present the Convention to the Senate for advice and consent to ratification; (5) the United States should support the interim measures presently in force among nations signatory to the Convention; and (6) the negotiation of such a new agreement or protocol should be a major item on the agenda of the pending XV Antarctic Treaty Consultative meeting opening on October 9, 1989.

Resolution· SCONRESS.Con.Res. 73 (101st)open

A concurrent resolution to express the support of the Congress for the Courageous people of Colombia.

United States · United States Congress · 25 September 1989

Commends and expresses support for President Barco and the Government and people of Colombia for standing up to drug traffickers. Urges the President to continue to commend the cooperation of the President of the United States with the Government of Colombia and provide assistance to Colombia to overcome the activities of drug traffickers.

Bill· SS. 1653 (101st)referred

A bill to preserve the solvency of the railroad retirement system.

United States · United States Congress · 20 September 1989

Amends the Railroad Retirement Solvency Act of 1983 to extend for two years provisions for the transfer of tier 2 railroad retirement benefit taxation revenues from the general fund of the Treasury to the Railroad Retirement Account.

Bill· SS. 1651 (101st)referred

United Services Organization's 50th Anniversary Commemorative Coin Act

United States · United States Congress · 20 September 1989

United Services Organization's 50th Anniversary Commemorative Coin Act - Directs the Secretary of the Treasury to mint and issue not more than a specified number of five dollar gold coins, one dollar silver coins, and half dollar clad coins to commemorate the 50th anniversary of the United Services Organizations (USO). Requires such coins to be emblematic of USO Services to military service personnel and families. Sets forth certain features of such coins and provides for their design, issuance, and sale. Terminates the minting of such coins after February 4, 1991. Requires surcharges from the sale of such coins to be deposited in a coinage profit fund and used for USO programs and to reduce the national debt. Directs the Secretary to report to the Congress semiannually through December 31, 1992, on activities under this Act.

