Skip to content
PoliticalRepoPoliticalRepo

Person

Official portrait of Sen. Stafford, Robert T. [R-VT]

Sen. Stafford, Robert T. [R-VT]

United States · Official source

Records

1,874 records where Sen. Stafford, Robert T. [R-VT] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· SS. 1894 (100th)open

Clean Air Standards Attainment Act of 1987

United States · United States Congress · 20 November 1987

Clean Air Standards Attainment Act of 1987 - Title I: Requirement for Nonattainment Areas - Amends the Clean Air Act to authorize States to submit a revised implementation plan for nonattainment areas unable to attain the national primary ambient air quality standard for photochemical oxidants (ozone) and/or carbon monoxide, requiring compliance no later than the end of 1992. Requires such revised plan to include: (1) a vehicle emission control inspection and maintenance program; (2) gasoline vapor recovery of hydrocarbon emissions in certain ozone nonattainment areas; (3) a schedule for implementing the use of alternative fuels or power sources; (4) emissions reductions through the adoption of reasonably available control technology in ozone nonattainment areas; and (5) compliance with the lowest achievable emission rate by new or modified major stationary sources. Requires States to develop an implementation plan for nonattainment areas where ozone exceeds the national primary ambient air quality standard by more than 50 percent and the extended compliance schedule cannot be met by the implementation of the additional requirements. Requires this implementation plan to require the identification and adoption of specific enforceable strategies and transportation control measures, including: (1) restricted vehicle use in emission concentration areas; (2) high occupancy vehicle limitations; (3) improved public transit; (4) the use of cleaner fuels by fleet vehicles; and (5) other traffic flow and ridesharing measures. Requires such ozone nonattainment areas to achieve a specified percent total emissions reduction annually, including major stationary sources. Permits a State to substitute a percentage that will achieve the national primary ambient air quality standard within ten years. Requires per ton fees and excess emissions penalties. Requires monies collected to be used to fund air pollution control programs under this Act. Requires compliance reports at least every three years. Requires offsetting emission reductions in such area to be at least twice as great as the amount of allowable emissions from proposed sources. Requires that the use of technology or emission reduction methods in nonattainment areas should reflect the highest ten percent achieved for the same class or category of source when meeting the lowest achievable emission rate for new or modified sources. Directs the Administrator of the Environmental Protection Agency to publish and revise control technique guidelines for specified categories of sources, including wood furniture coating and hazardous waste facilities. Establishes ozone transport regions and commissions within each region to facilitate the attainment of the national air quality standard for ozone in nonattainment areas affected by emissions in other areas. Requires such commissions to identify controllable sources and other measures to attain the ozone air quality standard. Prohibits the construction or modification of a major stationary source or the award of certain Department of Transportation grants in any nonattainment area which remains a nonattainment area or which is not in compliance with plan implementation requirements. Prohibits the introduction of any pollutant into a publicly owned sewage treatment works with a Clean Water Act permit by a source not utilizing such treatment works prior to a plan implementation violation in a nonattainment area, except when the applicable implementation plan provides for an offset. Permits ozone nonattainment areas to delay compliance with the primary national ambient air quality standard for up to three years if all good faith efforts to attain such standard have been made. Authorizes the Administrator to make grants to facilitate the implementation of revised standards and plans. Requires activities under the Outer Continental Shelf Lands Act performed on the Outer Continental Shelf to comply with the requirements of the Clean Air Act as they would apply to the adjacent State. Authorizes States to control emissions from vessels within their jurisdiction. Title II: Acid Deposition Control - Amends the Clean Air Act to require each State to adopt Administrator-approved enforceable measures to reduce sulfur dioxide emissions in three stages between 1993 and 2000, and to reduce oxides of nitrogen emissions by 1996. Requires covered stationary sources in each State to certify the means of compliance and to be in compliance by specified dates. Prohibits emission increases from newer sources without a corresponding net reduction not otherwise required. Authorizes States with actual utility emissions at specified levels to substitute other standards and enforceable measures. Requires States to submit to the Administrator electric load forecasts and emission reduction contingency plans. Sets emissions limitations for States without enforceable measures. Sets forth methods which may be used, including: (1) energy conservation as the first priority; (2) least emissions dispatch; (3) source retirement; (4) trading of reduction requirements within State; and (5) precombustion cleaning of fuels. Prohibits interstate trading of emissions reductions except in areas served by a utility service territory in more than one State. Directs the Secretary of Energy, acting jointly with the Administrator of the Environmental Protection Agency, to carry out a program of construction and operation of facilities to develop experience in the commercial deployment of clean coal technologies which significantly reduce air emissions of sulfur dioxide or oxides of nitrogen from the generation of electricity or industrial process steam. Includes within such program the solicitation, selection, supervision, monitoring, and dissemination of information about results of proposed projects to deploy such technologies. Requires project selection to be based on applicability to existing coal-fired sources of emission, reductions achievable, and cost-effectiveness, including the ability to use feedstock coal mined in the United States. Prohibits the application of reductions achieved through this program to reductions required under a State implementation plan. Limits Federal funds to 50 percent of costs over a two-year period. Directs the Secretary and the Administrator to establish a Clean Coal Technologies Advisory Committee to select projects. Authorizes appropriations for FY 1988 through 1992. Requires primary nonferrous smelters to be in compliance with applicable emission standards by 1988. Directs the President to