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Official portrait of Sen. Shelby, Richard C. [R-AL]

Sen. Shelby, Richard C. [R-AL]

United States · Official source

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3,969 records where Sen. Shelby, Richard C. [R-AL] is listed as a sponsor, author, or other actor. Search with topics and years

Law· SS. 1731 (102nd)enacted

United States-Hong Kong Policy Act of 1992

United States · United States Congress · 20 September 1991

United States-Hong Kong Policy Act of 1991 - Title I: United States Policy - Expresses the sense of the Congress that the following should be U.S. policy with respect to the U.S. relationship with Hong Kong: (1) the United States should seek to establish direct bilateral ties with Hong Kong in economic, shipping, communications, tourism, cultural, sport, and other matters to the extent that Hong Kong is allowed to exercise autonomy in these fields under the 1984 Joint Declaration of the Governments of Great Britain and Northern Ireland and China on the question of Hong Kong; (2) the United States should seek to maintain after July 1, 1997, with the authorization of the Chinese Government, the U.S. Consulate-General in Hong Kong and other U.S. official and semi-official organizations; (3) the United States should invite Hong Kong to maintain, after such date, its official and semi-official missions in the United States and to open other missions in those fields in which it is permitted to exercise autonomy under the Joint Declaration; (4) the United States should seek to reach agreements with the Hong Kong Special Administrative Region (Administrative Region) in such fields, particularly with respect to reduction or abolishment of visa restrictions hindering U.S. nationals seeking to work in Hong Kong and covering Hong Kong residents seeking to work in the United States; (5) the United States should recognize passports and travel documents issued by the Administrative Region; and (6) the Chinese Government's exercise of sovereignty over Hong Kong should not affect treatment of Hong Kong residents who apply for visas to visit the United States. Expresses the sense of the Congress that the following should be U.S. policy with respect to participation by Hong Kong in multilateral organizations: (1) the United States should support Hong Kong's participation in multilateral organizations open to non-states which are concerned with those matters in which Hong Kong is permitted to exercise autonomy under the Joint Declaration; (2) the United States should continue to fulfill its obligations to Hong Kong under international agreements, so long as Hong Kong reciprocates; (3) the United States should support Hong Kong's application to join all multilateral international conferences, agreements, and organizations; and (4) the United States should support Hong Kong's continued participation after July 1, 1997, under the name Hong Kong, China, in all such conferences, agreements, and organizations. Expresses the sense of the Congress that the following should be U.S. policy with respect to commerce between the United States and Hong Kong: (1) the United States should seek to maintain and expand economic and trade relations with Hong Kong and should continue to treat Hong Kong as a separate territory in economic and trade matters (even after July 1, 1997); (2) the United States should continue to negotiate directly with Hong Kong to conclude bilateral economic agreements (even after July 1, 1997); (3) the United States should continue to consider Hong Kong for most-favored-nation trade status and to recognize certificates of origin for manufactured goods issued by the Administrative Region; (4) the United States should continue to allow the U.S. dollar to be freely exchanged with the Hong Kong dollar and U.S. businesses should continue to operate in Hong Kong; (5) the United States should continue to support Hong Kong's access to sensitive technologies; (6) the United States should encourage Hong Kong to continue to develop a framework which provides protection for intellectual property rights; and (7) the United States should negotiate a bilateral investment treaty with Hong Kong. Expresses the sense of the Congress that the following should be U.S. policy with respect to transportation from Hong Kong: (1) the United States should continue to recognize ships and airplanes registered in Hong Kong and negotiate air service agreements directly with Hong Kong; (2) the United States should continue to recognize ships registered by Hong Kong after July 1, 1997, and U.S. commercial ships should remain free to port in Hong Kong; (3) the United States should recognize licenses issued by the Administrative Region to Hong Kong airlines; (4) the United States should recognize permits issued by the Administrative Region to U.S. airlines for specified services; (5) the United States should negotiate with the Administrative Region to renew or amend all air service agreements existing on June 30, 1997, and to conclude new air service agreements affecting all flights to, from, or through China; and (6) the United States should negotiate with the Administrative Region about arrangements to implement international aviation agreements. Expresses the sense of the Congress that the following should be U.S. policy with respect to cultural and educational exchanges with Hong Kong: (1) the United States should seek to maintain and expand U.S.-Hong Kong relations and exchanges in culture, education, science, and academic research; (2) the Administrative Region should be accorded individual status as a full partner in the Fulbright Program; and (3) the Congressional Research Service of the Library of Congress should seek to expand educational and informational ties with the Legislative Council of Hong Kong. Title II: The Status of Hong Kong in United States Law - Continues to treat Hong Kong as a separate territory under U.S. law after July 1, 1997. Approves the continuation in force of all treaties entered into by the United States and Hong Kong before such date. Title III: Reporting Provisions - Directs the Secretary to submit to the Speaker of the House and the chairman of the Senate Foreign Relations Committee: (1) a report on the degree to which the Joint Declaration is being implemented; and (2) a separate subreport (with respect to country reports) on Hong Kong.

Bill· SS. 1725 (102nd)referred

Christopher Columbus Quincentenary Commemorative Coin and Scholarship Endowment Act of 1991

United States · United States Congress · 19 September 1991

Christopher Columbus Quincentenary Commemorative Coin and Scholarship Endowment Act of 1991 - Directs the Secretary of the Treasury to mint and issue not more than a specified number of five-dollar gold coins, one-dollar silver coins, and half-dollar clad coins emblematic of the quincentenary of Columbus' encounter with the New World. Sets forth certain features of such coins and provides for their design, issuance, and sale. Terminates the minting of such coins after a certain deadline. Establishes the Christopher Columbus Quincentenary Scholarship Foundation as an independent entity within the executive branch to promote educational activities for secondary students using funds deposited in the Christopher Columbus Quincentenary Scholarship Endowment Fund (the Fund). Requires the Board of Directors of the Foundation to appoint an Executive Secretary who shall be subject to its supervision. Outlines the Fund's operating parameters. Sets forth scholarship criteria for eligible students to be known as "Columbus Scholars." Mandates that the Foundation submit an annual status report to the Congress and the Secretary of Education. Sets forth guidelines for possible termination of the Fund and the Foundation.

