United States · United States Congress · 22 January 1987
Omnibus Committee Funding Resolution of 1987 - Authorizes expenditures by the following Senate Committees from March 1, 1987, through February 29, 1988: (1) Agriculture, Nutrition, and Forestry; (2) Appropriations; (3) Armed Services; (4) Banking, Housing, and Urban Affairs; (5) Budget; (6) Commerce, Science, and Transportation; (7) Energy and Natural Resources; (8) Environment and Public Works; (9) Finance; (10) Foreign Relations; (11) Governmental Affairs; (12) Judiciary; (13) Labor and Human Resources; (14) Rules and Administration; (15) Small Business; (16) Veterans' Affairs; (17) Aging; (18) Intelligence; and (19) Indian Affairs. Authorizes the Committee on Governmental Affairs to study or investigate: (1) the efficiency and economy of all governmental operations, including the possible existence of fraud and corruption; (2) the extent of criminal or improper activities in the labor-management field; (3) organized crime and the adequacy of Federal laws to prevent its operations; (4) all other aspects of crime and lawlessness in the United States; (5) national security; (6) management of energy shortages; and (7) Government efficiency in Federal regulatory policies. Amends rule XXXIX of the Standing Rules of the Senate to make the foreign travel restrictions for a Member whose term will expire at the end of a Congress applicable to the following persons: (1) an employee of the Member; (2) an elected officer whose employment will terminate at the end of a Congress; and (3) a committee employee whose employment will terminate at the end of a Congress.
United States · United States Congress · 21 January 1987
Authorizes the President to call a White House Conference on Library and Information Services, to be held not later than 1989, to develop recommendations for improvement of such services and their public use. Requires that the Conference be planned and conducted by the National Commission on Libraries and Information Sciences. Authorizes the Librarian of Congress, the Director of the National Library of Medicine, and the Director of the National Agricultural Library, upon request, to detail personnel to the Commission. Requires the Conference to submit a final report to the President within 120 days following its close. Directs that the final report be made public, and within 90 days after receipt by the President transmitted to the Congress with recommendations. Establishes an advisory committee to assist in planning and conducting the Conference. Includes among its appointed members the Secretary of Education and the Librarian of Congress. Authorizes appropriations as necessary.
United States · United States Congress · 21 January 1987
Designates January 28, 1987, as National Challenger Center Day. (The Challenger Center is an institution offering children and teachers activities and information derived from American space research.)
United States · United States Congress · 21 January 1987
Authorizes the Chairman of the Committee on Rules and Administration, during the 100th Congress, to designate another member of such Committee to serve on the Joint Committee of the Congress on the Library in place of the Chairman.
United States · United States Congress · 21 January 1987
Authorizes the Senate Committee on Rules and Administration, from March 1, 1987, through February 29, 1988, to: (1) make expenditures from the contingent fund; (2) employ personnel; (3) utilize, on a reimbursable basis, the services of department or agency personnel; (4) procure consultant services; and (5) provide for the training of its professional staff.
United States · United States Congress · 20 January 1987
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. Declares that a prime contractor's obligation to pay an interest penalty to a subcontractor may not be construed to be an obligation of the United States. Specifies the calculation of time for interest penalties on discount payments. Revises agency reporting requirements on interest penalty payments to include a description of agency payment practices. Requires the modification of the Federal acquisition regulation to implement Federal prompt payment provisions.
United States · United States Congress · 16 January 1987
Authorizes the Alpha Phi Alpha fraternity to establish a memorial to Martin Luther King, Jr., on Federal land in the District of Columbia. Directs the Secretary of the Interior to: (1) select a site for the memorial; (2) determine that funds needed for completion are available before allowing construction to begin; and (3) maintain the memorial after construction is completed. Prohibits the United States from paying any expense of establishing the memorial. Limits the authority to build the memorial to five years unless construction begins during that period.
United States · United States Congress · 16 January 1987
Allows the display of the National League of Families POW/MIA flag in the Capitol Rotunda until a satisfactory accounting of all Vietnam POW/MIAs has taken place.
United States · United States Congress · 13 January 1987
Soybean Marketing Act of 1987 - Amends the Agricultural Act of 1949 to extend for the 1987 through 1990 soybean crops: (1) price supports at $5.02 per bushel; (2) marketing loans with a loan repayment rate that is the lesser of (A) the loan level determined or (B) the higher of (i) such loan level multiplied by 50 percent in 1987, 60 percent in 1988, and 70 percent in 1989 and 1990 or (ii) the prevailing world market price; and (3) loan deficiency payments.
United States · United States Congress · 12 January 1987
Budget Procedures Improvement Act of 1987 - Amends the Congressional Budget Act of 1974 to revise the Federal and congressional budget process by: (1) establishing a two-year budgeting cycle and timetable beginning in the 101st Congress; (2) providing for separate consideration of authorizations, appropriations, concurrent resolutions on the budget, and the reconciliation bill or resolution; and (3) requiring the Congress to complete action on a second concurrent resolution on the budget that reaffirms or revises the first budget resolution. Defines the two-fiscal-year budget period as the period of two consecutive fiscal years beginning on October 1 of any even-numbered year. Requires the Director of the Congressional Budget Office, on or before April 15 of each odd-numbered year, to transmit to the Committees on the Budget of the House and of the Senate a fiscal policy report for each fiscal year in the succeeding two-fiscal-year budget period. Requires the Director, on March 31 of each even-numbered year, to transmit to such Committees any revisions necessary due to changing economic conditions or revisions in the President's budget. Requires each Budget Committee to report to its House the first concurrent resolution on the budget by June 15 of each odd-numbered year. Makes it out of order in either the Senate or the House to consider any first concurrent resolution on the budget or any revision thereof which: (1) directs any committee to determine and recommend changes in bills, laws, or resolutions; or (2) includes any matter with respect to any subject other than budget outlays or authority, a budget surplus or deficit, revenues, or the level of the public debt. Requires the Congress to complete action on the first concurrent resolution on the budget by July 31 of each odd-numbered year. Requires the Committee on Appropriations of the House to report regular appropriations bills by March 31 of each even-numbered year. Requires all bills and resolutions providing budget authority or specified spending authority for any two-fiscal-year budget period to be reported: (1) to the House by March 31 of the year in which such period begins; and (2) to the Senate by April 15 of such year. Requires the Congress, by July 15 of each even-numbered year, to complete action on: (1) all regular appropriations bills providing new budget authority for the budget period beginning October 1 of that year; and (2) bills or resolutions providing specified spending authority which is to become effective during such budget period. Prohibits bills and resolutions providing new budget or spending authority for any two-fiscal-year budget period from being enrolled until the second concurrent resolution on the budget has been agreed to, and if a reconciliation bill or resolution, or both, are required to be reported for such period, until the Congress has completed action on such legislation. Requires each Budget Committee, by June 15 of each even-numbered year, to report to its House a second concurrent resolution on the budget that reaffirms or revises the concurrent resolution on the budget most recently agreed to for the upcoming budget period. Requires such second budget resolution to: (1) specify the total amount by which new budget authority, budget authority initially provided for prior fiscal years, new entitlement authority, credit authority, revenues, and the public debt limit are to be changed; and (2) direct the committees having jurisdiction to determine and recommend revisions in the appropriate laws and legislation to effect such changes. Makes it out of order in the House or the Senate to consider any second budget resolution that directs any committee to make revisions authorizing the enactment of new budget authority. Requires the Congress to complete action on the second budget resolution by August 1 of each even-numbered year. Makes it out of order in the House or the Senate to consider any reconciliation legislation changing any provision of law other than one providing new budget or spending authority, relating to revenues, or specifying the amount of the public debt limit. Requires the Congress to complete action on any reconciliation bill or resolution by September 25 of each even-numbered year. Requires specified Congressional Budget Office and congressional committee reports on congressional budget actions to include tables setting forth estimates of budget authority, specified spending authority, and budget outlays for each Federal budget account, including estimates for budget and spending authority which will become available without further congressional action and the resulting budget outlays. Requires such information to accompany any budget resolution or other bill relating to budget authority, spending authority, or outlays that is reported from committee. Requires any bill or resolution authorizing new budget authority to be reported in the House or the Senate by July 1 of the odd-numbered year preceding the budget period. Provides for the waiver of such requirement in the House and the Senate. Requires the Congress to complete action on all such authorizations by December 1 of such year. Directs the Committees on Appropriations of the House and the Senate to: (1) conduct a continuing study of provisions of law which provide spending authority or permanent budget authority; and (2) submit occasional reports on any recommendations for terminating or modifying such provisions. Requires the President to transmit to the Congress: (1) the Federal budget for each two-fiscal-year budget period by January 15 of each odd-numbered year beginning with 1989; and (2) revisions in the budget by January 15 of each even-numbered year. Makes conforming amendments in provisions governing the style and title of Acts making appropriations. Amends the Legislative Reorganization Act of 1946 to require each standing committee of the Senate and the House (except specified committees), during the period beginning on January 15 of each odd-numbered year and ending October 1 of the following year, to: (1) review and study the application, administration, execution, and effectiveness of those laws within the jurisdiction of such committee and the organization and operation of the Federal entities responsible for the administration and execution of such laws in order to determine whether such laws and related programs are being implemented in accordance with congressional intent; (2) study conditions which may indicate the need for legislation; (3) report any findings to its House by October 1 of each even-numbered year; and (4) use such findings as the basis for its legislative work during the succeeding Congress. Requires Federal agencies and the Comptroller General to provide specified assistance to requesting committees. Makes appropriations to continue projects and activities provided for under any regular appropriations Act not enacted by the beginning of a budget period at a rate of operations not exceeding the rate provided for such project or activity in the preceding budget period. Provides that such continuing appropriations shall remain available until the earlier of the day after all regular appropriations bills for the budget period are enacted or the last day of the budget period. Prohibits any regular appropriations Act for any budget period from becoming effective until the later of the first day of such budget period or the day after the date on which all of the regular appropriations bills for such budget period have become law. Makes transitional amendments. Requires the President to submit a budget for FY 1990, and the Congress to act on it, according to current law, with specified exceptions.
United States · United States Congress · 6 January 1987
Directs the Secretary of the Treasury to pay a specified sum to individuals (or their heirs) in full satisfaction or claims arising out of the sale of land in Kentucky to the United States under threat of condemnation for a military training camp.
United States · United States Congress · 6 January 1987
High Risk Occupational Disease Notification and Prevention Act of 1987 - Establishes a Risk Assessment Board, within the Department of Health and Human Services, to: (1) review current medical and scientific reports on the incidence of disease associated with exposure to occupational health hazards; (2) identify and designate those populations at risk of such disease that should receive notification; and (3) develop a form and method of notification that will be used by the Secretary of Health and Human Services (the Secretary). Sets forth factors which the Board must consider in identifying and designating such populations at risk. Sets forth procedures for notice of proposed determinations. Directs the Board to notify or coordinate notification of at least 100,000 employees per year, and to make every reasonable effort to do so for at least 300,000 employees per year. Directs the Secretary to make every reasonable effort to ensure that each individual within a population at risk of disease is notified of the risk. Sets forth contents of such notification, including counseling information. Provides for telephone "hot lines" and other dissemination of information. Provides for judicial review of Board determinations. Authorizes the Secretary to certify a private employer or a State or local government to conduct notification. Requires, in the case of employees not currently exposed, that notification be transmitted to each employee in the designated population at risk of disease who was exposed to the occupational health hazard within 30 years prior to the date of notification. Requires individual notification, but where this is not reasonably possible, requires the notifying entity to make use of public service announcements and other appropriate means of notification. Requires, in the case of employees currently exposed, both individual notification and prominent warnings posted at the worksite. Requires specified data to be included in the notification where employers are subject to a hazard communication standard. Requires the Secretary to establish and certify ten occupational and environmental health centers to: (1) provide education, training, and technical assistance to personal physicians and social service professionals who serve employees notified that they are at risk under this Act; and (2) provide diagnosis, treatment, medical monitoring, and family services for such employees. Directs the Board to conduct or provide for research, training, and education aimed at improving the means of identifying employees exposed to occupational health hazards and providing medical assistance to such employees. Authorizes the Board to engage the services of experts and consultants. Requires schools of medicine, in order to receive Federal financial assistance, to offer a course of study on occupational diseases. Requires, for any employee notified, that the recommended testing, evaluation, and medical monitoring be made available by the current employer: (1) at no cost to the employee if any part of such exposure occurred in the course of the employee's employment by that employer; and (2) at cost if no part of such exposure occurred during that time. Prohibits discrimination by any employer or any other person against any employee on the basis that the employee is or has been a member of a population that the Secretary has determined to be at risk. Requires that the employee retain the same earnings, seniority, and benefits as in the former job if it is medically determined that the employee should be transferred to a less hazardous or non-exposed job. Sets forth enforcement authority under this Act including injunctive relief, reinstatement and other relief, and civil penalties. Directs the Secretary of Labor to report to the Congress annually regarding implementation and enforcement of the hazard communication standard. Directs the Secretary to report to the Congress annually regarding implementation and enforcement of notification under this Act. Requires each Federal agency that conducts epidemiological studies on occupational disease to establish procedures for notifying the subjects of such studies of findings demonstrating that they are part of a population at risk of disease. Authorizes appropriations for FY 1988 and 1989, setting aside a specified amount for research.