negotiate with Canada and Mexico to establish cooperative efforts in controlling transboundary air pollution, including uniform standards of performing to control air pollutant emissions. Directs the Secretary of the Treasury to study and report to the appropriate congressional committees on a system of tariffs on emissions to encourage reductions. Directs the National Academy of Sciences to evaluate and report to the Congress on research priorities for sources and the long-range transport of air emissions. Directs the Administrator to report to the appropriate congressional committees on the feasibility and effectiveness of acid deposition standards to protect sensitive and critically sensitive aquatic and terrestrial resources, including an identification of such resources and impediments to implementing such a control program. Title III: Mobile Source and Other Federal Controls - Sets emission standards for light-duty vehicles and engines: (1) for hydrocarbons after model year 1992; (2) for oxides of nitrogen after model year 1990; and (3) for particulates after model year 1989. Sets emission standards for heavy-duty vehicles and engines for oxides of nitrogen during and after model year 1991 and model year 1995. Sets standards for particulates from heavy-duty diesel vehicles and engines for model years 1991 and 1994. Sets emission standards for light-duty trucks and engines during and after model year 1990 for oxides of nitrogen, hydrocarbons, particulates, and carbon monoxide. Requires motorcycles and motorcycle engines to comply with the standards for light-duty vehicles during and after model year 1992. Requires onboard hydrocarbon control technology for light-duty vehicles during and after model year 1991. Requires the Administrator to regulate formaldehyde emissions. Directs the Administrator to prohibit the manufacture and sale of engines requiring leaded gas. Requires additional regulation of carbon monoxide emissions. Doubles the useful life of light-duty vehicles and engines for purposes of standards established by this Act. Requires each of a manufacturer's vehicles and engines, not the average, to meet each of the emission standards of this Act. Directs the Administrator to add an idle test mode to the Federal Test Procedure for light-duty vehicles. Requires certificates of conformity to be suspended or revoked if fewer than 90 percent of new vehicles or engines tested in a sampling period conform with applicable regulations. Requires the Administrator to use State information when making determinations of nonconformity. Requires the Administrator to establish a testing center for high altitude conditions. Prohibits the sale of devices designed to be installed in a motor vehicle to defeat pollution control and other devices required by this Act. Sets forth procedures for determining civil penalties. Requires States with vehicle inspection and maintenance programs to adopt quality control audits. Requires new vehicles to be labeled with pollution control warranty costs. Sets standards for sulfur content in diesel fuel after July 1, 1990. Sets standards for Reid vapor pressure of gasoline sold during warm weather months following April 1, 1990. Requires the sale of oxygenated fuels in nonattainment areas. Directs the Administrator to report to the appropriate congressional committees on the use of such fuels. Sets forth procedures for determining civil penalties. Prohibits the use of fuels or additives in a motor vehicle not designed for such fuels or additives. Requires the Administrator to establish emission limitations, or standards of performance, composition, or application for hydrocarbon emissions associated with specified categories of sources, including solvents, coatings, and pesticide application. Increases criminal penalties for the knowing violation of certain provisions of this Act, including provisions relating to applicable implementation plans, and for the making of false statements. Directs the Administrator to promulgate performance standards for emission of specified air pollutants, including particulate matter, oxides of sulfur, and lead, from new or modified municipal waste incineration units. Requires such standards to reflect the best level of emission limitation achieved in practice by similar units under optimal conditions. Makes available specified technologies, including dry and wet scrubbing, fabric filtration, and source reduction and source separation. Establishes specific, minimum requirements for degree of thermal destruction of combustibles, reductions of emissions of certain pollutants, and outlet gas concentrations of certain pollutants. Requires jurisdictions served by a municipal incineration unit to have an enforceable solid waste management plan before a State program may issue a permit for a new or modified unit. Requires such plan to reflect the operation of the new or modified unit. Directs the Administrator to promulgate regulations requiring existing units to meet the emissions standards promulgated under this Act according to a timetable which requires compliance within six years. Requires the shutdown of units which fail to meet certain outlet gas concentration limitations by specified dates. Requires owners or operators of municipal waste incineration units to monitor emissions at the point such emissions move into the ambient air and at other points as necessary to protect human health and the environment. Requires such owners or operators to pay for a program to detect impacts of the unit on humans or the environment, including the testing for and reporting of significant levels of contaminants. Requires such owners or operators to comply with certain reporting requirements under Superfund. Sets monitoring standards, including continuous and periodic monitoring. Requires unit permits to be reviewed every five years after their issuance for compliance with emissions and other requirements of this Act. Permits States to submit for Administrator approval a State program of enforcement, treating the State as an enforcing entity under this Act. Authorizes the Administrator to withdraw such authority if the State is not adequately enforcing these requirements. Directs the Administrator to establish a model State program for the training and certification of municipal waste incinerator personnel. Requires operating personnel to pass such training or be certified by an authorized State program. Amends the Solid Waste Disposal Act to direct the Administrator to develop and promulgate criteria and testing procedures for managing municipal incinerator bottom and fly ash controlled by flue gas emissions control equipment which presents a substantial hazard to human health or the environment. Requires the installation of liners, a leachate collection system, and groundwater monitoring. Requires such criteria and procedures to determine leaching, total chemical analysis, respirability, and toxicity. Requires owners or operators