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Official portrait of Sen. Graham, Lindsey [R-SC]

Sen. Graham, Lindsey [R-SC]

United States · Official source

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3,901 records where Sen. Graham, Lindsey [R-SC] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· SS. 1188 (114th)referred

A bill to provide for a temporary, emergency authorization of defense articles, defense services, and related training directly to the Kurdistan Regional Government, and for other purposes.

United States · United States Congress · 5 May 2015

Expresses the sense of Congress that: the Islamic State of Iraq and the Levant (ISIL) poses an acute threat to the people and territorial integrity of Iraq, including the Iraqi Kurdistan Region, and the security and stability of the Middle East and the world; defeating ISIL is critical to maintaining a unified Iraq in which all faiths and ethnicities are afforded equal protection and full integration into the government and society; and any outstanding issues between the government of Iraq and the Kurdistan Regional Government (KRG) should be resolved expeditiously to allow for a resumption of normal relations. Authorizes the President to: (1) provide defense articles, defense services, and related training directly to the KRG military and security services to support international coalition efforts against ISIL or any successor group; and (2) issue licenses authorizing U.S. exporters to export defense articles, defense services, and related training directly to the KRG military and security services. States that nothing in this Act shall be construed as establishing a precedent for the future provision of such assistance to organizations other than a country or international organization.

Law· SS. 1170 (114th)enacted

Breast Cancer Research Stamp Reauthorization Act of 2015

United States · United States Congress · 30 April 2015

Breast Cancer Research Stamp Reauthorization Act of 2015 This bill reauthorizes through December 31, 2019, provisions requiring the U.S. Postal Service to issue a special postage stamp for first-class mail that costs more than the regular first-class stamp to raise funds for breast cancer research. Agencies receiving these funds from the Postal Service must use them on breast cancer research.

Bill· SS. 1140 (114th)open

Federal Water Quality Protection Act

United States · United States Congress · 30 April 2015

Federal Water Quality Protection Act This bill requires the Department of the Army and the Environmental Protection Agency (EPA), in the interest of protecting traditional navigable waters from water pollution, to adhere to certain principles and take specified actions in proposing any regulation revising the definitions of "waters of the United States" and "navigable waters." Nothing in this Act: limits the authority of the Department or EPA to require a permit for any discharge of pollutants to a navigable water under the Federal Water Pollution Control Act, or to take any enforcement action with respect to an unpermitted discharge under such Act; affects a determination of whether the transfer of water from one body of water to another requires a specified permit under such Act; and limits the scope of water subject to state jurisdiction under state law.

Bill· SS. 1126 (114th)referred

State Partnership Program Enhancement Act of 2015

United States · United States Congress · 29 April 2015

State Partnership Program Enhancement Act of 2015 Amends the National Defense Authorization Act for Fiscal Year 2014 to revise and extend indefinitely the authority of the Department of Defense (DOD) to establish exchange programs for members of the National Guard under the National Guard State Partnership Program (SPP). (Currently, the authority is scheduled to terminate on September 30, 2016.) Requires the National Guard Bureau to: (1) maintain a list of core competencies of the National Guard to support SPP activities, and (2) designate a director for each state and territory. Requires DOD to coordinate SPP regulations with combatant commanders to ensure that program activities meet theater security cooperation objectives. Requires the Department of State to coordinate such regulations with relevant chiefs of mission to meet diplomatic objectives. Establishes the National Guard State Partnership Program Fund in the Treasury, into which appropriated amounts shall be credited and transferred for program activity uses, including payment of costs for personnel, training, operations, and equipment.

Bill· SS. 1119 (114th)referred

National Criminal Justice Commission Act of 2015

United States · United States Congress · 28 April 2015

National Criminal Justice Commission Act of 2015 Establishes the National Criminal Justice Commission. Directs the Commission to: (1) undertake a comprehensive review of all areas of the criminal justice system, including federal, state, local, and tribal governments' criminal justice costs, practices, and policies; (2) submit to the President and Congress recommendations for changes in federal oversight, policies, practices, and laws designed to prevent, deter, and reduce crime and violence, reduce recidivism, improve cost-effectiveness, and ensure the interests of justice at every step of the criminal justice system; and (3) disseminate to the federal government and to state, local, and tribal governments a report that details its findings and supplemental guidance regarding the criminal justice system at all levels of government. Expresses the sense of Congress that the Commission should work toward unanimously supported findings and supplemental guidance.

Bill· SS. 1016 (114th)referred

Preserving Freedom and Choice in Health Care Act

United States · United States Congress · 20 April 2015

Preserving Freedom and Choice in Health Care Act This bill amends the Patient Protection and Affordable Care Act (PPACA) and the Internal Revenue Code to repeal the requirements for individuals to maintain minimum essential coverage and for large employers to pay penalties if a full-time employee: (1) must wait longer than 60 days to enroll in an employer-sponsored health plan, or (2) receives a premium assistance tax credit or reduced cost-sharing. Coverage reporting requirements for providers and large employers are also repealed. Individuals enrolled in a health plan purchased through the federal health insurance exchange at the time of enactment of this Act who are ineligible for a premium assistance tax credit solely as a result of a determination by the Supreme Court in King v. Burwell are eligible for the tax credit. This applies to coverage months beginning after December 2013 and before September 2017. Group health coverage in which an individual was enrolled during any part of the period beginning on the date of enactment of PPACA (March 23, 2010) and ending on December 31, 2017, is a grandfathered health plan under PPACA and is exempt from some coverage requirements. Essential health benefits are defined by states. This amendment takes effect as if included in PPACA.

Bill· SS. 1013 (114th)referred

Ensuring Access to Quality Complex Rehabilitation Technology Act of 2015

United States · United States Congress · 20 April 2015

Ensuring Access to Quality Complex Rehabilitation Technology Act of 2015 Amends title XVIII (Medicare) of the Social Security Act to cover, as medical and other health services, complex rehabilitation technology (CRT) items designed or individually configured for a specific qualified individual to meet that individual's unique: (1) medical, physical, or functional needs related to a medical condition; and (2) capacities for basic activities of daily living (ADLs) or instrumental ADLs. Directs the Secretary of Health and Human Services to: (1) designate CRT items (excluding adaptive equipment to operate motor vehicles or certain prosthetic devices and orthotics), and (2) establish eligibility criteria for them. Prescribes requirements for payments for CRT items. Directs the Secretary to establish standards for clinical conditions for CRT item payment as well as quality standards for suppliers of such items. Directs the Secretary to establish a formal process to allow submission of CRT code set modification requests by stakeholder groups for comprehensive coding changes related to entire policy groups. Requires payment for replacement of a CRT item (or any part of one), without regard to certain continuous use or useful lifetime restrictions established for items of durable medical equipment, if a qualified ordering practitioner determines that a replacement item (or part) is necessary.

Bill· SS. 993 (114th)referred

Comprehensive Justice and Mental Health Act of 2015

United States · United States Congress · 16 April 2015

Comprehensive Justice and Mental Health Act of 2015 This bill amends the Omnibus Crime Control and Safe Streets Act of 1968 to authorize the Attorney General to make grants to an eligible entity for sequential intercept mapping and implementation for: mental health and criminal justice stakeholders to develop a shared understanding of the flow of individuals with mental illnesses through the criminal justice system, and identify opportunities for improved responses, including emergency and crisis services, specialized police-based responses, and community and post-prison supervision; and hiring and training personnel, identifying target populations, and providing services to reduce recidivism. The Attorney General is authorized to award grants for: veterans treatment court programs involving collaboration among criminal justice, veterans, and mental health and substance abuse agencies; peer to peer services or programs for qualified veterans; practices that identify and provide treatment, rehabilitation, legal, and transitional services to such veterans who have been incarcerated; and training programs to teach criminal justice, law enforcement, corrections, mental health, and substance abuse personnel how to identify and respond to incidents involving such veterans. The Attorney General is authorized to award grants to enhance correctional facility capabilities to: identify and screen for mentally ill inmates; assess and provide the clinical, medical, and social needs of inmates and appropriate treatment and services that address mental health and substance abuse needs; and develop and implement post-release transition plans. Adult and juvenile criminal/mental health collaboration program grants may be used to establish multidisciplinary teams that coordinate and implement community-based crisis responses and long-term plans for frequent users of crisis services. Collaboration grant accountability requirements are established. The Attorney General is authorized to make grants for programs that teach law enforcement personnel how to identify and respond to incidents involving persons with mental health disorders or co-occuring mental health and substance abuse disorders. The Attorney General is directed to provide direction for programs that offer specialized training to federal first responders and tactical units in order to identify and respond to incidents involving individuals who have a mental illness. The definition of "preliminarily qualified offender" is revised for purposes of collaboration program grants to: include, in the case of a veterans treatment court program, an adult or juvenile accused of an offense who has been diagnosed with, or manifests signs of, mental illness or a substance abuse disorder; remove a requirement that the person be accused of a nonviolent offense; require a person to be unanimously approved for participation; and disqualify a person who has been charged with or convicted of a sex offense or murder or assault with intent to murder.