United States · United States Congress · 6 January 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.)
United States · United States Congress · 6 January 1987
Federal Onshore Competitive Oil and Gas Leasing Act of 1987 - Amends Federal law regarding competitive leasing of oil and gas for onshore Federal lands to increase from 640 acres to 2,560 acres the units of land open to competitive leasing. Provides for lease sales to be: (1) conducted by oral bidding; and (2) held at least quarterly in each State (or more frequently at the Secretary's discretion). Requires the Secretary of the Interior to accept the highest bid which is at least $20 or greater per acre without evaluation of the economic or geologic value of the lands proposed for lease. Requires that all bids for less than the minimum acceptable price be rejected. Makes lands available for leasing for a one-year period if the highest bid received for such lands was less than the minimum acceptable price. Describes circumstances under which certain lands may be leased without competitive bidding. Increases the primary lease term from five to ten years. Authorizes the Secretary to disapprove partial assignments of less than 640 acres outside of Alaska, or of less than 2,560 acres within Alaska. Subjects a lease to cancellation by the Secretary of the Interior after 30 days' notice for noncompliance with the lease terms unless: (1) the leasehold contains a well capable of production of oil or gas in paying quantities; or (2) the lease is committed to an approved cooperative or unit plan or communitization agreement which contains a well capable of production of unitized substances in paying quantities. Amends the Alaska National Interest Lands Conservation Act to make leasing in Alaska consistent with that in the lower 48 States. Repeals provisions regarding: (1) determination of favorable petroleum geological provinces; and (2) suspension of noncompetitive leasing. Establishes an interim period during which certain pending lease applications will be processed as they would have been prior to the date of enactment of this Act. Prohibits noncompetitive lease applications for specified lands from being processed until such lands are posted for competitive bidding in accordance with this Act. Requires the Secretary of the Interior to hold at least one competitive lease sale for tracts which but for this Act would have been posted for the filing of simultaneous oil and gas lease applications. Permits the inclusion in such sale of certain tracts which had over-the-counter noncompetitive oil and gas lease offers. Imposes civil penalties upon persons who willfully and knowingly misrepresent the value of lands and leases under this Act. Grants to the States concurrent civil and criminal jurisdiction for violations of this Act. Requires the Secretary to submit an annual report to the Congress regarding the implementation of this Act, including specified data.
United States · United States Congress · 6 January 1987
National Appliance Energy Conservation Act of 1987 - Amends the Energy Policy and Conservation Act to add to the list of products covered under the Act: (1) freezers which can be operated by alternating current electricity (with specified exceptions); (2) central air conditioning heat pumps; (3) direct heating equipment; and (4) pool heaters. Deletes from specific coverage: (1) humidifiers; and (2) dehumidifiers. Excludes from such coverage consumer products designed solely for use in recreational vehicles and other mobile equipment. Authorizes the Secretary of Energy to amend Federal energy efficiency test procedures for appliances under specified guidelines. Prohibits manufacturers from making any representations regarding the energy efficiency of appliances covered by this Act unless such appliances have been tested in accordance with the Federal test procedures, and the manufacturer's representations fairly disclose the results of such testing. Sets forth specific Federal energy conservation standards for products covered by this Act and manufactured after certain dates. Establishes deadlines by which the Secretary must issue rules regarding such standards. Details the criteria to be applied if such standards are revised. Revises the information requirements with which manufacturers must comply to provide that the Secretary shall exercise authority in a manner designed to minimize unnecessary burdens on manufacturers of covered products. Revises the rules under which State regulations are superseded by the Federal regulations for testing and labeling requirements and energy conservation standards. Permits the waiver of Federal preemption if the Secretary finds that such waiver is needed to meet compelling and unusual local energy conditions. Prescribes procedural guidelines for such a waiver. Details conditions under which State and local building code requirements regarding energy conservation standards are not superseded by the standards promulgated under this Act. Permits the commencement of a citizen's suit against the Secretary for failure to comply with a nondiscretionary duty to issue rules according to prescribed schedules. Directs the courts to expedite the disposition of such suits. Vests jurisdiction in the Federal district courts over actions brought by any adversely affected person to determine whether a State or local government is complying with the requirements of this Act. Declares that the required submission by the Secretary of an annual report regarding Federal energy efficiency standards does not constitute a defense or justification for a failure by the Secretary to comply with the nondiscretionary duty provided for in this Act.
United States · United States Congress · 6 January 1987
Water Quality Act of 1987 - Title I: Amendments to Title I - Amends the Federal Water Pollution Control Act (the Clean Water Act) to authorize appropriations for FY 1983 through 1990 for: (1) specified research, investigation, and training programs in water pollution control; (2) State and interstate pollution control programs; (3) undergraduate programs in water quality control; (4) grants for developing waste treatment management plans for areas with substantial water quality control problems; (5) water pollution control programs in agricultural areas; (6) agreements among Government agencies providing for maximum use of existing programs for water quality control; (7) grants to States for lake pollution control; and (8) carrying out the Clean Water Act generally. Directs the Administrator of the Environmental Protection Agency to award an annual grant to support a National Clearinghouse on small flows (of sewage) and innovative or alternative technologies information. Directs the Administrator of the Environmental Protection Agency (EPA) to continue the Chesapeake Bay Program and establish such an Office within EPA to: (1) collect and disseminate research and other information on the environmental quality of the Bay; (2) coordinate Federal research efforts; (3) conduct research on sediment deposition in the Bay; and (4) conduct research on how environmental changes effect the living resources of the Bay, with particular emphasis on the impact of pollutant loading. Directs the Administrator to make a grant to a State affected by the interstate management plan developed under the Bay Program to implement management mechanisms in the plan if the State has approved and is committed to implementing all or substantially all aspects of the plan. Requires a State or combination of the States, in order to qualify for such grants, to submit a plan of proposed abatement actions to reduce Bay pollution and meet applicable water quality standards and of estimated costs for the approval of the Administrator. Limits such grants to 50 percent of the plan implementation costs. Limits administrative costs. Requires States to submit progress reports biennially to the Administrator for transmittal to the Congress. Authorizes appropriations for FY 1987 through 1990. Establishes the already existing Great Lakes National Program Office within EPA. Requires such Office to be located in a Great Lakes State. Requires such Office to carry out the responsibilities of the United States under the Great Lakes Water Quality Agreement of 1978, monitor the water quality of the Great Lakes, and serve as a liaison with the International Joint Commission Canadian members. Directs the Office to develop a five-year plan for reducing the amount of nutrients introduced into the Lakes and a five-year study and demonstration project program for the control and removal of toxic pollutants. Directs the Administrator to report annually to the Congress on Great Lakes water quality. Establishes, within the National Oceanic and Atmospheric Administration, the Great Lakes Research Office to develop, coordinate, and report on research on issues related to the Great Lakes resources. Require such Office to be located in a Great Lakes State. Requires the Program and Research Offices to prepare annually a joint research plan. Requires interagency cooperation and reporting with respect to such program. Authorizes appropriations for FY 1987 through 1991, earmarking funds for specified purposes. Directs the Administrator to research the harmful effects on the health and welfare of persons caused by pollutants in water, especially the bioaccumulation of these pollutants in aquatic species and any reduction in the value of aquatic industries. Title II: Construction Grants Amendments - Sets a time limit on resolving treatment works construction contract disputes. Limits the 75 percent Federal share of treatment works construction costs to grants made by a State before FY 1991. Makes the Wyoming Valley Sanitary Authority project eligible for grants of 75 percent of construction costs. Authorizes the Administrator to make a grant to fund all the costs of modifying or replacing bio disc equipment (rotating biological contractors) in any publicly owned treatment works if deficiencies are not attributable to negligence. Deems the activated bio-filter feature of the project for treatment works of Little Falls, Minnesota, an innovative wastewater process and technique entitled to an 85 percent grant. Permits the use of Farmers Home Administration funds for the nonfederal share of construction costs for publicly owned treatment works under this Act. Directs the Administrator to make preconstruction agreements with grant applicants for treatment work construction assistance to specify which costs are eligible for Federal payments. Sets forth contract terms and conditions concerning design approval and payments including interest payments. Qualifies for purposes of treatment works grants a system of user charges imposing lower charges for low-income residential users. Requires the Administrator to reallot to States treatment works construction grants for FY 1987 through 1990. Extends through FY 1990 the authorization of appropriations for minimum allotments to States and specified U.S. territories and possessions. Increases the allotment for specified U.S. territories and possessions. Extends through FY 1994 the reservation of certain amounts from State allotments for State administrative expenses. Extends through FY 1990 the use of funds to control pollutants from storm sewers. Increases the mandatory set-aside for rural States and other States to up to seven and one-half percent. Extends through FY 1990 specified provisions relating to minimum expenditures for increasing the Federal share of grants for construction of treatment works utilizing innovative processes and techniques. Requires a State to allocate at least 40 percent of its water quality management planning grant to regional and interstate public comprehensive organizations if it would significantly assist in encouraging such organizations' participation in developing wastewater treatment programs. Increases the amount of additional funds which the Administrator shall have available for addressing water quality problems of marine bays and estuaries subject to lower levels of water quality due to the impact of discharges from combined storm water and sanitary sewer overflows. Authorizes appropriations for FY 1986 through 1990 for the construction grant program. Adds a new title VI: Grants for Water Pollution Control Revolving Funds to the Clean Water Act. Authorizes appropriations for FY 1989 through 1994 for capitalization grants to States which establish Water Pollution Control Revolving Funds which would gradually take over the Federal program. Requires a participating State to: (1) enter into agreements with the Administrator; (2) establish the required Fund; (3) deposit in its Fund from State monies an amount equal to 20 percent of the capitalization grant; (4) make loan commitments for publicly owned waste treatment plants within one year which commit all of the Fund; (5) submit required annual and intended use reports; and (6) comply with generally accepted procedures and standards. Sets forth permitted uses of the Fund. Authorizes the Administrator to reallot a noncomplying State's capitalization grant. Sets forth required accounting procedures. Directs the Administrator to review annually each State plan and report for using the Fund. Authorizes a State to use Federal grant funds to set up a Water Pollution Control Revolving Fund upon request. Directs the Administrator to report to the Congress by February 10, 1990, on the operation of the State Funds. Directs the Administrator to make grants for treatment works improvement programs for: (1) Avalon, California; (2) Walker and Smithfield Townships, Pennsylvania; (3) Taylor Mill, Kentucky; and (4) Watsonville, California. Directs the Administrator to make a grant to the State of California for the construction of a collection system for specified areas of Nevada County. Directs the Administrator to make grants to the Wanaque Valley Regional Sewage Authority, New Jersey, for the construction of treatment works of a specified capacity. Limits the Federal share to 75 percent of construction costs. Directs the Administrator to make grants to Lena, Illinois, for the