Law· SS. 1630 (101st)enacted

Clean Air Act Amendments of 1990

United States · United States Congress · 14 September 1989

Clean Air Restoration and Standards Attainment Act of 1989 - Title I: Provisions for Attainment and Maintenance of Ambient Air Quality Standards - Amends the Clean Air Act to require the Administrator of the Environmental Protection Agency, upon promulgation of a new or revised national ambient air quality standard, to designate areas subject to such Act as attainment, nonattainment, or unclassifiable, with regard to such standard. Designates: (1) areas not meeting standards for ozone or carbon monoxide averaged over an eight hour period as nonattainment areas; (2) areas identified in 52 Federal Register 29383 as Group I areas or areas containing a site showing violations of particulate matter 10 (PM-10) standards as PM-10 nonattainment areas; and (3) areas not fitting such descriptions for PM-10 as unclassifiable for PM-10. Revises the boundaries of ozone nonattainment areas located within metropolitan statistical areas (MSAs) or consolidated metropolitan statistical areas (CMSAs) to include the MSA or CMSA. Authorizes the Administrator to modify the boundaries of carbon monoxide nonattainment areas to include the MSA or CMSA if such modification is necessary to attain the air quality standard. Directs the Administrator to publish guidelines for enhanced State and local monitoring of emissions of pollutants for which there are national air quality standards and for improved inventories of emissions from mobile and stationary sources of such pollutants. Requires the Administrator to update periodically the June 1978 Transportation-Air Quality Planning Guidelines and to publish guidance on other measures necessary to demonstrate and attain air quality standard. Directs States to submit air quality standard implementation plans within 24 (currently, nine) months of the promulgation of a new or revised standard. Authorizes and directs the Administrator to require States containing attainment or unclassifiable areas with MSAs or CMSAs to submit implementation plans which provide for the maintenance of the standard for at least 20 years. Requires the updating of such plans every ten years. Extends the date by which the Administrator must approve or disapprove a State implementation plan to 12 (currently, four) months after the submission of such plan. Authorizes (currently, requires) the Administrator to set forth implementation plans for States which fail to submit or implement approved plans. Revises plan requirements. Requires permits issued for stationary sources to provide for: (1) terms not to exceed five years and compliance with applicable emission limitations and monitoring; (2) quarterly reports to the permitting authority on monitoring measures; (3) reports on any violations of the permit or other requirements and corrective measures; and (4) inspection and entry requirements. Provides for permit application fees to offset the costs of the permit program. Makes permit records available to the public. Prohibits the issuance of any permit unless the permitting authority has conducted an on-site inspection of the source. Directs the Administrator to publish guidelines for permit programs. Allows new or modified major stationary sources to comply with any offset requirement for increased air pollutant emissions reductions of such pollutant from other sources in the same nonattainment area. Requires such reductions to be in effect by the time such sources commence operation and to insure that the total tonnage of increased emissions is offset by a greater reduction in the actual emissions from other area sources. Requires States containing ozone, carbon monoxide, or PM-10 nonattainment areas, together with local officials of such areas, to review and update, as necessary, planning procedures for such areas. Directs the Administrator to consult with, and make recommendations to, the Secretary of Transportation on changes in Department of Transportation policies that will assist planning procedures under this Act. Authorizes States, in the case of areas included in more than one State, to implement jointly such procedures. Authorizes the imposition of the following sanctions on States which fail to comply with requirements for nonattainment areas: (1) a prohibition on the construction or modification of major stationary sources of the relevant pollutant in such areas; (2) a prohibition on the approval of highway projects or awarding of highway funds, with specified exceptions; and (3) the withholding of grants for air pollution planning and control programs. Makes Federal funds for highway projects exempt from such prohibition available without limitation. Limits the State share of such projects to ten percent of the total cost. Requires Federal transportation programs to implement all relevant transportation provisions of implementation plans. Prohibits Federal agencies from funding or approving any transportation program unless it conforms to this Act. Requires States to submit implementation plan revisions which provide for procedures for assessing the conformity of such programs. Outlines requirements for maintenance plans required for redesignations of areas. Requires such plans to: (1) provide for the maintenance of air quality standards for 20 years after the date of attainment; and (2) be updated every ten years and submitted to the Administrator for approval. Classifies ozone nonattainment areas as Moderate, Serious, Severe, or Extreme, based upon the percentage by which the air quality standard is exceeded in the area. Sets forth attainment dates of five, ten, fifteen, and twenty years from this Act's enactment, respectively, for Moderate, Serious, Severe, and Extreme areas. Requires States containing such areas to submit to the Administrator a current inventory of volatile organic compounds (VOCs) and nitrogen oxides emissions of area sources. Provides that State implementation plans for such areas shall require annual emissions statements from owners or operators of such sources, source operating permits, and vehicle registration fees. Waives emissions statements requirements for sources which emit less than 25 tons annually of VOCs or nitrogen oxides if the State provides an emissions inventory for such sources. Sets forth specified ratios for emissions reductions to increased emissions in Serious, Severe, and Extreme ozone nonattainment areas, Serious carbon monoxide nonattainment areas, and PM-10 nonattainment areas, for purposes of satisfying excess emissions offset