Bill· SS. 998 (114th)referred

American Manufacturing Competitiveness Act of 2015

United States · United States Congress · 16 April 2015

American Manufacturing Competitiveness Act of 2015 It is the sense of Congress that it should consider a miscellaneous tariff bill not later than 180 days after the USITC and the Department of Commerce issue reports on any proposed duty suspensions and reductions. The appropriate congressional committees shall establish, and publish on their publicly available websites, a process for the submission and consideration of legislation for proposed duty suspensions and reductions as well as a miscellaneous tariff bill including them, consistent with certain requirements. The USITC shall report to Congress, by May 1, 2018, and May 1, 2020, on the effects of such suspensions and reductions on the U.S. economy. The exercise of functions under this title shall not be subject to judicial review.

Bill· SS. 928 (114th)referred

James Zadroga 9/11 Health and Compensation Reauthorization Act

United States · United States Congress · 14 April 2015

James Zadroga 9/11 Health and Compensation Reauthorization Act Amends the Public Health Service Act to extend the World Trade Center (WTC) Health Program Fund indefinitely and index appropriations to the medical care component of the consumer price index for urban consumers. Makes funding available for: a quality assurance program for services delivered by health care providers, the WTC Program annual report, WTC Health Program Steering Committees, and contracts with Clinical Centers of Excellence. Amends the Air Transportation Safety and System Stabilization Act to make individuals (or relatives of deceased individuals) who were injured or killed in the rescue and recovery efforts after the aircraft crashes of September 11, 2001, eligible for compensation under the September 11th Victim Compensation Fund of 2001. Allows individuals to file claims for compensation under the September 11th Victim Compensation Fund of 2001 anytime after regulations are updated based on the James Zadroga 9/11 Health and Compensation Act of 2010. Removes the cap on payments under the September 11th Victim Compensation Fund of 2001. Adds the September 11th Victim Compensation Fund and World Trade Center Health Program Fund to the list of accounts that are not subject to budget sequestration.

Bill· SS. 923 (114th)referred

Healthy Relationships Act of 2015

United States · United States Congress · 14 April 2015

Healthy Relationships Act of 2015 This bill amends the Public Health Service Act to authorize the Health Resources and Services Administration to award grants for qualified sexual risk avoidance education for youth and their parents. The unambiguous message that postponing sexual activity is the optimal sexual health behavior for youth must be the primary emphasis and context for each topic covered by the education. The education must be age appropriate, medically accurate, and evidence based. The education must address specified topics, including: the benefits associated with personal responsibility, success sequencing (sequential progression through: completing school, securing a job, and marrying before bearing children), goal setting, healthy decision making, and a focus on the future; the research-based advantage of reserving sexual activity for marriage; the skills needed to resist the pervasive, sex-saturated culture; the foundational components of healthy relationships; and how to avoid sexual coercion, dating violence, and risk behaviors, such as drugs, alcohol, and the misuse of social media. Priority in awarding grants must be given to programs serving youth in middle school and high school that will promote parent-child communication regarding healthy sexual decision making.

Bill· SS. 892 (114th)referred

Textile Enforcement and Security Act of 2015

United States · United States Congress · 26 March 2015

Textile Enforcement and Security Act of 2015 Expresses the sense of Congress that the U.S. Customs and Border Protection (CBP) and the Textile and Trade Agreements (TTA) division of the Office of International Trade within CBP should ensure that seizures, detentions, special operations, and Textile Product Verification Teams (TPVTs) remain the primary focus of their efforts to enforce U.S. customs laws with respect to imports of textile or apparel articles, particularly as they relate to enforcement of the North American Free Trade Agreement (NAFTA), the Dominican Republic-Central America-United States Free Trade Agreement (CAFTA-DR), and other free trade agreements and trade preference programs to prevent transshipments and origin fraud. Requires the seizure and forfeiture of an imported textile or apparel article for which a trade preference has been claimed in cases where the importer: (1) has either misdescribed, not verified the article's country of origin, or used accompanying false documentation; or (2) provides false information as to his or her address or does not meet certain documentation or informational requirements upon entry of an article. Requires the Secretary of Homeland Security (Secretary), the CBP Commissioner, or the Secretary of the Treasury to use amounts from fines, penalties, and forfeitures of articles due to violations of the U.S. customs laws to pay for expenses directly related to special operations, TPVTs, and other enforcement actions, including expenses related to training and education of certain specialists who participate in the enforcement of such laws. Authorizes the use of such amounts also to pay for a reward of the lesser of at least 20% of that amount, value of property forfeited, or $20,000 to any person who furnishes information that leads to an arrest, conviction, civil penalty assessment, or forfeiture of articles due to violations enforced by the Secretary, the Commissioner, or the Secretary of the Treasury. Directs the Commissioner to ensure specified staffing of the Textile Enforcement Branch, the Textile Policy Branch, and the Quota Branch of TTA. Requires the Commissioner to certify, with respect to the 15 largest U.S. ports of entry for textile or apparel articles, that a certain number of Import Specialists are trained in preventing textile or apparel importer fraud, trade preference verification, classification, and undervaluation. Requires the Commissioner also to increase the number of dedicated textile and import specialists at such ports by 25%. Amends the Tariff Act of 1930 to require the Secretary of the Treasury (who is now merely authorized) to publish in the Federal Register: (1) the names of persons located outside of the U.S. customs territories against whom the CBP has issued a penalty claim for violating U.S. customs laws, including for violations of quotas, duties, or trade preferences; and (2) a list of high-risk countries involved in the transshipment of textile or apparel products. Requires the President, acting through the Commissioner and in coordination with the head of the Office of Textiles and Apparel of the Department of Commerce, to establish an electronic verification system for tracking textile or apparel articles imported or exported under the CAFTA-DR, NAFTA, or any other free trade agreement to which the United States is a party to ensure compliance with such agreements. Directs the Commissioner to establish a new textile and apparel importer program in which the CBP adjusts bond amounts for new importers of textile and apparel goods based on the level of assessed risk. Requires the Commissioner to establish a nonresident importer declaration program for the import of textile or apparel articles. Directs the President, acting through the Commissioner and in coordination with the head of the Office of Textiles and Apparel of the Department of Commerce, to establish an electronic Textile and Apparel Manufacturing Supplier Registry pilot program.

Bill· SS. 891 (114th)referred

Leveling the Playing Field Act

United States · United States Congress · 26 March 2015

Leveling the Playing Field Act Amends the Tariff Act of 1930 with respect to the administration and enforcement of antidumping (AD) and countervailing duty (CVD) orders. Declares that neither the administering authority (the Secretary of Commerce, or another U.S. officer given the responsibility by law) nor the U.S. International Trade Commission (USITC), as the case may be, is required to determine, or make any adjustments to, a countervailable subsidy rate or weighted average dumping margin based on any assumptions about information the interested party would have provided if it had complied with a request for information. Prohibits the judicial review of any administering authority or USITC determination made in selecting facts or using an inference that is adverse to an interested party in AD and CVD proceedings. Prescribes additional economic factors for the USITC to evaluate when determining whether imports have caused or threatened material injury to a domestic industry. Requires such factors to be evaluated within the context of the business cycle and conditions of competition that are distinct to the affected industry. Repeals the requirement that, in the course of a review of an AD or CVD order for merchandise a new exporter or producer claims it did not export to the United States, the administering authority direct U.S. Customs and Border Protection to allow the importer to post a bond or security in lieu of a cash deposit for each entry of the subject merchandise. Declares that an exporter or producer may be eligible for an individual weighted average dumping margin or individual countervailing duty rate in such a review only if the exporter or producer: (1) is not affiliated with an exporter or producer who exported subject merchandise during the review period or any period; and (2) demonstrates that sales of subject merchandise in the United States, or for exportation to the United States, during the period in question are bona fide and the buyer is not affiliated with that exporter or producer. Authorizes the administering authority to require an importer of merchandise into the U.S. customs territory to provide a certification that such merchandise is not subject to an AD or CVD duty. Prescribes civil and criminal penalties for failure to comply with the requirement. Specifies factors for the administering authority to consider when deciding, in CVD or AD investigations and reviews, whether it would be unduly burdensome to: (1) accept voluntary responses from exporters or producers not initially selected for examination, and so (2) determine not to establish an individual countervailable subsidy rate or an individual weighted average dumping margin for them. Authorizes the administering authority, in valuing the factors of production to determine the normal value of merchandise exported from a nonmarket economy country, to disregard price or cost values if there is reason to believe or suspect that an input for the subject merchandise is subsidized or dumped. Requires the administering authority to take into account, when determining whether a foreign country has a nonmarket economy, to consider the extent to which the country's government enforces and administers its laws, legal and administrative procedures, and other policies in an open and transparent manner that affords all parties, whether foreign or domestic, due process and equal and non-discriminatory treatment. Applies the requirements of this Act to goods from Canada and Mexico.