construction of a replacement moving bed filter press for the treatment works. Limits the Federal share to 75 percent of construction costs. Requires Pennsylvania to give Federal funding priority to the Wyoming Valley Sanitary Authority secondary treatment project and to a project for wastewater treatment for Altoona, Pennsylvania. Authorizes the Chicago tunnel and reservoir project to receive grants without regard to allocation limitation if the Administrator determines that such project is cost-effective without redesign or reconstruction and the Governor of Illinois demonstrates the water quality benefits accruing from such project. Permits the towns of Hampton and Nashua, New Hampshire, to continue using an ad valorem tax user charge system for collecting the costs of operation and maintenance of sewage treatment works in satisfaction of specified requirements for grants for treatment works. Requires the Administrator to review such system for compliance with other requirements. Title III: Standards and Enforcements - Extends the compliance date for specified priority toxic pollutants, all other toxic pollutants, and the application of best practicable technology for all other pollutants to no later than three years after effluent limitations are established or by March 31, 1989, whichever is earlier. Directs the Administrator of EPA to promulgate final regulations by the end of 1986 establishing effluent limitations for direct dischargers and limitations requiring pretreatment for all the priority toxic pollutants which are discharged from certain categories of point sources in accordance with a specified schedule. Permits the Administrator to modify the effluent limitations for nonconventional pollutants such as ammonia, chlorine, color, iron, and total phenols. Permits the Administrator to add or delete from the list of pollutants for which such modification is permitted as indicated by current evidence or the lack of it. Requires that such modifications not interfere, alone or in combination, with the prescribed water quality standard. Requires as new conditions for the modification of treatment requirements with respect to the discharges of pollutants from a publicly owned treatment works that an applicant for such modification demonstrate that: (1) in the case of a treatment works serving a population of 50,000 or more, there is in effect a specified pretreatment program for toxic pollutants introduced into such works for which there is no pretreatment requirement in effect; and (2) the effluent which is discharged from such works is receiving primary treatment and meets the criteria for water established by the Administrator. Prohibits the discharge of a pollutant into saline estuarine waters that do not support fish and wildlife or whose quality is below applicable standards. Prohibits dumping in the New York Bight Apex. Extends the filing deadline for treatment works modification. Extends the innovative technology compliance deadlines for direct dischargers. Permits variances from an otherwise applicable effluent limitation or pretreatment standard if an applicant can demonstrate during the rulemaking (or did not have an opportunity to demonstrate) that factors relating the facilities, equipment, and processes of such person are fundamentally different from the factors considered in the rulemaking. Requires the Administrator to assess and collect fees for variance applications. Requires the Administrator to report biannually to the appropriate congressional committees on the status of variance applications. Permits the modifications of ph levels and the amount of iron and manganese in discharges from remined areas of coal remining operations if such operations provide potential for water quality improvement and use the best available technology (BAT). Requires States within two years to identify bodies of water within or adjacent to them which will not meet State water quality standards because of toxic pollutants after the implementation of BAT. Requires each State to develop an individual control for each such body to achieve the applicable standard within three years. Requires that Administrator, within nine months of this Act's enactment, to develop guidelines for such identification and for measuring water quality criteria for toxic pollutants on other than pollutant-by-pollutant criteria, using biomonitoring and assessment techniques. Directs the States to establish numerical criteria, based on EPA's national water quality criteria, for toxic pollutants which could otherwise interfere with designated water uses. Permits such criteria to include the use of biological monitoring or assessment methods. Permits the Administrator, with State concurrence, to modify effluent limitations: (1) if a non-toxic polluter demonstrates that complete compliance does not satisfy a reasonable cost-benefit analysis; or (2) for five years if a toxic polluter demonstrates that a modified maximum limitation within the polluter's economic means will result in reasonable progress to post-BAT water quality standards. Directs the Administrator, within one year of this Act's enactment and then biennially, to publish guidelines for effluent limitations for toxic pollutants for industrial categories currently without such guidelines and to establish a schedule for the review, revision, and promulgation of other effluent guidelines. Directs the Administrator to study and report to the Congress on water quality improvements achieved through the application of BAT economically achievable. Authorizes a two-year extension for a treatment works to comply with a categorical pretreatment standard if it uses an innovative treatment system which has potential for industry-wide application and the treatment works can still comply with the terms of its permit. Establishes criminal penalties for the knowing disclosure of confidential information gained by authorized personnel in the course of inspection of treatment facilities. Permits a State to adopt more stringent standards for marine sanitation devices on a houseboat than those required under Federal law. Increases criminal and civil penalties. Adds administrative civil penalties for specified violations. Establishes criminal penalties for the knowing endangerment of a person through violations of specified provisions. Requires the Secretary of the Army and the Administrator to each report to the Congress by December 1, 1988, on the enforcement mechanisms available and on improving enforcement. Directs each State to report biennially to the Administrator on the water quality of the publicly owned lakes. Requires the Administrator to then report such information to the appropriate congressional committees, including an evaluation of methods and procedures used. Authorizes the Administrator to conduct lake water quality demonstration programs at: (1) Lake Houston, Texas; (2) Beaver Lake, Arkansas; (3) Greenwood Lake and Belcher Creek, New Jersey; (4) Deal Lake, New Jersey, (5) Alcyon Lake, New Jersey; (6) Gorton's Pond, Rhode Island; (7) Lake Washington, Rhode Island; (8) Lake Bomoseen, Vermont; (9) Sauk Lake, Minnesota; and (10) Lake Worth, Texas. Directs the Administrator to publish within one year of enactment and update biennially a lake restoration guidance manual. Directs the Governor of each State to submit to the Administrator for approval a report: (1) identifying navigable waters not meeting applicable water quality standards because of pollution from nonpoint sources (e.g., rainfall runoff as opposed to identifiable pipes); (2) identifying categories of significantly polluting nonpoint sources; (3) identifying State and local programs for controlling such pollution and improving the water quality of the navigable waters; and (4) describing administrative measures to be taken. Requires each Governor to develop Administrator-approved nonpoint source pollution management programs identifying: (1) the best management practices to institute; (2) an implementation schedule; (3) any additional State authorities necessary for the program including an implementation schedule for acquiring such authorities; (4) available financial assistances; and (5) the effect of existing Federal programs on such program. Provides for resubmission of rejected programs which are subsequently modified. Directs the Administrator to develop a program for any State which fails to do so and report on such actions to the Congress. Authorizes the Administrator to provide technical assistance to a local agency to develop a four-year plan if a State fails to submit a satisfactory plan and the local agency is of sufficient geographical size. Treats such local agency as a State agency for implementation assistance purposes after such plan has been approved. Directs the Administrator to convene a management conference of the affected States when any State is unable to meet its applicable water quality standards because of pollution from nonpoint sources in another State. Requires the offending State to modify its management program to reflect an agreement reached in such conference. Directs the Administrator to provide grants to States to assist in the implementation of approved four-year plans. Limits the Federal share to a maximum of 60 percent of costs. Sets forth other terms and conditions for such grants, including reporting and administrative requirements. Limits each grant per State to a maximum of 15 percent of total authorizations. Authorizes the Administrator to give priority in making grants to States with management programs with particularly difficult nonpoint pollution problems, innovative technologies, or which address essential groundwater quality protection problems. Authorizes appropriations for FY 1988 through 1991. Directs the Administrator to transmit to the Office of Management and Budget and the appropriate Federal departments and agencies a list of those assistance programs and development projects identified by States for which individual assistance applications and projects will be reviewed. Requires each Federal department and agency to modify existing regulations to allow States to conduct such review and accommodate the concerns of the State regarding the consistency of such applications or projects with the State program. Directs the Administrator to collect and make available information pertaining to management practices and implementation methods. Directs the Administrator to report annually, and finally by January 1, 1990, to the Congress on the State management programs and the grants. Earmarks funds for such programs. Authorizes the Governor of any State to nominate to the Administrator an estuary within the State's jurisdiction which is of national significance and to request a management conference to develop a comprehensive management plan. Directs the Administrator to convene such conference if the need for it is sufficiently documented. Gives priority to: (1) Long Island Sound, New York and Connecticut; (2) Narragansett Bay, Rhode Island; (3) Buzzards Bay, Massachusetts; (4) Puget Sound; Washington; (5) New York-New Jersey Harbor, New York and New Jersey; (6) Delaware Bay, Delaware and New Jersey; (7) Albemarle Sound, North Carolina; (8) Sarasota Bay, Florida; (9) San Francisco Bay, California; and (10) Galveston Bay, Texas. Prohibits convening such a conference before a final adjudication has been made in any pending State boundary dispute involving such estuary. Requires a management conference to assess the relevant ecological data and develop a comprehensive conservation and management plan which recommends priority corrective actions and compliance schedules and coordinates intergovernmental efforts. Requires each conference to include the Administrator and affected governmental and private interests. Limits the terms of a conference to five years. Requires Administrator approval of any plan. Permits the use of construction grant or State revolving fund monies for implementation approval of any plan. Authorizes the Administrator to provide up to 75 percent of research and study costs through State grants. Requires such State to report to the Administrator biennially. Earmarks funds for the Administrator of the National Oceanic and Atmospheric Administration to coordinate and implement an assessment, research, and water quality sampling program for pollutants and ecosystems to determine when an estuarine management conference should be called. Requires the Administrators to report to the Congress biennially on estuarine health and research. Authorizes appropriations for FY 1987 through 1991. Prohibits the location or placing of a landfill, surface impoundment, waste pile, injection well, or land treatment facility, or the placement of solid waste in any of these if they are located over the Unconsolidated Quarternary Aquifer, or the recharge zone of such aquifer in the Rockaway River Basin, New Jersey. Title IV: Permits and Licenses - Exempts from permit requirements and effluent limitations certain stormwater runoff discharges from mining operations or oil or gas exploration, production, processing, or treatment operations. Requires exempted run-offs to be a product of precipitation flows or systems designed to collect or convey such water. Requires that such run-offs be uncontaminated (as determined by the Administrator). Prohibits the Administrator from requiring additional pretreatment by a discharger of conventional pollutants when its publicly owned treatment works is not meeting NPDES permit requirements because of inadequate design or operation. Authorizes a partial NPDES permit program covering a portion of the discharges into the navigable waters in such State if it covers administration of a major category of such discharges or a major component of the State's NPDES permit program. Provides that a State may return, or the Administrator may withdraw approval of, delegated NPDES permit program responsibilities. Sets forth anti-backsliding requirements relating to renewal or reissuance of NPDES permits. Permits limited exceptions. Requires the Administrator to report to the Congress within two years on the extent to which