Bill· SS. 1723 (102nd)referred

Music Therapy for Older Americans Act

United States · United States Congress · 18 September 1991

Music Therapy for Older Americans Act - Amends the Older Americans Act of 1965 to add music therapy to: (1) the lists of services for frail older individuals in their homes and services for older individuals, particularly those with the greatest economic and social need, designed to satisfy their special needs and improve their quality of life; (2) a list of supportive services for older individuals; and (3) the list of schools within colleges and universities in which training programs in the field of aging can be developed. Adds music, art, and dance therapy to the list of services under the definition of "preventive health services" and to the list of demonstration projects which will improve or expand supportive services or otherwise promote the well-being of older individuals. Requires the Commissioner of the Administration on Aging, in making contracts or entering into grants for such projects, to give special consideration to education, training, and information dissemination projects that assist older individuals through music therapy.

Bill· SS. 1722 (102nd)open

Emergency Unemployment Compensation Act of 1991

United States · United States Congress · 17 September 1991

Emergency Unemployment Compensation Act of 1991 - Establishes an emergency unemployment compensation program. Allows any State to enter into and participate in an agreement with the Secretary of Labor (the Secretary) under which the State agency which administers the State unemployment compensation law will make payments of emergency unemployment compensation: (1) to individuals who have exhausted all rights to regular compensation under State law, have no rights to such regular compensation or any additional State or Federal compensation, and are not receiving Canadian compensation; and (2) for any week of unemployment beginning in the individual's eligibility period. Sets forth provisions relating to exhaustion of regular benefits and weekly amount of emergency benefits equal to regular benefits. Authorizes a State Governor, in a period of a seven or eight percent total unemployment rate in that State (as defined under this Act), to elect to trigger off an extended compensation period to provide emergency unemployment compensation to individuals who have exhausted their rights to regular compensation under State law. Requires a State, under such an agreement, to establish an emergency unemployment compensation account with respect to the benefit year of each eligible individual who files an application. Limits benefit payments to not more than the amount in the individual's account. Sets forth formulas for determining the amount in such account. Provides that the applicable limit in such account shall be equal to: (1) 20 for an eight-percent period, i.e. one triggered by a total unemployment rate (TUR) of eight percent or more in the State, seasonally adjusted, for the most recent six calendar months with available data; (2) 13 for a seven-percent period; (3) seven for a six-percent period; and (4) four for any other period. Sets forth special rules relating to such applicable limits. Requires reduction in such account by the amount of extended benefits received by the individual relating to the same benefit year under the Federal-State Extended Unemployment Compensation Act of 1970. Sets the weekly benefit amount at the amount of regular compensation (including dependents' allowances) payable under the State law to the individual for such week for total unemployment. Provides for determination of periods and applicable triggers. Provides for a minimum period of at least 13 weeks. Provides, in general, that no emergency unemployment compensation shall be payable to any individual under this Act for any week beginning: (1) before the later of October 6, 1991, or the first week following the week in which an agreement under this Act is entered into; or (2) after July 4, 1992. Sets forth transition and reachback provisions for the eligibility of certain individuals for such benefits, as exceptions to such general rule. Provides for payments to States having such agreements for emergency unemployment compensation. Sets forth financing provisions. Requires that funds in the extended unemployment compensation account of the Unemployment Trust Fund be used to make payments to States having agreements under this Act. Sets forth provisions relating to fraud and overpayments. Defines the eligible period under this Act. Provides that in no event shall an individual's period of eligibility include any weeks after the 39th week after the end of the benefit year for which the individual exhausted rights to regular compensation or extended compensation. Amends specified Federal law to repeal certain limitations on payment of unemployment compensation to former members of the armed forces. Reduces the length of required active duty by reserves for purposes of such payment. Amends the Social Security Act to establish an Advisory Council on Unemployment Compensation. Directs the Secretary to establish such a council by February 1, 1992, and every fourth year thereafter. Requires each such council to evaluate the unemployment compensation program. Sets forth membership and staff provisions. Requires each council to report to the President and the Congress by Feburuary 1 of the second year following the year in which it is required to be established. Requires the first Council report to include findings and recommendations on determining eligibility for extended unemployment benefits on the basis of unemployment statistics for regions, States, or subdivisions of States. Designates as emergency requirements, pursuant to the Balanced Budget and Emergency Deficit Control Act of 1985 (Gramm-Rudman-Hollings Act), all direct spending amounts provided, and all appropriations authorized by this Act (for all fiscal years). Provides that this Act shall not take effect unless, by its enactment date, the President submits to the Congress a written designation of all such direct spending amounts and authorized appropriations as such emergency requirements.

Bill· SS. 1711 (102nd)open

Glass Ceiling Act of 1991

United States · United States Congress · 16 September 1991

Glass Ceiling Act of 1991 - Establishes the Glass Ceiling Commission to conduct a study and prepare recommendations concerning: (1) eliminating artificial barriers to the advancement of women and minorities; and (2) increasing opportunities and developmental experiences of women and minorities to foster advancement of women and minorities to management and decisionmaking positions in business. Establishes the National Award for Diversity and Excellence in American Executive Management. Allows a recipient business to use the award in its advertising if the business agrees to help other U.S. businesses improve with respect to the promotion of opportunities and developmental experiences of women and minorities regarding management and decisionmaking positions. Authorizes appropriations. Terminates the Commission and the authority to make awards four years after enactment of this Act.

