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Official portrait of Sen. Kennedy, Edward M. [D-MA]

Sen. Kennedy, Edward M. [D-MA]

United States · Official source

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7,990 records where Sen. Kennedy, Edward M. [D-MA] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· SS. 394 (105th)referred

A bill to partially restore compensation levels to their past equivalent in terms of real income and establish the procedure for adjusting future compensation of justices and judges of the United States.

United States · United States Congress · 5 March 1997

Provides for a specified increase in Federal judicial salaries. Amends the Federal judicial code to: (1) provide for annual judicial cost-of-living adjustments; and (2) base such adjustments upon the Federal General Schedule. Amends Federal law to repeal the requirement that the Congress must vote for judicial cost-of-living adjustments.

Bill· SS. 397 (105th)referred

A bill to amend chapters 83 and 84 of title 5, United States Code. to extend the civil service retirement provisions of such chapter which are applicable to law enforcement officers, to inspectors of the Immigration and Naturalization Service, inspectors and canine enforcement officers of the United States Customs Service, and revenue officers of the Internal Revenue Service.

United States · United States Congress · 5 March 1997

Amends Federal civil service law to include as Federal law enforcement officers eligible under Civil Service Retirement System and Federal Employees' Retirement System provisions for early retirement (at age 50 after 20 years of Federal service) revenue officers in the Internal Revenue Service, customs inspectors and canine enforcement officers in the U.S. Customs Service, and inspectors in the Immigration and Naturalization Service.

Bill· SS. 387 (105th)referred

Software Export Equity Act

United States · United States Congress · 3 March 1997

Software Export Equity Act - Amends the Internal Revenue Code to qualify software, whether or not patented, for Foreign Sales Corporation treatment.

Bill· SS. 373 (105th)open

Health Insurance Bill of Rights Act of 1997

United States · United States Congress · 27 February 1997

Health Insurance Bill of Rights Act of 1997 - Amends the Public Health Service Act to require a health insurance issuer under provisions of this Act to comply with certain notice requirements of the Employee Retirement Income Security Act of 1974 (ERISA). Requires an issuer, if coverage provides any emergency services benefits, to cover emergency services without authorization, participating provider, or (subject to exception) other restrictions. Requires an issuer, if the issuer requires or provides for an enrollee to designate a participating primary care provider, to permit a female enrollee to designate an obstetrics and gynecology specialist as the enrollee's primary care provider. Prohibits an issuer, if an enrollee has not designated such a specialist as a primary care provider, from requiring prior authorization for coverage of routine gynecological care and pregnancy-related services provided by such a specialist. Requires an issuer to refer to a specialist an enrollee who requires treatment by a specialist. Provides, in certain circumstances, for: (1) a specialist to provide and coordinate an enrollee's primary and specialty care; and (2) standing referrals. Requires an issuer, if a contract between the issuer and a provider is terminated, to permit an enrollee undergoing a course of treatment to continue with the provider during a transitional period. Requires an issuer to permit each enrollee to receive: (1) primary care from any available participating primary care provider; and (2) subject to limitation, specialty care from any available qualified participating provider. Prohibits issuer discrimination against an enrollee on the basis of the enrollee's participation in a clinical study or investigation approved and funded by specified Federal agencies. Regulates coverage of prescription drugs when an issuer uses a formulary. Requires issuers to: (1) maintain a quality assurance and improvement program; (2) collect uniform quality data; (3) have a written process for the selection of participating professionals; (4) maintain a drug utilization program; (5) conduct utilization review; (6) disclose specified information to enrollees and prospective enrollees; (7) ensure compliance with confidentiality laws; and (8) maintain a complaints and appeals system. Authorizes appropriations for grants to States to establish and maintain a Health Insurance Ombudsman. Prohibits agreements between issuers and providers from: (1) restricting the provider from engaging in medical communications with a patient; or (2) transferring to the provider any liability relating to actions or omissions of the issuer or agent. Imposes requirements on physician incentive plans. Prohibits an issuer from limiting the manner in which covered services are delivered. Requires each health issuer to comply with patient protection requirements of this Act regarding group and individual health insurance coverage it offers. Allows a State to establish requirements at least as stringent on issuers as the requirements of this Act. Amends the ERISA to require a group health plan and an issuer to comply with the requirements of this Act. Directs the Secretary of Labor, for group health plans that provide benefits other than through health insurance coverage, to establish a Federal Group Health Plan Ombudsman. Allows a State to establish requirements at least as stringent on issuers as the requirements of this Act.

Bill· SS. 380 (105th)referred

Durbin-Kennedy Empire State Building Counter-Terrorism Act of 1997

United States · United States Congress · 27 February 1997

Durbin-Kennedy Empire State Building Counter-Terrorism Act of 1997 - Amends the Brady Handgun Violence Prevention Act to prohibit the disposition of a firearm or ammunition to, and the possession of a firearm or ammunition by, an alien who has been admitted to the United States under a nonimmigrant visa. Requires the statement required from a firearms transferee to contain a statement that the transferee is not an alien who has been admitted to the United States under a nonimmigrant visa. Sets forth provisions regarding: (1) exceptions for aliens admitted to the United States for lawful hunting or sporting purposes and for certain official government representatives, officials, distinguished foreign visitors, and foreign law enforcement officers; and (2) waivers.

Bill· SS. 370 (105th)referred

Primary Care Health Practitioner Incentive Act of 1997

United States · United States Congress · 27 February 1997

Primary Care Health Practitioner Incentive Act of 1997 - Amends title XVIII (Medicare) of the Social Security Act, with respect to payments for medical and other health services, to cover services which would be physicians' services if furnished by a physician but: (1) which are performed by a clinical nurse specialist; and (2) which the clinical nurse specialist is legally authorized to perform by the State. Eliminates the requirement, with respect to such services performed by a nurse practitioner, that they be performed in a skilled nursing facility or other specified nursing facility. Covers, in addition, other services and supplies incidental to such services. Revises the formula for payment from the Federal Supplementary Medical Insurance Trust Fund for such services (thereby increasing such payment). Repeals the rural area restriction on services performed by nurse practitioners or clinical nurse specialists for which direct payment may be made. Requires a ten percent bonus payment from the Fund for services of a nurse practitioner or clinical nurse specialist furnished in a health professional shortage area.

Bill· SS. 381 (105th)referred

Medicare Cancer Clinical Trial Coverage Act of 1997

United States · United States Congress · 27 February 1997

Medicare Cancer Clinical Trial Coverage Act of 1997 - Directs the Secretary of Health and Human Services to establish a demonstration project which provides for payment under title XVIII (Medicare) of the Social Security Act of routine patient care costs for Medicare beneficiaries with cancer who are enrolled in an approved clinical trial program, while still applying the beneficiary cost sharing provisions of such program to project participants. Directs the Secretary to study and report to the Congress on the impact on Medicare of covering such costs as well as the cost of extending routine patient care coverage to Medicare beneficiaries with a diagnosis other than cancer.

Bill· SS. 369 (105th)referred

A bill to amend section 1128B of the Social Security Act to repeal the criminal penalty for fraudulent disposition of assets in order to obtain medicaid benefits added by section 217 of the Health Insurance Portability and Accountability Act of 1996.

United States · United States Congress · 27 February 1997

Amends title XI of the Social Security Act (SSA) to repeal the criminal penalty added by the Health Insurance Portability and Accountability Act of 1996 for the fraudulent disposition of assets in order to obtain Medicaid benefits under SSA title XIX.

Bill· SS. 371 (105th)referred

Physician Assistant Incentive Act of 1997

United States · United States Congress · 27 February 1997

Physician Assistant Incentive Act of 1997 - Amends title XVIII (Medicare) of the Social Security Act to repeal restrictions on the setting of services provided by physician assistants for which payment may be made. Permits the specified payment for physician assistant services, and services and supplies furnished as an incident to physician assistant services, on an assignment-related basis only. Requires a bonus Medicare payment to physician assistants employed in specified health professional shortage areas. Revises the definition of an employment relationship for physician assistants to include any independent contractor arrangement. Subjects the determination of employer status to State law.

Bill· SS. 358 (105th)open

Ricky Ray Hemophilia Relief Fund Act of 1997

United States · United States Congress · 26 February 1997

TABLE OF CONTENTS: Title I: Hemophilia Relief Fund Title II: Treatment of Certain Private Settlement Payments in Hemophilia-Clotting-Factor Suit under the Medicaid and SSI Programs Ricky Ray Hemophilia Relief Fund Act of 1997 - Title I: Hemophilia Relief Fund - Establishes in the Treasury the Ricky Ray Hemophilia Relief Fund. Authorizes appropriations. (Sec. 103) Specifies that any individual who has a human immunodeficiency virus (HIV) infection shall receive $125,000 from amounts available in the Fund if the individual meets one of the following conditions: (1) has a blood-clotting disorder and was treated with blood-clotting agents between July 1, 1982, and December 31, 1987; (2) is the lawful spouse of such individual or the former lawful spouse and was the lawful spouse of the individual at any time after a date within such period on which the individual was treated; or (3) acquired the HIV infection through perinatal transmission from a parent who is such an individual. Requires that the following conditions be met with respect to such individual: (1) the individual submit to the Secretary of Health and Human Services written medical documentation that the individual has an HIV infection; (2) a petition for payment be filed with the Secretary by or on behalf of such individual; and (3) that the Secretary determine that the claim meets the requirements of this Act. (Sec. 105) Specifies that any right under this Act shall not be assignable or transferable. Sets limits regarding the number of claims per victim. (Sec. 106) Prohibits the Secretary from making any payment with respect to any petition filed under this Act unless the petition is filed within three years after the enactment of this Act. Title II: Treatment of Certain Private Settlement Payments in Hemophilia-Clotting-Factor Suit under the Medicaid and SSI Programs - Prohibits a settlement payment from being considered income or resources in determining a class member's eligibility for, or the amount of: (1) medical assistance under the Medicaid program; or (2) benefits under the Supplemental Security Income program. Defines the terms: (1) "class member"; and (2) "settlement payment.