States have modified water quality standards or NPDES permits should be modifiable to permit less stringent effluent limitations. States that prior to FY 1993 no permit shall be required for discharges composed entirely of stormwater other than: (1) those associated with industrial activity or municipal separate storm sewers; or (2) those which are determined to be in violation of a water quality standard or contribute significantly to water pollution. Requires the Administrator to report to the Congress on the nature of most stormwater discharges and which classes of such discharges should have permits. Revises the sewage sludge disposal timetable. Directs the Administrator to identify in two stages those toxic pollutants which may be present in sewage sludge in concentrations which may adversely affect public health or the environment. Directs the Administrator to publish regulations specifying acceptable management practices and establishing numerical limitations for each such pollutant and requiring compliance within 12 months after publication. Authorizes the Administrator to promulgate a design, equipment, management practice, or operational standard for certain pollutants if a numerical limitation is not feasible and the same protection can be achieved. Requires NPDES permits to include requirements for the use and disposal of sludge, and provides for implementing such regulations. Authorizes the Administrator to issue a permit to implement such regulations to a facility not subject to NPDES. Authorizes the Administrator to initiate studies and projects to promote the safe and beneficial use of sewage sludge. Authorizes appropriations. Stays the decision of Natural Resources Defense Council, Inc. v. U.S. Environmental Protection Agency concerning revised pretreatment requirements for certain publicly owned treatment works. Prohibits the authorization of removal credits until final regulations are issued. Permits the merger of permit requirements for log transfer facilities subject to both EPA's and the Army's jurisdiction so long as certain requirements are satisfied. Title V: Miscellaneous Provisions - Permits the Administrator to enter into noncompetitive procurement contracts with State audit organizations for audits of recipients of Federal assistance under this Act. Includes the Commonwealth of the Northern Mariana Islands within the definition of "State." Excludes agricultural stormwater discharges from the definition of "point source" pollution. Requires that the Attorney General and the Administrator receive notice of any citizen suits or proposed consent judgments. Revises venue provisions to permit an applicant for judicial review of certain Administrator actions to bring suit in the U.S. Court of Appeals for the Federal district in which such applicant has its principal place of business or where such applicant transacts the business which is directly affected by the action in question. Increases the appeal period. Provides a random selection procedure to determine the forum when reviews of a particular EPA action have been filed in more than one court. Empowers the court to award attorney's fees to a prevailing or substantially prevailing party. Directs the Administrator to assess the sewage treatment needs of Indian tribes, reporting to the Congress within one year. Authorizes the Administrator to reserve one-half of one percent of specified funds for Indian needs after FY 1986. Authorizes the Administrator to treat Indian tribes specially or as States as required to meet such tribes' sewage treatment needs. Defines "point source" to include a landfill leachate collection system. Amends the Marine Protection Research and Sanctuaries Act of 1972 to prohibit the issuance of any new permit to non-eligible authorities now presently permitted to use the New York Bight Apex to dump or transport municipal sludge. Prohibits anyone but an eligible authority from dumping or transporting municipal sludge within the 106-mile Ocean Waste Dump Site. Authorizes the Administrator to issue a research permit to the Orange County, California, Sanitation Districts for the discharge of preconditioned municipal sewage sludge into the ocean to analyze the effects of disposing of such sludge by way of pipelines. Limits such permit to five years. Limits the amount of sludge which may be discharged. Requires such districts to report to the Congress on the results of such program. Authorizes the Administrator to make grants to the State of California, for construction of a project consisting of publicly owned treatment works in San Diego to provide primary or advanced treatment of municipal sewage and industrial waste for the city of Tijuana, Mexico, and for San Diego. Requires the Administrator to make additional grants for defensive treatment works in case of breakdown. Authorizes the Administrator to permit ocean discharge of certain specially-treated pollutants. Imposes a cap on raw sewage discharges from the drainage areas of the North River Plant, Manhattan, New York, and the Red Hook Plant, Brooklyn, New York, into navigable waters (the Hudson-Raritan Estuary) if New York City fails to meet the deadlines for achieving advanced preliminary treatment contained in the consent decree of December 30, 1982 (August 1, 1986, for the North River plant; August 1, 1987, for the Red Hook Plant). Permits the Administrator to raise such cap for seasonal variation or natural disasters, or other circumstances beyond the control of the city of New York. States that violations of this Act shall be considered violations of the Clean Water Act, as well as of the consent decree. Expresses the sense of the Congress that the Administrator should not agree to any further modification of the advanced preliminary treatment schedule in the consent decree. Directs the Administrator to implement monitoring activities for both plans and commence enforcement actions in the event of unexcused violations. Directs the Administrator to pay, in the same proportion as the Federal share of other project costs, all expenses for the relocation of facilities for the distribution of natural gas with respect to the entire waste water treatment works known as Oakwood Beach and Red Hook projects, New York. Authorizes appropriations. Directs the Administrator to make grants of up to 75 percent of costs to the Massachusetts Water Resource Authority for the construction of necessary secondary waste water treatment works to improve the water quality of Boston Harbor and adjacent waters. Authorizes the Administrator to make a grant up to 85 percent of costs to the San Diego Water Reclamation Agency, California, to demonstrate innovations in wastewater reclamation. Authorizes appropriations. Authorizes the Administrator to make a grant of 75 percent of construction costs to the city of Des Moines, Iowa, for construction of the Central Sewage Treatment Plant. Authorizes appropriations. Directs the Administrator to study the feasibility and desirability of eliminating the regulation of de minimus discharges of pollutants into navigable waters. Directs the Administrator to report on such study to specified congressional committees within one year after enactment of this Act. Directs the Administrator to study the effectiveness of specified innovative and alternative wastewater treatment processes and techniques which have been used in treatment works constructed under the Clean Water Act. Directs the Administrator to report within one year on such study to specified congressional committees. Directs the Administrator to study the testing procedures for analysis of pollutants established under specified provisions of such Act. Directs the Administrator to report on such study to specified congressional committees within one year after the enactment of this Act. Directs the Administrator to study the pretreatment of toxic pollutants and report to the appropriate congressional committees within four years after enactment of this Act. Directs the Administrator to study methods for controlling point and nonpoint sources of pollution in specified groundwater systems and aquifers, including: (1) the Upper Santa Cruz Basin and the Avra-Altar Basin of Pima, Pinal, and Santa Cruz Counties, Arizona; (2) the Spokane-Rathdrum Valley Aquifer, Washington and Idaho; (3) the Nassau and Suffolk Counties Aquifer, New York; (4) the Whidbey Island Aquifer, Washington; (5) the Unconsolidated Quarternary Aquifer, Rockaway River area, New Jersey; and (6) groundwater in Litchfield, Hartford, Fairfield, Tolland, and New Haven Counties, Connecticut; and (7) the Sparta Aquifer, Arkansas. Directs the Administrator to report to the Congress within two years on the final status of such studies and plans. Authorizes appropriations. Authorizes the Secretary of the Army to undertake a study on consumptive uses of Great Lakes water, focussing on control measures which would reduce the quantity of water consumed without adversely affecting the projected growth of the region. Requires that such study include an analysis of both existing and new technology, including assessments of water quality assessment methodologies, the economic and environmental affects of manufacturing uses, and regulation of such uses. Authorizes appropriations. Directs the Administrator to study the problem of the corrosive effects of sulfides in collection and treatment systems, the extent to which the uniform imposition of categorical pretreatment standards will exacerbate this problem, and the range of available options to deal with the effects. Requires that such study be conducted in consultation with the Los Angeles City and County sanitation agencies which have observed examples of corrosion probably caused by sulfides. Directs the Administrator to report on such study to specified congressional committees within one year after enactment of this Act. Authorizes appropriations. Directs the Administrator to study and report to the Congress within one year on the problems of rainfall induced infiltration into wastewater treatment sewer systems. Directs the Administrator to report to the Congress on the effects of dams on water quality and the performance of State revolving loan funds. Directs the Administrator to conduct and report to the Congress on a comprehensive study of pollution in Lake Pend Oreille, Montana and Idaho, and the Clark Fork River, Idaho, Montana, and Washington.
United States · United States Congress · 6 January 1987
Amends the Internal Revenue Code to allow a charitable contribution income tax deduction for amounts paid to or for the benefit of an institution of higher education in cases where the taxpayer receives the right to seating or the right to purchase seating for athletic events at such institution.
United States · United States Congress · 6 January 1987
Amends the Legislative Branch Appropriation Act, 1978 to declare that certain reductions in compensation for Senate office staff assistance shall not be effective during the 100th Congress.
United States · United States Congress · 6 January 1987
Provides for the payment of severance pay to displaced Senate committee employees whose service is terminated on or after January 2, 1987, as a result of the reorganization of committees due to the transition to a Democratic Party majority in the Senate. Provides a lump sum payment for accumulated leave, not in excess of 30 days, for certain employees whose service in a Senator's office is terminated because the Senator's service ceases.
United States · United States Congress · 17 October 1986
Honors the United Way on the occasion of its 100th anniversary. Encourages the United Way to continue its fine work and achieve its goal of doubling its resources by 1991.
United States · United States Congress · 18 September 1986
Amends the Agricultural Act of 1949 to repeal the Secretary of Agriculture's authority to reduce 1986 soybean loan rates. Directs the Secretary to implement either a marketing loan program or a producer option payment program for the 1986 soybean crop. Directs the Secretary to consult with the producers of other oilseeds regarding the impact of this Act.
United States · United States Congress · 18 September 1986
Expresses the sense of the Congress that the number of Soviet diplomatic and consular agents at the Soviet diplomatic missions in Washington, D.C., and in San Francisco should be reduced to equal the number of American diplomatic agents at the U.S. diplomatic missions in Moscow and in Leningrad.
United States · United States Congress · 16 September 1986
Satellite Television Security and Fair Marketing Act - Amends the Communications Act of 1934 to subject any person who willfully or maliciously interferes with the operation of any satellite or the transmission of any satellite communication to up to a $250,000 fine and ten years' imprisonment. Directs the Federal Communications Commission (FCC) to commence an inquiry into equipment, methods, and systems for detecting and preventing such violations and other satellite communication signal interference. Requires any person who encrypts any satellite cable programming for private viewing: (1) to make such programming available for private viewing by home satellite antenna users; (2) if such person uses cable systems to distribute such programming to home satellite antenna users, to not restrict such systems from selling outside of their franchised areas, to not discriminate in price, terms, or conditions based on whether sale of such programming is for cable subscribers or home satellite antenna users, to establish reasonable financial and character criteria under which noncable distributors may qualify to distribute such programming to home satellite antenna users, and to not discriminate among different distributors offering similar distribution services; and (3) to conduct such encryption according to FCC-approved standards designed to comply with specified criteria. Authorizes aggrieved persons to commence civil actions to enforce this Act. Redefines "satellite cable programming" and defines "home satellite antenna user" and "reasonable financial and character criteria" for purposes of such Act.