of each such unit to separately test the bottom and fly ash, if possible. Authorizes corrective action for releases of hazardous constituents from such facilities, including post-closure monitoring. Title IV: Ambient Air Quality Standards - Amends the Clean Air Act to require the Administrator to periodically review and revise criteria and standards for each pollutant to reflect the latest available research. Directs the Administrator to report annually to the appropriate congressional committees on such review process. Directs the Administrator to promulgate additional national primary ambient air quality standards for ozone, nitrogen dioxide, sulfur dioxide, fine particles, and acid aerosols based upon concentrations over different time periods and different conditions. Authorizes a substitution of standards for particulate matter. Requires the Clean Air Scientific Advisory Committee to advise the Administrator on high-altitude concentrations of carbon monoxide. Title V: Hazardous Air Pollutants - Requires the Administrator to promulgate, review, and revise emission standards for listed categories of pollutants every three years. Provides for the addition and deletion of substances to and from such list. Directs the Administrator to list categories of sources emitting listed toxic pollutants. Requires emission standards for such pollutants from such sources to be at least equivalent to the most stringent levels achieved in practice. Directs the Administrator to promulgate leak detection and correction requirements to protect human health and the environment which may require annual audits and safety inspections. Sets forth a schedule for promulgating such emission standards based upon quantities and toxicity. Requires the Administrator to list and report to the Congress on categories of area sources of air pollutants subject to control under these requirements to require reductions of emissions according to a prescribed schedule. Revises the national emission standards for hazardous air pollutants. Expands the scope of hazardous air pollutants to include air pollutants which may have adverse environmental as well as human health effects. Requires the Administrator's list of such pollutants to include categories of the source emitting such pollutants. Directs the Administrator to develop criteria to assess air pollutants or classes of pollutants for addition to such list. Requires that decisions to list or not to list a pollutant be subject to public comment. Requires a final determination within five years of an initial determination that insufficient information exists to judge a pollutant as hazardous or nonhazardous. States that the emitters of such pollutant may be required to finance the research to determine its status. Requires such standards to protect human health with an ample safety margin unless a more stringent standard is required to protect the environment. Prohibits consideration of cost and technological feasibility when setting such standards. Permits more stringent interim standards for suspected carcinogens. Grants existing sources up to three years to meet applicable standards (current law allows 90 days). Permits an exemption for up to eight years for a source emitting a pollutant for which there is no health effects threshold where the owners or operators would experience extraordinary economic hardship. Requires such sources to comply with an alternative emission limitation resulting from the application of the best available technology. Imposes emissions standards and other requirements for stationary sources through permits. Authorizes each State to develop and submit to the Administrator for approval programs for control of emissions of toxic and hazardous air pollutants from stationary sources or for the prevention and mitigation of releases of extremely hazardous air pollutants from facilities in such State. Authorizes States to assume the Administrator's authorities to control such pollutants, either in whole or in part. Directs the Administrator to publish guidance for such programs within one year. Includes procedures and standards for emissions control as well as registration of all facilities handling any listed extremely hazardous air pollutant. Directs the Administrator to establish an air toxics clearinghouse to provide information and assistance to States. Authorizes the Administrator to make grants to States to assist in program development. Offers States an opportunity to modify unapproved programs. Requires the Administrator to withdraw approval of any State program which is not administering or enforcing its program. Requires the Administrator to list extremely hazardous substances which may cause acute or chronic adverse human health effects as a result of non-sudden or episodic events. Requires owners or operators of facilities or devices where such releases might take place to carry out hazardous assessments. Establishes within EPA the Chemical Safety and Hazards Investigation Board, an independent safety board to investigate and report on chemical accidents, evaluate hazard assessment techniques, and make recommendations to the Administrator on the safety of chemical production, handling, and storage. Requires the Administrator to explain any refusal to implement such a recommendation. Authorizes the Board to hold hearings, secure data and written reports from any person handling chemicals, and conduct inspections where extremely hazardous substances are produced, handled, or stored. Grants the Board an independent budget. Requires that Board-collected information, other than trade secrets, be made available to the public. Requires the Board to report annually to the President and the Congress on accidents, recommendations, and priorities for research and investigations. Authorizes appropriations for FY 1988 through 1992. Authorizes the Administrator to promulgate release prevention, detection, and correction requirements for extemely hazardous air pollutant facilities. Includes monitoring, recordkeeping, and other design, equipment, and operational practices. Authorizes the Administrator to secure injunctive or other relief when an extremely hazardous air pollutant from a facility poses an imminent and substantial endangerment to the public health or welfare or the environment. Establishes per day civil penalties for violations of such orders. Directs the Administrator to publish guidance for the coordination of such authority with the relevant authorities under other Federal environmental laws. Authorizes the Administrator to require owners or operators of facilities emitting hazardous or toxic air pollutants or producing or handling extremely hazardous listed air pollutants to monitor emissions from the source and in the vicinity, maintaining records of the results. Directs the Administrator to assess and report to the Congress on hazards associated with emissions of hydrogen sulfide, benzene, and aromatic hydrocarbons.