Bill· SS. 353 (105th)open

Health Insurance Bill of Rights Act of 1997

United States · United States Congress · 25 February 1997

Health Insurance Bill of Rights Act of 1997 - Amends the Public Health Service Act to require a health insurance issuer under provisions of this Act to comply with certain notice requirements of the Employee Retirement Income Security Act of 1974 (ERISA). Requires an issuer, if coverage provides any emergency services benefits, to cover emergency services without authorization, participating provider, or (subject to exception) other restrictions. Requires an issuer, if the issuer requires or provides for an enrollee to designate a participating primary care provider, to permit a female enrollee to designate an obstetrics and gynecology specialist as the enrollee's primary care provider. Prohibits an issuer, if an enrollee has not designated such a specialist as a primary care provider, from requiring prior authorization for coverage of routine gynecological care and pregnancy-related services provided by such a specialist. Requires an issuer to refer to a specialist an enrollee who requires treatment by a specialist. Provides, in certain circumstances, for: (1) a specialist to provide and coordinate an enrollee's primary and specialty care; and (2) standing referrals. Requires an issuer, if a contract between the issuer and a provider is terminated, to permit an enrollee undergoing a course of treatment to continue with the provider during a transitional period. Requires an issuer to permit each enrollee to receive: (1) primary care from any available participating primary care provider; and (2) subject to limitation, specialty care from any available qualified participating provider. Prohibits issuer discrimination against an enrollee on the basis of the enrollee's participation in a clinical study or investigation approved and funded by specified Federal agencies. Regulates coverage of prescription drugs when an issuer uses a formulary. Requires issuers to: (1) maintain a quality assurance and improvement program; (2) collect uniform quality data; (3) have a written process for the selection of participating professionals; (4) maintain a drug utilization program; (5) conduct utilization review; (6) disclose specified information to enrollees and prospective enrollees; (7) ensure compliance with confidentiality laws; and (8) maintain a complaints and appeals system. Authorizes appropriations for grants to States to establish and maintain a Health Insurance Ombudsman. Prohibits agreements between issuers and providers from: (1) restricting the provider from engaging in medical communications with a patient (allowing the issuer to advise of the coverage's limitations on particular services based on the religious or moral convictions of the issuer); or (2) transferring to the provider any liability relating to actions or omissions of the issuer or agent. Imposes requirements on physician incentive plans. Prohibits an issuer from limiting the manner in which covered services are delivered. Requires each health issuer to comply with patient protection requirements of this Act regarding group and individual health insurance coverage it offers. Allows a State to establish requirements at least as stringent on issuers as the requirements of this Act. Amends ERISA to require a group health plan and an issuer to comply with the requirements of this Act. Directs the Secretary of Labor, for group health plans that provide benefits other than through health insurance coverage, to establish a Federal Group Health Plan Ombudsman. Allows a State to establish requirements at least as stringent on issuers as the requirements of this Act.

Bill· SS. 349 (105th)open

Women's Cardiovascular Diseases Research and Prevention Act

United States · United States Congress · 25 February 1997

Women's Cardiovascular Diseases Research and Prevention Act - Amends the Public Health Service Act to mandate expansion, intensification, and coordination of research and related activities of the National Heart, Lung, and Blood Institute with regard to cardiovascular diseases in women. Authorizes appropriations.

Bill· SS. 354 (105th)open

A bill to amend the Federal Property and Administrative Services Act of 1949 to prohibit executive agencies from awarding contracts that contain a provision allowing for the acquistion by the contractor, at Government expense, of certain equipment or facilities to carry out the contract if the principal purpose of such provision is to increase competition by establishing an alternative source of supply for property or services.

United States · United States Congress · 25 February 1997

Amends the Federal Property and Administrative Services Act of 1949 to prohibit executive agencies, in procuring property or services, from awarding a contract containing a provision allowing for the contractor to acquire, at Government expense, production, construction, or technical equipment or facilities to carry out the contract, if the principal purpose of such provision is to increase competition by establishing an alternative source of supply for property or services.

Bill· SS. 332 (105th)open

Child Labor Deterrence Act of 1997

United States · United States Congress · 13 February 1997

Child Labor Deterrence Act of 1997 - Urges the President to seek an agreement with governments that trade with the United States to secure an international ban on trade in products of child labor (commercial exploitation of children under 15). Requires the Secretary of Labor (Secretary) to identify foreign countries that: (1) do not comply with national laws that prohibit child labor in the workplace; (2) utilize child labor in the export of products; and (3) have on a continuing basis exported such products to the United States. Authorizes any person to file a petition with the Secretary requesting that a particular foreign industry and its host country be identified. Requires the Secretary, before making such identification, to: (1) consult with the U.S. Trade Representative, the Secretary of State, the Secretary of Commerce, and the Secretary of the Treasury; (2) hold at least one public hearing for public comment; and (3) publish notice in the Federal Register, inviting public comment, that such identification is being considered. Prohibits the importation of products which have been produced by child labor. Sets forth civil and criminal penalties. Authorizes appropriations for a U.S. contribution to: (1) the International Labor Organization for the activities of the International Program on the Elimination of Child Labor; and (2) the United Nations Commission on Human Rights for those activities relating to bonded child labor that are carried out by the Subcommittee and Working Group on Contemporary Forms of Slavery.

Bill· SS. 340 (105th)referred

Child Labor Deterrence Act of 1997

United States · United States Congress · 13 February 1997

Child Labor Deterrence Act of 1997 - Urges the President to seek an agreement with governments that trade with the United States to secure an international ban on trade in products of child labor (commercial exploitation of children under 15). Requires the Secretary of Labor (Secretary) to identify foreign countries that: (1) do not comply with national laws that prohibit child labor in the workplace; (2) utilize child labor in the export of products; and (3) have on a continuing basis exported such products to the United States. Authorizes any person to file a petition with the Secretary requesting that a particular foreign industry and its host country be identified. Requires the Secretary, before making such identification, to: (1) consult with the U.S. Trade Representative, the Secretary of State, the Secretary of Commerce, and the Secretary of the Treasury; (2) hold at least one public hearing for public comment; and (3) publish notice in the Federal Register, inviting public comment, that such identification is being considered. Prohibits the importation of products which have been produced by child labor. Sets forth civil and criminal penalties. Authorizes appropriations for a U.S. contribution to: (1) the International Labor Organization for the activities of the International Program on the Elimination of Child Labor; and (2) the United Nations Commission on Human Rights for those activities relating to bonded child labor that are carried out by the Subcommittee and Working Group on Contemporary Forms of Slavery.

Resolution· SCONRESS.Con.Res. 6 (105th)referred

A concurrent resolution expressing concern for the continued deterioration of human rights in Afghanistan and emphasizing the need for a peaceful political settlement in that country.

United States · United States Congress · 7 February 1997

Condemns the violations of international humanitarian law by the Taliban coalition in Afghanistan, the reported cases of stoning, public executions, and street beatings, and the Taliban's targeted discrimination against women and girls. Urges the President to: (1) continue to monitor the human rights situation in Afghanistan and to call for an end to such discrimination and for adherence by all factions in Afghanistan to international humanitarian law; (2) review U.S. policy with respect to Afghanistan if the Taliban coalition and others do not cease immediately the harassment and other discriminatory practices against women and girls; (3) encourage efforts to procure a durable peace in Afghanistan and to support the United Nations Special Mission to Afghanistan to assist in brokering a peaceful resolution to years of conflict; (4) call upon the Government of Pakistan to use its good offices with the Taliban to reverse the Taliban's restrictive and discriminatory policies against women and girls; and (5) call upon other nations to cease providing financial assistance, arms, and other kinds of support to the militaries or political organizations of any of the warring factions in Afghanistan.

Bill· SS. 280 (105th)referred

Time for Schools Act of 1997

United States · United States Congress · 5 February 1997

Time for Schools Act of 1997 - Amends the Family and Medical Leave Act of 1993 to allow employees covered by such Act to take up to 24 hours, during any 12-month period, of school involvement leave to participate in: (1) an activity of their child's school; or (2) literacy training under a family literacy program. Amends Federal civil service law to apply the same school involvement leave allowance to Federal employees.

Bill· SS. 263 (105th)open

Bear Protection Act of 1998

United States · United States Congress · 5 February 1997

Bear Protection Act - Prohibits any person from: (1) importing bear viscera into, or exporting it from, the United States; or (2) selling bear viscera, bartering, offering it for sale or barter, purchasing, or possessing it with intent to sell or barter, transporting, acquiring, or receiving it in interstate or foreign commerce. Subjects persons who violate such prohibitions to specified penalties. Requires the Secretary of the Interior and the United States Trade Representative to discuss issues involving such trade with representatives of countries that are the leading importers, exporters, or consumers of such products. Requires the Secretary to report to the Congress on the progress of efforts to end illegal trade in bear viscera.

Resolution· SRESS.Res. 47 (105th)passed

A resolution expressing the sense of the Senate concerning the need for accurate guidelines for breast cancer screening for women between the ages of 40 and 49.

United States · United States Congress · 4 February 1997

Expresses the sense of the Senate that studies are needed to further determine the benefits of screening women between the ages of 40 and 49 through mammography and other emerging technologies and that the Senate urges the Advisory Panel for the National Cancer Institute to consider reissuing a specified guideline rescinded in 1993 and, until there is more definitive data, direct the public to consider guidelines issued by other organizations.

Bill· SS. 248 (105th)referred

A bill to establish a Commission on Structural Alternatives for the Federal Courts of Appeals.

United States · United States Congress · 30 January 1997

Establishes a Commission on Structural Alternatives for the Federal Courts of Appeals to: (1) study the present division of the United States into the several judicial circuits and the structure and alignment of the Federal Court of Appeals system, with particular reference to the Ninth Circuit; and (2) report its recommendations for changes to the President and the Congress no later than two years after its seventh member is appointed. Directs the Senate Judiciary Committee to act on the report within 60 days of its transmission. Authorizes appropriations.