Bill· SS. 868 (114th)referred

Justice for Former American Hostages in Iran Act of 2015

United States · United States Congress · 26 March 2015

Justice for Former American Hostages in Iran Act of 2015 Establishes in the Treasury the American Hostages in Iran Compensation Fund to: (1) make payments to the Americans held hostage in Iran, and to their families, who are identified as members of the proposed class in case number 1:00-CV-03110 (ESG) of the U.S. District Court for the District of Columbia; and (2) satisfy their claims against Iran relating to the taking of hostages and treatment of personnel of the U.S. embassy in Tehran between November 3, 1979, and January 20, 1981. Imposes a surcharge, to be deposited into the Fund, of 30% on the amount of: (1) any fine or penalty imposed for a violation (committed on or after enactment of this Act) of a law or regulation penalizing any economic activity relating to Iran that is administered by the Departments of State, Treasury, Justice, Commerce, or Energy; or (2) the monetary amount of a settlement entered into by a person regarding a suspected violation of such a law or regulation. Requires Fund payments to members of the proposed class in the following order of priority: $10,000 for each day of captivity first to each living former hostage and then to the estate of each deceased former hostage, and $5,000 to each spouse and child of a former hostage for each day of captivity of the former hostage. Prohibits a payment recipient from maintaining an action against Iran in any federal or state court for any claims relating to the hostage events. Waives and forever releases all existing claims against Iran for those events upon payment from the Fund to all designated recipients. Requires the State Department to submit recommendations to Congress if Fund amounts will be insufficient to pay all recipients within 444 days after enactment of this Act.

Resolution· SRESS.Res. 116 (114th)referred

A resolution providing for free and fair elections in Burma.

United States · United States Congress · 26 March 2015

Endorses specified prerequisites for free and fair general elections in Burma. Calls upon the President and the Secretary of State to: support efforts to reform the 2008 Constitution of Burma in a manner that promotes democratic development and safeguards against military interference; support free and fair elections in Burma; express solidarity with the United Nations special mechanisms that are investigating violations of human rights violations in Burma, and concern regarding the government of Burma's refusal to work with such mechanisms; and ensure that ethnic groups in Burma are not coerced into cease fire agreements with the government of Burma. Calls upon the United States, in partnership with other international donors, to ensure that Burma and the Union Election Commission function independently and impartially throughout the election period. Expects the President to: (1) delay further steps toward normalization of relations with the government of Burma should it undermine the prospects for free and fair elections, and (2) sanction individuals in the government of Burma who the President determines undermine free and fair elections. Calls upon the Secretary to publicly condemn human rights abuses committed by the military and to demand credible and independent investigations and prosecutions of all allegations of such abuse.

Bill· SS. 841 (114th)referred

Prioritizing Veterans Access to Mental Health Care Act of 2015

United States · United States Congress · 23 March 2015

Prioritizing Veterans Access to Mental Health Care Act of 2015 This bill amends the Veterans Access, Choice, and Accountability Act of 2014 to make a veteran seeking mental health care in a non-Department of Veterans Affairs (VA) entity eligible for such care if the veteran provides a written statement (which may be sent electronically or made in person or by fax) that the veteran seeks mental health care from the VA and has not received timely and adequate mental health care through a VA facility or health care provider. The VA shall give health professional hiring priority to those health professionals for which there is the greatest need, such as psychiatrists, psychologists, and other mental health care providers.

Bill· SS. 819 (114th)open

Export-Import Bank Reform and Reauthorization Act of 2015

United States · United States Congress · 19 March 2015

Export-Import Bank Reform and Reauthorization Act of 2015 This bill amends the Export-Import Bank Act of 1945 to reduce, for each of FY2015-FY2019, the authorized aggregate amount of loans, guarantees, and insurance the Export-Import Bank may have outstanding at any time. The Bank shall build to and hold in reserve, to protect against future losses, at least 5% of its aggregate amount of disbursed and outstanding loans, guarantees, and insurance. The Export-Import Bank Reauthorization Act of 2012 (EIBRA) is amended to require the Government Accountability Office's quadrennial review of the adequacy of the design and effectiveness of the Bank's fraud controls to include review of the Bank's compliance with these controls. An Office of Ethics is established within the Bank to recommend administrative actions to establish or enforce standards of official conduct. A Chief Risk Officer of the Bank is established to oversee all issues relating to risk within the Bank. A Risk Management Committee is also established to: oversee periodic stress testing on the entire Bank portfolio and the monitoring of industry, geographic, and obligor exposure levels; and review all required reports on the Bank's default rate. The Bank's Inspector General shall conduct an audit or evaluation of the Bank's portfolio risk management procedures, including its implementation of the duties assigned to the Chief Risk Officer. The Bank may establish a pilot program under which it may enter into contracts and other arrangements to share risks associated with its provision of guarantees, insurance, or credit, or participation in the extension of credit. The Bank shall: (1) increase from 20% to 25% of its lending authority the amount made available to finance direct exports by small business concerns, and (2) include in its annual report to Congress a report on its programs for U.S. businesses with less than $250 million in annual sales. The Bank may use a portion of its surplus through FY2019 to update its information technology systems. The Bank, the Sub-Saharan Africa Advisory Committee, and authority for dual use exports (of nonlethal defense articles or services primarily for civilian use) are reauthorized through FY2019. The principal amounts of medium-term financing by the Bank are limited to $25 million Increased from a minimum of $10 million to a minimum of $25 million are the amounts of: long-term loans or loan guarantees the Bank may insure, working capital export loans and guarantees to small businesses, and long-term support for projects to which certain procedures apply regarding the potential beneficial and adverse environmental effects of goods and services for which direct lending and guarantee support is requested. The Bank may never: deny an application for financing based solely on the industry, sector, or business that the application concerns; or promulgate or implement policies that discriminate against an application based solely on the industry, sector, or business that the application concerns. The EIBRA is amended to require the President instead of the Department of the Treasury to initiate and pursue negotiations to end export credit financing. The President shall propose to Congress a strategy the U.S. government will pursue with other major exporting countries, including Organisation for Economic Co-operation and Development (OECD) members and non-OECD members, to eliminate over a period of 10 years subsidized export-financing programs, tied aid, export credits, and all other forms of government-supported export subsidies. The Bank shall study the extent to which products it offers are available and used by companies that export information and communications technology services and related goods.

Bill· SS. 801 (114th)referred

Representation Fairness Restoration Act

United States · United States Congress · 19 March 2015

Representation Fairness Restoration Act Amends the National Labor Relations Act to revise requirements for determination by the National Labor Relation Board (NLRB) of an appropriate bargaining unit before an election of collective bargaining representation. (In effect reverses the NLRB's August 26, 2011, decision in Specialty Healthcare and Rehabilitation of Mobile and its June 22, 2011, rulemaking regarding proposed changes to procedures involving the election of collective bargaining representation.) Replaces the current restriction in the meaning of collective bargaining unit to employer unit, craft unit, plant unit, or subdivision. Requires the NLRB, instead, to determine a unit as appropriate for collective bargaining if it consists of employees that share a sufficient community of interest. Specifies factors the NLRB must consider when making such determinations. Prohibits exclusion of employees from the unit unless the group's interests are sufficiently distinct from those of other employees to warrant the establishment of a separate unit.

Bill· SS. 783 (114th)referred

Sunshine in the Courtroom Act of 2015

United States · United States Congress · 18 March 2015

Sunshine in the Courtroom Act of 2015 Authorizes the presiding judge of a U.S. appellate court or U.S. district court to permit the photographing, electronic recording, broadcasting, or televising to the public of court proceedings over which that judge presides, except when such action would constitute a violation of the due process rights of any party. Directs: (1) a district court, upon the request of any witness in a trial proceeding other than a party, to order the face and voice of the witness to be disguised or otherwise obscured to render the witness unrecognizable to the broadcast audience of the trial proceeding; and (2) the presiding judge in a trial proceeding to inform each witness who is not a party of the right to make such request. Allows a presiding judge to obscure the face and voice of an individual if good cause is shown that photographing, electronic recording, broadcasting, or televising such features would threaten the individual's safety, the court's security, the integrity of future or ongoing law enforcement operations, or the interest of justice. Prohibits a presiding judge from permitting the photographing, electronic recording, broadcasting, or televising of any juror in a trial proceeding, or of the jury selection process. Terminates a district court's authority under this Act three years after enactment of this Act. Requires the Judicial Conference of the United States to promulgate mandatory guidelines which a presiding judge must follow for obscuring certain vulnerable witnesses. Prohibits any audio pickup or broadcast of conferences which occur in a court proceeding between attorneys and their clients, co-counsel of a client, adverse counsel, or counsel and the presiding judge, if the conferences are not part of the official record of the proceedings.