Resolution· SRESS.Res. 329 (100th)referred

A resolution to urge significant deficit reduction by enacting at a minimum an across-the-board freeze of all Federal spending and existing Federal tax rates.

United States · United States Congress · 20 November 1987

Recommends that a one-year across the board freeze of all Federal spending and existing Federal tax rates be adopted at the earliest possible date to help restore national and international confidence in the U.S. economy. Urges that such freeze encompass: (1) all appropriated accounts for defense and nondefense discretionary spending with spending maintained at FY 1987 budget authority levels; (2) inflation adjustments for all Federal entitlement beneficiaries limited to two percent, except for supplemental security income; and (3) existing Federal tax rates for individuals and corporations. Provides for the automatic implementation of inflation adjustments and tax rate reductions immediately following the one-year freeze. Urges that such a one-year freeze be considered as the minimum acceptable step toward deficit reduction and that asset sales, improved tax compliance, and other deficit reduction measures be seriously considered.

Bill· SS. 1877 (100th)referred

Sugar Supply Stabilization Act of 1987

United States · United States Congress · 17 November 1987

Sugar Supply Stabilization Act of 1987 - Amends the Food Security Act of 1985 and the Agricultural Act of 1949 with respect to price support levels for crops of sugar beets and sugarcane. Reduces the sugar support price progressively over crop years from 18 cents per pound in 1986 to 12 cents per pound in 1991 and thereafter. Increases the annual import quota applicable to sugars, syrups, and molasses derived from sugarcane or sugar beets by 500,000 tons per year for 1989 through 1992. Repeals provisions of the Food Security Act of 1985 that authorize the President to take certain actions to prevent sugar loan forfeitures. Directs the Secretary of Agriculture to conduct a study and report to specified congressional committees concerning means of reducing the difference between the loan rate and the market stabilization price by using alternative methods for determining transportation differentials, regional loan rates, and the market stabilization price of sugar.

Law· SS. 1851 (100th)enacted

Genocide Convention Implementation Act of 1987 (the Proxmire Act)

United States · United States Congress · 5 November 1987

Genocide Convention Implementation Act of 1987 - Amends the Federal criminal code to establish the criminal offense of genocide. Sets forth penalties to be imposed upon anyone who commits or attempts to commit any of the acts which constitute genocide (a fine of $1,000,000 and/or imprisonment for up to 20 years, and life imprisonment if group members are killed). Sets forth criminal penalties (a fine of $500,000 and/or imprisonment for up to five years) for directly and publicly inciting an act of genocide.

Bill· SS. 1855 (100th)referred

A bill to authorize a certificate of documentation for the vessel White Seal.

United States · United States Congress · 5 November 1987

Authorizes the Secretary of the department in which the Coast Guard is operating to cause a named vessel to be documented as a vessel of the United States entitled to engage in the coastwise trade, the Great Lakes trade, and the fisheries.

Resolution· SRESS.Res. 312 (100th)passed

A resolution expressing the sense of the Senate with respect to ratification of the Montreal Protocol to the Vienna Convention for the Protection of the Ozone Layer.

United States · United States Congress · 3 November 1987

Expresses the sense of the Senate that: (1) the ozone "hole" that forms over Antarctica poses a threat to public health and the world environment; (2) the United States should take steps toward ratification of the Montreal Protocol To Control Ozone Depleting Substances as soon as possible; (3) the President should immediately transmit the Protocol to the Senate for prompt ratification; and (4) the President should immediately call upon a sufficient number of countries to move toward ratification so that the Protocol will enter into force as soon as possible.

Bill· SS. 1823 (100th)referred

Toll Highways Act of 1987

United States · United States Congress · 27 October 1987

Toll Highways Act of 1987 - Amends Federal law regarding toll facilities to provide that all highways, bridges, and tunnels which are constructed or rehabilitated shall, with specified exceptions, be free from tolls of all kinds. Authorizes Federal participation in the construction and maintenance of toll highways, bridges and tunnels other than on the Interstate system. Limits the Federal share payable for such projects to 35 percent. Mandates that: (1) such highways, bridges or tunnels be publicly owned and operated; and (2) for a project to qualify for such funds the State highway department must agree that toll revenues in excess of construction, debt service, and maintenance costs will be used for highway construction on any public road. Makes Federal-aid highway funds available for obligation on projects approaching any toll road, bridge or tunnel. Declares that construction or relocation costs of toll collection equipment or facilities are not eligible for Federal funds. Authorizes Federal participation in any engineering and fiscal assessments, traffic analyses, and preliminary design analyses necessary to determine whether a privately owned toll facility shall be acquired by a State (or political subdivision). Delineates circumstances under which Federal participation is authorized for the construction of both toll and free ferryboats, including construction projects constituting approaches to such ferryboats on either the Federal-aid primary or secondary system (but not on the Interstate system). Authorizes such Federal participation upon the condition that: (1) the operating authority and the amount of fares charged shall be under the control of a State agency or official; and (2) all revenues derived from publicly owned or operated ferries shall be applied to construction, operation, and maintenance costs. Authorizes the Secretary of Transportation to cancel certain agreements entered into with a State before the date of enactment of this Act if a State requests such cancellation, and if it enters into an agreement with the Secretary regarding toll facilities as detailed in this Act. Retains the eligibility of certain toll facilities for Federal participation upon request of the authority that selects the facility.

Bill· SS. 1817 (100th)open

Education Savings Act of 1987

United States · United States Congress · 23 October 1987

Education Savings Act of 1987 - Amends the Internal Revenue Code to permit an income tax exclusion to a taxpayer who transfers a qualified U.S. savings bond to an eligible institution of higher education or vocational school to pay the higher education expenses (tuition, fees, books, supplies, and equipment) of the taxpayer, spouse, or dependent. Excludes from gross income the lesser of: (1) the otherwise taxable amount involved in the transfer; or (2) the amount of the relevant higher education expenses. Phases out the permissible exclusion in the case of taxpayers having adjusted gross income of $75,000 or more, disallowing it entirely when income exceeds $150,000. Directs the Secretary of the Treasury to advise the general public of the program established by this Act. Amends Federal law to permit: (1) the type of transfer of U.S. savings bonds that would be necessary to effect the tax exclusions described in this Act; and (2) redemption of such bonds by recipient institutions.