United States · United States Congress · 9 September 1986
Comprehensive Narcotics Control Act of 1986 - Title I: Coordination and Leadership - Subtitle A: Office of the Director of National and International Drug Operations and Policy - National Narcotics Act of 1986 - Establishes a Cabinet-level Office of the Director of National and International Drug Operations and Policy to plan and coordinate drug enforcement efforts of the Federal Government. Requires the Director to report to the Congress on U.S. policy with respect to illegal drugs. Requires the Director to make recommendations to specified congressional committees for legislation to reorganize the executive branch of the Government to more effectively reduce drug trafficking and drug abuse. Terminates the National Drug Enforcement Policy Board. Authorizes appropriations for FY 1987. Subtitle B: White House Conference on Narcotics Abuse and Control - Directs the President to call a White House Conference on Narcotics Abuse and Control to develop recommendations to control the illicit production, trafficking, and distribution of narcotics, and to prevent and treat narcotics abuse. Directs the Conference to review: (1) the impact of recently enacted laws on efforts to control trafficking in narcotics and to prevent and treat narcotics abuse; (2) the recommendations of the President's Commission on Organized Crime as they relate to narcotics abuse and control; and (3) the extent to which sanctions in the Foreign Assistance Act of 1961 have been, or should be, used in encouraging foreign states to comply with their international responsibilities respecting narcotics control. Requires the Conference to report its findings to the President and the Congress. Subtitle C: Coordinated Budget Submission for Federal Drug Control and Enforcement Activities - Requires the President to include in his annual budget submission a detailed request for Federal agencies responsible for drug abuse prevention and treatment and drug law enforcement. Title II: Enforcement - Subtitle A: Drug Enforcement Enhancement - Drug Enforcement Enhancement Act of 1986 - Authorizes appropriations for FY 1987 to the Department of Justice for: (1) the Drug Enforcement Administration; (2) assistant U.S. attorneys; (3) U.S. Marshals; and (4) the National Park Police. Authorizes appropriations for: (1) FY 1987 and 1989 for the Federal Prison System; (2) FY 1988 and 1989 for the construction of Federal penal and correctional institutions; and (3) FY 1988 for establishing an All Source Intelligence Center. Subtitle B: State and Local Narcotics Control Assistance - State and Local Law Enforcement Assistance Act of 1986 - Authorizes the Attorney General to make grants to States for narcotics law enforcement. Establishes a procedure for grant applications. Requires such an application to include a State-wide strategy for the enforcement of State drug laws. Requires 75 percent of such grants to be distributed to States according to population, with the remaining 25 percent distributed according to need. Requires each State receiving such a grant to submit yearly reports to the Attorney General. Requires the Attorney General to submit annual reports to the Congress summarizing the State reports and the expenditure of such grants. Authorizes appropriations for FY 1987 and 1988. Subtitle C: More Effective Criminal Penalties - Narcotics Penalties and Enforcement Act of 1986 - Part 1: Controlled Substances Penalties - Amends the Controlled Substances Act to modify the threshold quantity and kinds of controlled substances (adding cocaine freebase and controlled substance analogs) which trigger enhanced penalties. Establishes a mandatory minimum sentence of five years imprisonment (ten years for subsequent offenses) for violations involving a specified large quality of such substances. Increases the maximum sentence for such violations to 25 years imprisonment and a fine of up to $1,000,000 (40 years imprisonment and a fine of up to $2,000,000 for subsequent violations). Provides for a fine of up to $3,000,000 ($6,000,000 for subsequent violations) for violations involving a person other than an individual (corporation). Specifies lesser penalties for smaller quantities of the same substance. Increases the fines for certain Controlled Substances Act violations. Establishes criminal penalties (imprisonment for up to one year and a fine of up to $5,000, up to two years and $10,000 for subsequent violations) for possession of a controlled substance in a special maritime or territorial jurisdiction of the United States. Provides increased criminal penalties (a mandatory minimum sentence of 20 years imprisonment, maximum term of life) for certain Controlled Substances Act violations which result in death or a serious bodily injury. Amends the Controlled Substances Import and Export Act to modify the threshold quantity and kinds of controlled substances which trigger revised enhanced penalties. (Modifies the quantities and kinds of substances to reflect those in the Controlled Substances Act.) Increases the fines for certain Controlled Substances Import and Export Act violations. Provides increased criminal penalties (a mandatory minimum sentence of 20 years imprisonment, maximum term of life) for cetain Controlled Substances Import and Export Act violations which result in death or serious bodily injury. Part 2: Protection of Children from Crack and Other Narcotic Drugs - Amends the Controlled Substances Act to make cocaine freebase a schedule I substance. Establishes criminal penalties for employing or using persons under 21 years of age in drug operations. Establishes enhanced criminal penalties for the manufacture of a controlled substance in or near an elementary or secondary school. (Current law establishes such enhanced penalties only for the distribution of a controlled substance in or near such schools.) Subtitle D: Unlawful Money Laundering - Money Laundering Crimes Act of 1986 - Amends the Federal criminal code to establish money laundering as a Federal offense. Sets forth fines and penalties to be imposed on anyone who, knowing that the property involved in a financial transaction represents the proceeds of some form of unlawful activity, conducts or attempts to conduct such a transaction which in fact involves such proceeds: (1) with the intent to facilitate the carrying on of specified unlawful activity; or (2) knowing that the transaction is designed in whole or in part to conceal or disguise the nature, location, source, ownership, or control of such proceeds, or to avoid a transaction reporting requirement under State or Federal law. Sets forth fines and penalties to be imposed upon anyone who: (1) transports or attempts to transport a monetary instrument or funds from a place in the United States to or through a place outside the United States, or vice versa, with similar intent or knowledge; or (2) conducts or attempts to conduct a financial transaction that in whole or in part involves the proceeds of specified unlawful activities with intent to violate or facilitate the violation of certain provisions of the Internal Revenue Code. Provides, for each of such offenses, for a fine of not more than $250,000 or twice the value of the monetary instrument, whichever is greater, or imprisonment for not more than 20 years, or both. Establishes a civil penalty of the greater of the value of the funds or the monetary instrument involved or $10,000. Authorizes components of the Department of Justice and the Department of the Treasury to investigate such offenses, as appropriate. Establishes extraterritorial jurisdiction if certain conditions are met. Amends the Right to Financial Privacy Act of 1978 with respect to the permissible notification of the Federal Government by a financial institution that the institution has information which may be relevant to a possible violation of law or regulation. Restricts such information to the name or names and other identifying information concerning the individuals and accounts involved in and the nature of the suspected illegal activity. Preempts any State or local law which prohibits disclosure of such information. Precludes liability under any law for an institution for such a disclosure or for failing to notify the customer of such disclosure. Grants a district court authority to order the institution to delay notifying a customer of the existence of a grand jury subpoena of financial records or of information furnished to the grand jury. Authorizes the Secretary of the Treasury to: (1) examine books, papers, and records of domestic financial institutions; and (2) summon an officer or employee having possession or custody of reports or records to appear and give testimony under oath. Permits the Secretary to make information filed by financial institutions in certain reports available to a Federal, State, or local agency upon request. Authorizes the Secretary to make such information available to a Federal agency when the Secretary has reason to believe it may be relevant to a matter within the receiving agency's jurisdiction. Authorizes the disclosure of such information for national security purposes. Exempts such reports, and records of such reports, from public disclosure provisions. Increases the civil penalties for violations of the Bank Secrecy Act's reporting rules. Provides in the case of a reporting violation for a maximum penalty of $1,000,000 and a minimum of $25,000. Reduces the civil penalty by any amount forfeited to the United States. Imposes a civil penalty for the criminal violation of such rules, in the amount of the transaction or $25,000, whichever is greater, where the violation involves a transaction. Sets a civil penalty of the entire amount of an account (up to $250,000), or $25,000, whichever is greater, where the violation involves failure to report the existence of an account or any required identifying data pertaining to it. Imposes a civil penalty of not more than $1,000 in the case of a negligent violation. Authorizes the Secretary to assess a civil penalty within six years after the transaction on which the penalty is based. Permits the Secretary to bring a civil action to recover a civil penalty within two years after assessment. Lists money laundering as a predicate offense for purposes of the Racketeer Influenced and Corrupt Organizations (RICO) statute. Authorizes wiretapping for the investigation of money laundering. Establishes civil and criminal forfeiture procedures for the offense of money laundering. Subtitle E: Designer Drugs - Controlled Substance Analogs Enforcement Act of 1986 - Amends the Controlled Substances Act to establish criminal penalties for the manufacture, possession with intent to distribute, or distribution of controlled substance analogs. Subtitle F: Career Criminals - Career Criminal Amendments Act of 1986 - Amends the Federal criminal code to provide increased mandatory penalties for any person who transports firearms or ammunition in interstate or foreign commerce if such person has multiple convictions for serious drug offenses and violent felonies. (Current law provides increased penalties where such person had multiple convictions for robbery and burglary.) Subtitle G: Technical Amendments to the Comprehensive Crime Control Act of 1984 - Grants the Attorney General authority to enter into contracts with State and local law enforcement agencies to provide cooperative controlled substance enforcement. Makes technical and conforming changes to the Comprehensive Crime Control Act of 1984. Subtitle H: Use of Defense Facilities as Detention Facilities - Requires the President to direct the Secretary of Defense to prepare a list of defense facilities which can be used as detention facilities for felons and describe how such facilities can be converted for use as detention facilities. Title III: Forfeiture - Authorizes the use of funds in the Department of Justice Assets Forfeiture Fund and the Customs Forfeiture Fund for specified controlled substances law enforcement activities. Directs the General Accounting Office to prepare a report on the feasibility and desirability of abolishing such funds and combining such funds under the authority of either of the offices. Requires such report to be submitted to specified congressional committees within six months of enactment of this Act. Requires the Attorney General to prepare a report on the feasibility and desirability of allowing evidentiary cash in Federal criminal and civil trials to be demonetized to expedite the transfer of such cash into the Federal Government's assets forfeiture funds. Title IV: Armed Services: Interdiction and Intelligence - Subtitle A: National Drug Interdiction Improvement - National Drug Interdiction Improvement Act of 1986 - Authorizes appropriations for the Department of Defense for FY 1987 for enhanced drug enforcement assistance, including: (1) the procurement of aircraft (including helicopters and long-range surveillance aircraft); and (2) aerostat radar systems. Directs the Secretary of Defense to make such aircraft available for use by the U.S. Customs Service (which shall be responsible for the expense of operating and maintaining such aircraft). Directs the Commissioner of Customs to consult with the Commandant of the Coast Guard regarding deployment of such aircraft. Requires the Commissioner to make quarterly reports to specified congressional committees regarding drug interdiction plans developed under this Act. Allows the Secretaries of Defense and Transportation to assign specially trained members of the Coast Guard to duty on naval vessels for drug enforcement purposes. Authorizes appropriations for the Coast Guard for FY 1987 for: (1) the acquisition of secure radio equipment; (2) additional personnel; and (3) long-range surveillance aircraft. Authorizes appropriations for FY 1987 for the U.S. Customs Service for: (1) additional drug interdiction personnel, equipment (including drug enforcement vehicles and vessels), and training (including training for Southwest Boarder Drug Enforcement Task Force personnel); (2) the operation and use of vessels made available by the United States-Bahamas Drug Interdiction Task Force; (3) the operation and maintenance of the air interdiction program; and (4) the establishment of a customs air support branch in the Northeast Region of the United States (including the purchase of specified aircraft). Authorizes appropriations for the establishment of command, control, communications, and intelligence centers in the United States. Establishes the United States-Bahamas Drug Interdiction Task Force. Directs the Commissioner of Customs to enter into negotiations with the Government of the Bahamas regarding the establishment and operation of such task force. Directs the Director of the Office of National and International Drug Operations and Policy to make quarterly reports to specified congressional committees regarding progress in establishing the Task Force. Authorizes appropriations for FY 1987 for: (1) the Coast Guard-Bahamas Drug Interdiction docking facility; (2) helicopters for drug interdiction operations in Hawaii; and (3) the establishment of an All Source Intelligence Center in the Department of Justice. Subtitle B: Anti-Smuggling Provisions - Anti-Smuggling Act of 1986 - Part I: Amendments to the Tariff Act of 1930 - Amends the Tariff Act of 1930 to include monetary instruments within the meaning of "merchandise." Requires the master of any vessel from a foreign port or place, any foreign vessel from a domestic port or place, or any U.S. vessel carrying bonded merchandise or foreign merchandise for which entry has not been made, to immediately report such vessel's arrival at a U.S. or Virgin Island port to the nearest customs facility or place prescribed by the Secretary of the Treasury. Restricts the arrival of any vehicle coming into the United States to border crossing points designated by the Secretary. Requires the person in charge of such vehicle to report its arrival, and present such vehicle and all persons and merchandise on board, to the customs officer. Requires the pilot of any aircraft arriving in the United States to comply with such advance notification, arrival