Bill· SS. 1715 (102nd)referred

Gulf of Mexico Preservation Act of 1991

United States · United States Congress · 16 September 1991

Gulf of Mexico Preservation Act of 1991 - Directs the Administrator of the Environmental Protection Agency (EPA) to establish a Gulf of Mexico Program. Establishes within EPA a Gulf of Mexico program office (Office), to be headed by a Director appointed by the Administrator. Sets forth the duties of the Director, including collecting and making available information concerning the environmental quality of the Gulf and assisting the Administrator: (1) in coordinating Office activities with coastal and marine resources-related activities of any Federal, State, or local departments, institution of higher education, or private industry with a significant interest in coastal and marine resources; (2) by developing a comprehensive conservation and management plan (Plan) for the Gulf; and (3) in awarding grants. Lists duties of the Administrator, including overseeing the activities of the Director, conducting periodic reviews and evaluations of Program activities, and overseeing the development and implementation of cooperative programs with Federal, State, and local departments. Requires the Director to: (1) conduct a research project to determine the changes in the quality of the environment of living resources of the Gulf resulting from human activity and the changes attributable to other causes; and (2) give special attention, in carrying out such project, to changes in wildlife, shellfish, and key fish populations and assess any interrelated changes to the quality of the living resources of the Gulf. Specifies that such project shall include: (1) an assessment of the impact on the environment of such living resources of pollutants, nutrient loading, acid precipitation and deposition, the dumping of medical and plastic wastes, coastal beach erosion, and habitat degradation; (2) the use of measurements of dissolved oxygen as a determinant of water quality; (3) an assessment of the type and degree of bacterial infection in key fish species of the Gulf; and (4) an assessment of oil spill response activites in the Gulf. Directs the Administrator to conduct a study of regional environmental problems in the Gulf that are not confined to the jurisdiction of any Federal, State, or foreign entity. Authorizes the Administrator, upon completion of such study, to suggest entering into a cooperative agreement with, or participating in, a joint commission with the Mexican Government and any other appropriate foreign country to address such problems. Bars any such agreement from entering into force or such commission from convening prior to the date of issuance of the Plan. Requires the Administrator to develop and implement the Plan, which shall: (1) outline specific activities to be conducted under the Program by the Administrator; (2) provide for cooperative activities under the Program with Federal, State, and local agencies and with institutions of higher education and private industries with a significant interest in coastal and marine resources; and (3) set forth recommendations for actions by States to abate pollution in the Gulf or to otherwise improve environmental quality with respect to the living resources of the Gulf. Directs the Administrator to establish a program to award grants to assist States in implementing such recommendations. Authorizes appropriations. Earmarks 70 percent of appropriated funds for the grant program. Specifies that, in any budget proposal submitted by the Administrator for inclusion in the President's annual budget submitted to the Congress, the Administrator shall request that funding of the office be included as a separate line item.

Bill· SJRESS.J.Res. 194 (102nd)open

A joint resolution to designate 1992 as the "Year of the Gulf of Mexico".

United States · United States Congress · 16 September 1991

Designates 1992 as the Year of the Gulf of Mexico. Expresses the sense of the Congress that governmental entities that have responsibilities relating to the Gulf should work to increase public awareness concerning the immeasurable value of the Gulf's resources and conditions that threaten its aesthetic and economic value.

Bill· SJRESS.J.Res. 193 (102nd)referred

A joint resolution to establish a commission to commemorate the bicentennial of the establishment of the Democratic Party of the United States.

United States · United States Congress · 12 September 1991

Establishes a Commission on the Bicentennial of the United States' Democratic Party (Commission) to coordinate ceremonial events and related activities during the calendar year of 1992. Directs the Commission to report on its activities to the Speaker of the House of Representatives and the President Pro Tempore of the Senate at the time of its termination on February 13, 1993.

Bill· SS. 1699 (102nd)referred

Government Securities Offering Enforcement Act of 1991

United States · United States Congress · 10 September 1991

Government Securities Offering Enforcement Act of 1991 - Amends the Securities Exchange Act of 1934 to prohibit a government securities dealer, broker, bidder, or purchaser from knowingly or willingly making false or misleading written statements with respect to any bid or purchase of such securities (including the omission of necessary facts which results in such a statement).

Bill· SS. 1673 (102nd)open

Judicial Survivors' Annuities Improvements Act of 1991

United States · United States Congress · 2 August 1991

Judicial Survivors' Annuities Improvements Act of 1991 - Amends the Federal judicial code to authorize judicial officials of the United States (officials) to elect to contribute one percent of their salary and 3.5 percent of their retirement salary (under current law, five percent of their salary) to the Judicial Survivors' Annuities Fund. Requires an official who is not entitled to receive an immediate retirement salary upon leaving office but who is eligible to receive a deferred retirement salary at a later date to file, within 90 days before leaving office, a written notification of intent to remain within the purview of provisions with respect to the Fund (which shall constitute consent to contribute the 3.5 percent of deferred retirement salary) or be deemed to have revoked the election to participate under such provisions. Provides for the refund of deposits into the Fund for officials who leave office and are ineligible to receive a retirement salary, or who leave office and are entitled to a deferred retirement salary but fail to make an election. Counts as creditable service those years during which an official had deductions withheld from his or her retirement salary. Revises the formula with respect to the computation of the annuity to take into account the number of years during which the official had deductions withheld from his or her retirement salary. Authorizes an official who ceases to be married after making the election, to revoke such election in writing by notifying the Director of the Administrative Office of the U.S. Courts. Provides a credit for prior contributions made to the Fund by officials at the higher rate. Puts officials, including judges of the U.S. Claims Court, the District Courts of Guam, the Northern Mariana Islands, or the Virgin Islands, and bankruptcy judges and magistrate judges on a par with any other "justice or judge of the United States" (those covered under current law) with respect to eligibility for Government life insurance, termination of insurance, and conversion rights. Makes any member of a family who is a survivor of a justice or judge of the United States, a judge of the U.S. Claims Court, the District of Guam, the Northern Mariana Islands, or the Virgin Islands, a bankruptcy judge, or a full-time magistrate judge, eligible for Government health insurance.