Bill· SS. 1809 (100th)referred

Toxic Substances Control Act Amendments Act of 1987

United States · United States Congress · 22 October 1987

Toxic Substances Control Act Amendments Act of 1987 - Amends the Toxic Substances Control Act to add an additional title, the Federal Building Asbestos Control Act of 1987. Directs the Administrator of the Environmental Protection Agency to promulgate regulations, within 360 days of enactment, for asbestos hazard abatement in Federal and other buildings. Requires such regulations to address: (1) building inspections; (2) appropriate response actions based upon potential or actual degree of significant damage; (3) notification and implementation of response actions; (4) an operations and maintenance and repair program; (5) periodic surveillance needs; (6) the transportation and disposal of asbestos-containing waste material; and (7) management plans for each covered building requiring periodic inspections by accredited personnel, response actions when appropriate, and warning labels on any asbestos-containing material still in routine maintenance areas. Requires that such plans be approved by the Administrator and be available to the public. Requires notices in occupied buildings where asbestos abatement activities will occur. Sets forth guidelines and a compliance schedule should the Administrator fail to promulgate regulations within the prescribed period. Requires individuals who inspect, manage, abate, and analyze asbestos problems to be accredited by a State or pursuant to an Administrator-approved course. Requires all Federal buildings to be inspected for asbestos within 730 days of the enactment of this Act. Prohibits the Federal leasing of any building not inspected for asbestos. Prohibits discrimination against whistleblowers. Sets forth the duties of an Asbestos Ombudsman, including receiving and responding to requests for information and grievances and making recommendations. Adds an additional title to such Act, the Asbestos Information Act of 1987. Requires asbestos or asbestos-containing material manufacturers to report to the Administrator the years of manufacture, the type or classes of products, and other identifying characteristics. Requires the Administrator to publish such information.

Law· SJRESS.J.Res. 206 (100th)enacted

A joint resolution to declare Dennis Chavez Day.

United States · United States Congress · 20 October 1987

Designates April 8, 1988, as Dennis Chavez Day in recognition of the first American-born, Hispanic person elected to the Senate.

Bill· SS. 1778 (100th)open

Rural Educational Opportunities Act

United States · United States Congress · 8 October 1987

Rural Educational Opportunities Act - Establishes a rural educational opportunities program. Directs the Secretary of Education to make grants to, or enter into contracts with, institutions of higher education or public or private nonprofit agencies (including regional educational laboratories), or combinations of such institutions or agencies to pay all or part of the cost of establishing and operating ten regional rural assistance centers. Requires each such center to provide technical assistance, consultation, training, and other assistance to State and local educational agencies in the region to improve the quality of education to educationally disadvantaged children participating in chapter 1 programs (under the Education Consolidation and Improvement Act of 1981) who reside in rural areas or attend small schools. Directs the Secretary to give priority to certain applications in carrying out this Act. Sets forth center coordination and dissemination requirements. Authorizes appropriations for FY 1988 through 1993.

Bill· SS. 1771 (100th)referred

A bill to amend part A of Title IV of the Social Security Act to provide that an individual under the age of 21 who otherwise meets the requirements of that part shall continue to be considered a dependent child for so long as the individual is a full time student and may be expected to complete the educational program in which the individual is enrolled before he or she attains the age of twenty-one.

United States · United States Congress · 8 October 1987

Amends part A (Aid to Families with Dependent Children) of title IV of the Social Security Act to extend the definition of "dependent child" to include those full-time students under the age 21 years.

Bill· SS. 1763 (100th)referred

An Act to Reduce Fires Caused by Cigarettes

United States · United States Congress · 7 October 1987

An Act to Reduce Fires Caused by Cigarettes - Directs the Secretary of Health and Human Services to issue by rule a fire safety standard for cigarettes. Prohibits stockpiling of cigarettes between the issuing and effective dates of the standard. Provides for judicial review of the rule. Prohibits the manufacturing or importing of a cigarette unless the cigarette is in compliance with a standard issued under provisions of this Act. Declares violation of the prohibition to be a violation of provisions of the Federal Food, Drug, and Cosmetic Act. States that this Act does not preempt any law of a State which prescribes a more stringent fire safety standard for cigarettes. Prohibits, in any civil action for damages, admitting compliance with the standard as a defense.

Bill· SS. 1752 (100th)referred

A bill to establish a Commission to study the effects of deregulation of the airline industry.

United States · United States Congress · 2 October 1987

Establishes the Commission on the Effects of Deregulation on Air Travel to study and make recommendations concerning the impact of a deregulated airline industry on the Federal Government's goal of promoting development of an air transportation industry that provides quality service to all regions of the country. Requires study in particular of the effectiveness of the essential air service program and rural service alternatives. Requires the Commission to submit a detailed final report to the Congress and the President. Terminates the Commission following its submission of such report. Authorizes appropriations.