requirements. Requires State implementation plans for Moderate areas to provide for: (1) an enhanced vehicle emissions control inspection and maintenance program to achieve reductions in VOC emissions of at least 4,700 tons per million vehicles or the use of fill nozzles by persons transferring gasoline to vehicle fuel tanks for facilities selling more than 20,000 gallons of gasoline per month; and (2) annual emissions fees, based on tonnage of VOCs and nitrogen oxides emitted by major stationary sources. Waives requirements for vehicle inspection, maintenance, and refueling programs for ozone nonattainment areas with specified design values unless compliance is needed to bring the area into attainment by the applicable deadline. Designates as major stationary sources, for purposes of Serious and Severe areas, facilities having the potential to produce at least 25 tons annually of VOCs. Requires State implementation plans for Serious areas to provide for: (1) emissions inventories for such areas and the 25-mile radius around such areas; (2) VOC emissions reductions of 12 percent from actual emissions in the year of classification to be averaged over three year periods until attainment is met; (3) annual reports; (4) transportation control measures in certain areas with emissions exceeding projected levels; (5) vehicle inspection, maintenance, and vapor recovery programs; (6) permit programs; (7) annual emissions fees; and (8) the implementation of reasonably available control technology by stationary sources of VOCs that are not covered by control technique guidelines and have the potential to emit at least 25 tons annually and stationary sources of nitrogen oxides that have the potential to emit at least 100 tons annually. Requires Severe areas to comply with requirements for Moderate and Serious areas. Increases annual emissions fees for Severe areas. Provides that implementation plans for such areas shall require: (1) employer programs to reduce employee work-related vehicle trips; and (2) employers of 100 persons or more to increase average passenger occupancy per vehicle in commutes during peak travel periods. Makes employers who fail to achieve such increase liable for fees of $50 per employee parking space provided by such employers. Defines the boundaries of an Extreme area as the entire MSA or CMSA and the area within a 25-mile radius of such areas. Designates as major stationary sources, for purposes of Extreme areas, facilities having the potential to produce at least ten tons annually of VOCs. Requires Extreme areas to comply with requirements for Moderate, Serious, and Severe areas. Increases annual emissions fees for Extreme areas. Requires States containing non-self-generating ozone nonattainment areas that do not include or are not adjacent to MSAs or CMSAs to be treated as satisfying the requirements of this Act if in compliance with regulations promulgated by the Administrator. Permits the Administrator to treat such areas as non-self-generating if found that VOC and nitrogen oxides emissions within such areas do not contribute significantly to ozone concentrations in such areas or other areas. Authorizes the Administrator, in the case of Serious nonattainment areas which fail to meet required emissions reductions, to: (1) lower the quantity of emissions of VOCs and nitrogen oxides that define a source as a major stationary source; and (2) require that Serious and Severe areas comply with requirements of Severe and Extreme areas, respectively. Provides for reclassifications to the next, more stringent, category of areas which fail to meet air quality standards by the applicable attainment date. Requires the Administrator to publish a list of 12 categories of stationary sources for which control technique guidelines have not been published and which contribute significantly to the formation of ozone air pollution. Provides for the review and updating, as necessary, of such guidelines every four years. Directs the Administrator to publish a control technique guideline regarding control of VOC emissions from the loading or unloading of petroleum products on or from vessels. Considers such emissions to be direct emissions from the onshore terminal. Requires the Administrator to: (1) report to the Congress on emissions of ozone precursors from consumer products and include recommendations for the control of such emissions; and (2) promulgate regulations to achieve emissions reductions from such products of at least three percent below the level of such emissions on the date of this Act's enactment. Exempts from such regulations health-use products for which there are no suitable substitutes. Authorizes the Administrator to delegate the enforcement of such regulations to States. Establishes an ozone transport region comprised of States on the east coast between Maine and Virginia and the CMSA including the District of Columbia. Authorizes the Administrator to add States to such region or to establish new regions if the interstate transport of pollutants from such States contributes to ozone concentrations in Serious, Severe, or Extreme ozone nonattainment areas in another State. Requires the Administrator to establish ozone transport commissions for such regions. Directs States within such regions to submit implementation plans or revisions requiring: (1) areas which are not nonattainment areas that are located in such regions and that are part of an MSA or have populations of at least 100,000 to comply with vehicle inspection and maintenance programs; and (2) major stationary sources of VOCs to comply with reasonably available control technology requirements. Authorizes interstate commissions to require additional emissions control measures, as necessary. Exempts from such requirements areas which do not contribute significantly to ozone concentrations in Serious, Severe, or Extreme areas. Permits States or political subdivisions to petition the Administrator for the inclusion of another State or portion of such State within an ozone transport region. Requires the Administrator to promulgate criteria for determining the contribution of sources in one area to concentrations of ozone in another nonattainment area. Classifies carbon monoxide areas as Moderate or Serious. Sets forth attainment dates of five and ten years from this Act's enactment, respectively, for Moderate and Serious areas. Requires State implementation plans for carbon monoxide nonattainment areas to provide for: (1) triennial emissions inventories from stationary and mobile sources; (2) mobile monitoring devices; (3) vehicle