Bill· SS. 1650 (102nd)open

National Flood Insurance, Mitigation, and Erosion Management Act of 1991

United States · United States Congress · 2 August 1991

National Flood Insurance, Mitigation, and Erosion Management Act of 1991 - Title I: Definitions - Defines specified terms under the Flood Disaster Protection Act of 1973 and the National Flood Insurance Act of 1968. Title II: Compliance and Increased Participation - Amends the Flood Disaster Protection Act of 1973 to prohibit the waiver of current mandatory flood purchase insurance requirements with respect to financial assistance for property in a flood hazard area. Expands flood insurance purchase requirements. Requires lenders to review outstanding loans to determine whether they are in compliance with mandatory flood insurance purchase requirements. Authorizes lenders to charge borrowers a fee for such service. Exempts lenders from such requirement who have a specified accuracy for flood hazard determinations for outstanding loans, or who have conducted satisfactory loan reviews, or have regularly provided for escrow of flood insurance premiums. Requires residential real estate lenders to establish flood insurance premium escrow accounts. Imposes a fine for lenders failing to require flood insurance or to give proper notice under the National Flood Insurance Act of 1968. Requires the seller-transferor of a residential-secured loan in a flood hazard area to so notify the purchaser-transferee unless a flood hazard determination has been made within the previous five years. Revises flood insurance notice requirements. Amends the National Flood Insurance Act of 1968 to require the development of a standard hazard determination form. Amends the Federal Financial Institutions Examinations Council Act of 1978 to direct the Financial Examinations Council to coordinate with Federal entities for lending regulation to develop uniform lender standards. Title III: Ratings and Incentives for Community Floodplain Management Programs - Amends the National Flood Insurance Act of 1968 to provide for a community rating system and incentives for community floodplain management. Provides program funding. Title IV: Mitigation of Flood and Erosion Risks - Amends the Housing and Urban Development Act of 1968 to establish an Office of Mitigation Assistance to carry out flood and coastal erosion mitigation activities under the Federal Insurance Administrator. Amends the National Flood Insurance Act of 1968 to make mitigation assistance grants available to eligible States, communities, and individuals. Includes among eligible grant activities property elevation, relocation, flood-proofing, and acquisition. Prohibits assistance for activities within a designated erosion-prone area in a community that has not adopted specified land management measures. Authorizes mitigation activity technical assistance. Establishes in the Treasury the National Flood Mitigation Fund to be available for such mitigation assistance grants. Provides for an insurance premium mitigation surcharge to be paid into such Fund. Authorizes a mitigation transition pilot program to be carried out through the Office of Mitigation Assistance. Repeals (with a transition period) the current program for the purchase of certain insured properties. Establishes a program to reduce coastal erosion hazards. Makes: (1) assistance available only to specified structures; and (2) structure relocation or demolition eligible as erosion mitigation activities. Limits flood insurance payments and prohibits future insurance coverage for failure to relocate or demolish a structure. Authorizes specified annual amounts from the National Flood Insurance Fund for erosion mitigation assistance. Repeals (with transition periods) current provisions for claims for imminent collapse and subsidence through flood insurance claims. Sets forth erosion setback limitations on flood insurance availability and rates. Requires the Director of the Federal Emergency Management Agency to conduct a riverine erosion study. Title V: Flood Insurance Task Force - Establishes a two-year interagency Flood Insurance Task Force which shall: (1) develop standardized flood insurance enforcement procedures and guidelines; and (2) conduct a study of the extent to which the secondary mortgage market can assist enforcement. Title VI: Miscellaneous Provisions - Amends the National Flood Insurance Act of 1968 to: (1) increase flood insurance coverage amounts for nonresidential, single family, and multifamily structures; (2) permit flood insurance private sector participation; and (3) require at least every five years an assessment (and revision if necessary) of flood insurance maps.

Bill· SS. 1641 (102nd)referred

Nuclear Decommissioning Reserve Fund Act of 1991

United States · United States Congress · 2 August 1991

Nuclear Decommissioning Reserve Fund Act of 1991 - Amends the Internal Revenue Code to: (1) decrease the rate of tax imposed on the income of any Nuclear Decommissioning Reserve Fund from 34 percent to 22 percent for taxable years beginning after December 31, 1990, and before January 1, 1993, and to 20 percent for taxable years beginning after December 31, 1992; and (2) remove restrictions on permitted investments of Fund monies.

Bill· SS. 1691 (102nd)referred

Federal Prison Industries Competition in Contracting Act

United States · United States Congress · 2 August 1991

Federal Prison Industries Competition in Contracting Act - Amends the Federal criminal code to require that: (1) a decision by Federal Prison Industries (FPI) to produce a new prison-made product or to expand the production of an existing product be made by the Board of Directors of FPI (the Board) in conformance with the public notice and comment requirements of the Administrative Procedure Act; and (2) the corporation prepare and furnish to the Board a detailed analysis of the probable impact on industry and free labor of any proposal to authorize the production and sale of a new prison-made product or to expand production of a currently authorized product (such proposal). Requires such analysis to identify and consider factors including: (1) the number of vendors that currently meet Federal requirements for the specific product; (2) the proportion of the Federal market for the product currently furnished by small and disadvantaged businesses and businesses in labor surplus areas during the previous three fiscal years; (3) the share of the Federal market for the product projected for FPI for the fiscal year in which production will commence (or expand) and the subsequent three fiscal years; (4) whether the industry producing the product in the private sector has an unemployment rate higher than the national average, a rate of employment for production workers that has consistently shown an increase during the previous five years, or has an import to domestic production ratio of 25 percent or greater; (5) whether the specific product is an import-sensitive product; (6) the projected growth in the Government for the specific product and the capability of such demand to sustain both FPI and private vendors; and (7) whether authorizing the production of the new product will provide inmates with the maximum opportunity to acquire knowledge and skill in trades and occupations that will provide them with a means of earning a livelihood upon release. Bars the Board from approving such proposal if the product is: (1) produced in the private sector by an industry which has reflected during the previous year an unemployment rate above the national average; or (2) an import-sensitive product. Directs the Board to: (1) give additional notice of such proposal in a publication designed to most effectively provide notice to private vendors and labor unions representing private sector workers who could reasonably be expected to be affected by approval of such proposal; (2) solicit comments on the analysis required under this Act from trade associations representing private sector workers who could reasonably be expected to be affected by its approval; and (3) afford an opportunity, upon request, for a representative of private industry to present comments on such proposal directly to the Board. Requires the corporation to provide the Board with its recommendations regarding action on the proposal, taking into consideration the comments received. Requires: (1) the various Federal departments and agencies (agencies) to offer to purchase from FPI any product authorized to be offered for sale and listed in the UNICOR Schedule of Products (whenever it has a requirement for an FPI product); and (2) FPI to publish and periodically revise such Schedule. Sets forth provisions with respect to the solicitation of offers from FPI and contract awards to FPI on either a competitive or sole source basis. Prohibits the cancellation or withdrawal of a solicitation solely for the purpose of affording an agency buying activity the opportunity to enter into noncompetitive negotiation with FPI unless the Attorney General determines that FPI cannot reasonably expect to receive the contract award on a competitive basis and that such award is necessary to: (1) maintain work opportunities otherwise unavailable at the penal facility at which the contract is to be performed to prevent circumstances that could reasonably be expected to significantly endanger the safe and effective administration of such facility; or (2) permit diversification into the labor-intensive manufacture of a specific product that has been approved by the Board. Specifies that: (1) a timely offer received from FPI shall be considered eligible for award (even if the competition is restricted); and (2) FPI shall be required to perform its contractual obligations to the same extent as any other contractor. Repeals a provisions under which any dispute relating to the price, quality, character, or suitability of FPI products shall be arbitrated by a board consisting of the Comptroller General of the United States, the Administrator of General Services, and the President, or their representatives. Specifies that: (1) a decision by a contracting officer regarding the award of a contract to FPI or relating to the performance of such contract shall be final, unless reversed on appeal (but authorizes the Director of FPI to appeal to the head of a Federal agency an adverse determination made by a contracting officer, in which case the decision of such agency head shall be final); and (2) a dispute between FPI and a buying activity regarding contract performance shall be subject to final resolution by the board of contract appeals having jurisdiction over the buying activity's contract performance disputes under the Contract Disputes Act of 1978. Requires that the amendments made by this Act be implemented through modifications to the Federal Acquisition Regulation (FAR) within 180 days. Makes FAR subject to provisions of the Office of Federal Procurement Policy Act (which assure publication in the Federal Register and the opportunity for public comment before the promulgation of a final regulation). Requires each Federal agency reporting to the Federal Procurement Data System through the General Services Administration to report all acquisitions from FPI. Amends the Federal criminal code to require the Board, in its annual report to the Congress, to include: (1) an analysis of the corporation's total sales for each specific product sold to Federal agencies, the total purchases by each agency of each specific product, the corporation's share of such total Government purchases by specific product, and the number and disposition of disputes submitted to agency heads; (2) an analysis of the inmate workforce, including the number of inmates employed, the number and percentage of employed inmates by the term of their incarceration, and the various hourly wages paid to inmates employed with respect to the production of the various specific products authorized for production and sale; and (3) data concerning employment obtained by former inmates upon release to determine whether the employment provided by FPI during incarceration provided such inmates with knowledge and skill in a trade or occupation that enabled such former inmate to earn a livelihood upon release. Directs that copies of such annual report be made available to the public at a price not to exceed the cost of printing. Authorizes the Department of Defense (DOD) to count toward the attainment of the goal set out in the National Defense Authorization Act for Fiscal Year 1987 for participation by small disadvantaged businesses, historically Black colleges and universities, and minority institutions in DOD contracting opportunities, the value of any purchase of supplies or services made by FPI from an entity described in such Act for the performance of a contract with DOD.