Bill· SS. 771 (114th)referred

Manufacturing Universities Act of 2015

United States · United States Congress · 18 March 2015

Manufacturing Universities Act of 2015 Authorizes the National Institute of Standards and Technology (NIST) to establish a program to designate up to 25 institutions of higher education as U.S. manufacturing universities that are to be awarded funds over a four-year period. Requires an institution applying for such program to submit a plan describing its engineering programs, its relationship to manufacturing industries, and its ability to positively impact local and regional economic development. Requires NIST to recommend adaptations to certain Small Business Act programs to assist small businesses that collaborate with such universities.

Bill· SS. 774 (114th)referred

Financial Institutions Examination Fairness and Reform Act

United States · United States Congress · 18 March 2015

Financial Institutions Examination Fairness and Reform Act Amends the Federal Financial Institutions Examination Council Act of 1978 to require a federal financial institutions regulatory agency to make a final examination report to a financial institution within 60 days of the later of: (1) the exit interview for an examination of the institution, or (2) the provision of additional information by the institution relating to the examination. Sets a deadline for the exit interview if a financial institution is not subject to a resident examiner program. Sets forth examination standards for financial institutions. Establishes in the Federal Financial Institutions Examination Council the Office of Independent Examination Review, headed by a Director appointed by the Council. Grants a financial institution the right to appeal a material supervisory determination contained in a final report of examination. Requires the Director to determine the merits of the appeal on the record, or, at the election of the financial institution, refer the appeal to an administrative law judge. Declares the decision by the Director on an appeal to: (1) be the final agency action, and (2) bind the agency whose supervisory determination was the subject of the appeal and the financial institution making the appeal. Grants a financial institution the right to petition for judicial review of the Director's decision. Amends the Riegle Community Development and Regulatory Improvement Act of 1994 to require: (1) the Consumer Financial Protection Bureau (CFPB) to establish an independent intra-agency appellate process in connection with the regulatory appeals process; and (2) appropriate safeguards to protect an insured depository institution or insured credit union from retaliation by either the CFPB, the National Credit Union Administration Board, or any other federal banking agency for exercising its rights.

Bill· SS. 758 (114th)referred

Trade Enforcement Act of 2015

United States · United States Congress · 17 March 2015

Trade Enforcement Act of 2015 Amends the Trade Act of 1974 to establish within the Office of the United States Trade Representative (USTR) an Interagency Trade Enforcement Center to: serve as the primary forum within the federal government for coordinating with specified agencies the enforcement of U.S. trade rights under international trade agreements and of U.S. trade remedy laws; coordinate among the USTR, other agencies with trade-related responsibilities, and the intelligence community the exchange of information related to potential violations of international trade agreements by foreign trading partners of the United States; and conduct outreach to U.S. workers, businesses, and other interested persons to foster greater participation in the identification and reduction or elimination of foreign trade barriers and unfair foreign trade practices. Establishes in the Center the position of a Director, who shall be the Deputy USTR for Trade Enforcement to head the Trade Enforcement Division, as well as a Deputy Director and an Intelligence Community Liaison. Establishes within the Office of the USTR a Chief Manufacturing Negotiator to conduct trade negotiations and enforce trade agreements relating to U.S. manufacturing products and services. Makes it the principal functions of the Deputy USTR for Trade Enforcement to: ensure that U.S. trading partners comply with trade agreements to which the United States is a party, and assist the USTR in investigating and prosecuting disputes before the World Trade Organization and pursuant to other bilateral or regional trade agreements to which the United States is a party. Makes it the principal function of the Chief Manufacturing Negotiator to act as a vigorous advocate on behalf of this country's manufacturing interests.

Bill· SS. 746 (114th)referred

Accelerating the End of Breast Cancer Act of 2015

United States · United States Congress · 16 March 2015

Accelerating the End of Breast Cancer Act of 2015 Establishes the Commission to Accelerate the End of Breast Cancer to help end breast cancer by January 1, 2020. Directs the Commission to identify, recommend, and promote initiatives, partnerships, and research that can be turned into strategies to prevent breast cancer and breast cancer metastasis while giving priority to those that are: (1) not prioritized in the public sector, and (2) unlikely to be achieved by the private sector due to technical and financial uncertainty. Requires the Commission to: (1) submit within six months to the President and to the relevant congressional committees a description of the Commission's strategic plan; (2) submit an annual report to the President, Congress, and the public; and (3) ensure that its activities are coordinated with, and not duplicative of, programs and laboratories of other government agencies. Directs the President to enter into an agreement with the Institute of Medicine to evaluate the Commission's progress. Terminates the Commission on June 1, 2020.

Bill· SS. 743 (114th)referred

Honor America's Guard-Reserve Retirees Act of 2015

United States · United States Congress · 16 March 2015

Honor America's Guard-Reserve Retirees Act of 2015 Honors as a veteran any person who is entitled to retired pay for nonregular (reserve) service or who would be so entitled, but for age. Provides that such person shall not be entitled to any benefit by reason of such recognition.

Bill· SS. 697 (114th)open

Frank R. Lautenberg Chemical Safety for the 21st Century Act

United States · United States Congress · 10 March 2015

Frank R. Lautenberg Chemical Safety for the 21st Century Act This bill amends the Toxic Substances Control Act (TSCA) to revise the regulation of chemicals. A safety standard is established to ensure that no unreasonable risk of harm to health or the environment will result from exposure to a chemical under the conditions of use. The standard includes the protection of potentially exposed or susceptible populations. The standard does not take cost or other non-risk factors into consideration. The bill repeals the requirement that the Environmental Protection Agency (EPA) apply the least burdensome means of adequately protecting against unreasonable risk from chemicals. The bill revises the EPA's authority to require the development of new information about a chemical by establishing a risk-based screening process. By specified deadlines, the EPA must designate a certain number of existing chemicals as high- or low-priority for safety assessments and determinations and conduct safety assessments and determinations for high-priority chemicals. The EPA must prohibit or restrict the manufacture, processing, use, distribution, or disposal of a new chemical, or a significant new use of an existing chemical, if the chemical will not likely meet the safety standard, or additional information is necessary to make a safety determination. If a chemical does not meet the safety standard, the EPA must impose restrictions to assure that it meets the standard, or ban or phase out the chemical when the safety standard cannot be met with the application of those restrictions. In deciding which restrictions to impose, the EPA must take into consideration the costs and benefits of a proposed restriction as well as at least one alternative restriction. Confidential business information claims to protect information related to chemicals must be substantiated by manufacturers or processors and reviewed by the EPA. The type of information that is protected from disclosure and the duration of the protection are limited. The bill revises preemption provisions. The preemption of state restrictions on high-priority substances begins once the EPA starts a safety assessment. The EPA must require manufacturers and processors to pay fees to defray the cost of this bill. The TSCA Implementation Fund is established to receive such fees. The President must establish an interagency Sustainable Chemistry Program to promote and coordinate federal sustainable chemistry research, development, demonstration, technology transfer, commercialization, education, and training activities.

Bill· SS. 683 (114th)referred

CARERS Act of 2015

United States · United States Congress · 10 March 2015

Compassionate Access, Research Expansion, and Respect States Act of 2015 or the CARERS Act of 2015 Amends the Controlled Substances Act (CSA) to provide that control and enforcement provisions of such Act relating to marijuana shall not apply to any person acting in compliance with state law relating to the production, possession, distribution, dispensation, administration, laboratory testing, or delivery of medical marijuana. Transfers marijuana from schedule I to schedule II of the CSA. Excludes "cannabidiol" from the definition of "marijuana" and defines it separately as the substance cannabidiol, as derived from marijuana or the synthetic formulation, that contains not greater than 0.3% delta-9-tetrahydrocannabinol on a dry weight basis. Deems marijuana that is grown or processed for purposes of making cannabidiol, in accordance with state law, to meet such concentration limitation unless the Attorney General determines that the state law is not reasonably calculated to comply with such definition. Prohibits a federal banking regulator from: (1) terminating or limiting the deposit insurance of a depository institution solely because it provides or has provided financial services to a marijuana-related legitimate business; or (2) prohibiting, penalizing, or otherwise discouraging a depository institution from providing financial services to a marijuana-related legitimate business. Prohibits a federal banking regulator from recommending, motivating, providing incentives, or encouraging a depository institution not to offer financial services to an individual, or to downgrade or cancel financial services offered to an individual, solely because: (1) the individual is a manufacturer of marijuana, (2) the individual is or later becomes an owner or operator of a marijuana-related legitimate business, or (3) the depository institution was not aware that the individual is the owner or operator of a marijuana-related legitimate business. Prohibits a federal banking regulator from taking any adverse or corrective supervisory action on a loan to an owner or operator of: (1) a marijuana-related legitimate business soley because the owner or operator is such a business, or (2) real estate or equipment that is leased to a marijuana-related legitimate business solely because it is leased to such a business Provides depository institutions that provide financial services to a marijuana-related legitimate business protection under federal law from federal criminal prosecution or investigation, criminal penalties, and forfeiture of legal interest in collateral solely for providing financial services to such a business. Directs: (1) the Department of Health and Human Services to terminate the Public Health Service interdisciplinary review process described in the guidance entitled "Guidance on Procedures for the Provision of marijuana for Medical Research" (issued on May 21, 1999), and (2) the Drug Enforcement Administration to issue at least three licenses under CSA registration requirements to manufacture marijuana and marijuana-derivatives for research approved by the Food and Drug Administration. Directs the Department of Veterans Affairs (VA) to authorize VA health care providers to provide veterans with recommendations and opinions regarding participation in state marijuana programs.