registration fees; (4) annual emissions fees from stationary sources; (5) operating permits and continuous monitoring; (6) attainment demonstrations with qualitative milestones; (7) vehicle inspection and maintenance programs; and (8) oxygenated fuels programs. Directs the Administrator to audit such plans to ensure adequate implementation and enforcement by States. Designates as major stationary sources, for purposes of such areas, sources having the potential to produce at least 50 tons annually of carbon monoxide. Requires plans for Serious areas to provide for: (1) transportation control measures; and (2) the same employer ridership program required for Severe ozone nonattainment areas. Provides for reclassification of Moderate carbon monoxide areas, as necessary. Authorizes up to two one-year attainment extensions for such areas. Requires the submission of State plan revisions for Serious areas which fail to meet the attainment deadline. Requires attainment by PM-10 nonattainment areas by December 31, 1993. Authorizes the Administrator to extend such deadline for up to ten years under specified conditions. Requires State implementation plans for PM-10 nonattainment areas to provide for: (1) triennial emissions inventories from stationary and mobile sources; (2) annual emissions fees from stationary sources; (3) operating permits and monitoring; and (4) attainment demonstrations with qualitative milestones. Designates as major stationary sources, for purposes of such areas, sources having the potential to emit more than 50 tons annually of PM-10 or PM-10 precursors. Sets forth audit and attainment extension requirements parallel to those for carbon monoxide nonattainment areas. Requires the Administrator to promulgate control techniques guidelines for reasonably and best available control technology for PM-10 emissions from major stationary sources. Authorizes the Administrator to substitute maximum allowable increases in particulate matter smaller than or equal to ten micrometers (PM-10) for maximum allowable increases in such matter specified under the Clean Air Act. Requires the Administrator to establish requirements to control air pollution from outer continental shelf sources. Authorizes States adjacent to such sources to submit to the Administrator procedures for enforcing such requirements. Directs the Administrator to delegate enforcement authority to States with adequate procedures. Authorizes the Administrator to: (1) treat Indian tribes as States under the Clean Air Act, except with respect to a certain limitation on State expenditures; (2) delegate to such tribes primary responsibility for assuring air pollution control; and (3) provide such tribes with grant and contract assistance to carry out such functions. Outlines requirements for such authorization. Authorizes the Administrator to promulgate other means for administering such authorities where such treatment is inappropriate. Applies program cost limitations for interstate air quality agencies to interstate transport commissions. Repeals provisions concerning indirect source programs and requirements for parking surcharges and transportation regulations. Title II: Provisions Relating to Mobile Sources - Sets standards for emissions of: (1) nonmethane hydrocarbons, hydrocarbons, nitrogen oxides, and particulates from light duty vehicles manufactured after model year 1992; (2) carbon monoxide from light-duty vehicles manufactured after model year 2002; (3) such substances from trucks manufactured after model year 1992; (4) nitrogen oxides from heavy duty trucks manufactured after model year 1993; and (5) particulates from heavy duty trucks manufactured after model year 1990. Requires the Administrator to promulgate standards for carbon monoxide emissions from light-duty vehicles manufactured after model year 1992 when operated at 20 degrees Fahrenheit. Directs the Administrator to promulgate regulations requiring the installation of onboard emissions control systems on light-duty vehicles manufactured after model year 1992. Requires such systems to provide for a minimum evaporative emissions capture efficiency of 95 percent. Directs the Administrator to promulgate regulations applicable to evaporative emissions of hydrocarbons from all gasoline-fueled vehicles manufactured after model year 1993. Directs the Administrator to promulgate regulations requiring manufacturers to install emissions malfunction diagnostic systems on all light-duty vehicles manufactured after model year 1993. Authorizes the Administrator to promulgate regulations requiring: (1) States with implementation plans to provide for the inspection and the maintenance of such systems; and (2) manufacturers of heavy duty vehicles and engines to install such systems. Requires the Administrator to set standards for emissions of carbon dioxide from passenger cars manufactured after model year 1994. Directs the Administrator to promulgate standards for motor vehicles burning low-polluting fuel. Sets the useful life of vehicles and engines manufactured after model year 1994 at ten years of use or 100,000 miles. Provides that the warranty period for light-duty vehicles and engines shall be: (1) the useful life (five years or 50,000 miles) for vehicles and engines manufactured after model year 1993; (2) two years or 24,000 miles for vehicles and engines manufactured after model year 1994; and (3) eight years or 80,000 miles for specified major emissions control components. Requires the Administrator to publish a list of all non-road engines and vehicles and estimates of the contribution of such engines and vehicles to ozone, carbon monoxide, and particulate concentrations in nonattainment areas. Directs the Administrator to promulgate emissions standards for engines or vehicles of at least 50 horsepower. Authorizes the Administrator to promulgate standards for engines or vehicles with less horsepower. Sets a schedule for the promulgation of such standards. Directs the Administrator to promulgate regulations that prohibit, after model year 1992, the introduction into commerce of motor vehicles and non-road engines requiring leaded gasoline. Requires the Administrator to promulgate regulations to add an idle test to the Federal Test Procedure for light-duty vehicles manufactured after model year 1991. Directs the Administrator to revise regulations regarding selective enforcement auditing of new light-duty vehicles manufactured after model year 1991 so that the maximum percentage of failing vehicles is ten percent. Requires the Administrator to review and revise, as necessary, regulations