reporting, and landing requirements as the Secretary may prescribe. Prohibits the departure of such vessels, vehicles, or aircraft, or the discharge of passengers or merchandise, except in accordance with regulations prescribed by the Secretary. Imposes penalties for violations of the arrival, reporting, or entry requirements. Increases the fine for the unauthorized unloading of passengers. Sets forth reporting requirements for individuals arriving in the United States. Imposes penalties for violations of such reporting requirements. Requires unclaimed property to be retained by the Customs Service for six months (currently one year). Allows such property to be retained for official use or otherwise disposed of in accordance with regulations. Allows counterfeit merchandise seized by the Customs Service to be sold at auction after 60 days (currently one year). Increases the criminal fines for: (1) failing to produce a vessel's manifest; (2) producing a false manifest; and (3) unlawfully unloading merchandise. Makes aviation smuggling unlawful. Prohibits the at sea transfer of prohibited merchandise between U.S. owned aircraft and vessels. Prohibits the at sea transfer of prohibited merchandise between aircraft and vessels, regardless of the nationality of either, where the intent is to smuggle the merchandise into the United States. Establishes penalties, including seizure of the aircraft of vessel, for violations of such anti-smuggling provisions. Specifies certain acts that, if engaged in within 250 miles of the U.S. territorial seas, shall be: (1) persumed to indicate intent to smuggle; and (2) deemed prima facie evidence that the aircraft or vessel was used in aiding or facilitating such smuggling. Establishes civil penalties for making false written or oral statements which seeks or affects the payment or credit of any drawback payment, refund of duties, allowance, or rebate, or relates to merchandise which is to be exported contrary to law. Changes the procedures for the seizure and forfeiture of conveyances used in smuggling to require that a common carrier be seized and forfeited under certain circumstances. Authorizes the issuance of search warrants for places suspected of containing: (1) merchandise brought into the United States unlawfully; (2) property which is subject to forfeiture under the customs laws; or (3) articles which are evidence of a customs violation. Authorizes the seizure and forfeiture of smuggled merchandise. Requires that any deposit made in lieu of forfeiture of property seized under customs laws be treated in the same manner as the proceeds of a sale of any forfeited item. Provides that the expenses of a forfeiture proceeding shall be a priority claim in the same manner as court costs. Provides that compensation for informers shall not exceed 25 percent of the amount recovered. (Current law requires such compensation to equal 25 percent of such amount.) Declares that an action to recover a pecuniary penalty is considered to have been commenced when the penalty notice is issued. Authorizes the Secretary to require the production of foreign landing certificates to comply with international obligations. Permits the Secretary to authorize customs officials to exchange information or documents with foreign customs or law enforcement agencies under certain circumstances. Allows the Secretary, when authorized by treaty or executive agreement, to station customs officers in foreign countries to examine persons or merchandise prior to their arrival in the United States. Provides that merchandise seized at a foreign station may be transported to the United States for customs proceedings. Permits the stationing of foreign customs officers in the United States (if similar privileges are extended to the United States). Imposes penalties for making fraudulent statements to such foreign officials. Amends the Federal Aviation Act of 1958 to provide a fine of not more than $5,000 or imprisonment for not to exceed two years, or both, for persons (owners of aircraft) who operate an aircraft: (1) that is not registered; (2) during any period for which the aircraft certificate or registration has been suspended or revoked by the Secretary of Transportation; (3) without a valid airman certificate; or (4) who employ airmen without valid airman certificates. Requires any person having an ownership interest in an aircraft for which a certificate or registration has been issued, upon the sale, transfer, or conveyance of such interest, to file within 15 days such notice as the Secretary of the Treasury may provide. Part II: Amendments to the Controlled Substances Import and Export Act - Makes it unlawful for any United States citizen on board any aircraft, or any person on board any aircraft owned by a U.S. citizen or registered in the United States, to manufacture or distribute or possess with intent to manufacture or distribute a controlled substance. Amends the Federal criminal code to provide criminal penalties for any person to operate an aircraft; (1) without navigation and/or anticollision lights; and (2) with an illegal fuel tank or fuel system installation. Title V: Foreign Relations - Subtitle A: International Narcotics Control Act of 1986 - International Narcotics Control Act of 1986 - Part 1: International Narcotics Control Assistance Program - Amends the Foreign Assistance Act of 1961 to increase the FY 1987 authorization for aid for international narcotics control. Permits certain additional funds to be appropriated for FY 1987 only if the President has submitted to the Congress: (1) a budget request for such funds; and (2) a plan showing how such funds will be used. Requires that a specified amount of the FY 1987 military assistance authorization be available to provide aircraft to countries receiving such assistance for narcotics control eradication and interdiction efforts. Earmarks at least half of such funds for aircraft based in Latin America. Requires such aircraft to be made available to foreign countries only on a lease or loan basis. Requires the Secretary of State to maintain detailed records on the use of such aircraft. Requires that a specified amount of the FY 1987 military assistance authorization be available for education and training in the operation and maintenance of aircraft used in narcotics control interdiction and eradication efforts. Earmarks a specified amount of the FY 1987 international narcotics control assistance for research, development, and testing of safe and effective herbicides for use in aerial eradication of coca. Requires the Comptroller General to investigate and report to the Congress on the effectiveness of the international narcotics control assistance program. Part 2: Improving Law Enforcement and Other Narcotics Control Activities Abroad - Requires the President's annual report to the Congress on the international strategy to prevent cultivation and trafficking in narcotics to include a discussion of the extent which each source country has cooperated with U.S. narcotics control efforts through the extradition or prosecution of drug traffickers and a description of the state of negotiations on updated extradition treaties. Commends the decision of the Secretary of State to issue diplomatic passports to officials and employees of the Drug Enforcement Administration. Requires the Secretary to report to the Congress before changing such policy. Requires the executive branch to establish expeditiously the information sharing system that will list all drug arrests of foreign nationals in the United States as required by the Foreign Relations Authorization Act, Fiscal Year 1986 and 1987. Requires the executive branch to report to the Congress when the system is established. Urges the President to require that greater priority be given to the collection and sharing of information concerning narcotics related activities abroad. Requires the President to order the preparation of an updated threat assessment of narcotics trafficking from Africa. Requires the President to take steps to improve the capability of the executive branch to: (1) collect information concerning links between narcotics traffickers and acts of terrorism abroad; and (2) develop means to respond to the threat which those links pose. Requires the President to report to the Congress on such steps. Requires that a specified amount of the FY 1987 administration of justice program authorization be used to provide Colombia (and other countries in the region) assistance to protect judicial or other officials who are targets of narcoterrorist attacks. Urges the Secretary to increase efforts to negotiate with relevant countries procedures to facilitate the interdiction of vessels suspected of carrying illicit narcotics. Directs the President to take appropriate actions, including denial of access to U.S. ports, if a country refuses to negotiate interdiction procedures. Requires the Secretary to submit semiannual reports to the Congress identifying countries that fail to negotiate such procedures. Provides that the Secretary of Defense, the Attorney General, and the Secretary of State shall jointly determine when armed forces personnel are needed to provide law enforcement assistance (in enforcing specified customs and drug laws and the Immigration and Nationality Act) activities abroad. Part 3: Development and Narcotics Production and Trafficking - Requires the annual report on foreign aid programs to contain a description of the development programs (other than narcotics control programs) dealing with illicit narcotics production. Part 4: Drug Education Programs Abroad - Authorizes additional appropriations for the U.S. Information Agency for FY 1987 which shall be available only for increasing drug education programs abroad. Authorizes additional appropriations for development assistance programs for FY 1987 which shall be used for additional activities aimed at increasing awareness of the effects of production and trafficking of illicit narcotics on source and transit countries. Requires the Director of the U.S. Information Agency and the Director of the Agency for International Development to include in their annual reports to the Congress a description of the drug education programs carried out by their respective agencies. Part 5: United Nations Activities Related to Drug Narcotics Control - Declares congressional support or the United Nations General Assembly decision to convene in 1987 an International Conference on Drug Abuse and Illicit Trafficking. Calls upon the President to appoint the head of the U.S. delegation well in advance of the conference and ensure that necessary resources are available for U.S. preparation and participation. Requires the President to report to the Congress by April 30, 1987, on the status of U.S. preparation for the conference. Calls for the conduct of a study of the effectiveness of the United Nations drug-related declarations, conventions, and entities. Requires the President to report any recommendations which result from such study to the Congress. Urges the United Nations Commission on Narcotic Drugs to complete work as soon as possible on a new draft convention against illicit traffic in narcotic drugs and psychotropic substances. Calls for more effective implementation of existing conventions relating to narcotics. Part 6: Provisions Relating to Specific Countries - Urges the President to direct the Secretary to enter into negotiations with the Government of Mexico to create a Mexico-United States Intergovernmental Commission on Narcotics and Psychotropic Drug Use and Abuse. Requires the Secretary to report to the Congress within 90 days of enactment of this Act on progress in establishing such a commission. Urges Pakistan to adopt and implement a comprehensive narcotics control program. Requires the Secretary to report to the Congress within 60 days of enactment of this Act on the adoption and implementation of such a program. Calls upon the President to instruct the U.S. Ambassador to the United Nations to request that the problem of illicit drug production in Iran, Afghanistan, and Laos be raised at the International Conference on Drug Abuse and Illicit Trafficking. Subtitle B: Drug Eradication Act of 1986 - Drug Eradication Act of 1986 - Directs the United States to promote, through the International Bank for Reconstruction and Development, the International Development Association, the Inter-American Development Bank, the African Development Bank, and the Asian Development Bank, the development and implementation of national drug eradication programs in developing countries. Directs the Secretary of the Treasury to instruct the U.S. Executive Directors of the multinational development banks to propose that assistance be provided to such countries in developing and implementing such programs. Authorizes the Administrator of the Drug Enforcement Administration to certify the adequacy of such programs and annually review such programs. Requires the Secretary of the Treasury to instruct the U.S. Executive Directors of the multilateral development banks to: (1) vote against loans to major drug producing countries that have no certified program within one year of enactment of this Act; and (2) propose that their respective banks increase lending for crop substitution programs. Requires the Secretary to include an accounting of the manner and extent of compliance siwht this Subtitle in its annual report to the Congress. Subtitle C: Denial of Trade Benefits to Certain Drug Source Nations - Narcotics Control Trade Act - Directs the President to designate a country an uncooperative drug source nation if during any fiscal year beginning after September 30, 1986, such country: (1) was a source of any illicit narcotic and psychotropic drugs or other controlled substances that are significantly affecting the United States; and (2) did not cooperate with the United States in preventing such drugs and substances from affecting the United States by taking specified actions. Directs the President to report to the Congress the name of each such country. Denises the products of each such country most-favored-nation treatment until the President notifies the Congress that such country has made significant progress and will continue to make progress in remedying those policies on which an uncooperative drug source nation designation was based. Title VI: Education and Public Awareness - Subtitle A: Emergency Response - Designates October 6, 1986, as National Drug Abuse Education Day. Requires the Secretary of Education to insure that State educational departments and local school districts and schools have information on: (1) the scope and nature of the cocaine freebase epidemic; (2) strategies for effective school level intervention and community mobilization; and (3) available resources. Authorizes appropriations. Requires the Director of the National Institute of Drug Abuse to produce and disseminate public service announcements on the consequences of cocaine freebase use. Subtitle B: Establishment of Office Within the Department of Education - Amends the Department of Education Organization Act to establish an Office of Drug and Alcohol Abuse Education and Prevention in the Department of Education. Provides that such Office shall be administered by the Assistant Secretary for Drug and Alcohol Abuse Education and Prevention (the Assistant Secretary). Sets forth the duties of the Office. Requires the Secretary of Education (the Secretary) to report to the Congress within one year after the enactment of this Act on the progress in establishing the Office and the long-term strategy of the Office for drug education and prevention. Requires the Secretary, in cooperation with the Secretary of Health and Human Services, to coordinate efforts to: (1) disseminate program related information; (2) provide training and technical assistance; and (3) identify research and development priorities. Subtitle C: Student Drug Abuse Education and Prevention - Student Drug Abuse Education and Prevention Act of 1986 - Directs the Secretary, acting through the Assistant Secretary, to establish a program of grants to States for drug (including alcohol) abuse education in elementary