Bill· SS. 698 (114th)referred

Marketplace Fairness Act of 2015

United States · United States Congress · 10 March 2015

Marketplace Fairness Act of 2015 Authorizes each member state under the Streamlined Sales and Use Tax Agreement (the multistate agreement for the administration and collection of sales and use taxes adopted on November 12, 2002) to require all sellers not qualifying for a small-seller exception (applicable to sellers with annual gross receipts in total U.S. remote sales not exceeding $1 million) to collect and remit sales and use taxes with respect to remote sales under provisions of the Agreement, but only if such Agreement includes minimum simplification requirements relating to the administration of the tax, audits, and streamlined filing. Defines "remote sale" as a sale of goods or services into a state in which the seller would not legally be required to pay, collect, or remit state or local sales and use taxes unless provided by this Act. Prohibits states from beginning the exercise of the authority granted by this Act for a specified period after enactment.

Law· SS. 665 (114th)enacted

Rafael Ramos and Wenjian Liu National Blue Alert Act of 2015

United States · United States Congress · 4 March 2015

Rafael Ramos and Wenjian Liu National Blue Alert Act of 2015 Directs the Attorney General to: (1) establish a national Blue Alert communications network within the Department of Justice (DOJ) to issue Blue Alerts through the initiation, facilitation, and promotion of Blue Alert plans for the dissemination of information received as a Blue Alert, in coordination with states, local governments, and law enforcement agencies; and (2) assign an existing DOJ officer to act as the national coordinator of the network. Defines "Blue Alert" as information sent through the network relating to: (1) the serious injury or death of a law enforcement officer in the line of duty, (2) an officer who is missing in connection with the officer's official duties, or (3) an imminent and credible threat that an individual intends to cause the serious injury or death of a law enforcement officer. Sets forth the duties of the national coordinator, including: providing assistance to states and local governments that are using Blue Alert plans; establishing voluntary guidelines for states and local governments to use in developing such plans; developing protocols for efforts to apprehend suspects; working with states to ensure appropriate regional coordination of various elements of the network; establishing an advisory group to assist states, local governments, law enforcement agencies, and other entities in initiating, facilitating, and promoting Blue Alert plans; acting as the nationwide point of contact for the development of the network and the regional coordination of Blue Alerts through the network; and determining what procedures and practices are in use for notifying law enforcement and the public of a Blue Alert and which procedures and practices are effective and do not require the expenditure of additional resources to implement. Requires the guidelines to: (1) provide that appropriate information relating to a Blue Alert is disseminated to officials of law enforcement, public health, and other agencies; (2) provide mechanisms that ensure that Blue Alerts comply with all applicable federal, state, and local privacy laws and regulations; and (3) include standards that specifically provide for the protection of the civil liberties of law enforcement officers and their families. Directs the coordinator to report annually on the coordinator's activities and the effectiveness and status of the Blue Alert plans that are in effect or being developed.

Resolution· SRESS.Res. 96 (114th)referred

A resolution condemning the murder of Boris Nemtsov, and for other purposes.

United States · United States Congress · 4 March 2015

Condemns the murder of Boris Nemtsov, an advocate for reform and human rights in the Russian Federation, and the assassinations of other human rights and democracy activists in the Russian Federation since President Vladimir Putin came to office. Calls on the Government of Russia to: (1) support and facilitate an independent inquiry into the murder; (2) release all political prisoners and end the ongoing harassment of political opponents, human rights activists, and journalists; (3) restore an independent judiciary and the rule of law; and (4) end all restrictions on the media and freedom of speech. Urges the President to: (1) seek a United Nations Security Council resolution that establishes an independent investigation into Mr. Nemtsov's assassination, (2) add the names of persons that Mr. Nemtsov requested be added to the visa ban list as provided for under the Sergei Manitsky Rule of Law Accountability Act of 2012, (3) continue to sanction human rights violators in the Russian Federation, and (4) significantly increase U.S. support to like-minded partners and human rights activists in the Russian Federation. Urges the Organization for Security and Cooperation in Europe (OSCE) to obtain, examine, and publish the investigative report Mr. Nemtsov planned to release as part of the OSCE observer role in eastern Ukraine.

Bill· SS. 637 (114th)referred

Short Line Railroad Rehabilitation and Investment Act of 2015

United States · United States Congress · 3 March 2015

Short Line Railroad Rehabilitation and Investment Act of 2015 Amends the Internal Revenue Code, with respect to the tax credit for railroad track maintenance, to: (1) expand the types of maintenance expenditures eligible for such credit, and (2) extend such credit through 2016.

Bill· SS. 619 (114th)referred

United States-Israel Trade Enhancement Act of 2015

United States · United States Congress · 2 March 2015

United States-Israel Trade Enhancement Act of 2015 This bill states that among the principal U.S. trade negotiating objectives for trade agreements with foreign countries regarding commercial partnerships are to: discourage actions that directly or indirectly prejudice or discourage commercial activity solely between the United States and Israel; discourage politically motivated actions by foreign countries, non-member United Nations states, and international organizations (including affiliated agencies), that are intended to penalize or limit commercial relations with Israel, persons doing business with Israel or in territories controlled by Israel, or successor entities to such persons; seek the elimination of politically motivated nontariff barriers on goods, services, or other commerce from Israel, as well as any boycott fostered or imposed by a foreign country against Israel; or discourage compliance with the boycott of Israel by the Arab League.

Bill· SS. 615 (114th)open

Iran Nuclear Agreement Review Act of 2015

United States · United States Congress · 27 February 2015

Iran Nuclear Agreement Review Act of 2015 This bill amends the Atomic Energy Act of 1954 to direct the President, within five days after reaching an agreement with Iran regarding Iran's nuclear program, to transmit to Congress: the text of the agreement and all related materials and annexes; a related verification assessment report of the Secretary of State; a certification that the agreement includes the appropriate terms, conditions, and duration of the agreement's requirements concerning Iran's nuclear activities, and provisions describing any sanctions to be waived, suspended, or otherwise reduced by the United States and any other nation or entity; and a certification that the agreement meets U.S. non-proliferation objectives, does not jeopardize the common defense and security, provides a framework to ensure that Iran's nuclear activities will not constitute an unreasonable defense and security risk, and ensures that Iran's permitted nuclear activities will not be used to further any nuclear-related military or nuclear explosive purpose. The Secretary of State is directed to prepare a report assessing: the Secretary's capacity to verify Iran's compliance with the agreement, the adequacy of the agreement's safeguards to ensure that Iran's permitted activities will not be used to further any nuclear-related military or nuclear explosive purpose, and the International Atomic Energy Agency's capacity to implement the required verification regime. The foreign relations committees shall, during the 60-day period following transmittal by the President of an agreement, hold hearings and briefings to review the agreement. During such review period the President may not waive, suspend, reduce, provide relief from, or otherwise limit the application of statutory sanctions with respect to Iran, except for any deferral, waiver, or other suspension of statutory sanctions pursuant to the Joint Plan of Action that is made: (1) consistent with the law in effect on the date of enactment of this Act; and (2) not later than 45 days before the transmission by the President of an agreement, assessment report, and certification. An action involving statutory sanctions relief by the United States: may be taken if, during the 60-day review period, Congress adopts a joint resolution in favor of the agreement; may not be taken if, during such period, Congress adopts a joint resolution not in favor of the agreement; or may be taken if, following such period, no joint resolution is enacted. The President shall: within 10 days of receiving information relating to a potentially significant breach or compliance incident by Iran submit it to Congress; within 10 days after submitting such information determine whether it constitutes a material breach or compliance incident and report that determination to Congress as well as Iran's action or failure to act that led to the material breach, actions necessary for Iran to cure the breach, and the status of Iran's efforts to cure the breach; and at least every 180 days thereafter report to Congress on Iran's nuclear program and compliance with the agreement. The President shall keep Congress fully informed of any initiative or negotiations with Iran concerning Iran's nuclear program. The President shall, not less than every 90 days, determine whether the President is able to certify to Congress that: Iran is fully implementing the agreement, Iran has not committed a material breach of the agreement, Iran has not taken any action that could significantly advance its nuclear weapons program, Iran has not directly supported or carried out an act of terrorism against the United States or a U.S. person, and suspension of sanctions against Iran is appropriate and proportionate to measures taken by Iran with respect to terminating its illicit nuclear program and vital to U.S. national security interests. If the President does not submit such certification or has determined that Iran has materially breached an agreement, Congress may initiate within 60 days expedited consideration of legislation reinstating statutory sanctions against Iran.