Bill· SS. 232 (105th)referred

Fair Pay Act of 1997

United States · United States Congress · 29 January 1997

Fair Pay Act of 1997 - Amends the Fair Labor Standards Act of 1938 to prohibit discrimination in the payment of wages on account of sex, race, or national origin. (Allows payment of different wages under seniority systems, merit systems, or systems that measure earnings by quantity or quality of production.) Directs the Equal Employment Opportunity Commission (EEOC) to issue guidelines specifying criteria for determining whether a job is dominated by employees of a particular sex, race, or national origin. Prohibits such regulations from including a list of such jobs. Directs courts, in any action brought under this Act for violation of such prohibition, to allow expert fees as part of the costs awarded to prevailing plaintiffs. Allows any such action to be maintained as a class action. Requires employers subject to such prohibition to: (1) preserve records which document and support the method, system, calculations, and other bases used by the employer in establishing, adjusting, and determining the wages paid to their employees, for periods of time prescribed by the EEOC; and (2) make reports to the EEOC. Sets forth certain exemptions for small businesses and provisions for protection of confidentiality with respect to such records. Directs the EEOC to: (1) undertake studies and provide information and technical assistance to employers, labor organizations, and the general public concerning effective means available to implement this Act; (2) carry on a continuing program of research, education, and technical assistance with specified components related to the purposes of this Act; and (3) include a separate evaluation and appraisal regarding the implementation of this Act in its annual report to the Congress. Makes conforming amendments to the Congressional Accountability Act of 1995 and specified Federal law relating to congressional and executive branch employees.

Bill· SS. 207 (105th)open

Corporate Subsidy Reform Commission Act of 1997

United States · United States Congress · 28 January 1997

Corporate Subsidy Reform Commission Act of 1997 - Defines the term "inequitable Federal subsidy." Establishes an independent Corporate Reform Commission to: (1) examine the programs and tax laws of the Federal Government and identify those that provide inequitable Federal subsidies; (2) review inequitable Federal subsidies; and (3) submit a report to the President and the Congress in order to ensure fairness and equity in the operation and application of such existing programs or tax laws. Directs the Commission to limit its recommendations to the termination or reform of payments, benefits, services, or tax advantages, rather than the termination of Federal agencies and departments. Authorizes the Comptroller General of the United States to provide assistance, including the detailing of employees, to the Commission in accordance with an agreement entered into with the Commission. Requires the Commission and the Comptroller General to consult with certain congressional committees before entering into such agreement. Authorizes appropriations to the Commission and the Comptroller General. Sets forth procedures for Federal departments and agencies, the Commission, and the President for making recommendations to terminate inequitable Federal subsidies. Provides a special review requirement for international trade programs. Sets forth requirements for Commission reports and for congressional consideration of any subsequent presidential recommendations.

Bill· SS. 193 (105th)referred

Human Research Subject Protections Act of 1997

United States · United States Congress · 22 January 1997

TABLE OF CONTENTS: Title I: General Research Requirements Title II: Classified Research Human Research Subject Protections Act of 1997 - Title I: General Research Requirements - Applies the requirements of specified provisions of the Code of Federal Regulations (common rule protections) to research conducted by research facilities using human subjects. Requires that the Office of the Secretary of Health and Human Services handle human subject protection, either through establishment in the Secretary's Office of the Office for Protection of Human Research Subjects or through reassignment to the Secretary's Office of the Office for Protection from Research Risks. Requires research facilities, in order to conduct research using human subjects, to have a registration with the Secretary. Authorizes the Secretary to carry out inspections or investigations to determine whether any facility has violated or is violating this Act. Amends the Federal Criminal Code to mandate fines or imprisonment (or both) for assault, resistance, interference, etc., regarding the performance of official duties under this Act. Provides for suspension of registration for suspected violations and suspension or revocation of registration and fines or imprisonment for violations. Title II: Classified Research - Prohibits the expenditure of Federal funds for the conduct of any classified research (research involving human subjects that is authorized under certain criteria established by an Executive Order to be kept secret) where a board has waived informed consent as defined in the common rule protections or where a determination has been made that the research is exempt from board review. Requires that, in addition to the common rule protections, subjects be informed: (1) of the identity of the Federal agency providing funds; (2) that the research involves classified information; and (3) regarding an unclassified description of the purpose of the research.

Bill· SS. 183 (105th)referred

Family and Medical Leave Fairness Act of 1997

United States · United States Congress · 22 January 1997

Family and Medical Leave Fairness Act of 1997 - Amends the Family and Medical Leave Act of 1993 to extend coverage to employees at worksites where the employer employs at least 25 (currently 50) employees at the worksite and within 75 miles of that worksite.

Bill· SS. 71 (105th)open

Paycheck Fairness Act

United States · United States Congress · 21 January 1997

Paycheck Fairness Act - Amends the Fair Labor Standards Act of 1938 (FLSA) and the Civil Rights Act of 1964 (CRA) to revise and increase remedies and enforcement on behalf of victims of discrimination in the payment of wages on the basis of sex. Amends FLSA to provide for enhanced enforcement of equal pay requirements, adding a nonretaliation requirement. Increases penalties for such violations. Provides for the Secretary of Labor to seek additional compensatory or punitive damages in such cases. Amends CRA to direct the Equal Employment Opportunity Commission (EEOC) to require certain employers to maintain payroll records and report to the EEOC pay information analyzed by race, sex, and national origin of employees. Applies such requirement applicable to employers who have 100 or more employees for each working day in each of 20 or more calendar weeks. Requires EEOC to train its employees and affected individuals and entities on matters involving discrimination in the payment of wages. Directs the Secretary to conduct studies and provide information to employers, labor organizations, and the general public concerning the means available to eliminate pay disparities between men and women, including convening a national summit and carrying out other specified activities. Establishes the Robert Reich National Award for Pay Equity in the Workplace, which shall be evidenced by a medal. Sets forth criteria for specified types of entities to receive such an award. Authorizes appropriations to the EEOC and to the Secretary to carry out this Act.

Bill· SS. 89 (105th)open

Genetic Information Nondiscrimination in Health Insurance Act of 1997

United States · United States Congress · 21 January 1997

Genetic Information Nondiscrimination in Health Insurance Act of 1997 - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to prohibit a group health plan or a health insurance issuer offering group coverage from discriminating on the basis: (1) of genetic information; or (2) that the participant or beneficiary has requested or received genetic services. Regulates genetic information collection and disclosure by plans and issuers. Provides for compensatory, consequential, and punitive damages. Amends the Public Health Service Act to prohibit a group health plan, a health insurance issuer offering group coverage, or a health issuer in the individual market from so discriminating. Regulates genetic information collection and disclosure by plans and issuers. Provides for compensatory, consequential, and punitive damages. Amends title XVIII (Medicare) of the Social Security Act to prohibit an issuer of a Medicare supplemental policy from so discriminating. Provides for compensatory, consequential, and punitive damages. Amends the Internal Revenue Code to prohibit a group health plan or a health insurance issuer offering group coverage from so discriminating. Regulates genetic information collection and disclosure by plans and issuers.

Bill· SS. 127 (105th)open

Employee Educational Assistance Act

United States · United States Congress · 21 January 1997

Employee Educational Assistance Act - Amends the Internal Revenue Code to: (1) permanently extend the exclusion from gross income of employer-provided educational assistance; and (2) restore the exclusion for such assistance on the graduate level.

Bill· SS. 103 (105th)referred

United States Worker Protection and Illegal Immigrant Deterrence Act of 1997

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Enforcement Title II: Employer Sanctions Penalties and Authorities Title III: Presidential Plan for Employment Verification Title IV: Unfair Immigration-Related Employment Practices Title V: Protections for Battered Immigrants United States Worker Protection and Illegal Immigrant Deterrence Act of 1997 - Title I: Enforcement - Authorizes the Secretary of Labor (Secretary) to hire additional Wage and Hour Division staff to enforce employer compliance with wage and hour and immigration-related provisions, with preference given to bilingual inspectors. (Sec. 102) Obligates specified funds for Immigration and Naturalization Service (INS) workplace inspectors. Title II: Employer Sanctions Penalties and Authorities - Amends the Immigration and Nationality Act (Act) to revise and increase specified civil and criminal employer sanctions provisions. (Sec. 203) Retains collected employer fines above a specified amount for related INS enforcement activities. (Sec. 204) Directs the Attorney General to establish a Justice Department task force to provide guidelines with respect to unlawful employment of aliens and unfair immigration-related employment practices, and assist employers in related compliance. (Sec. 205) Grants the Secretary immigration-related subpoena authority. Title III: Presidential Plan for Employment Verification - Directs the President to develop an employment eligibility and immigrant status confirmation plan. Sets forth related provisions regarding; (1) privacy remedies and document restrictions; (2) liability protections; and (3) tort remedies for improper employment dismissal or denial. Title IV: Unfair Immigration-Related Employment Practices - Amends the Act to include an educational component in the mandatory contents of an unfair immigration-related discrimination order. (Sec. 402) Treats certain documentary practices as lawful employment practices. Title V: Protections for Battered Immigrants - Amends the Act with respect to battered immigrants to: (1) authorize waiver of certain status adjustment fees; (2) provide an exemption from summary exclusion; (3) authorize waiver of continuous presence requirement; (4) continue immigrant status eligibility subsequent to removal of the abuser spouse or parent; and (5) waive certain document fraud provisions.

Bill· SS. 112 (105th)open

Law Enforcement Officers Protection Amendment Act of 1997

United States · United States Congress · 21 January 1997

Law Enforcement Officers Protection Amendment Act of 1997 - Amends the Federal criminal code to expand the definition of "armor piercing ammunition" to include a projectile that may be used in a handgun and that the Secretary of the Treasury determines to be capable of penetrating body armor. Directs the Secretary to promulgate regulations based on standards to be developed for the uniform testing of projectiles to determine whether such projectiles are capable of penetrating National Institute of Justice Level II-A body armor. Authorizes appropriations for the Secretary and the Attorney General to develop and implement, and promulgate regulations for, performance standards for armor piercing ammunition.

Bill· SS. 147 (105th)referred

Medicaid Substance Abuse Treatment Act of 1997

United States · United States Congress · 21 January 1997

Medicaid Substance Abuse Treatment Act of 1997 - Amends title XIX (Medicaid) of the Social Security Act to provide federally reimbursed Medicaid coverage of alcoholism and drug dependency residential treatment services for pregnant women whose family income is below 185 percent of the Federal poverty level and for their Medicaid-eligible children and spouses. Lists the required services included in such coverage. Requires that such coverage continue for at least 12 months, except in certain circumstances, such as where the coverage of pregnant women must continue for one year following the end of pregnancy. Limits the size of a residential treatment facility. Allows a State agency to grant exceptions to such limit. Prohibits the facility from being licensed as a hospital. Caps the number of nationwide beds for which Federal assistance may be provided under such residential treatment programs. Increases such annual bed cap for calendar years 1998 through 2002. Addresses treatment needs of pregnant addicted Indian and Alaska Native women in Indian Health Service areas.