Bill· SS. 1740 (100th)referred

Medicaid Chronically Ill and Disabled Children Amendments of 1987

United States · United States Congress · 1 October 1987

Medicaid Chronically Ill and Disabled Children Amendments of 1987 - Amends title XIX (Medicaid) of the Social Security Act to authorize States to make medical assistance available to chronically ill or disabled children under the age of 18 with family incomes below specified percentages of the poverty line and meeting other requirements. Sets forth requirements regarding: (1) the determination and redetermination of eligibility; (2) the imposition of premiums, deductions, cost sharing, or other charges; (3) the development of a written health care management plan for each individual; (4) the provision of comprehensive health care case management services; (5) assistance for part or all of the cost of home or community-based services; and (6) the application of resource and income standards and the method of determining family income.

Bill· SS. 1731 (100th)open

Youth Employment Services Act of 1987

United States · United States Congress · 30 September 1987

Youth Employment Services Act of 1987 - Amends the Job Training Partnership Act to establish a demonstration program for employment opportunities for severely disadvantaged youth. Authorizes the Secretary of Labor to carry out such programs with specified funds. Defines an eligible severely disadvantaged youth as one who: (1) is between 16 and 20 years old; (2) is economically disadvantaged; (3) has dropped out of elementary or secondary school, or has received a secondary school degree but has both reading and mathematics skills below the eighth grade level; (4) has not participated in an education or training program in the nine months preceding the month in which he or she enrolls in the program under this Act; and (5) has less than 150 hours work experience in a specified nine-month period. Requires program grant applicants to form eligible partnerships, which shall include a public agency or private nonprofit organization and a business concern or association. Allows program funds to be used for: (1) individual assessment; (2) intensive basic skills training combined with vocational training and/or work experience; (3) support services; (4) job development and placement services; (5) a monitoring period after program completion, with support services to assist in retaining employment or advancing toward an educational degree; and (6) other appropriate services to further job placement. Sets forth provisions relating to the allocation and number of demonstration grants. Set forth program agreement requirements. Sets forth provisions for program payments and the Federal share of program costs. Directs the Secretary to evaluate services provided by eligible partnerships funded under this Act. Directs the Secretary to report to the Congress on such evaluation. Authorizes appropriations for FY 1988 through 1990 to carry out this Act.

Bill· SS. 1729 (100th)open

Rural Economy Act of 1987

United States · United States Congress · 29 September 1987

Rural Economy Act of 1987 - Title I: General Provisions - Establishes in the Department of Agriculture a Rural Development Financing Authority, headed by an Assistant Secretary of Agriculture appointed by the President, with the advice and consent of the Senate. Authorizes appropriations for the Authority for FY 1988 and subsequent fiscal years. Authorizes appropriations for FY 1988 and subsequent fiscal years for: (1) the Rural Development Financing Authority; (2) the Rural Development Loan Fund; (3) rural infrastructure grants; (4) basic community facility needs grants; (5) local capacity building grants; (6) rural technology development; (7) one-stop rural financial and technical assistance centers; and (8) State incentive grants. Title II: Business Development - Subtitle A: General Provisions - Directs the Assistant Secretary to develop a program to provide interest rate subsidies to lenders for loans to private business enterprises in rural areas. Prescribes eligibility requirements for such subsidies. Sets forth a program of rural industrialization assistance, including: (1) direct and insured loans for private business enterprises encompassing economic and environmental improvement, aquaculture, and solar energy systems; (2) joint loans for such enterprises from specified Federal departments and agencies, State agencies, and private and quasi-public financial institutions; and (3) insured and guaranteed loans for the construction or improvement of subterminal facilities. Subtitle B: Rural Development Loan Fund - Establishes in the Treasury a Rural Development Loan Fund as a revolving fund to be used for making rural development loans and rural opportunity grants. Title III: Community Development Assistance for Smaller Communities - Subtitle A: Rural Infrastructure Grants - Directs the Assistant Secretary to make grants to States, territories, and Indian tribes to provide funds for the development of local infrastructure in eligible rural communities. Sets forth allocation and program requirements. Subtitle B: Basic Community Facility Needs Grants - Directs the Assistant Secretary, in cooperation with the Administrator of the Farmers Home Administration, to make grants to specified associations to test cost-effective methods of meeting the basic needs of residents of rural areas who do not have and cannot afford safe drinking water and wastewater disposal. Title IV: Capacity Building for Local Development - Directs the Assistant Secretary to make grants to public and nonprofit private institutions: (1) to stimulate local businesses in rural areas affected by recent declines or chronic underdevelopment in basic economic sectors like agriculture; (2) to establish and operate centers of rural technology development in order to promote new processes and products that can be produced in rural areas; and (3) to establish three one-stop rural financial and technical assistance centers. Title V: State Incentive Grants - Directs the Assistant Secretary to make grants to States to fund the Federal matching contribution for State programs to promote rural development. Title VI: Administration - Sets forth nondiscrimination provisions and procedures for ensuring compliance and sanctioning noncompliance (including civil actions by the Attorney General). Sets forth remedies for noncompliance with any provision of this Act, including civil actions by the Attorney General. Provides for judicial review of any termination, reduction, or limitation of payments under this Act. Requires annual reports to the Congress on progress made in carrying out this Act.