regarding testing of motor vehicles and engines to insure that vehicles are tested under circumstances which reflect actual driving conditions. Prohibits averaging of performance standards of various vehicles, engine families, or models manufactured by the same manufacturer for purposes of complying with emissions standards under the Clean Air Act. Directs the Administrator to consider information from any State vehicle emissions control inspection and maintenance program when making determinations of nonconformity with regulations. Authorizes States to petition the Administrator to make determinations based on such information. Permits the Administrator, if there is reason to believe that in-use vehicles and engines are not in conformance with regulations, to require manufacturers of such vehicles and engines to pay procurement and testing costs. Requires the Administrator to promulgate regulations to reduce evaporative emissions from motor vehicle fuels. Requires such regulations to include a gasoline volatility standard to be applied to all gasoline introduced into commerce for use during high ozone periods of the year. Sets a Reid Vapor Pressure (RVP) standard for gasoline used in Class C areas. Designates the period between May 16 and September 15, or such longer period as the Administrator establishes, as the high ozone period. Provides for an increased RVP for gasoline/ethanol fuel blends. Makes it unlawful, effective October 1, 1993, to introduce into commerce motor vehicle diesel fuel which contains sulfur in excess of .05 percent (by weight) or which fails to meet a cetane index of 40. Requires manufacturers and importers of diesel fuel not used in motor vehicles to dye such fuel to segregate it from motor vehicle diesel fuel. Limits sulfur content for diesel used in heavy duty vehicles and engines manufactured after model year 1990. Prohibits, effective January 1, 1991, the introduction into commerce of any gasoline containing lead or lead additives for use in motor vehicles. Authorizes the extension of such deadline if the Administrator determines that the unavailability of such gasoline affects farm vehicles and alternative fuels are unavailable for such vehicles. Requires the Administrator to promulgate regulations for fuel quality (effective after 1993) to minimize emissions of hazardous air pollutants over the useful life of vehicles and engines certified under this title. Provides that if the Administrator fails to promulgate such regulations, it shall be unlawful to introduce into commerce any fuel which does not prevent accumulation of deposits in fuel-injected engines. Authorizes the Administrator to promulgate regulations applicable to fuel refiners, distributors, or consumers which establish specifications for fuels to reduce emissions. Prohibits the introduction into commerce, effective October 1, 1991, of gasoline with less than a specified oxygen content in carbon monoxide nonattainment areas during October 1 to March 31 of each year. Requires the Administrator to promulgate guidelines to allow the exchange of marketable oxygen credits between sellers of fuels with a higher oxygen content than required and other sellers of fuels to offset the use of fuels with a lower oxygen content than required. Prohibits such exchanges between sellers in different nonattainment areas. Waives such requirements for States that demonstrate that the use of oxygenated fuels would interfere with attainment for pollutants other than carbon monoxide. Requires retailers of oxygenated fuels to label fuel dispensing systems with notices which identify such fuels and state that they reduce carbon monoxide emissions. Prohibits the introduction of leaded gasoline into vehicles which are designed for unleaded gasoline or are manufactured after model year 1989. Prohibits manufacturers from refusing to pay for procurement or testing of nonconforming vehicles. Prohibits the manufacture or sale of any part which bypasses or renders inoperative any emission control device. Increases penalties for certain violations of the Clean Air Act. Authorizes the Administrator to commence civil actions to recover such penalties, subject to certain limitations. Title III: Provisions Relating to Enforcement - Makes technical amendments to, and revises penalty provisions of, the Clean Air Act. Authorizes the Administrator to assess administrative penalties or commence civil or criminal actions for violations of such Act. Establishes fines and prison sentences for specified knowing violations of such Act. Doubles the maximum punishment for specified subsequent violations. Limits the Administrator's authority to assess certain administrative penalties. Authorizes the Administrator to implement a field citation program for the purpose of assessing civil penalties of up to $5,000 per day for each violation. Sets forth provisions concerning judicial review and civil actions with respect to the assessment of such penalties. Outlines criteria to be considered by the court in determining the assessment of penalties. Sets forth provisions concerning the reviewability of certain administrative orders. Authorizes the Administrator to require owners or operators of sources subject to the Clean Air Act to: (1) keep records on control equipment parameters, production variables, or other indirect data when direct emissions monitoring is impractical; and (2) submit compliance certifications. Directs the Administrator to require enhanced monitoring and submission of compliance certifications by owners or operators of major stationary sources. Authorizes the Administrator to apply such requirements to any other source. Makes such information available to the public. Removes an exemption for public disclosure of emission source records that may be trade secrets. Repeals a provision concerning penalties for violations of administrative orders. Authorizes the Administrator to extend a prohibition on Federal procurement from violators of the Clean Air Act to contracts performed at any facility owned or operated by such persons. (Current law prohibits such procurement for contracts to be performed at facilities where the violation occurred.) Requires certain penalties to be deposited in a special Treasury fund and to be available for financing air compliance and enforcement activities. Authorizes any person to petition the Administrator to issue, amend, or repeal any regulation under the Clean Air Act. Requires the Administrator to take necessary measures to prevent the operation, construction, or modification of certain major emitting facilities.