Bill· SS. 1627 (102nd)referred

Veterans Dignity in Health Care Act of 1991

United States · United States Congress · 2 August 1991

Veterans Dignity in Health Care Act of 1991 - Directs the Secretary of Veterans Affairs to ensure that any veteran who is furnished hospital, nursing home, or domiciliary care in a Department of Veterans Affairs (Department) facility shall be entitled to purchase and consume tobacco products there. Requires the Department to maintain, and veterans being treated to have access to: (1) a commissary or canteen for the purchase of such products; and (2) a suitable indoor area for consumption of the products.

Resolution· SCONRESS.Con.Res. 57 (102nd)open

A concurrent resolution to establish a Joint Committee on the Organization of Congress.

United States · United States Congress · 31 July 1991

Establishes a Joint Committee on the Organization of the Congress to: (1) make a full and complete study of the organization and operation of the Congress; and (2) recommend improvements in such organization and operation with a view toward strengthening its effectiveness, simplifying its operations, improving its relationships with other branches of the Government, and improving the orderly consideration of legislation. Requires a report to the Senate and the House of Representatives not later than the adjournment sine die of the 102d Congress.

Bill· SS. 1572 (102nd)referred

Medicare Skilled Nursing Facility and Home Health Benefit Act of 1991

United States · United States Congress · 26 July 1991

Medicare Skilled Nursing Facility and Home Health Benefit Act of 1991 - Amends title XVIII (Medicare) of the Social Security Act to: (1) eliminate the requirement that extended care services be provided within a certain period following hospitalization in order to be covered under the Hospital Insurance Program; and (2) cover nursing care and home health aid services provided or needed on an intermittent basis.

Bill· SS. 1554 (102nd)open

Emergency Unemployment Compensation Act of 1991

United States · United States Congress · 24 July 1991

Emergency Unemployment Compensation Act of 1991 - Establishes an emergency unemployment compensation program. Allows any State to enter into and participate in an agreement with the Secretary of Labor (the Secretary) under which the State agency which administers the State unemployment compensation law will make payments of emergency unemployment compensation: (1) to individuals who have exhausted all rights to regular compensation under State law, have no rights to such regular compensation or any additional State or Federal compensation, and are not receving Canadian compensation; and (2) for any week of unemployment beginning in the individual's eligibility period. Sets forth provisions relating to exhaustion of regular benefits and weekly amount of emergency benefits equal to regular benefits. Requires a State, under such an agreement, to establish an emergency unemployment compensation account with respect to the benefit year of each eligible individual who files an application. Limits benefit payments to not more than the amount in the individual's account. Sets forth formulas for determining the amount in such account. Provides that such amount shall be equal to the lesser of: (1) 100 percent of the total amount of regular compensation (including dependents' allowances) payable to the individual with respect to the most recent regular benefit year; or (2) the applicable limit times the average weekly benefit amount for the benefit year. Sets the applicable limit at: (1) 20 for an eight-percent period, i.e. one triggered by a total unemployment rate (TUR) of eight percent or more in the State, seasonally adjusted, for the most recent six calendar months with available data; (2) 13 for a seven-percent period; (3) seven for a six-percent period; and (4) four for any other period. Sets forth special rules relating to such applicable limits. Requires reduction in such account by the amount of extended benefits received by the individual relating to the same benefit year under the Federal-State Extended Unemployment Compensation Act of 1970. Sets the weekly benefit amount at the amount of regular compensation (including dependents' allowances) payable under the State law to the individual for such week for total unemployment. Provides for determination of periods and applicable triggers. Sets forth transition and reachback provisions for the eligibility of certain individuals for such benefits. Provides for payments to States having such agreements for emergency unemployment compensation. Sets forth financing provisions. Requires that funds in the extended unemployment compensation account of the Unemployment Trust Fund be used to make payments to States having agreements under this Act. Sets forth provisions relating to fraud and overpayments. Amends specified Federal law to repeal certain limitations on payment of unemployment compensation to former members of the armed forces. Reduces the length of required active duty by reserves for purposes of such payment. Sets forth reachback provisions. Amends the Social Security Act to establish an Advisory Council on Unemployment Compensation. Directs the Secretary of Labor to establish such a council by February 1, 1992, and every fourth year thereafter. Requires each such council to evaluate the unemployment compensation program. Sets forth membership and staff provisions. Requires each council to report to the President and the Congress by January 1 of the second year following the year in which it is required to be established. Designates as emergency requirements, pursuant to the Balanced Budget and Emergency Deficit Control Act of 1985, all direct spending amounts provided, and all appropriations authorized, by this Act (for all fiscal years). Provides that this Act shall not take effect unless, by its enactment date, the President submits to the Congress a written designation of all such direct spending amounts and authorized appropriations as such emergency requirements.