Bill· SS. 143 (105th)referred

Breast Cancer Patient Protection Act of 1997

United States · United States Congress · 21 January 1997

Breast Cancer Patient Protection Act of 1997 - Amends the Public Health Service Act to prohibit group health plans and health insurance issuers offering group health insurance coverage, with regard to hospital stays in connection with breast cancer treatment, from: (1) covering less than 48 hours after mastectomies or less than 24 hours after lymph node dissections; or (2) requiring plan or issuer authorization for prescribing any length of stay. Prohibits: (1) denying eligibility, enrollment, or renewal to avoid these requirements; (2) providing payments or rebates to women; or (3) penalizing or providing incentives to providers. Applies the same requirements to issuers in the individual market.

Bill· SS. 121 (105th)referred

Higher Education Bond Parity Act

United States · United States Congress · 21 January 1997

Higher Education Bond Parity Act - Amends the Internal Revenue Code to provide for the tax treatment of bonds of certain nonprofit tax-exempt organizations in a manner similar to governmental bonds.

Bill· SS. 18 (105th)referred

Brownfields and Environmental Cleanup Act of 1997

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Brownfield Remediation and Environmental Cleanup Title II: Prospective Purchasers Title III: Innocent Landowners Brownfields and Environmental Cleanup Act of 1997 - Title I: Brownfield Remediation and Environmental Cleanup - Directs the Administrator of the Environmental Protection Agency to establish a program to provide grants to States or local governments to inventory brownfield sites and conduct site assessments of brownfield sites. Defines a "brownfield site," with exceptions, as a facility that has or is suspected of having environmental contamination that: (1) could prevent the timely use, development, reuse, or redevelopment of the facility; and (2) is relatively limited in scope or severity and can be comprehensively characterized and readily analyzed. (Sec. 103) Directs the Administrator to establish a program to provide grants to State and local governments for capitalization of loan programs for brownfield site cleanup by either the State or locality or by an owner or prospective purchaser. (Sec. 104) Makes amounts in the Hazardous Substance Superfund (the Fund) available to carry out the grant programs of this Act. Authorizes appropriations from the Fund. (Sec. 105) Requires reports to the Congress regarding the site assessment and loan capitalization programs. (Sec. 106) Imposes funding limitations, including a restriction on use of funds to meet Federal cost-sharing requirements and a prohibition on the use of grants to pay fines or penalties. (Sec. 109) Authorizes appropriations to carry out the site assessment and loan capitalization programs. Title II: Prospective Purchasers - Amends the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 (CERCLA) to absolve from liability for response actions bona fide prospective purchasers to the extent liability at a facility for a release or threat thereof is based solely on ownership or operation of a facility. Gives a lien upon a facility to the United States for unrecovered response costs in any case in which there are such unrecovered costs for which the owner is not liable by reason of this Act and the facility's fair market value has increased above that which existed 180 days before the action was taken. Title III: Innocent Landowners - Amends CERCLA, with respect to defenses to liability of an owner of after-acquired property, to deem a person to have made (under current law, "undertaken") appropriate inquiry into the property's previous ownership and uses if the person establishes that an environmental site assessment was conducted which meets specified requirements (compliance with an American Society for Testing and Materials standard or with standards issued by the President) and the person fulfills certain responsibilities concerning information compilation, exercise of appropriate care with respect to hazardous substances at the facility, and cooperation with those conducting response actions. Deems the appropriate inquiry requirements to be satisfied by a site inspection and title search that reveal no basis for further investigation in the case of property for residential or similar use purchased by a nongovernmental or noncommercial entity.

Bill· SS. 61 (105th)referred

A bill to amend title 46, United States Code, to extend eligibility for veterans' burial benefits, funeral benefits, and related benefits for veterans of certain service in the United States merchant marine during World War II.

United States · United States Congress · 21 January 1997

Extends veterans' benefits to an individual who served as a member of the U.S. merchant marine between August 16, 1945, and December 31, 1946, who, during that period, was licensed or otherwise documented by an officer or employee of the United States authorized to license or document such an individual as a crewmember of a vessel that at the time of service was: (1) operated by the War Shipping Administration or the Office of Defense Transportation, or an agent thereof; (2) operated in waters other than inland waters, the Great Lakes, other lakes, bays, and harbors of the United States; (3) under contract, charter to, or property of, the U.S. Government; and (4) serving the armed forces. Establishes application procedures. Requires the issuance of a certificate of honorable discharge to an individual who performed qualified service. Deems qualified service to be active duty in the armed forces during a period of war for purposes of eligibility for benefits. Sets forth provisions regarding: (1) reimbursement of the Secretary for benefits provided under this Act; and (2) an application processing fee.

Bill· SS. 14 (105th)referred

Retirement Security Act of 1997

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Pension Access and Coverage Subtitle A: Improved Access to Individual Retirement Savings Subtitle B: Improved Fairness in Retirement Plan Benefits Subtitle C: Improving Retirement Plan Coverage Subtitle D: Simplifying Plan Requirements Title II: Security Subtitle A: General Provisions Subtitle B: ERISA Enforcement Title III: Portability Title IV: Toward Equity for Women Title V: Date for Adoption of Plan Amendments Retirement Security Act of 1997 - Title I: Pension Access and Coverage - Subtitle A: Improved Access to Individual Retirement Savings - Chapter 1: Contributions To Individual Retirement Plans Through Payroll Deductions - Amends the Internal Revenue Code (IRC) to establish, through a private entity awarded a contract by the Secretary of Labor, a payroll deduction and investment system, under which: (1) eligible employees, through employer payroll deductions, may make contributions to individual retirement plans; and (2) amounts in the individual retirement plans are invested according to certain requirements. (Sec. 103) Sets forth system provisions for: (1) contributions to individual retirement plans; (2) investment options; (3) accounting and information; (4) administrative costs; (5) fiduciary responsibilities, liability and penalties, bonding, and investigative authority; and (6) selection of contractor. (Sec. 108) Authorizes appropriations: (1) for the Secretary of Labor to design and award the contract for such system; and (2) for the contractor to begin operations under this chapter. Chapter 2: Nonrefundable Tax Credit for Contributions to Individual Retirement Accounts - Amends IRC to allow a nonrefundable tax credit for a portion of contributions to individual retirement plans, calculated according to a specified scale. Chapter 3: Expanded Individual Retirement Accounts to Increase Coverage and Portability - Subchapter A: IRA Deduction - Raises the income limitations for the individual retirement account (IRA) tax deduction, with a corresponding adjustment to the formula for the phaseout of such limitations. (Sec. 122) Prescribes an inflation adjustment for the IRA deductible amount and income limitations. Subchapter B: Distributions and Investments - Allows the use of distributions from individual retirement plans, without additional tax, to: (1) purchase first homes; (2) pay higher education expenses; or (3) pay financially devastating medical expenses. (Sec. 132) Requires that contributions to individual retirement plans (other than special individual retirement accounts) be held for at least five years in certain cases before they may be distributed without specified tax consequences. Chapter 4: Periodic Pension Benefits Statements - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to revise provisions relating to periodic pension benefits statements in cases of defined benefit plans, defined contribution plans, and multiemployer plans. Subtitle B: Improved Fairness in Retirement Plan Benefits - Amends IRC to require a specified minimum employer contribution to simple retirement accounts. Provides for an option to suspend employer contributions. Amends ERISA with respect to fiduciary duties in the case of such accounts. (Sec. 152) Sets forth various nondiscrimination rules for qualified cash or deferred arrangements and matching contributions. (Sec. 153) Increases from $75,000 to $80,000 one of the compensation criteria for a highly compensated employee. Excludes specified categories of employees from the meaning of highly compensated employee. Subtitle C: Improving Retirement Plan Coverage - Allows a tax credit for the qualified start-up costs of eligible small employers in establishing a qualified pension plan or qualified employer payroll deduction system. (Sec. 162) Sets forth a special limitation rule for governmental and multiemployer plans, allowing annual benefits of up to $90,000. Exempts certain excess benefit arrangements from the $7,500 or one third of includible compensation limit for annual benefits. Prohibits such benefits from being taken into account in determining whether any other plan is an eligible deferred compensation plan. Provides a similar annual benefit exemption for survivor and disability benefits under multiemployer plans. (Sec. 163) Declares that compensation deferred under a mirror plan shall not be taken into account in applying certain limits (with respect to deferred compensation plans of State and local governments and tax-exempt organizations) to compensation deferred under any other deferred compensation plan. (Sec. 164) Sets forth special rules to treat contributions by self-employed individuals as matching contributions. (Sec. 165) Amends specified Federal law relating to Federal employees to allow immediate participation in the Thrift Savings Plan for Federal employees by eliminating certain waiting periods for purposes of employee contributions. (Sec. 166). Amends the IRC to revise the limits on contributions excluded from the calculation of non-deductible contributions for purposes of the tax on non-deductible contributions to a qualified employer plan. Subtitle D: Simplifying Plan Requirements - Amends IRC and ERISA to set a full funding limitation for multiemployer plans. (Sec. 172) Eliminates IRC partial termination rules for multiemployer plans. (Sec. 173) Revises IRC nondiscrimination and minimum participation rules with respect to governmental plans. (Sec. 174) Eliminates specified ERISA requirements for plan descriptions and for filing of summary plan descriptions and descriptions of material modifications to a plan. (Sec. 175) Directs the Secretaries of the Treasury and of Labor to expand their efforts to examine existing guidance regarding notice, recordkeeping, and operational requirements for retirement plans, in order to permit the use of new technologies by plan sponsors and administrators in ways which maintain the protection of the rights of participants and beneficiaries. Title II: Security - Subtitle A: General Provisions - Amends ERISA to provide investment protection for specified plans that include qualified cash or deferred arrangements under IRC (401(k) plans) by setting limitations on investment in employer securities and employer real property by cash or deferred arrangements. Provides a transition rule for plans holding excess securities or property. (Sec. 202) Applies an ERISA requirement for annual, detailed investment reports to certain IRC 401(k) plans. Directs the Secretary of Labor, in prescribing regulations for required information in such reports, to consider including specified types of information. (Sec. 203) Directs the Secretary of Labor to study and report to the Congress on: (1) the extent to which pension plans invest in collectibles; and (2) whether such investments present a risk to the pension security of the participants and beneficiaries of such plans. (Sec. 204) Amends IRC to prohibit qualified employer plans from making loans through credit cards and other intermediaries. (Sec. 205) Increases the amounts of multiemployer plan benefits guaranteed under ERISA. (Sec. 206) Increases the maximum amount of the civil penalty which may be assessed administratively for certain prohibited transactions. (Sec. 207) Amends ERISA with respect to substantial owner benefits to revise the phase-in of guarantee and the allocation of assets. (Sec. 208) Directs the Secretary of Labor to report annually to the President and the Congress on plans from which residual assets were distributed to employers (reversion report). (Sec. 209) Expresses the sense of the Congress that the Secretary of the Treasury should: (1) review existing correction mechanisms to determine whether modifications might facilitate additional utilization by sponsors, improve voluntary compliance, and hasten the correction of pension plans; (2) consider whether additional means of addressing nonegregious violations should be explored; and (3) make appropriate legislative recommendations. Subtitle B: ERISA Enforcement - Amends ERISA enforcement provisions to repeal a limited scope audit requirement for employee pension benefit plans. Requires an accountant, in offering an opinion in the case of an employee pension benefit plan, to rely, to the extent consistent with generally accepted auditing standards, on the work of any independent public accountant of any bank or similar institution or insurance carrier that holds assets or processes transactions of the employee pension benefit plan, provided that such bank, institution, or insurance carrier is regulated, supervised, and subject to periodic examination by a State or Federal agency. (Sec. 212) Sets forth additional ERISA requirements for qualified public accountants. (Sec. 213) Amends ERISA and the IRC to exempt from the prohibition against assignment or alienation of an accrued pension benefit offsets for certain civil and criminal judgments against fiduciaries. Changes from mandatory to discretionary the imposition and amount of civil penalties for breach of fiduciary responsibilities. Title III: Portability - Amends ERISA and the IRC to provide for faster vesting of employer matching contributions. (Sec. 302) Revises certain restrictions on distributions from IRC 401(k) plans. (Sec. 303) Amends ERISA and IRC with respect to accrued benefit not to be decreased by plan amendment to revise the treatment of transfers between defined contribution plans. (Sec. 304) Amends ERISA rules requiring transfer of benefits of missing participants to direct the Pension Benefit Guaranty Corporation (PBGC) to prescribe similar rules for multiemployer plans that terminate. Requires transfer of missing participants' plan benefits to the PBGC by certain plans not otherwise subject to ERISA enforcement provisions. Title IV: Toward Equity for Women - Amends the IRC with respect to limitations on the deduction for active participants in certain pension plans to provide that an individual's participation in plan is not treated as participation by the individual's spouse. (Sec. 402) Modifies ERISA and IRC requirements for joint and survivor annuities to provide for an alternative joint and two-thirds survivor annuity payable while both the participant and the spouse are alive. (Sec. 403) Amends the IRC and ERISA with respect to division of pension benefits upon divorce to deem any State divorce decree to be a domestic relations order specifying that half of the marital share of the participant's accrued benefit is to be provided to the former spouse. (Sec. 404) Amends Federal civil service law to revise requirements for: (1) election of alternative deferred annuities by the surviving spouses of Federal employees; and (2) payment of lump-sum credit for former spouses of Federal employees (to state that payment to a person bars recovery by any other person). (Sec. 406) Directs the Secretary of Labor to contract with an independent organization to create a women's pension toll-free phone number and contact. Authorizes appropriations. Title V: Date for Adoption of Plan Amendments - Sets forth dates for adoption of plan amendments.