Bill· SS. 1628 (101st)referred

Special Needs Adoption Assistance Act of 1989

United States · United States Congress · 14 September 1989

Special Needs Adoption Assistance Act of 1989 - Amends the Internal Revenue Code to allow a tax deduction for qualified adoption expenses. Allows such deduction whether or not a taxpayer itemizes deductions. Directs the Office of Personnel Management to establish a demonstration program under which an employee is reimbursed for qualifying adoption expenses incurred in connection with the adoption of a child with special needs. Requires a report to the President and the Congress by October 1, 1992, on such program.

Bill· SS. 1617 (101st)referred

Poland and Hungary Democracy Act of 1989

United States · United States Congress · 13 September 1989

Poland and Hungary Democracy Act of 1989 - Title I: Enterprise Funds in Poland and Hungary - Authorizes appropriations to the President for promoting the development of the Hungarian and Polish private sectors through the support of a Polish-American Enterprise Fund and a Hungarian-American Enterprise Fund. Allows the President to designate two private, nonprofit organizations as the Funds. Requires the President to designate an executive agency to grant such monies to the Funds. Permits the agency to use a specified amount of such monies for carrying out functions under this title. Makes certain commodities eligible for assistance programs under the Agricultural Act of 1949 and the Agricultural Trade Development and Assistance Act of 1954 available to the Funds to generate local currencies. Authorizes grants to be made to the Funds only if the Funds are in compliance with this title. Provides for annual audits of the Funds. Requires the Funds to ensure that: (1) each recipient of Fund assistance keeps separate accounts and financial records; and (2) the Funds have access to such records for audit purposes. Directs each Fund to publish annual reports. Title II: Labor Market Transition - Requires the Secretary of Labor to provide technical assistance to Poland and Hungary for the implementation of labor market reform and to facilitate adjustment during the period of economic transition and reform. Authorizes the Secretary to transfer a specified amount from Department of Labor funds to provide such assistance. Title III: Environmental Initiatives - Authorizes the Administrator of the Environmental Protection Agency to: (1) undertake environmental protection activities in Hungary and Poland; and (2) use specified amounts of funds made available for FY 1990 through 1992 under the Clean Water Act and other authorizing statutes to carry out such activities. Requires the Administrator to: (1) establish an air quality monitoring network in the Krakow metropolitan area; and (2) improve water quality and the availability of drinking water in such area. Directs the Administrator to work with U.S. and Hungarian officials and private parties to establish and support a center in Budapest, Hungary, for facilitating cooperative environmental activities between governmental experts and U.S. and Eastern and Western European organizations.