Bill· SS. 590 (114th)open

Campus Accountability and Safety Act

United States · United States Congress · 26 February 2015

Campus Accountability and Safety Act Amends provisions of the Higher Education Act of 1965 (HEA) known as the Jeanne Clery Disclosure of Campus Security Policy and Campus Crime Statistics Act to require institutions of higher education (IHEs) that participate in title IV (Student Assistance) programs to include in their annual campus security reports provided to current and prospective students and employees: the memorandum of understanding that this Act requires IHEs to enter into with local law enforcement agencies (and update, as necessary, every two years) to clearly delineate responsibilities and share information about certain serious crimes, including sexual violence, occurring against students or other individuals on campus; and specified information regarding the number of sex offenses reported to the IHE and the IHE's disposition of sex offense cases. Requires IHEs to provide new students and employees with a statement that identifies domestic violence, dating violence, sexual assault, and stalking as crimes which will be reported and with respect to which, based on the victim's wishes, the IHE will cooperate with local law enforcement. Requires an IHE's disciplinary procedures for such offenses to comply with its campus security policy and provide both the accuser and accused written notice of the outcome of such procedures or a change in an outcome within 24 hours after it occurs. Directs the Secretary to develop and administer through an online portal a standardized, online, and biannual survey of students regarding their experiences with sexual violence and harassment. Omits survey responses from the annual crime statistics IHEs must report, but requires the Secretary to publish survey information that includes campus-level data for each school on the Department of Education's (ED's) website biannually. Requires IHEs to publish the campus-level results of the survey on their websites and in their annual security reports. Requires ED to make publicly available guidance regarding the intersection of the campus security and crime statistics reporting requirements under title IV and requirements under title IX of the Education Amendments of 1972. Requires each IHE that receives funding under the HEA to establish a campus security policy that includes: the designation of one or more confidential advisors at the IHE to whom non-employee victims of sexual harassment, domestic violence, dating violence, sexual assault, or stalking can report, including anonymously; provision on the IHE's website of specified information to assist the victims of such crimes, including contact information for the confidential advisor; authorization for the IHE to provide an online reporting system to collect anonymous disclosures of crimes and track patterns of crime on campus; an amnesty policy for any student who, in good faith, reports sexual violence to a higher education responsible employee, with respect to a non-violent student conduct violation revealed in the course of such a report; a training program, developed by the Secretary, for IHE employees who are involved in implementing the school's student grievance procedures or responsible for interviewing alleged sexual assault victims; a uniform process (for each of the IHE's campuses) for student disciplinary proceedings relating to claims of sexual violence against a student attending the IHE; the annual provision of information to ED's Office for Civil Rights and the Civil Rights Division of the Department of Justice (DOJ) regarding the IHE's title IX coordinator; the provision of written notice to the accuser and accused student within 24 hours of the IHE's decision to proceed with an institutional disciplinary process regarding an allegation of sexual misconduct; and the provision of written notice to the accuser and accused student within 24 hours of the determination of responsibility made by the disciplinary board and any sanctions. Directs the Secretary to establish a title IX website that includes: the name and contact information for the title IX coordinator at each IHE, including a brief description of the coordinator's role and the roles of other officials who may be contacted regarding sexual harassment; and ED's pending investigations and the actions it has taken regarding all title IX complaints and compliance reviews related to sexual harassment. Directs the Secretary to develop online training materials for training higher education responsible employees, title IX coordinators, and individuals involved in implementing an IHE's student conduct grievance procedures. Authorizes the Secretary to impose civil penalties upon IHEs that fail to: (1) enter into memorandums of understanding with their local law enforcement agencies, (2) carry out campus security and crime statistics reporting requirements, or (3) establish the requisite campus security policy. Amends the Violence Against Women and Department of Justice Reauthorization Act of 2005 to: (1) increase the minimum grant that may be provided to IHEs to combat domestic violence, dating violence, sexual assault, and stalking on campuses; and (2) authorize the use of such grants to train campus personnel in how to use victim-centered, trauma-informed interview techniques. Amends the HEA to authorize the Secretary, using amounts collected under this Act's penalty provisions, to award competitive grants to IHEs to enhance their ability to address sexual harassment, sexual assault, domestic violence, dating violence, and stalking, on campus. Amends the Education Amendments of 1972 to authorize the Secretary or DOJ to impose civil penalties on IHEs that violate or fail to carry out title IX requirements regarding sexual violence. Gives individuals 180 days after their graduation or disaffiliation with an IHE to file a complaint regarding such a violation with ED's Office for Civil Rights.

Bill· SS. 586 (114th)referred

National Diabetes Clinical Care Commission Act

United States · United States Congress · 26 February 2015

National Diabetes Clinical Care Commission Act This bill amends the Public Health Service Act to establish within the Department of Health and Human Services (HHS) the National Diabetes Clinical Care Commission to evaluate and recommend solutions regarding better coordination and leveraging of federal programs that relate to supporting appropriate clinical care for people with pre-diabetes, diabetes, and the chronic diseases and conditions that are complications of or caused by diabetes. The duties of the Commission include: evaluating HHS programs regarding the utilization of preventive health benefits, identifying current activities and critical gaps in federal efforts to support clinicians in providing integrated care, making recommendations regarding the development and coordination of federally funded clinical practice support tools, recommending clinical pathways for new technologies and treatments, evaluating and expanding education and awareness to health care professionals regarding prevention of diabetes, and reviewing and recommending appropriate methods for outreach and dissemination of educational resources. The Commission must submit an operating plan to HHS and Congress within 90 days of its first meeting.

Bill· SS. 582 (114th)referred

No Taxpayer Funding for Abortion and Abortion Insurance Full Disclosure Act of 2015

United States · United States Congress · 26 February 2015

No Taxpayer Funding for Abortion and Abortion Insurance Full Disclosure Act of 2015 This bill prohibits federal funds, including funds in the budget of the District of Columbia, from being expended for abortion or health coverage that includes coverage of abortion. Abortions are eligible for federal funding only in cases of rape or incest, or where a physical condition endangers a woman's life unless an abortion is performed. Currently, federal funding of abortion and health coverage that includes abortion is prohibited, with the same exceptions. Health care provided in a federal health care facility or by a federal employee may not include abortions that are ineligible for federal funding. This bill amends the Internal Revenue Code to disallow premium assistance tax credits or health insurance tax credits for qualified health plans that cover abortions ineligible for federal funding. This bill amends the Patient Protection and Affordable Care Act to require the Office of Personnel Management to ensure that multi-state qualified health plans offered on health insurance exchanges do not cover abortions ineligible for federal funding. A qualified health plan's coverage of abortion must be disclosed to enrollees at the time of enrollment and must be prominently displayed in marketing materials, comparison tools, or any summary of benefits and coverage made available by the plan issuer, a health insurance exchange, or the Department of Health and Human Services. The amount of a plan's premium that is attributable to coverage of abortions ineligible for federal funding must be disclosed in material where the premium is disclosed.