Bill· SS. 1533 (102nd)open

Securities Investor Protection Act of 1991

United States · United States Congress · 23 July 1991

Securities Investor Protection Act of 1991 - Amends the Securities Exchange Act of 1934 to provide that private rights of action may be brought either: (1) five years from the date on which violations of this Act occurred; or (2) two years from the date on which such violation was discovered or should have been discovered through reasonable diligence.

Bill· SS. 1505 (102nd)open

A bill to amend the law relating to the Martin Luther King, Jr. Federal Holiday Commission.

United States · United States Congress · 19 July 1991

Amends Federal law relating to the Martin Luther King, Jr. Federal Holiday Commission to: (1) increase its membership from 23 to 30 and its staff membership from five to eight; (2) increase the potential salary of a staff member from a GS-13 to a GS-15; and (3) authorize appropriations for FY 1992 through 1993.

Bill· SS. 1501 (102nd)open

Reclamation Reform Act of 1991

United States · United States Congress · 18 July 1991

Reclamation Reform Act of 1991 - Amends the Reclamation Reform Act of 1982 to revise and add certain definitions, including definitions of "landholding," "custom farmer," "active farmer," and "operation" as they apply under such Act. Makes changes to provisions concerning: (1) water service contracts; (2) pricing; (3) certification as a condition to the receipt of irrigation waters; (4) the application of ownership and pricing limitations to trusts; (5) landholdings of religious and charitable organizations; and (6) enforcement of payment for delivery of irrigation to landholders. Directs the Secretaries of the Interior and Agriculture to negotiate and execute a memorandum of understanding to permit the Secretary of the Interior access to, and use of, information collected and maintained by the Department of Agriculture which would aid enforcement of the ownership and pricing limitations of Federal reclamation law, including the Reclamation Reform Act of 1982.

Bill· SS. 1482 (102nd)referred

A bill to amend the Social Security Act to improve the notice of medicaid payment of medicare cost-sharing, and for other purposes.

United States · United States Congress · 17 July 1991

Amends title XVIII (Medicare) of the Social Security Act to direct the Secretary of Health and Human Services to include a clear and simple explanation of the eligibility requirements and application procedures for receiving payments under the Qualified Medicare Beneficiary Program in the annual mailing to part A (Hospital Insurance) and part B (Supplementary Medical Insurance) Medicare beneficiaries. Directs the Secretary to make recommendations to the Congress on any legislation needed to improve the provision of benefits under the Program.

Resolution· SCONRESS.Con.Res. 53 (102nd)referred

A concurrent resolution expressing the sense of the Congress that the 1981 Israeli preemptive strike against Iraqi nuclear reactor at Osirak was a legitimate and justifiable exercise of self-defense, and that the United States should seek the repeal of United Nations Security Council Resolution 487 which condemned that 1981 Israeli preemptive strike.

United States · United States Congress · 16 July 1991

Expresses the sense of the Congress that: (1) the 1981 Israeli preemptive strike against the Iraqi nuclear reactor at Osirak was a legitimate and justifiable exercise of self-defense which also reduced the threat of Iraqi nuclear aggression against countries bordering Iraq; and (2) the United States should seek the repeal of United Nations Security Council Resolution 487 which condemned the strike.

Bill· SJRESS.J.Res. 178 (102nd)referred

A joint resolution prohibiting the proposed export to the Republic of Korea of certain technical data and equipment related to the sale of F-16C/D aircraft, pursuant to section 36(c) of such Act.

United States · United States Congress · 15 July 1991

Prohibits the proposed export to the Republic of Korea of technical data and equipment described in the certification transmitted to the Congress pursuant to a specified Section of the Arms Export Control Act on July 8, 1991 (transmittal number MC-42-91).

Bill· SJRESS.J.Res. 177 (102nd)referred

A joint resolution prohibiting the proposed sale to the Republic of Korea of F-16C/D aircraft and other specified defense articles and defense service, pursuant to section 36(b)(1) of the Arms Export Control Act.

United States · United States Congress · 15 July 1991

Prohibits the proposed sale to the Republic of Korea of F-16 C/D aircraft and other defense articles and defense services described in the certification transmitted to the Congress pursuant to a specified section of the Arms Export Control Act on July 8, 1991 (transmittal number 91-37).

Bill· SS. 1449 (102nd)referred

A bill to develop Federal Government performance standards and goals plans, and for other purposes.

United States · United States Congress · 11 July 1991

Directs the Office of Management and Budget (OMB) to promulgate regulations requiring each department and agency to establish a performance standards and goals plan for each major expenditure category of the budget of such department or agency. Requires OMB to: (1) review and adjust such plans and establish an overall performance standards and goals plan for the Federal Government; and (2) monitor the implementation by each agency of its performance standards and goals and correction of other identified program problems or material weaknesses. Provides that it shall not be in order for either House of Congress to consider any bill or resolution which provides for the authorization of appropriations or for the appropriation of funds, unless it specifies performance standards and goals for such authorization or appropriation. Amends the Inspector General Act of 1978 to direct each Inspector General to: (1) determine in each audit conducted, supervised, or coordinated whether any material weakness exists; and (2) investigate allegations of fraud or misrepresentation in reports by Federal managers. Applies such requirements to any Inspector General to whom the provisions of such Act do not apply. Requires each audit by the Comptroller General of an agency to include a determination of whether any material weakness exists. Amends the Inspector General Act of 1978 to require each Inspector General to include in immediate reports on serious or flagrant problems information regarding: (1) a failure to meet established policy objectives and the performance standards discussed above; and (2) any problem, abuse, or deficiency causing a material loss to the Government. Requires the semiannual reports submitted by the Secretary of Housing and Urban Development to include a statement of the goals for each program under the Department and the measure of the effectiveness with which the Department has obtained such goals during the reporting period, together with an assessment of actions to be taken to achieve the goals.