and secondary schools. Lists the State and local educational agency uses of such funds. Restricts the amount States may use for administrative costs. Provides for: (1) the allotment of such grant funds to States; (2) State application for such grant funds; (3) allocations to local educational agencies; and (4) local application to State educational agencies. Provides for the equitable participation of children enrolled in private nonprofit elementary and secondary schools in such program. Provides that the use of such grant funds is to supplement and not supplant other Federal funds. Authorizes appropriations for FY 1987 through 1991. Subtitle D: Regional Drug and Alcohol Abuse Training Centers - Authorizes appropriations for FY 1987 for establishing and operating regional drug and alcohol abuse training centers. TItle VII: Prevention and Treatment - Subtitle A: Prevention - Directs the Secretary of Health and Human Services to prepare an emergency report and feasibility study of intervention by the Centers for Disease Control and the National Institute of Drug Abuse to reduce the epidemic of cocaine freebase use in the United States. Subtitle B: Research on Effective Prevention, Treatment, and Rehabilitation - Directs the Secretary of Health and Human Services to expand certain information dissemination activities regarding drug abuse prevention, treatment, and rehabilitation. Subtitle C: State and Local Prevention, Treatment, and Rehabilitation Assistance - State and Local Drug Abuse Prevention, Treatment, and Rehabilitation Act of 1986 - Authorizes appropriations for FY 1987 through 1991 to provide assistance to the States for planning, establishing, and maintaining effective prevention, treatment, and rehabilitation programs and activities to deal with the abuse of controlled substances. Requires 75 percent of such assistance to be distributed to States according to population, with the remaining 25 percent distributed according to need. Establishes procedures for grant applications. Imposes limitations on the use of such assistance, including a maximum five percent allocation for administrative purposes. Subtitle D: Prevention, Treatment, and Rehabilitation Model Projects for High Risk Youths - Drug Abuse and Alcohol Abuse Prevention, Treatment, and Rehabilitation Model Projects for High Risk Youth Act of 1986 - Directs the Secretary of Health and Human Services to make grants to public and nonprofit private entities for projects to demonstrate effective models of preventing drug abuse and alcohol abuse among high risk youths. Requires the Secretary to give priority to applications for projects directed at: (1) latchkey children; (2) children at risk of abuse or neglect; (3) preschool children eligible for services under the Heald Start Act; (4) children at risk of dropping out of school; (5) children at risk of becoming adolescent parents; and (6) children who do not attend school and who are at risk of being unemployed. Authorizes appropriations for FY 1987 through 1991. Directs the Secretary to make grants to public and nonprofit private entities for projects to demonstrate effective models of treamtnt and rehabilitation of high risk youths who are drug abusers or alcohol abusers. Requires the Secretary to give priority to projects which address the relationship between drug abuse or alcohol abuse and: (1) physical, sexual, and/or emotional child abuse; (2) dropping out of school; (3) unemployment; (4) delinquency; (5) pregnancy; (6) violence; (7) suicide; or (8) mental health problems. Authorizes appropriations for FY 1987 through 1991. Requires public and nonprofit private entities to submit their grant applications to the Governor of the State in which the project will be conducted. Requires the Governor to review each application and submit his or her recommendations to the Secretary, together with a priority ranking of those recommended for approval. Requires the Secretary to give priority to applications from community-based organizations for projects: (1) to develop innovative multi-disciplinary models for the prevention or for the treatment and rehabilitation of drug abuse or alcohol abuse by high risk youths; and (2) to demonstrate effective models which may be replicated. Requires the Secretary, in making such grants, to consider the specific needs of urban and rural areas. Requires the Director of the National Institute on Drug Abuse to evaluate projects conducted with grants under this Act. Subtitle E: Drug and Alcohol Dependent Offenders Treatment - Drug and Alcohol Dependent Offenders Treatment Act of 1986 - Grants the Director of the Administrative Office of the United States Courts authority to contract with public and private agencies for the detection and treatment of alcohol-dependent and drug-dependent offenders. Amends the Contract Services for Drug Dependent Federal Offenders Authorization Act of 1978 to authorize appropriations for contracts for the supervision of released drug offenders through FY 1989. Subtitle F: Indians and Alaska Natives - Indian Alcohol and Substance Abuse Prevention and Treatment Act of 1986 - Part I: General Provisions - Sets forth the purpose of this Act. Part II: Coordination of Resources and Programs - Directs the Secretary of the Interior and the Secretary of Health and Human Services to enter into a Memorandum of Agreement which shall: (1) define the scope of the problem of alcohol and substance abuse for Indian tribes and assess its financial and human costs; (2) assess the resources available to combat alcohol and drug abuse among Indian people; (3) establish appropriate standards for each agency's program responsibility; (4) coordinate the Bureau of Indian Affairs and the Indian Health Service alcohol and substance abuse programs; (5) delineate the responsibilities of the Bureau of Indian Affairs and the Indian Health Service to coordinate services; (6) directs the Bureau of Indian Affairs agency and education superintendents and the Indian Health Service unit directors to cooperate; and (7) provide for an annual review of such agreement by the Secretary of the Interior and the Secretary of Health and Human Services. Requires the agreement to be submitted to the Congress and published in the Federal Register. Allows the governing body of any Indian tribe to establish a Tribal Action Plan to coordinate available resources and programs in an effort to combat alcohol and substance abuse among its members. Requires the Bureau of Indian Affairs agency and education superintendents and the Indian Health Service service unit director to cooperate, if requested, in developing such plans. Provides for the development of such plans by Bureau of Indian Affairs and Indian Health Service personnel if an Indian tribe fails to adopt such a plan. Establishes within the Office of the Assistant Secretary of Indian Affairs an Office of Alcohol and Substance Abuse to: (1) monitor the performance and compliance of programs of the Bureau of Indian Affairs in meeting the goals and purposes of such agreement and this Act; and (2) serving as a point of contact within the Bureau of Indian Affairs for Indian tribes and the Tribal Coordinating Committees. Establishes within the Office of Alcohol and Substance Abuse the position of Indian Youth Programs Officer. Directs the Secretary of the Interior and the Secretary of Health and Human Services to make available for community use, in the futherance of the purposes and goals of this Act, local Federal facilities, property, and equipment. Directs the Secretary of the Interior to: (1) establish summer recreation, employment, and counseling programs for Indian youth; (2) keep open schools which are necessary to provide facilities for the programs established under this Act; and (3) provide coordinators, as needed, for such programs. Part III: Indian Youth Program - Requires the Secretary of the Interior and the Secretary of Health and Human Services to review: (1) Federal program providing specified services or benefits to Indian children and families; and (2) tribal, State, local, and private resources, benefits, and programs providing specified services. Requires the results of such review to be provided to each Indian tribe. Directs the Assistant Secretary of Indian Affairs to develop and implement a pilot program in selected schools to determine the effectiveness of summer youth programs in furthering the purposes and goals of this Act. Authorizes appropriations for FY 1987 through 1989. Directs the Secretary of the Interior to publish an alcohol and substance abuse newsletter. Requires the Tribal Action Plans to make provisions for the establishment, funding, licensing, and operation of emergency shelters or half-way houses for Indian youth who are alcohol or substance abusers. Urges States to require its law enforcement officers to place any youth arrested for any offense related to alcohol or substance abuse in such shelter or half-way house. Authorizes appropriations for FY 1987 through 1989 for the contruction, renovation, and operation of such shelters and half-way houses. Directs the Secretary of the Interior to require the compilation of data relating to the number and types of child abuse and neglect cases seen and the type of assistance provided. Part V: Law Enforcement and Judicial Services - Requires the Secretary of the Interior and the Secretary of Health and Human Services to review: (1) Federal programs providing law enforcement or judicial services to Indian tribes; and (2) tribal and State and local law enforcement and judicial programs and systems. Requires the results of such review to be provided to each Indian tribe. Part VI: Bureau of Indian Affairs Law Enforcemnt - Increases the maximum sentence (from six months to one year) and fine (from $500 to $5,000) which a tribal court can impose for any offense. Requires the Secretary of the Interior to ensure that all Bureau of Indian Affairs and tribal law enforcement and judicial personnel have training available in the investigation and prosecution of offenses relating to illegal narcotics and in alcohol and substance abuse prevention and treatment. Authorizes appropriations for FY 1987 through 1989. Requires the Memorandum of Agreement to include a provision for the development and implementation of a procedure for the emergency medical assessment and treatment of Indian youth arrested or detained by the Bureau of Indian Affairs or tribal law enforcement personnel for offenses relating to or involving alcohol or substance abuse. Directs the Secretary of the Interior to: (1) establish and implement a program for the eradication of marijuana cultivation within Indian country; (2) develop and implement a plan for the construction or renovation and staffing of tribal juvenile detention and rehabilitation centers; (3) provide for the development of a Model Indian Juvenile Code; and (4) collect data regarding calls and encounters, and arrests and detentions, and the disposition of cases involving Indians where alcohol or drug abuse is a contributing factor. Part VII: Indian Alcohol and Substance Abuse Treatment and Rehabilitation - Requires the Secretary of the Interior and the Secretary of Health and Human Services to review: (1) Federal programs providing health services and benfits to Indians; (2) tribal, State, local, and private health resources and programs; (3) where facilities that provide such treatment are or should be located; and (4) the effectiveness of private and public alcohol and substance abuse treatment programs. Requires the Memorandum of Agreement to include provisions pursuant to which the Indian Health Service shall assume responsibility for: (1) determing the scope of the alcohol and substance abuse problem among Indians; (2) assessing the existing and needed resources to support an alcohol and substance abuse prevention and treament program for Indians; and (3) estimate the funding necessary to support such a program. Requires the Secretary of Health and Human Services to: (1) provide a comprehensive alcohol and substance abuse prevention and treatment program for members of Indian tribes; (2) develop and implement a program for acute detoxification and treatment for Indian youth who are alcohol and substance abusers; (3) begin the construction of 11 regional treatment centers serving Indian tribes; (4) develop and implement within each Indian Health Service service unit community-based rehabilitation and follow up services for Indian youth who are alcohol or substance abusers; (5) develop and implement within each service unit a program of community education and involvement; (6) require that the existing health staff of the Indian Health Service receive training in alcohol and substance abuse; (7) develop and implement a program of alcohol and substance abuse prevention through education intervention; (8) identify and use existing Federally owned structures as residential alcohol and substance abuse treatment centers for Indian youths; (9) make grants to the Navajo tribe to establish a demonstration program in Gallup, New Mexico, to rehabilitate adult Navajo Indians suffering from alcoholism or alcohol abuse; and (10) compile data on the number of incidents where Indian Health Service personnel or services were involved in matters related to alcohol or substance abuse. Subtitle G: Programs in United States Insular Areas - Requires the President to report annually to the Congress on the efforts of Federal agencies, and the adequacy of arrangements with States in preventing the illegal entry of controlled substances into the United States. Authorizes law enforcement officers of the Governments of American Samoa and the Northern Mariana Islands to: (1) execute and serve warrants, subpoenas, and summons issued under the authority of the United States; (2) make arrests without warrants; and (3) make seizures of property to carry out the purposes of this Act, the Controlled Substances Import and Export Act, and any other applicable Federal narcotics laws. Authorizes the Attorney General to train such law enforcement officers and provide certain law enforcement equipment. Requires the Drug Enforcement Administration, the Federal Bureau of Investigation, the Coast Guard, the Customs Service, and the Postal Service to assign and maintain a specified number of agents, officers, and vessels in Guam, the Northern Mariana Islands, Puerto Rico, and the Virgin Islands.
United States · United States Congress · 8 September 1986
Declares that the Senate: (1) condemns the most recent terrorist acts in Karachi, Pakistan, and Istanbul, Turkey, and offers its condolences to the victims and to their families; (2) declares that international terrorism is a scourge and that all civilized nations should combat it; (3) urges close international cooperation in the prosecution and punishment of those responsible for such acts; and (4) urges the President to take specified actions to combat terrorism.
United States · United States Congress · 8 September 1986
Declares that the Senate: (1) condemns the Soviet Union for the arrest and indictment of U.S. foreign correspondent Nicholas Daniloff and demands his immediate and unconditional release; (2) expresses its concern that the Soviet Union's failure to resolve this matter threatens to undermine U.S.-Soviet relations and jeopardizes the summit meeting between President Reagan and General Secretary Gorbachev; and (3) urges that all news gathering organizations that provide support to Soviet news organizations should consider appropriate actions to demand Daniloff's release.
United States · United States Congress · 15 August 1986
Farm Credit System Borrower Interest Rate Relief Act of 1986 - States that it is the policy of the Congress that Farm Credit System (System) institutions should take steps to establish competitive interest rates based on the marginal cost of funds. Amends the Farm Credit Act of 1971 to repeal provisions for Farm Credit Administration (FCA) approval of interest rates charged by Federal land banks, Federal intermediate credit banks, and banks for cooperatives. Prohibits the FCA from requiring System institutions to maintain capital levels by charging interest rates in excess of commercial rates.