Bill· SS. 571 (114th)open

Pilot's Bill of Rights 2

United States · United States Congress · 25 February 2015

Pilot's Bill of Rights 2 This bill directs the Federal Aviation Administration (FAA) to issue or revise medical certification regulations to ensure that an individual may operate as a pilot of a covered aircraft without regard to any medical certification or proof of health requirement otherwise applicable under federal law if the flight meets certain criteria and the individual: possesses a valid state driver's license, complies with applicable medical requirements associated with that license, is transporting five or fewer passengers, and is operating under visual or instrument flight rules. "Covered aircraft" is one that: is not authorized under federal law to carry more than six occupants, and has a maximum certificated takeoff weight of no more than 6,000 pounds. The FAA may not take enforcement action against a pilot of a covered aircraft for not holding a valid third-class medical certificate if the pilot and the flight meet such requirements, unless the FAA has published final regulations under this Act in the Federal Register. The Pilot's Bill of Rights is amended to authorize any persons adversely affected by an FAA decision to deny, suspend, or revoke a covered certificate or impose a civil penalty to file an appeal with the National Transportation Safety Board or, without further administrative review, in the U.S. district court or the U.S. District Court for the District of Columbia. This subjects all FAA-issued certificates involving an adverse action to review. "Covered certificate" means, in addition to an airman certificate (as under current law), a design organization certificate, holder of type certificate, production certificate, airworthiness certificate, air carrier operating certificate, airport operating certificate, air agency certificate, air navigation facility certificate, or medical certificate. Requirements are prescribed or revised for FAA: failure to notify an individual who is the subject of an investigation regarding the approval, denial, suspension, modification, or revocation of a covered certificate; provision to persons holding a covered certificate of the releasable portion of an investigative report before issuing an emergency order relating to the investigation; response to a written request by a certificate-holding repair station subject to an investigation to withdraw from or settle a proceeding relating to the investigation within 30 days after receiving the request; and reexamination of airmen certificates where there are reasonable grounds to question an airman's lack of competence or believe a certificate was obtained through fraud. The FAA may not take enforcement action against an individual for violation of a Notice to Airmen (NOTAM) regarding airspace system information until the FAA certifies its compliance with certain NOTAM Improvement program requirements, as amended by this Act. The FAA, upon receiving a request for a covered flight record not in its possession, shall request the record from a FAA contract tower or other FAA contractor possessing it. Any individual designated by the FAA to act as an FAA representative shall be shielded from liability in a civil action for actions performed with reasonable care in connection with related duties. The Volunteer Protection Act of 1997 is amended to shield from liability a volunteer pilot that flies for a volunteer pilot nonprofit organization for public benefit an aircraft for which the volunteer was properly licensed and insured. The staff, mission coordinators, officers, and directors of the nonprofit organization shall also be shielded from liability, provided certain conditions are met.

Resolution· SRESS.Res. 87 (114th)passed

A resolution to express the sense of the Senate regarding the rise of anti-Semitism in Europe and to encourage greater cooperation with the European governments, the European Union, and the Organization for Security and Co-operation in Europe in preventing and responding to anti-Semitism.

United States · United States Congress · 25 February 2015

Urges the Secretary of State, the Attorney General, and other relevant U.S. government agencies and officials to work with the European Union and European governments to encourage further efforts to address anti-Semitism.

Bill· SS. 539 (114th)referred

Medicare Access to Rehabilitation Services Act of 2015

United States · United States Congress · 24 February 2015

Medicare Access to Rehabilitation Services Act of 2015 This bill amends title XVIII (Medicare) of the Social Security Act to repeal the existing caps on physical therapy, occupational therapy, and speech-language pathology services.

Law· SS. 524 (114th)enacted

Comprehensive Addiction and Recovery Act of 2016

United States · United States Congress · 12 February 2015

Comprehensive Addiction and Recovery Act of 2015 Directs the Department of Health and Human Services (HHS) to convene a Pain Management Best Practices Inter-Agency Task Force to develop: (1) best practices for pain management and prescribing pain medication, and (2) a strategy for disseminating such best practices. Amends the Omnibus Crime Control and Safe Streets Act of 1968 to authorize the Attorney General to make grants to: states (with priority to states that provide civil liability protection for first responders, health professionals, and family members administering naloxone to counteract opioid overdoses), local governments, and nonprofit organizations to expand educational efforts to prevent abuse of opioids, heroin, and other substances of abuse, understand addiction as a chronic disease, and promote treatment and recovery; organizations that have received a grant under the Drug-Free Communities Act of 1997 to implement comprehensive community-wide strategies that address local drug crises; states (with priority to states that provide civil liability protection for administering naloxone), local governments, Indian tribes, and nonprofit organizations for treatment alternative to incarceration programs for individuals who have come into contact with the juvenile or criminal justice system or have been arrested or charged with an offense, who have a substance use disorder, mental illness, or both, and who have been approved for participation in such a program; state, local, or tribal law enforcement agencies to create a demonstration law enforcement program to prevent opioid and heroin overdose death; state, local, or tribal law enforcement agencies, manufacturers, distributors, or reverse distributor of prescription medications, retail pharmacies, registered narcotic treatment programs, hospitals or clinics with an on-site pharmacy, eligible long-term care facilities, or any other entity authorized by the Drug Enforcement Administration to dispose of prescription medications to expand or make available disposal sites for unwanted prescription medications; states (with priority to states that provide civil liability protection for administering naloxone), local governments, and Indian tribes to implement medication assisted treatment programs through their criminal justice agencies; states, local governments, nonprofit organizations, and Indian tribes for educational programs for incarcerated offenders; state substance abuse and criminal justice agencies, jointly, to address the use of opioids and heroin among pregnant and parenting female offenders in a state to promote public safety, public health, family permanence, and well-being; establish or expand veterans treatment court programs, peer to peer services or programs for qualified veterans, practices that identify and provide treatment, rehabilitation, legal, and transitional services to incarcerated veterans, and training programs to teach criminal justice, mental health, and substance abuse personnel how to identify and appropriately respond to incidents involving veterans; and states to prepare a comprehensive plan for and implement an integrated opioid abuse response initiative. Amends the Public Health Service Act to authorize the Center for Substance Abuse Treatment to award grants to enable state substance abuse agencies, local governments, nonprofit organizations, and Indian tribes or tribal organizations that have a high rate of, or have had a rapid increase in, the use of heroin or other opioids to expand activities, including medication assisted treatment, for the treatment of addiction in the geographical areas affected. Authorizes the Recovery Branch of the Office of National Drug Control Policy to award grants to: (1) enable high schools and colleges with substance abuse recovery programs and nonprofit organizations to provide substance abuse recovery support services to high school and college students, to help build communities of support for young people in recovery, and to encourage initiatives designed to help young people achieve and sustain recovery; and (2) enable recovery community organizations to develop, expand, and enhance recovery services. Amends the Higher Education Act of 1965 to prohibit the Department of Education from including any question about the conviction of an applicant for the possession or sale of illegal drugs on the Free Application for Federal Student Aid form. Directs HHS to establish a bipartisan Task Force on Recovery and Collateral Consequences to: (1) identify collateral consequences for individuals with drug convictions who are in recovery for a substance use disorder, and (2) determine whether such consequences unnecessarily delay such individuals from resuming their personal and professional activities. Amends the Omnibus Crime Control and Safe Streets Act to direct the Attorney General to report annually on how grants awarded under such Act are used for family-based substance abuse treatment programs that serve as alternatives to incarceration for custodial parents to receive treatment and services as a family. Expresses the sense of Congress that the amounts expended to carry out this Act should be offset by a corresponding reduction in federal non-defense discretionary spending. Directs the Comptroller General to report on the impact that the Medicaid Institutions for Mental Disease exclusion (defined as the prohibition on federal matching payments under Medicaid for patients who have attained age 22, but have not attained age 65, in an institution for mental diseases) has on access to treatment for individuals with a substance use disorder.

Bill· SS. 507 (114th)referred

RAISE Act

United States · United States Congress · 12 February 2015

Rewarding Achievement and Incentivizing Successful Employees Act or the RAISE Act Amends the National Labor Relations Act to declare that neither its prohibition against interference by an employer with employees' right to bargain collectively, nor the terms of a collective bargaining agreement entered into between employees and an employer after enactment of this Act, shall prohibit an employer from paying an employee higher wages, pay, or other compensation than the agreement provides for.

Bill· SS. 498 (114th)referred

Constitutional Concealed Carry Reciprocity Act of 2015

United States · United States Congress · 12 February 2015

Constitutional Concealed Carry Reciprocity Act of 2015 Amends the federal criminal code to authorize a person who is not prohibited from possessing, transporting, shipping, or receiving a firearm under federal law, who is entitled and not prohibited from carrying a concealed firearm in his or her state of residence or who is carrying a valid state license or permit to carry a concealed weapon, and who is carrying a government-issued photographic identification document, to carry a concealed handgun (which has been shipped or transported in interstate or foreign commerce, other than a machine gun or destructive device) in any state in accordance with the restrictions of that state. Provides that in a state that allows the issuing authority for licenses or permits to carry concealed firearms to impose restrictions on the carrying of firearms by individual license or permit holders, an individual carrying a concealed handgun under this Act shall be permitted to carry it according to the same terms authorized by an unrestricted license or permit issued by such state.