Bill· SS. 1722 (100th)open

National American Indian Museum and Memorial Act

United States · United States Congress · 25 September 1987

National American Indian Museum and Memorial Act - Title I: Establishes within the Smithsonian Institution a memorial to the American Indian people to be known as the National Museum of the American Indian, Heye Foundation, to provide for the study, research, collection, and exhibition of aboriginal Americans and their culture. Designates a specified area in the District of Columbia as the site of the Museum. Authorizes the Smithsonian to accept the transfer of all assets of the Museum of the American Indian, Heye Foundation, in New York City. Provides for the construction of a building for the Museum at the District of Columbia site, a Museum Support Center in Suitland, Maryland, and a permanent exhibition facility in New York City. Provides that the Heye Foundation's collection will not be merged with the Smithsonian's collection. Provides that the proceeds from the sale of property acquired through the transfer of the Foundation's assets will be maintained for the exclusive benefit of the Museum. Establishes the Trustees of the National Museum of the American Indian, Heye Foundation, to assist the Board of Regents of the Smithsonian on matters relating to the Museum. Grants the Trustees sole authority to: (1) dispose of and acquire additional Museum property; and (2) determine the policy for displaying artifacts. Requires the Trustees to submit annual reports to the Board of Regents and the Congress. Requires the Foundation's employees serving at the time of the transfer to be offered employment by the Smithsonian. Pledges that the United States will provide the funds needed to maintain and operate the Museum. Authorizes appropriations. Title II: Establishes a memorial within the Museum to commemorate the contributions of Indians and Alaska Natives to the United States and to house certain skeletal remains. Expresses the intent of the Congress that the memorial and Museum be completed within five years of the enactment of this Act. Requires the Secretary of the Smithsonian to determine the tribal origin of all skeletal remains of Indians and Alaska Natives under the control of the Smithsonian. Requires the Secretary to inter in the memorial all skeletal remains of Indians and Alaska Natives covered by a written statement to the Congress certifying that such remains: (1) have not been identified as being associated with a specific Indian tribe or group of Alaska Natives; or (2) have been identified as being associated with a specific Indian tribe or group of Alaska Natives which requests the interment of such remains in the memorial; and (3) are not likely to be the subject of any Indian claim or dispute. Requires the Museum to establish a Board of Design for the memorial, the majority of whose members shall be of American Indian or Alaska Native ancestry. Authorizes appropriations.

Resolution· SCONRESS.Con.Res. 76 (100th)open

A concurrent resolution to acknowledge the contribution of the Iroquois Confederacy of Nations to the Development of the United States Constitution and to reaffirm the continuing government-to-government relationship between Indian tribes and the United States established in the Constitution.

United States · United States Congress · 16 September 1987

Acknowledges the historical debt of the United States to the Iroquois Confederacy and other Indian nations for their demonstration of democratic principles and their example of a free association of independent Indian nations. Reaffirms the government-to-government relationship between the United States and Indian tribes. Reaffirms the trust responsibility and obligation of the Government to Indian tribes, including Alaska Natives. Acknowledges the need to exercise good faith in upholding treaties with the various tribes.