Bill· SS. 12 (105th)referred

Education for the 21st Century Act

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Tax Incentives for Higher Education Title II: Educational Facilities Improvement Title III: America Reads Challenge Subtitle A: Parents As First Teachers Challenge Grants Subtitle B: Challenging America's Young Readers Title IV: Investing in Technology for the Classrooms Subtitle A: Sense of the Senate Subtitle B: Educational Technology Clearinghouses Education for the 21st Century Act - Title I: Tax Incentives for Higher Education - Amends the Internal Revenue Code to establish a refundable tax credit (Hope Tax Credit) of up to $1,500 (inflation-adjusted) per academic year for higher education expenses (tuition and academic fees) of the first two years of post-secondary education. Reduces such credit to zero by certain increments according to a specified formula for modified adjust gross incomes between $50,000 and $70,000 (between $80,000 and $100,000 for joint returns). Limits the credit to students graduating from high school (or the equivalent) with a grade-point average of 2.75 on a four-point scale. (Sec. 102) Allows a tax deduction (apart from other itemized deductions) for up to $10,000 per individual per academic year paid by the taxpayer for the same higher education expenses (at any undergraduate or graduate school level). Allows such deduction for education to acquire or improve job skills. Sets the same income limits as for the Hope Tax Credit. (Sec. 103) Allows a tax deduction (apart from other itemized deductions) for interest on education loans. Requires specified tax returns from persons (including governmental units) which have received education loan interest in the course of trade or business from individuals. Title II: Educational Facilities Improvement - Educational Facilities Improvement Act - Amends the Elementary and Secondary Education Act of 1965 (ESEA) to revise title XII (School Facilities Infrastructure Improvement Act of 1994) assistance for construction and renovation of educational facilities. (Sec. 202) Revises provisions relating to findings and the purpose of such title. Names current provisions as the part A General Infrastructure Grant Improvement Program Establishes a Construction and Renovation Bond Subsidy Program. Directs the Secretary of Education to award entitlement grants to States and local bond authorities to pay portions of interest costs applicable to bonds issued to finance specified activities for the construction and renovation of educational facilities in local areas. Makes appropriations for FY 1998 for such bond subsidy program. (Sec. 203) Amends the Education Infrastructure Act of 1994 to extend the authorization of appropriations for the General Infrastructure Grant Improvement Program. Makes appropriations for FY 1998 through 2002 for such program. Entitles to payments each State or local bond authority awarded a grant under the program. Title III: America Reads Challenge - Subtitle A: Parents as First Teachers Challenge Grants - Parents as First Teachers Challenge Grant Act of 1997 - Authorizes the Secretary to award: (1) at least two grants to public or private agencies or institutions to support national or regional networks that share information on helping eligible children to read; and (2) at least two grants to State or local government agencies, nonprofit community groups or organizations, or consortia thereof, for programs or activities that help parents to be good teachers to their children and assist them in learning to read. Makes children eligible if they are attending any level from pre-school through third grade. (Sec. 317) Authorizes appropriations for FY 1998 through 2002 for such challenge grant program. Entitles grant recipients to payments. Subtitle B: Challenging America's Young Readers - Challenging America's Young Readers Act of 1997 - Directs the Secretary of Education and the Chief Executive Officer of the Corporation for National and Community Service (the Administrators) to: (1) make allotments to State educational agencies for grants for reading tutoring programs for children attending any level from pre-school through third grade; and (2) reserve certain amounts for direct grants to local reading programs, national leadership and evaluation activities, programs for Indian children, and programs in territories. (Sec. 330) Directs the Chief Executive Officer of the Corporation for National and Community Service to make available to carry out this subtitle for FY 1998 through 2002 specified funds under the National and Community Service Act of 1990. Makes appropriations to the Secretary of Education to carry out this subtitle for FY 1999 through 2002. Entitles to payments each entity receiving an allotment, awarded a grant, or entering into a contract or cooperative agreement, under this subtitle. Title IV: Investing in Technology for the Classrooms - Subtitle A: Sense of the Senate - Expresses the sense of the Senate that it is in the Nation's best interest for the Federal Government to invest at least $1.8 billion in additional funding for education technology programs between FY 1998 and 2002. Subtitle B: Educational Technology Clearinghouses - Directs the Secretary of Education to make grants to or contracts with regional public or private nonprofit entities to support a system of regional educational technology clearinghouses, developed according to specified requirements, to serve each geographic region of the United States. (Sec. 424) Authorizes appropriations for FY 1998 through 2002.

Bill· SS. 63 (105th)referred

Civil Rights Procedures Protection Act of 1997

United States · United States Congress · 21 January 1997

Civil Rights Procedures Protection Act of 1997 - Amends specified Federal civil rights statutes (including title VII of the Civil Rights Act of 1964, the Age Discrimination in Employment Act of 1967, the Rehabilitation Act of 1973, the Americans With Disabilities Act of 1990, the equal pay requirement under the Fair Labor Standards Act of 1938, and the Family and Medical Leave Act of 1993) to prevent the involuntary application of arbitration to claims that arise from unlawful employment discrimination based on race, color, religion, sex, national origin, age, or disability.

Bill· SS. 13 (105th)open

Children's Health Coverage Act

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Health Insurance Coverage for Eligible Children Title II: Health Insurance Coverage for Pregnant Women Title III: Children's Health Coverage Subsidy Credits Children's Health Coverage Act - Title I: Health Insurance Coverage for Eligible Children - Mandates establishment of a program of subsidies to children and their families for a portion of the child's health plan premium. Sets forth State responsibilities, including certification of plans and income verification. Requires each health insurance issuer that provides health coverage under contract with any Federal program and that offers family coverage to apply to the State insurance commissioner for certification. Makes a noncomplying issuer ineligible to provide benefits under a Federal contract. (Sec. 102) Sets forth procedures for obtaining coverage under certified plans. Requires payment of premiums to the State and from the State to the plans of enrollment. (Sec. 103) Regulates the subsidy percentage, basing it on family income as related to the poverty line. (Sec. 104) Prohibits, with regard to subsidy eligible children: (1) preexisting condition exclusions; (2) insurance issuer discrimination on the basis of health status (including medical condition, claims experience, genetic information, and disability); and (3) employment discrimination. (Sec. 105) Prohibits States from modifying eligibility under the State Medicaid program (title XIX of the Social Security Act) in any way that would reduce the eligibility of children for Medicaid coverage. (Sec. 106) Provides for Federal action if a State fails to carry out this title. Title II: Health Insurance Coverage for Pregnant Women - Mandates programs of: (1) grants to States to assist pregnant women in obtaining prenatal, perinatal, and postnatal care; and (2) categorical grants to States to assist children and pregnant women in obtaining health care services and coverage. Authorizes appropriations. Title III: Children's Health Coverage Subsidy Credits - Amends the Internal Revenue Code to allow a credit for the premium subsidies provided by an insurance issuer under this Act. Mandates transfer from the general fund to the Old-Age, Survivors and Disability Insurance Trust Funds and the Hospital Insurance Trust Fund of amounts sufficient to cover the decreased tax revenues resulting from the credit. (Sec. 302) Allows a credit for the premium subsidy determined under this Act.