Bill· SS. 1463 (102nd)referred

Comprehensive Wetlands Conservation and Management Act of 1991

United States · United States Congress · 11 July 1991

Comprehensive Wetlands Conservation and Management Act of 1991 - Amends the Federal Water Pollution Control Act to revise provisions concerning permits for dredged or fill material. Prohibits, unless such activity is undertaken pursuant to a permit issued by the Secretary of the Army: (1) the discharge of dredged or fill material into U.S. waters; or (2) the draining, channelization, or excavation of wetlands. Authorizes the Secretary to issue permits for such activities. Sets forth permit application procedures. Requires the Secretary, upon receiving applications, to: (1) classify as Type A wetlands wetlands that are of critical significance to the long-term conservation of the ecosystem of which they are a part and which meet specified requirements; (2) classify as Type B wetlands wetlands that provide habitat for a significant population of avian, aquatic, or wetland dependent wildlife or provide other significant wetlands functions; and (3) classify as Type C wetlands wetlands that serve marginal functions but exist in such abundance that regulation of activities is not necessary to conserve wetlands values and functions, or are prior converted cropland, fastlands, or wetlands within intensely developed areas that do not serve significant wetlands functions. Directs the Secretary to notify a permit applicant of the classification. Permits owners of interests in Type A wetlands to seek compensation for the fair market value of such lands. Provides that title for such lands shall pass to the United States upon acceptance of an offer for compensation. Deems such takings to be takings of surface interests in lands only or water rights allocated under State law unless the Secretary determines that the exploration for, or development of, oil and gas or mineral interests is not compatible with conservation of the surface interests in lands that have been classified as Type A wetlands. Authorizes the Secretary to classify such interests as Type A wetlands and to notify the owner that he may receive compensation. Sets forth provisions concerning court jurisdiction and remedies for taking of interests. Requires the Secretary to deny a permit authorizing activities in Type A wetlands unless: (1) such activities can be undertaken with minimal alteration or surface disturbance; (2) there are overriding public interest concerns that require use of the lands for purposes other than conservation; or (3) the proposed use of the land will result in overall environmental benefits. Authorizes the Secretary to issue a permit for activities in Type B wetlands subject to conditions that ensure that the watershed or aquatic ecosystem of which such wetlands are a part does not suffer loss or degradation of wetlands values or functions. Imposes requirements for mitigation when such activities result in the permanent loss or degradation of Type B wetlands where such loss or degradation is not a temporary or incidental impact. Directs the Secretary to establish a mitigation banking program in each State to ensure compensation for loss and degradation of wetlands. Requires the primary objective of such programs to be to provide for the restoration, enhancement, or creation of ecologically significant wetlands on an ecosystem basis. Sets forth requirements of such programs. Permits activities in Type C wetlands to be undertaken without specified authorization. Authorizes the Secretary to issue general permits on a State, regional, or nationwide basis for activities in wetlands if such activities are similar in nature and will not result in the significant loss of ecologically significant wetlands values and functions. Exempts specified activities from this Act's requirements. Permits States or political subdivisions to submit land management plans for identified wetlands for the Secretary's approval. Authorizes and directs the Secretary to establish standards that govern the delineation of lands as wetlands. Prohibits more than 20 percent of any county, parish, or borough from being classified as Type A wetlands. Requires the Director of the U.S. Fish and Wildlife Service to undertake a project to identify and classify U.S. wetlands. Provides for public participation in such project and makes information concerning identification and classification available to the public. Authorizes the Secretary to commence civil actions for permit violations. Prescribes civil penalties for such violations. Authorizes States to administer permit programs for activities covered by this Act, subject to the Secretary's approval.

Bill· SS. 1455 (102nd)referred

World Cup USA 1994 Commemorative Coin Act

United States · United States Congress · 11 July 1991

World Cup USA 1994 Commemorative Coin Act - Directs the Secretary of the Treasury to issue a specified number of five-dollar gold coins, one-dollar silver coins, and half-dollar clad coins in commemoration of the 1994 World Cup and the unique appeal of soccer. Sets forth certain features of such coins and provides for their design, issuance, and sale. Requires that all sales include a surcharge of $35 per coin for the five-dollar coins, $7 per coin for the one-dollar coins, and $1 per coin for the half-dollar coins. Requires that all surcharges be paid to the Organizing Committee to organize and stage the 1994 World Cup. Requires that ten percent of such funds shall be made available through the U.S. Soccer Federation Foundation, Inc., for distribution to institutions for scholastic scholarships to qualified students.

Bill· SS. 1447 (102nd)referred

A bill to amend the Internal Revenue Code of 1986 to provide a 3-year extension of the low-income housing credit, and for other purposes.

United States · United States Congress · 11 July 1991

Amends the Internal Revenue Code to extend the low-income housing credit for three years from applicable terminating dates. Allows housing credit agencies to collect a reasonable fees for compliance monitoring. Requires such agencies to take into account project developer fees when determining the financial feasibility of a housing project and the credit to be allocated to such project.