United States · United States Congress · 15 August 1986
National Appliance Energy Conservation Act of 1986 - Amends the Energy Policy and Conservation Act to add to the list of products covered under the Act: (1) freezers which can be operated by alternating current electricity (with specified exceptions); (2) central air conditioning heat pumps; (3) direct heating equipment; and (4) pool heaters. Deletes from specific coverage: (1) television sets; (2) humidifiers; and (3) dehumidifiers. Excludes from such coverage consumer products designed solely for use in recreational vehicles and other mobile equipment. Authorizes the Secretary of Energy (the Secretary) to amend Federal energy efficiency test procedures for appliances under specified guidelines. Prohibits manufacturers from making any representations regarding the energy efficiency of appliances covered by this Act unless such appliances have been tested in accordance with the Federal test procedures, and the manufacturer's representations fairly disclose the results of such testing. Sets forth specific Federal energy conservation standards for products covered by this Act and manufactured after certain dates. Establishes deadlines by which the Secretary must issue rules regarding such standards. Details the criteria to be applied if such standards are revised. Revises the information requirements with which manufacturers must comply to provide that the Secretary shall exercise authority in a manner designed to minimize unnecessary burdens on manufacturers of covered products. Revises the rules under which State regulations are superseded by the Federal regulations for testing and labeling requirements and energy conservation standards. Permits the waiver of Federal preemption if the Secretary finds that such waiver is needed to meet compelling and unusual local energy conditions. Prescribes procedural guidelines for such a waiver. Details conditions under which State and local building code requirements regarding energy conservation standards are not superseded by the standards promulgated under this Act. Permits the commencement of a citizen's suit against the Secretary for failure to comply with a nondiscretionary duty to issue rules according to prescribed schedules. Directs the courts to expedite the disposition of such suits. Vests jurisdiction in the Federal district courts over actions brought by any adversely affected person to determine whether a State or local government is complying with the requirements of this Act. Declares that the required submission by the Secretary of an annual report regarding Federal energy efficiency standards does not constitute a defense or justification for a failure by such Secretary to comply with the nondiscretionary duty provided for in this Act.
United States · United States Congress · 14 August 1986
Product Liability Reform Act - Title I: States that this Act governs any civil action brought against a manufacturer or product seller for harm caused by a product. Supersedes any inconsistent State law regarding recovery in such actions. States that U.S. district courts shall not have jurisdiction over civil actions pursuant to this Act. Title II: Establishes procedures by which any party may serve upon any other party offers to settle claims. Precludes a claimant or defendant from bringing or maintaining a civil action once an offer of settlement has been accepted. Holds a defendant who rejects a settlement offer and fails to substantially prevail in the action liable for the claimant's attorney's fees and costs. Limits the recovery of a claimant who has rejected a defendant's settlement offer: (1) for economic loss, to the claimant's net economic loss; and (2) for noneconomic loss, other than punitive damages, to $250,000 (if the court finds that recovery for dignitary loss is appropriate; otherwise two times the economic loss or $50,000, whichever is less). Allows payment for economic loss to be made by periodic payment or according to a settlement agreement. Requires the court to approve a settlement agreement if the value of the economic loss is $10,000 or more. Permits any defendant who has entered into a settlement agreement to seek reimbursement, contribution, or subrogation on the basis of comparative responsibility. Title III: Allows any person seeking recovery for harm caused by a product to bring a civil action against the product's manufacturer or seller. Establishes uniform standards of product seller liability. Subjects a product seller to liability if the claimant establishes by a preponderance of the evidence that: (1) the product seller did not exercise reasonable care with respect to the product; or (2) the product failed to conform to an express warranty made by the product seller. Treats a product seller as a manufacturer where: (1) the manufacturer is not subject to service of process under the laws of any State in which the action might be brought; or (2) the court determines that the claimant would be unable to enforce a judgment against the manufacturer. Allows punitive damages to be awarded, if permitted by applicable law, where the claimant establishes by clear and convincing evidence that the harm suffered was the result of conduct manifesting the manufacturer's or seller's conscious, flagrant indifference to the safety of those who might be harmed by the product. Provides that punitive damages may not be awarded where: (1) a drug or medical device was approved or is generally recognized as safe by the Food and Drug Administration; or (2) an aircraft was certified by the Federal Aviation Administration under the Federal Aviation Act of 1958. Establishes uniform statutes of limitation and repose for product liability actions. Subjects an attorney to pecuniary sanctions for certain conduct. Imposes penalties for the destruction or concealment of material relevant to product liability actions. Requires any damage award to be reduced by the amount of workers' compensation benefits paid. States that the liability of each defendant for noneconomic damages shall be several and not joint. Establishes a forum non conveniens rule that creates a presumption that when a foreign plaintiff suffers a product-related injury overseas, that claim should be brought in another State or foreign country. Sets forth certain rules regarding the admissibility of evidence. Limits the use of evidence regarding subsequent remedial measures taken by product manufacturers. Bars recovery where the claimant in a product liability action is under the influence of alcohol or any drug and more than 50 percent responsible for the harm. Title IV: Requires the Secretary of Commerce to provide the Congress with an annual report analyzing the impact of this Act on product liability insurance.
United States · United States Congress · 5 August 1986
National Narcotics Act of 1986 - Establishes a Cabinet-level Office of the Director of National and International Drug Operations and Policy to plan and coordinate drug enforcement efforts of the Federal Government. Requires the Director to report to the Congress on U.S. policy with respect to illegal drugs. Authorizes appropriations for FY 1987 through 1991.
United States · United States Congress · 5 August 1986
Emergency Crack Control Act of 1986 - Title I: Law Enforcement - Amends the Controlled Substances Act to include cocaine freebase as a schedule I substance. Establishes criminal penalties of up to 20 years in prison, or up to $250,000 fine, or both, for manufacturing, distributing, dispensing, or possessing cocaine freebase. Provides increased penalties for employing persons under 21 years of age to distribute controlled substances. Imposes enhanced penalties for the manufacture of a controlled substance in or near an elementary or secondary school. (Current law imposes such enhanced penalties only for the distribution of a controlled substance in or near such schools.) Makes it a Federal criminal offense to open, maintain, manage, or control any facility used for manufacturing, storing, distributing, or using a controlled substance. Title II: Education and Public Awareness - Part A: Emergency Response - Designates October 6, 1986, as National Drug Abuse Education Day. Requires the Secretary of Education to ensure that State educational departments and all schools have timely information on: (1) the scope and nature of the cocaine freebase epidemic; (2) strategies for effective school intervention and community mobilization; and (3) available resources. Authorizes appropriations. Requires the Director of the National Institute of Drug Abuse to produce and disseminate two emergency public service announcements on the consequences of cocaine freebase use. Part B: Establishment of Office Within the Department of Education - Amends the Department of Education Organization Act to establish within the Department an Office of Drug and Alcohol Abuse Education and Policy. Provides that such Office shall be administered by the Assistant Secretary for Drug and Alcohol Abuse Education and Prevention (the Assistant Secretary). Sets forth the duties of the Office. Requires the Secretary of Education to report to the Congress within one year after the enactment of this Act on progress in establishing the Office and the long-term strategy of the Office for drug education and prevention. Part C: Student Drug Abuse and Prevention - Student Drug Abuse Education and Prevention Act of 1986 - Directs the Secretary, acting through the Assistant Secretary, to establish a program of grants to States for drug (including alcohol) abuse education in elementary and secondary schools. Lists the State and local educational agency uses of such funds. Restricts the amount States may use for administrative costs. Provides for: (1) the allotment of such grant funds to States; (2) State application for such grant funds; (3) allocations to local educational agencies; and (4) local application to State educational agencies. Provides for the equitable participation of children enrolled in private nonprofit elementary and secondary schools in such program. Requires the Secretary, in cooperation with the Secretary of Health and Human Services, to: (1) collect and disseminate program-related information to State and local educational agencies; (2) provide technical assistance; and (3) identify research and development priorities. Authorizes appropriations for such activities. Provides that the use of such grant funds is to supplement and not supplant other Federal funds. Authorizes appropriations for FY 1987 through 1991. Title III: Prevention - Directs the Secretary of Health and Human Services to prepare an emergency report on and feasibility study of intervention by the Centers for Disease Control and the National Institute of Drug Abuse to reduce the epidemic of cocaine freebase use.
United States · United States Congress · 25 July 1986
Requires LTV Corporation and all of its subsidiaries which filed for bankruptcy to continue to pay all medical and life insurance benefits to retirees until an appropriate court orders otherwise.
United States · United States Congress · 21 July 1986
Comprehensive Satellite Dish Owners Fairness Act of 1986 - Requires the Federal Communications Commission to initiate a notice of inquiry, solicit comments, and report to the Congress concerning the availability of certain encrypted television programming to satellite earth station owners in a competitive market. Amends the Communications Act of 1934 to prohibit any person from encrypting any satellite cable programming for private viewing after six months following enactment of this Act, unless: (1) such encryption is conducted according to standards approved by the Commission which shall ensure that only one device will be needed to decrypt such programming; and (2) such a device is available within 60 days after an interested person submits a request. Permits a person aggrieved by any violation of such prohibition to bring a civil action to obtain an injunction against the violation and to recover full costs. Directs the Department of Justice to complete an investigation and report to the Congress on the antitrust implications of the development of the marketing structure of the cable communications industry pursuant to the Cable Communications Policy Act of 1984 with respect to satellite earth station owners.
United States · United States Congress · 16 July 1986
Prohibits any change in the prospective payment rates established under title XVIII (Medicare) of the Social Security Act, for outpatient maintenance dialysis services until 60 days after: (1) audited information concerning the costs of such services is available and utilized in determining payment rates; (2) the Commissioner of Food and Drugs implements safety standards for the reuse of dialysis devices and supplies; and (3) specified studies have been completed. Requires that such studies consider: (1) the effects of rate reductions on the quality of dialysis care and on the reuse of dialysis devices and supplies; (2) the safety, efficacy, and patient outcomes of the reuse of such devices and supplies; and (3) the differing effects of rate reductions on urban and rural dialysis facilities and providers. Sets forth reporting requirements.
United States · United States Congress · 19 June 1986
Amends the Disaster Relief Act of 1974 to authorize the establishment of local disaster assistance centers which shall: (1) gather and disseminate information regarding Federal, State, and local assistance programs; (2) accept applications; and (3) provide program counseling. Provides for the removal of debris (including dying trees) from private property that is within 200 feet of a residence situated on such property. Requires that at least two 60-day offers of temporary housing assistance be made to qualifying persons in a disaster area. Increases aggregate individual and family grant amounts. Sets a 60-day deadline for payment of approved work under such Act.
United States · United States Congress · 19 June 1986
Amends the Disaster Relief Act of 1974 to establish a cost-sharing formula for certain Federal disaster assistance programs. Declares the Federal share of assistance to be 75 percent for the repair of damaged public facilities and debris removal on the condition that remaining costs are paid by a State or local government. Declares the Federal share of assistance to be 100 percent for: (1) unemployment assistance; (2) temporary housing assistance; and (3) crisis counseling assistance and training. Declares that no State shall be ruled ineligible for assistance under this Act by virtue of an arithmetic formula based on income or population if such State has qualified for Federal disaster assistance within the past 24 months.
United States · United States Congress · 18 June 1986
Expresses the sense of the Senate that: (1) it is against the national security interests of the United States to abandon existing strategic offensive arms agreements by exceeding the numerical sublimits of such agreements as long as the Soviet Union remains within such sublimits; (2) the Soviet Union should take steps to resolve U.S. concerns about Soviet violations of existing strategic arms agreements and to negotiate a new agreement; and (3) the Congress and the President should continue to review the policy of mutual adherence to the numerical sublimits on launchers of strategic nuclear delivery systems and the significance of both Soviet compliance and noncompliance with existing strategic offensive arms agreements.