Bill· SS. 17 (105th)referred

Working Americans Opportunity Act

United States · United States Congress · 21 January 1997

TABLE OF CONTENTS: Title I: Job Training Vouchers Title II: Consolidation of Federal Job Training Programs Title III: Employment-Related Information and Services Through One-Stop Career Centers Title IV: Reports and Plans Title V: General Provisions Working Americans Opportunity Act - Title I: Job Training Vouchers - Directs the Secretary of Labor to establish a job training system that provides vouchers to individuals for job training. (Sec. 102) Allows an individual to: (1) receive such a voucher for two years beginning on the date of application approval; and (2) use such voucher to purchase authorized job training. (Sec. 103) Makes individuals eligible for such vouchers if they are dislocated workers or economically disadvantaged adults. (Sec. 104) Requires one-stop career centers (established under title III of this Act) to provide: (1) applications for vouchers, as well as assistance in completing them and collection of them for eligibility determinations; (2) performance-based information on service providers; and (3) information on local economy, employment, industries, and labor market demand. Requires conflict of interest standards for centers operated by entities that are concurrently eligible job training providers. (Sec. 105) Requires the Secretary to issue oversight and accountability regulations relating to such vouchers. (Sec. 106) Sets forth eligibility requirements for providers of job training, including requirements for submission of performance-based information. (Sec. 107) Directs the Secretary to monitor and evaluate the voucher system annually, and report to the appropriate congressional committees. (Sec. 108) Provides for apportionment of system funds to States based on relative numbers of individuals in service delivery areas (SDAs) who are: (1) unemployed individuals; (2) excess unemployed individuals; (3) individuals who have been unemployed for 15 weeks or more; and (4) economically disadvantaged adults. Requires at least 75 percent of such funds to be made available as vouchers. Title II: Consolidation of Federal Job Training Programs - Expresses the sense of the Congress that the consolidation and streamlining of Federal job training programs should not reduce Federal commitment and effort to improve education, employment, and earnings of all workers and jobseekers, particularly those in hard-to-serve communities. Repeals specified employment training program provisions under the Job Training Partnership Act, Food Stamp Act of 1977, Stewart B. McKinney Homeless Assistance Act, and Displaced Homemakers Self-Sufficiency Assistance Act, as well as under a specified Federal law relating to certain workers affected by an expansion of Redwood National Park in California. Title III: Employment-Related Information and Services Through One-Stop Career Centers - Requires each service delivery area receiving funds under this Act to develop and implement a network of one-stop career centers to provide access for jobseekers, workers, and businesses to a comprehensive array of high quality job training and employment-related services (including provision of information). Requires each workforce development entity for an SDA to negotiate with the State a method for establishing such centers (including designating one-stop career center operators), consistent with criteria the Secretary prescribes. Makes each entity within the service delivery area that provides specified job training or employment-related services eligible to be designated a center operator for a two-year period (renewable after evaluation). Directs the Secretary to establish a performance standard system for assessing the performance of each center operator. Lists employment related services such centers may offer to individuals and to employers. (Sec. 302) Authorizes the Secretary to make arrangements with public or private entities to develop and provide relevant regional labor market information to interested individuals. (Sec. 303) Directs the Department of Education to try to make known the value and availability of direct loans through the William D. Ford Federal Direct Student Loan Program under the Higher Education Act of 1965, through cooperative arrangements with one-stop career centers, training and educational training programs, State agencies, and other Federal agencies. Title IV: Reports and Plans - Directs the Secretary to report annually to the Congress on how additional Federal job training programs not covered by this Act can be consolidated into a more integrated and accountable workforce development system. Directs the Secretary to develop a plan that, wherever practicable, requires the Federal job training programs to use common definitions, outcome measures, eligibility standards, and funding cycles. (Sec. 402) Directs the Secretary to report to the Congress on the need for income support, and options for providing it, to enable dislocated workers and economically disadvantaged adults to participate in long-term job training. Title V: General Provisions - Authorizes appropriations.

Bill· SS. 19 (105th)referred

Working Families Child Care Act of 1997

United States · United States Congress · 21 January 1997

Working Families Child Care Act of 1997 - Amends the Child Care Development Block Grant Act of 1990 to extend its authorization of appropriations through FY 2002. Directs the Secretary of Health and Human Services, from (additional) Treasury funds not otherwise appropriated, to award grants to States to provide child care services for: (1) families who have left the State program of assistance under part A (Temporary Assistance for Needy Families) of title IV of the Social Security Act because of employment; (2) families that are at risk of becoming dependent on such assistance program; and (3) low-income working families meeting specified criteria. Authorizes appropriations for grants to States for child care activities in areas of the State that have child care supply shortages. Includes among such child care activities programs for: (1) infant care; (2) before- and after-school; (3) resources and referrals; (4) nontraditional work hours; (5) extending the hours of pre-kindergarten programs to provide full-day services; and (6) any other program the Secretary deems appropriate. Requires State reports to include information on access to child care by low-income working families. Requires reports of the Secretary to place particular emphasis on such access. (Sec. 6) Makes this Act effective as if included in the enactment of the Personal Responsibility and Work Opportunity Reconciliation Act of 1996 (Public Law 104-193).

Resolution· SRESS.Res. 19 (105th)passed

A resolution expressing the sense of the Senate regarding United States opposition to the prison sentence of Tibetan ethnomusicologist Ngawang Choephel by the Government of the People's Republic of China.

United States · United States Congress · 21 January 1997

Calls for: (1) Ngawang Choephel and other prisoners of conscience in Tibet, as well as in China, to be released; (2) U.S. officials to request Mr. Choephel's release in all official meetings with representatives of the Government of the People's Republic of China; (3) the U.S. Government to sponsor and promote a resolution at the United Nations Commission on Human Rights regarding China and Tibet which specifically addresses political prisoners and negotiations with the Dalai Lama; (4) an exchange program to be established in honor of Ngawang Choephel, involving students of the Tibetan Institute of Performing Arts and appropriate U.S. educational institutions; and (5) the U.S. Government to seek access for internationally recognized human rights groups to monitor human rights in Tibet.

Bill· SS. 2186 (104th)referred

Healthy Children Family Assistance Health Insurance Program Act of 1996

United States · United States Congress · 1 October 1996

TABLE OF CONTENTS: Title I: Coverage for Children and Pregnant Women Subtitle A: Definitions Subtitle B: Participating State Program Title II: Qualifying Policies Subtitle A: Qualifying Policies Subtitle B: Access and Preexisting Condition Limitations Subtitle C: General Duties and Responsibilities of the Secretary Title III: Assistance to Families and Pregnant Women Title IV: Miscellaneous Provisions Healthy Children Family Assistance Health Insurance Program Act of 1996 - Title I: Coverage for Children and Pregnant Women - Subtitle A: Definitions - Sets forth definitions used in this Act. Subtitle B: Participating State Program - Sets forth the general framework for a State program negotiated and contracted with at least one health plan to provide access to qualified health plans to eligible children and pregnant women residing in the State. Directs the Secretary of Health and Human Services to provide certain payments for operating and administrative costs of participating States. Title II: Qualifying Policies - Subtitle A: Qualifying Policies - Describes the qualifying health policies for children and pregnant women, with a prohibition under each policy against any cost-sharing requirements for preventive services. Subtitle B: Access and Preexisting Condition Limitations - Places certain limitations on the imposition of preexisting condition exclusions under such policies, prohibiting them outright with regard to pregnant women. Subtitle C: General Duties and Responsibilities of the Secretary - Authorizes the Secretary to issue regulations and interim final regulations to implement the State program. Title III: Assistance to Families and Pregnant Women - Prescribes guidelines for determining the eligibility of children and pregnant women for premium and cost-sharing assistance. Requires States to have such assistance programs in effect to qualify for Federal payments under this Act. Prescribes penalties for material misrepresentation and false information in applications for assistance. Directs the Secretary to promulgate regulations under which each State operating a program for premium assistance shall have in effect an enrollment outreach system. Requires reduction of Federal payments for administrative errors. Title IV: Miscellaneous Provisions - Prohibits any employer which elects to make employer contributions on behalf of an employee, or an employee dependent, for health insurance coverage from conditioning, or varying, such contributions with respect to any such individual by reason of their status as an individual eligible for premium assistance. Provides that an employer shall not be treated as failing to meet such requirements if the employer ceases to make employer contributions for health insurance coverage for all its employees. (Sec. 402) Prohibits a participating State from modifying the eligibility requirements for children or pregnant women under the State Medicaid program under title XIX of the Social Security Act in any manner that would have the effect of reducing the eligibility of children or pregnant women for coverage under such program. (Sec. 403) Expresses the sense of the Committee on Labor and Human Resources of the Senate that the program established under this Act should be fully financed in a budget neutral manner by offsetting revenues derived from increasing the taxes on tobacco and providing for reductions in undeserved corporate tax breaks.