Bill· SS. 1441 (102nd)referred

Agriculture Disaster Assistance Act of 1991

United States · United States Congress · 10 July 1991

Agriculture Disaster Assistance Act of 1991 - Title I: Emergency Livestock Assistance - Amends the Agricultural Act of 1949 to prohibit a person from receiving emergency feed assistance under this title and disaster assistance for the same 1991 weather damaged crops. Subjects eligible recipients to specified combined payments and benefits limitations. Directs the Secretary of Agriculture to implement an emergency forage program to reseed 1991 weather damaged forage crops. Limits: (1) Federal cost-sharing to 50 percent; and (2) individual payments to $3,500. Funds such program through the Commodity Credit Corporation (with a $50,000,000 limit). Directs the Secretary to implement an emergency freshwater aquaculture assistance program to restore 1991 weather damaged structures. Limits: (1) Federal cost sharing to 50 percent; and (2) program costs to $5,000,000. Title II: Emergency Crop Loss Assistance - Subtitle A: Annual Crops - Directs the Secretary to make 1991 disaster payments to producers of wheat, feed grains, upland cotton, extra long staple cotton, rice, peanuts, sugar, tobacco, oilseeds, and other nonprogram crops. Extends crop quality reduction disaster assistance through the 1991 crop year. Reduces disaster assistance payments in relation to Federal crop insurance payments. Requires producers to obtain Federal crop insurance for 1992 in order to be eligible for disaster payments and other specified assistance for 1991 crop losses. Sets forth exempted circumstances. Requires the Secretary to announce within a specified time the conditions for establishing a 1991 farm yield for forage-use-crops. Limits assistance under this subtitle to $100,000. Prohibits double payments on replanted acreage. Authorizes: (1) the substitution of crop insurance program yields for 1991 disaster assistance eligibility purposes; and (2) the Secretary to determine a de minimis yield for each crop eligible for reduced yield disaster payments. Subtitle B: Administrative Provisions - Directs the Secretary to make full disaster assistance available as soon as possible. Subtitle C: Sense of Congress - Expresses the sense of the Congress regarding disaster payments' purposes of preserving farm livelihoods and the financial health of rural communities. Title III: Other Emergency Provisions - Directs the Secretary to provide loan guarantees through the Rural Development Insurance Fund to rural businesses (including Indian tribes) who have suffered 1991 disaster damage. Limits: (1) individual guarantees to 90 percent of $500,000; and (2) aggregate guarantees to $200,000,000. Amends the Agricultural Act of 1949 to authorize temporary crop acreage base shifting.

Bill· SS. 1424 (102nd)open

A bill to amend chapter 17 of tile 38, United States Code, to require the Secretary of Veterans Affairs to conduct a mobile health care clinic program for furnishing health care to veterans located in rural areas of the United States.

United States · United States Congress · 28 June 1991

Directs the Secretary of Veterans Affairs, during the five-year period beginning on October 1, 1991, to conduct a rural mobile health care clinic program in States in which significant numbers of veterans reside in rural areas. Makes eligible for such mobile health care veterans otherwise eligible for veterans' health care who reside at least 100 miles from the nearest Department of Veterans Affairs health-care facility. Requires the Secretary to begin operation of at least three mobile health care clinics in each fiscal year of the program. Requires the Secretary to report to the Congress an evaluation of the program. Authorizes appropriations for FY 1992 through 1996.

Bill· SS. 1423 (102nd)open

Limited Partnership Rollup Reform Act of 1991

United States · United States Congress · 28 June 1991

Limited Partnership Rollup Reform Act of 1991 - Amends the Securities and Exchange Act of 1934 to revise proxy solicitation rules with respect to partnership rollup transactions (in which general partners combine several limited partnerships into one unit that trades on a stock exchange). Requires any proxy rules prescribed by the Securities Exchange Commission (SEC) to: (1) permit dissenting shareholders in a proposed rollup to contact other limited partners before the transaction date without first having to file a written proxy statement with the SEC; (2) prohibit any general partner from paying directly or indirectly any person providing solicitation services (a broker-dealer) on the basis of whether the solicitations either approve or disapprove the proposed transaction, or the compensation is contingent on the transaction's approval or completion; (3) require the issuer to provide to a shareholder (limited partner) a list of all limited and general partners involved in the proposed rollup; (4) require the rollup prospectus to be clear, concise, and understandable and summarize all effects of the proposed transaction, conflicts of interest, changes in voting rights and ownership interests, dissenters' rights, and other pertinent information; (5) provide that the soliciting material describe in reasonable detail any opinion, appraisal, or report that is prepared by a person, unaffiliated with the general partner or sponsor and received by the entity subject to the transaction or its affiliates and that is related to the proposed transition; (6) require that each prospectus be accompanied by an independent opinion on the rollup's fairness; and (7) give each shareholder at least 60 days to review the prospectus; and (8) contain such other provisions as the SEC determines necessary. Requires the rules of a national securities association to prevent association members from participating in any rollup transaction unless it protects the rights of dissenting limited partners, including: (1) the right to an appraisal and compensation, or to retain a security under the same terms as the original issue; (2) the right not to have dissenters' voting power unfairly reduced or abridged; (3) the right not to bear the costs of a rejected rollup; and (4) restrictions on the conversion of management profit-sharing interests and incentive fees into asset-based management fees. Requires a national securities exchange to prohibit the listing of any security resulting from a rollup transaction unless it provided for such dissenters' rights. Requires SEC rules to prohibit any national market system from trading any security resulting from a rollup transaction unless it provided for such dissenters' rights.

Bill· SJRESS.J.Res. 170 (102nd)open

A joint resolution designating September 20, 1991, as "National POW/MIA Recognition Day", and authorizing the display of the National League of Families POW/MIA flag on flagstaffs at certain Federal facilities.

United States · United States Congress · 27 June 1991

Designates September 20, 1991, as National POW/MIA Recognition Day. Authorizes the POW/MIA flag to be flown on a flagstaff of the White House, the Departments of State, Defense, and Veterans Affairs, the Selective Service Commission, each national cemetery, and the National Vietnam Veterans Memorial on such day. Provides that the flag may be flown on a flagstaff of each national cemetery and the National Vietnam Veterans Memorial on May 30, 1991 (Memorial Day), and on September 2, 1991 (Labor Day). States that it is the sense of the Congress that the POW/MIA flag be displayed under this Act as an expression and symbol of the concern and commitment of the people and the U.S. Government to resolving the uncertainty relating to members of the U.S. armed forces who are missing in action or whose locations are unknown as result of United States foreign wars (including those members who may still be prisoners of war).

Bill· SS. 1397 (102nd)referred

A bill to condition funding for coproduction with South Korea of the F-16 aircraft on receipt by Congress of the relevant Memorandum of Understanding (MOU) and to extend the 30-day congressional review period until the MOU is received.

United States · United States Congress · 26 June 1991

Prohibits the use of appropriated funds for the export, or the licensing for export, to South Korea of technology for coproduction of F-16 aircraft until at least 30 days after the Congress has received a specified memorandum of understanding. Provides for an extension of the congressional review period until the President transmits such memorandum to the Congress.