Bill· SS. 467 (114th)referred

CORRECTIONS Act

United States · United States Congress · 11 February 2015

Corrections Oversight, Recidivism Reduction, and Eliminating Costs for Taxpayers In Our National System Act of 2015 or the CORRECTIONS Act Directs the Department of Justice (DOJ) to: (1) conduct a review of recidivism reduction programming and productive activities, including prison jobs, offered in correctional institutions; (2) conduct a survey to identify products currently manufactured overseas that could be manufactured by prisoners without reducing job opportunities for other U.S. workers; and (3) submit to the House and Senate Committees on Appropriations and the Judiciary a strategic plan for the expansion of recidivism reduction programming and productive activities, including prison jobs, in Bureau of Prison facilities. Amends the federal criminal code to direct the Bureau of Prisons to make available appropriate recidivism reduction programming or productive activities, including prison jobs, to all eligible prisoners and to assign such prisoners to such activities using the Post-Sentencing Risk and Needs Assessment System developed by DOJ. Defines "eligible prisoner" to mean a prisoner serving a sentence of incarceration for conviction of a federal offense, but excludes a prisoner whom the Bureau of Prisons determines: (1) is medically unable to successfully complete recidivism reduction activities, (2) would present a security risk if permitted to participate in such activities, or (3) is serving a sentence of incarceration of less than one month. Requires the National Institute of Corrections to evaluate all recidivism reduction programming or productive activities for eligible prisoners to determine whether such programming or activities may be certified as evidence-based and effective at reducing or mitigating offender risk and recidivism. Directs DOJ to issue regulations requiring the official in charge of each correctional facility to enter into partnerships with nonprofit organizations, including faith-based and community-based organizations, educational organizations, and private entities, to make recidivism reduction programming and productive activities available to eligible prisoners. Grants eligibility to a prisoner who has successfully completed a recidivism reduction program or productive activity certified by the National Institute of Corrections for time credits for each period of 30 days of successful completion of such a program or activity, except prisoners who have been convicted of certain federal crimes, including crimes involving terrorism, violence, or child exploitation. Requires DOJ to develop the Post-Sentencing Risk and Needs Assessment System for use by the Bureau of Prisons to: (1) assess and determine the recidivism risk level of all prisoners and classify each prisoner as having a low, moderate, or high risk of recidivism; (2) assess and determine the risk of violence of all prisoners; (3) ensure that low-risk prisoners are grouped together in housing and assignment decisions; and (4) provide information on best practices. Amends the federal criminal code to allow a prisoner: (1) a period of home confinement as part of a program of prerelease custody, not to exceed 10% of the prisoner's imposed sentence; (2) to enter into prerelease custody if such prisoner is classified as low or moderate risk; and (3) to serve a certain portion of his or her sentence on community supervision if such prisoner is classified as low risk, complies with all conditions of prerelease custody, remains current on financial obligations, and refrains from committing any federal, state, or local offense. Prohibits the Bureau of Prisons from transferring a prisoner to prerelease custody if the prisoner has been sentenced to a term of incarceration of more than three years unless six-month's prior notice is given to the U.S. Attorney's Office for the district in which the prisoner was sentenced. Requires DOJ to report to specified congressional committees on: (1) DOJ activities and accomplishments in carrying out this Act, an assessment of the status and use of the Post-Sentencing Risk and Needs Assessment System by the Bureau of Prisons, a summary and assessment of recidivism reduction programs operated by the Bureau of Prisons, and an assessment of budgetary saving resulting from this Act; (2) the status of prison work programs; (3) rates of recidivism; and (4) the effectiveness of recidivism reduction programs and activities offered to prisoners who are ineligible for time credits. Requires DOJ to reinvest budgetary savings to fund public safety programming. Amends the Second Chance Act of 2007 to: (1) make permanent the pilot program for removing nonviolent elderly offenders from prison facilities and placing such offenders in home detention, and (2) reduce the age and prison term requirements for such offenders. Directs DOJ to: (1) evaluate best practices used for the reentry of federal prisoners released from custody and report to the Judiciary Committees on such evaluation, (2) select an appropriate number of federal judicial districts to conduct federal reentry demonstration projects using such best practices, and (3) report on the impact of reentry of prisoners on communities in which a disproportionate number of individuals reside upon release from incarceration. Requires the Bureau of Prisons to: (1) notify the Department of Veterans Affairs (VA) if a prisoner's presentence report indicates that the prisoner has previously served in the U.S. Armed Forces, and (2) provide VA with reasonable access to such prisoner to facilitate reentry. Amends the federal criminal code to require a presentence report to include: (1) information about the defendant's history of substance abuse and addiction; (2) information about the defendant's service in the Armed Forces and veteran status; and (3) a detailed plan that the probation officer determines will reduce the likelihood that the defendant will abuse drugs or alcohol, will reduce the defendant's likelihood of recidivism by addressing the defendant's specific recidivism risk factors, and will assist the defendant in preparing for reentry into the community. Requires the Bureau of Prisons to ensure that each prisoner eligible for substance abuse treatment completes treatment not later than one year prior to such prisoner's release date. Requires the Administrative Office of the United States Courts to: (1) establish a five-year recidivism reduction and recovery enhancement pilot program, premised on high-intensity supervision and the use of sanctions for noncompliance with program rules; and (2) conduct an evaluation of the pilot program and report to Congress on the results of the evaluation. Amends the federal criminal code to require the Bureau of Prisons to issue oleoresin capsicum spray (pepper spray) to: (1) any Bureau officer or employee employed in a prison that is not a minimum or low security prison who may respond to an emergency situation in such prison; and (2) such additional prison officers and employees as deemed appropriate. Requires any such officer or employee to complete a training course before being issued such spray and annual training on the use of such spray.

Bill· SS. 441 (114th)referred

Traditional Cigar Manufacturing and Small Business Jobs Preservation Act of 2015

United States · United States Congress · 10 February 2015

Traditional Cigar Manufacturing and Small Business Jobs Preservation Act of 2015 Amends the Federal Food, Drug, and Cosmetic Act to exempt traditional large and premium cigars from regulation by the Food and Drug Administration (FDA) and from user fees assessed on tobacco products by the FDA.

Bill· SS. 431 (114th)referred

Internet Tax Freedom Forever Act

United States · United States Congress · 10 February 2015

Internet Tax Freedom Forever Act Amends the Internet Tax Freedom Act to make permanent the ban on state and local taxation of Internet access and on multiple or discriminatory taxes on electronic commerce.

Bill· SS. 433 (114th)referred

Currency Undervaluation Investigation Act

United States · United States Congress · 10 February 2015

Currency Undervaluation Investigation Act Amends the Tariff Act of 1930 to require the administering authority, upon the filing of a petition by an interested party, to initiate a countervailing duty investigation or review to determine whether currency undervaluation by the government of, or any public entity within, a foreign country is providing, directly or indirectly, a countervailable subsidy to its exporters or products. Declares that the fact that such a subsidy is also provided in circumstances not involving export shall not, for that reason alone, mean it cannot be considered export contingent and actionable under a countervailing duty and antidumping duty proceeding. Declares that the amendments made by this Act shall apply to goods from Canada and Mexico.

Resolution· SRESS.Res. 72 (114th)passed

A resolution expressing the sense of the Senate regarding the January 24, 2015, attacks carried out by Russian-backed rebels on the civilian population in Mariupol, Ukraine, and the provision of defensive lethal and non-lethal military assistance to Ukraine.

United States · United States Congress · 10 February 2015

Condemns the attack on Mariupol by Russian-backed rebels. Urges the President to provide lethal and non-lethal military assistance to Ukraine as unanimously supported by Congress in the Ukraine Freedom Support Act of 2014. Calls on the United States, its European allies, and the international community to continue to apply economic and other pressure on the Russian Federation, especially sanctions, if the Russian Federation continues to refuse to cease its aggression in Ukraine. Calls on the Russian Federation to end its support for the rebels in eastern Ukraine, allow Ukraine to regain control of its internationally-recognized borders, and withdraw its military presence in eastern Ukraine. Expresses solidarity with the people of Ukraine regarding the humanitarian crisis in their country and the destruction caused by the Russian Federation's military, financial, and ideological support for the rebels in eastern Ukraine. States that nothing in this resolution shall be construed as an authorization for the use of force or a declaration of war.

Bill· SS. 404 (114th)referred

Child Interstate Abortion Notification Act

United States · United States Congress · 5 February 2015

Child Interstate Abortion Notification Act Amends the federal criminal code to prohibit transporting a minor child across a state line to obtain an abortion (deems such transporting to be a de facto abridgment of the right of a parent under any law in the minor’s state of residence that requires parental involvement in the minor’s abortion decision). Makes an exception for an abortion necessary to save the life of the minor. Makes it an affirmative defense to a prosecution or civil action under this Act that a defendant: (1) reasonably believed that before the minor obtained the abortion, the required parental consent or notification or judicial authorization took place; or (2) was presented with documentation showing that a court waived parental notification requirements or authorized the minor's abortion. Defines "abortion" to mean the use or prescription of any instrument, medicine, drug, or any other substance or device: (1) to intentionally kill the unborn child of a woman known to be pregnant; or (2) to intentionally prematurely terminate the pregnancy of a woman known to be pregnant with an intention other than to increase the probability of a live birth or of preserving the life or health of the child after live birth, or to remove a dead unborn child. Imposes a fine and/or prison term of up to one year on a physician who performs or induces an abortion on an out-of-state minor in violation of parental notification requirements. Requires such physician to give 24-hour actual or constructive notice to a parent of the minor seeking an abortion, subject to certain exceptions.