Bill· SS. 2161 (104th)open

Federal Aviation Reauthorization Act of 1996

United States · United States Congress · 30 September 1996

TABLE OF CONTENTS: Title I: Airport and Airway Improvements Subtitle A: Reauthorization of FAA Programs Subtitle B: Airport Development Financing Subtitle C: Airport Improvement Program Modifications Title II: FAA Reform Subtitle A: General Provisions Subtitle B: Federal Aviation Administration Streamlining Programs Subtitle C: System to Fund Certain Federal Aviation Administration Functions Title III: Aviation Security Title IV: Aviation Safety Title V: Pilot Record Sharing Title VI: Child Pilot Safety Title VII: Family Assistance Title VIII: Airport Revenue Protection Title IX: Metropolitan Washington Airports Title X: Extension of Airport and Airway Trust Fund Expenditures Title XI: FAA Research, Engineering, and Development Title XII: Miscellaneous Provisions Federal Aviation Reauthorization Act of 1996 - Title I: Airport and Airway Improvements - Subtitle A: Reauthorization of FAA Programs - Amends Federal aviation law to reauthorize the Airport Improvement Program through FY 1998, with specified allocations for the Federal Aviation Administration (FAA) Facilities and Equipment Program. (Sec. 102) Authorizes appropriations for the FAA through FY 1998. Subtitle B: Airport Development Financing - Revises the apportionment of airport improvement fund amounts to sponsors of primary and cargo service airports for each fiscal year. (Sec. 122) Revises the minimum amount of airport improvement funds that shall be credited in a fiscal year to the discretionary fund. (Sec. 123) Increases the apportionment for airport improvement grant funds for: (1) airport noise compatibility programs; and (2) current and former military airports. (Sec. 124) Reduces from 15 to 12 at any time the number of current or former military airports that may receive airport improvement grant funds. Subtitle C: Airport Improvement Program Modifications - Directs the Secretary of Transportation to encourage: (1) airport sponsors and State and local officials to develop airport master plans and airport system plans; and (2) metropolitan planning organizations, particularly in areas with populations greater than 200,000, to establish membership positions for airport operators. (Sec. 142) Directs the FAA Administrator to issue guidelines to carry out up to ten pavement maintenance pilot projects to preserve and extend the useful life of airport runways, taxiways, and aprons. (Sec. 143) Makes it a condition for approval of a grant application for an airport development project that the airport owner or operator makes assurances that it will permit, to the maximum extent practicable, intercity buses to have access to the airport. (Sec. 144) Eliminates as an allowable project cost for Federal reimbursement certain costs for airport development projects commenced during FY 1994 before the execution of the grant agreement. Allows such reimbursement only for costs incurred after September 30, 1996. Denies priority consideration for the use of discretionary funds for projects incurring costs before execution of the grant agreement. (Sec. 145) Specifies additional factors for the Secretary to consider in selecting a project for a grant to preserve and enhance capacity at primary and reliever airports. (Sec. 146) Requires the Secretary, in making grants to sponsors of small airports, to give priority consideration to multi-year projects for construction of new runways that are cost beneficial and that increase capacity in a U.S. region. (Sec. 147) Increases from seven to eight for FY 1997, and nine for each fiscal year thereafter, the number of States the Secretary may designate to assume administrative responsibility for all airport (except primary airport) grant amounts under the State block grant pilot program. Makes permanent the State block grant pilot program. (Sec. 148) Authorizes the Secretary to carry out a demonstration program of up to ten projects for grants to implement innovative financing techniques for airport development projects. (Sec. 149) Authorizes an airport sponsor who intends to sell or lease the airport for a long term to a private person to apply for exemption from the prohibition on the use of airport revenues for non-airport purposes, and the requirement for written assurances about such use. Waives the current prohibition on the imposition of passenger facility fees by any airport receiving such an exemption. Title II: FAA Reform - Air Traffic Management System Performance Improvement Act of 1996 - Subtitle A: General Provisions - Amends the Federal Aviation Act of 1958 to delineate the powers and duties of the FAA Administrator and the Secretary with respect to the FAA. (Sec. 224) Authorizes the Administrator to issue, rescind, and revise regulations as necessary to carry out the FAA functions. Prohibits the Administrator, without prior approval of the Secretary, from issuing a proposed or final regulation that is significant or is likely to result in the expenditure by State, local, and tribal governments in the aggregate, or by the private sector, of $100 million or more in any year. Excepts emergency regulations from such prohibition, but subjects them to rescission if the Secretary fails to ratify them. Requires the Administrator to review, within three years after issuance, any unusually burdensome regulations, which would result in the annual expenditure by State, local, and tribal governments in the aggregate, or by the private sector, of $25 million or more (adjusted annually for inflation) in any year. (Sec. 225) Authorizes the Administrator to utilize personnel of other Federal agencies. (Sec. 230) Directs the Administrator to establish the Federal Aviation Management Advisory Council which shall: (1) provide advice and counsel to the Administrator on issues which affect or are affected by the Administrator's operations; and (2) function as an oversight resource for management, policy, spending, and regulatory matters. Subtitle B: Federal Aviation Administration Streamlining Programs - Directs the Administrator to employ outside experts to provide an independent evaluation of the effectiveness of the FAA's acquisition management system. (Sec. 252) Requires the Administrator to terminate programs funded under the Facilities and Equipment account, and to consider the termination of substantial acquisitions, that fail to meet specified established project criteria. (Sec. 253) Requires the Administrator to negotiate with the bargaining representatives of FAA employees in developing and making changes to the FAA personnel management system. Subtitle C: System to Fund Certain Federal Aviation Administration Functions - Directs the Administrator to establish a schedule of new user fees, and a collection process for such fees, for various FAA services. (Sec. 274) Directs the Administrator to contract for an independent assessment of the financial requirements of the FAA through 2002. Establishes the National Civil Aviation Review Commission to: (1) analyze the FAA's budgetary requirements through FY 2002, including an analysis of alternative financing means for meeting the needs of the aviation system; and (2) analyze (through a specified task force) aviation safety in the United States and emerging trends in the safety of particular sectors of the aviation industry. (Sec. 275) Sets forth congressional procedures for consideration of FAA funding proposals. (Sec. 277) Requires the multiyear appropriation of funds (not less than three years) for Airport and Airway Trust Fund activities. Rural Air Service Survival Act - Authorizes the availability of a specified amount of user fees collected for each fiscal year for expenditure to carry out the essential air service program. Title III: Aviation Security - Directs the Administrator to study and report to the Congress on whether to transfer to airport operators or to the Federal Government certain responsibilities of air carriers relating to security activities at onsite commercial service airports, or to provide for shared responsibilities between air carriers and airport operators or the Federal Government. (Sec. 302) Directs the Administrator to: (1) certify companies providing security screening at airports; and (2) develop uniform performance standards for providing security screening services. (Sec. 303) Directs the Administrator to arrange with the National Academy of Sciences or an equivalent entity for a study of the effectiveness of weapons and explosive detection technologies deployed in commercial aviation. Authorizes appropriations. (Sec. 304) Authorizes the Administrator to require by regulation an employment investigation (including, in certain circumstances, a criminal history record check) for employees who will be responsible for screening airline passengers and property. (Sec. 305) Directs the Administrator to provide for: (1) the interim deployment of explosive detection devices at airports until certain certified equipment becomes commercially available to replace them; and (2) the periodic audit of the effectiveness of criminal history record checks. (Sec. 307) Urges the Administrator, the Secretary, the intelligence community, and the law enforcement community to continue to assist air carriers in developing computer-assisted passenger profiling programs for use with other security measures. (Sec. 308) Authorizes the use of certain project grant funds and passenger facility fees for airport security programs and activities. (Sec. 309) Requires the Secretary and the Attorney General, acting through the Administrator and the Director of the Federal Bureau of Investigation (FBI), to enter into an interagency agreement for establishment of an aviation security liaison at existing appropriate Federal agencies' field offices in or near cities served by a high-risk airport. (Sec. 310) Requires the Administrator and the FBI Director to carry out, at least triennially, joint threat and vulnerability assessments on security at each high-risk airport. (Sec. 311) Requires the Administrator to report to Congress on the safety and effectiveness of any bag match pilot program carried out pursuant to certain recommendations. Expresses the sense of the Senate that the Administrator should work with airports and air carriers to develop, to the extent feasible, effective domestic bag matching proposals at airports. (Sec. 312) Authorizes the Administrator to require each air carrier and airport to conduct periodic vulnerability assessments of their security systems. (Sec. 313) Directs the Secretary to report to the Congress on any changes recommended and implemented as a result of the White House Conference on Aviation Safety and Security to enhance screening and inspection of cargo, mail, and company-shipped materials transported in commerce. (Sec. 314) Expresses the sense of the Senate that a state of war should be declared to exist between the United States and any nation that commits an act of international terrorism against a U.S. citizen. Title IV: Aviation Safety - Directs the Administrator to consider the assigning, maintaining, and enhancing of safety and security as the highest priorities in air commerce. Repeals the duty of the Administrator to promote civil aeronautics. (Sec. 402) Prohibits the Administrator or any agency from disclosing voluntarily-provided safety or security related information if certain conditions apply. (Sec. 403) Authorizes the Administrator to issue a supplemental type certificate for a change to an aircraft, aircraft engine, propeller, or appliance. (Sec. 404) Requires the Administrator to issue an airport operating certificate for an airport (not located in Alaska) that serves any scheduled passenger operation of an air carrier aircraft designed for more than nine but less than 31 passenger seats. (Currently, the mandate covers only an airport serving an air carrier operating aircraft designed for at least 31 passenger seats). (Sec. 405) Authorizes appropriations to the FAA for FY 1997 for the purpose of addressing State-specific aviation safety problems identified by the National Transportation Safety Board (NTSB). (Sec. 406) Requires the Administrator to prescribe aircraft noise and sonic boom standards for aircraft engines. (Sec. 407) Directs the NTSB to develop a system for classifying air carrier accident data. Directs the Administrator to give high priority to developing and deploying a fully enhanced safety performance analysis system including automated surveillance targeting systems. Title V: Pilot Record Sharing - Pilot Records Improvement Act of 1996 - Requires air carriers to request and receive a pilot applicant's record for the previous five years with respect to: (1) current airman certificate, including any summaries of legal enforcement actions; (2) employment; and (3) motor vehicle driving. (Sec. 502) Prohibits any Federal or State court action for defamation or invasion of privacy against any carrier or person with respect to the furnishing or use of such records according to the requirements of this Act. (Sec. 503) Directs the Administrator to appoint a task force to study: (1) the development of standards and criteria for preemployment screening of pilots and pilot training facilities; and (2) to determine if the practice of air carriers requiring employees to pay for the training that is needed to perform flight check duties is in the public interest. (Sec. 504) Directs the Administrator to study and report to the Congress on whether current minimum flight requirements for air carrier pilot applicants are sufficient to ensure public safety. Title VI: Child Pilot Safety - Child Pilot Safety Act - Prohibits a pilot in command of an aircraft from allowing an individual who does not hold a valid private pilot's certificate, and an appropriate medical certificate, to manipulate the controls of an aircraft if the pilot knows or should have known that the individual is attempting to set a record or engage in an aeronautical competition or aeronautical feat. (Sec. 602) Mandates revocation of the Federal certificate of any airman who, while acting as a pilot in command of an aircraft, permits another individual to manipulate the aircraft's controls in violation of this Act. Directs the Administrator to conduct a study and report on the impacts of children flying aircraft. Title VII: Family Assistance - Aviation Disaster Family Assistance Act of 1996 - Requires the Chairman of the NTSB, after an accident involving an aircraft that results in a significant loss of life, to: (1) designate and publicize the name and phone number of a director of family support services to be a Government liaison between the air carrier and the families of the passengers; and (2) designate an experienced, independent nonprofit organization which shall have primary responsibility for coordinating the care and support of the passengers' families. Grants the NTSB primary responsibility for coordinating the recovery and identification of passengers involved in an aircraft accident. (Sec. 702) Prohibits any person from impeding the ability of the NTSB, or the designated organization, from carrying out its responsibilities under this Act. Sets forth penalties for violations of this Act. (Sec. 703) Requires each air carrier to submit to the Secretary of Transportation a plan for addressing the needs of the passengers' families. Prohibits the Secretary from approving an air carrier's application for a certificate of public convenience and necessity without such plan in its application. (Sec. 704) Requires the Secretary to establish a task force to develop: (1) a model plan to assist air carriers in responding to aircraft accidents; and (2) recommendations to the Congress on methods to ensure that attorneys and the media do not intrude on the privacy of the passengers' families. Title VIII: Airport Revenue Protection - Airport Revenue Protection Act of 1996 - Amends Federal aviation law to prohibit, with specified exceptions, the expenditure for non-airport purposes of local aviation fuel taxes or revenues generated by an airport that is the subject of Federal assistance or that operates pursuant to an airport operating certificate. Sets forth a civil penalty for diversion of aviation revenues. (Sec. 805) Requires the Secretary, acting through the Administrator, to promulgate regulations requiring a recipient of an airport project grant or any other Federal airport financial assistance to include in its annual audit a review of airport-related funding activities. Requires the Secretary to review any audit identifying an illegal diversion of airport revenues. Authorizes the Secretary, after determining such identification is accurate, and notifying the airport and its sponsor, to withhold any amount from apportioned or grant funds that would otherwise be made available to the sponsor. Authorizes the Secretary to initiate a civil action under which the sponsor shall be liable for a civil penalty equal to the amount of the illegal diversion, plus interest. Amends the Internal Revenue Code to conform to this Act. Title IX: Metropolitan Washington Airports - Metropolitan Washington Airports Amendments Act of 1996 - Amends the Metropolitan Washington Airports Act of 1986 to revise the composition of the board of directors of the Metropolitan Washington Airports Authority, among other things increasing the number of members from 11 to 13. (Sec. 903) Requires board members appointed by the President to be registered voters of States other than Maryland, Virginia, or the District of Columbia. Revises requirements for length of term and the filling of vacancies. Declares that no more than two members of the board appointed by the President may be of the same political party. Requires eight votes (currently, seven) to approve bond issues and the annual budget. (Sec. 904) Terminates the Board of Review of the Airports Authority. (Sec. 905) Prohibits the Secretary, after October 1, 2001, from approving an application of the Airports Authority for: (1) an airport development project grant; or (2) imposition of a passenger facility fee. (Sec. 906) Directs the Airports Authority to continue to enforce certain restrictions in the Metropolitan Washington Airports Regulations with respect to the use of the Dulles access highway. (Sec. 909) Expresses the sense of the Senate that the Airports Authority: (1) should not provide free reserved parking areas to Members of Congress, Government officials, or diplomats; and (2) should establish a parking policy for airports that provides equal access to the public. Title X: Extension of Airport and Airway Trust Fund Expenditures - Extends the expenditure authority of the Airport and Airway Trust Fund through October 1, 1998. Title XI: FAA Research, Engineering, and Development - FAA Research, Engineering, and Development Management Reform Act of 1996 - Amends Federal transportation law to authorize appropriations for FY 1997 for specified aviation programs. (Sec. 1103) Directs the Administrator of the FAA to consider the advice of a certain research advisory committee in establishing research and development priorities. (Sec. 1104) Directs the research advisory committee in the FAA to review annually the Administrator's appropriation allocation among major research and development activities, and give advice and recommendations on whether such allocation is appropriate to meet certain needs and objectives. (Sec. 1105) Amends the guidelines for the national aviation research plan with respect to the goals, priorities, and resources of research and development activities. Title XII: Miscellaneous Provisions - Authorizes the Administrator, in carrying out various aviation programs, to purchase a housing unit located outside the contiguous United States if the unit's cost is $300,000 or less. (Sec. 1203) Authorizes a sponsor to close, without any obligation to repay grants, a non-commercial service airport located near a closed or realigned military base. (Sec. 1204) Authorizes the Secretary to waive, subject to specified conditions, any deed terms in a specified conveyance of certain property to Gadsden, Alabama, for airport purposes. (Sec. 1205) Directs the FAA Administrator, in modifying certain regulations in a manner affecting intrastate aviation in Alaska, to consider the extent to which Alaska is not served by transportation other than aviation. (Sec. 1206) Provides for the payment of all Westchester County Airport, New York, fees into the Westchester County treasury. (Sec. 1207) Authorizes the Administrator to transfer and install at Bedford Airport, Pennsylvania, any instrument landing system decommissioned elsewhere in the State. (Sec. 1208) Directs the Administrator to take action to improve the safety of aircraft landing: (1) at Worcester Municipal Airport, Massachusetts, including, if appropriate, providing air traffic radar service from the Providence Approach Radar Control in Coventry, Rhode Island; and (2) at Central Florida Airport, Sanford, Florida, including, if appropriate, providing a new instrument landing system on Runway 27R. (Sec. 1210) Amends the Airport and Airway Improvement Act of 1982 to establish within the FAA an Aircraft Noise Ombudsman who shall be consulted when the FAA proposes changes in aircraft routes so as to minimize any increases in aircraft noise over populated areas. (Sec. 1211) Amends Federal transportation law to declare that, if any privately owned reliever airport contributes any lands, easements, or rights-of-way to carry out an airport improvement project, their current fair market value shall be credited toward the non-Federal share of allowable project costs. (Sec. 1212) Expresses the sense of the Senate that there should be an immediate enactment of an 18-month reinstatement of the aviation excise taxes to provide short-term funding for the FAA. (Sec. 1213) Directs the Secretary to study and report to specified congressional committees on rural air fare. (Sec. 1214) Directs the Administrator to revise certain regulations to apply to candidates for State or local office the same or similar carriage rules as apply to candidates for Federal office. (Sec. 1215) Directs the Secretary, acting through the Administrator, to provide 45 additional days for comment by interested persons on certain proposed special flight rules in the vicinity of Grand Canyon National Park. (Sec. 1216) Authorizes the Administrator to: (1) transfer any U.S. title, right or interest in the air traffic control tower at Hickory Regional Airport to the City of Hickory, North Carolina; and (2) study and certify to specified congressional committees whether the number of operations at such airport meet the criteria for contract towers. Prohibits the Administrator from closing the New Bern-Craven County flight services station, the Hickory Regional Airport flight service station, or the Pierre, South Dakota Regional Airport flight service station without certification to the same committees that such closure will not result in the degradation of air safety (at the first two stations) or (at the third station) of air safety, air service, or the loss of meteorological services or data that cannot be obtained in a more cost-effective way, and that any such station closure will reduce costs to taxpayers. (Sec. 1217) Directs the Administrator to study and report to the Congress on the feasibility of constructing two offshore platforms to serve as sites for the location of Doppler radar stations for John F. Kennedy International Airport and LaGuardia Airport in New York City, New York. (Sec. 1218) Requires the Secretary to take into account the interest of affected communities (among other criteria) when issuing Federal train whistle regulations. (Sec. 1219) Prohibits the Surface Transportation Board from increasing service fees for small shippers in connection with rail maximum rate complaints. (Sec. 1220) Amends Federal transportation law to declare that, in a case in which two landfills have been proposed or established within six miles of a commercial service airport with fewer than 50,000 enplanements per year, no person shall construct or establish either landfill if an official of the Federal Aviation Administration has stated in writing within the three-year period ending on the date of the enactment of this Act that one of the landfills would be incompatible with aircraft operations at the airport, unless the landfill is already active on such date of enactment or the airport operator agrees to the construction or establishment of the landfill. (Sec. 1221) Declares that, through FY 1998, an air carrier which commenced all-cargo turnaround service during November 1995 with Stage 2 aircraft with a maximum weight of more than 75,000 pounds: (1) may operate no more than one such aircraft in all-cargo turnaround service; but (2) may maintain a second such aircraft in reserve. Limits the use of the reserve aircraft to replacement of the first aircraft when it is not airworthy or is unavailable due to closure of an airport in Hawaii at which it is located. (Sec. 1222) Amends the Johnson Act to provide that States (except Hawaii) may not regulate the possession or use of gambling equipment on a vessel whose voyage includes or consists of a segment: (1) that begins and ends in the same State; (2) that is part of a voyage to another State or a foreign country; and (3) in which the vessel reaches the other State or foreign country within three days after leaving the State in which it begins.

Bill· SS. 2178 (104th)referred

Better Pharmaceuticals for Children Act

United States · United States Congress · 30 September 1996

Better Pharmaceuticals for Children Act - Amends the Federal Food, Drug, and Cosmetic Act to allow for additional deferred effective dates for the approval of certain new drug applications to allow for additional pediatric information developed by further studies of the drug concerned.

Bill· SS. 2149 (104th)referred

Transitional Health Insurance for Workers Changing Jobs Act of 1996

United States · United States Congress · 27 September 1996

Transitional Health Insurance for Workers Changing Jobs Act of 1996 - Amends the Public Health Service Act to add a new title XXVIII (Health Insurance for Workers Changing Jobs) under which the Secretaries of Labor and of Health and Human Services are required to establish a joint program to award grants to States with approved plans to enable them to provide temporary health insurance premium assistance for eligible individuals and their families in accordance with specified guidelines. Makes appropriations. Expresses the sense of the Committee on Labor and Human Resources of the Senate that the joint program established by this Act should be financed in a budget neutral manner by offsetting revenues derived from eliminating undeserved corporate tax breaks, especially tax breaks that encourage American corporations to move jobs overseas and that reward book-keeping transactions that artifically place corporate income overseas for tax purposes.