Bill· SS. 1673 (100th)open

Medicaid Home and Community Quality Services Act of 1987

United States · United States Congress · 10 September 1987

Medicaid Home and Community Quality Services Act of 1987 - Amends title XIX (Medicaid) of the Social Security Act to require States to provide Medicaid coverage of community and family support services for severely disabled individuals who became disabled before age 22 and are living in a family home, foster family home, or community living facility. Requires that such services be provided in accordance with a written habilitation plan developed by an interdisciplinary team on the basis of a comprehensive assessment of the individual's strengths and the services and support necessary to: (1) enable such individual to attain or retain capabilities for independence or self-care; (2) promote interaction between disabled and nondisabled individuals within the community; and (3) enable disabled individuals who are over age 18 to engage in paid employment. Increases the age at which newly disabled individuals will be eligible for this Act's coverage so that eventually individuals who become disabled between age 22 and 50 will be covered. Lists the services which may comprise community and family support services, requiring that such services include at a minimum: (1) case management services; (2) individual and family support services; (3) specialized vocational services; and (4) protective intervention services. Excludes from such services: (1) room and board, other than room and board provided for less than six consecutive weeks and less than 12 weeks per year; (2) cash payments as a service; (3) aversive behavior intervention, management, or therapies; (4) services provided to a disabled individual living in a hospital, or skilled nursing or intermediate care facility; (5) educational services which the State makes generally available to its residents without cost and without regard to their income; and (6) services for which payment is made under title XVIII (Medicare), or part A (Aid to Families with Dependent Children) or B (Child Welfare Services) of title IV of the Act. Requires each State to make certain assurances regarding their provision of community and family support services and submit an implementation strategy to the Secretary of Health and Human Services. Requires that such implementation strategies: (1) describe the extent and scope of community and family support services provided to the severely disabled and the extent and scope of services provided to the severely disabled who are institutionalized; (2) set forth the objectives and a five-year strategy for expanding community and family support services for the severely disabled; (3) include certain procedures for transferring severely disabled, institutionalized individuals to family homes, foster family homes, or community living facilities; (4) set forth standards for the provision of community and family support services and a program for licensing and certifying all facilities and programs providing such services; (5) provide for assessments of the provision and affect of community and family support services and the correction of service deficiencies; (6) provide the public with an adequate opportunity to comment on the strategies; (7) set forth methods ensuring that the personnel providing community and family support services receive adequate training and are competent to provide such services; (8) provide that the State has in effect a management information system capable of collecting, storing, and retrieving data on the severely disabled who receive community and family support services; (9) provide an opportunity for an appeal and hearing before a hearing officer to individuals who believe themselves to be inappropriately served or denied an appropriate service, or who are being scheduled for an involuntary transfer from one living arrangement to another; (10) describe the methods to be used in administering community and family support services; and (11) set forth procedures to protect the interests of public employees who will be affected by the transfer of the severely disabled from public institutions. Allows States to provide any new community and family support service for up to three years without meeting the Medicaid requirements that it provide a service on a statewide basis and that the service be comparable in all parts of the State. Requires that intermediate care facility services for the mentally retarded include the ascertainment of the individual needs of each newly admitted individual by an interdisciplinary team within 30 days and the development of a written habilitation plan for each individual. Limits Medicaid payments to States for skilled nursing and intermediate care facility services furnished to individuals under age 65 who became disabled before age 22 to the amount payable for such services in the fiscal year ending after the enactment of this Act, increased if and by the extent to which the percentage increase in the consumer price index exceeds six percent. Makes such limitation inapplicable to facilities which have less than 16 beds or meet the size and location requirements for a community living facility. Requires States to have in effect a system to protect and advocate those rights of the severely disabled who are eligible for medical assistance which relate to the provision of such assistance. Provides Federal Medicaid matching funds for such system. Gives individuals who are adversely affected by a violation of this Act's requirements the right to bring an action to enjoin such violation. Allows States to set payment rates for community and family support services for the severely disabled. Authorizes States to treat severely disabled individuals under age 19 who are not in a medical institution as receiving benefits under title XVI (Supplemental Security Income) (SSI) of the Act for Medicaid eligibility purposes if they would be eligible for SSI benefits if institutionalized. Requires States to establish a uniform income standard for the severely disabled regardless of whether or not they are in a medical institution. Authorizes States to provide Medicaid coverage of disabled spouses and children who, except for the resources deemed to them, would be eligible for SSI benefits. Removes certain limitations on the Secretary's approval of reduction and correction plans for deficient intermediate care facilities for the mentally retarded. Makes individuals who are severely disabled and receiving or deemed to be receiving SSI benefits eligible for Medicaid as long as such qualifications continue to be satisfied. Directs the Secretary to establish, within the Health Care Financing Administration, a Bureau of Developmental Disabilities Services responsible for administering Medicaid programs for the severely disabled. Requires the Secretary to: (1) develop standards and a program for training Federal and State personnel who perform surveys of skilled nursing and intermediate care facilities to determine whether such facilities meet Medicaid participation requirements; and (2) periodically conduct studies of the reliability of such surveys and make the changes necessary to improve such reliability. Directs the Secretary to support the development of: (1) instruments to assess outcomes in the provision of this Act's services; and (2) competency-based personnel standards for agencies and organizations providing services to the severely disabled pursuant to this Act. Requires the Secretary to: (1) conduct an annual assessment of each State's compliance with this Act's requirements; and (2) issue final regulations regarding this Act's amendments prior to the first fiscal year beginning after this Act's enactment. Sets forth reporting requirements.

Bill· SS. 1663 (100th)open

Child Abuse Prevention and Treatment Act Reauthorization of 1987

United States · United States Congress · 7 August 1987

Child Abuse Prevention and Treatment Act Reauthorization of 1987 - Title I: National Center on Child Abuse and Neglect - Amends the Child Abuse Prevention and Treatment Act (the Act) to authorize appropriations for FY 1988 through 1991. Requires that the National Center on Child Abuse and Neglect be headed by a Director with experience in child abuse and neglect, and be appointed by the Secretary of Health and Human Services. Directs the Secretary to require that professional staff of the Center have experience relating to child abuse and neglect. Requires that the Advisory Board on Child Abuse and Neglect include not less than 15 members or any greater number necessary to represent a majority from the general public who are individuals knowledgeable in child abuse prevention, treatment, or research, including the fields of social services, law (including the judiciary) and medicine, or who are representatives of adolescents, parent self-help organizations, and voluntary organizations. Makes the Advisory Board responsible for advising and consulting with the Director on proposed research studies and long-range planning for the Center. Directs the Secretary, through the Center and as part of research activities, to establish a national data collection and analysis program with respect to State child abuse and neglect reports. Requires the program to include: (1) standardized data on false, unfounded, or unsubstantiated reports; and (2) information on the number of deaths due to child abuse and neglect. Requires the Director to submit an annual summary and analysis of the data collected to the appropriate congressional committees. Directs the Secretary to ensure that a majority share of assistance for discretionary research and demonstration grants under the Act be available for activities related to the prevention of child abuse and neglect. Permits up to five-year (currently three-year) grants for model training materials. Requires the Secretary to ensure that a portion of assistance is available for national resource centers addressing issues of child abuse and neglect. Provides, under specified conditions, for extensions of waivers of requirements for grants to States for demonstration or service programs and projects. Requires the Director to conduct a study of: (1) how individual legal representation of children in cases of child abuse or neglect has been provided in each State; and (2) the effectiveness of legal representation of children in cases of abuse or neglect through the use of guardian-ad-litem and court appointed special advocates. Requires the Director, within two years after the date of enactment of this Act, to report on such study, with recommendations, to the appropriate congressional committees. Eliminates provisions for discretionary grants or contracts with public agencies or nonprofit private organizations for centers for child abuse prevention and treatment. Establishes a mandatory grant for such purposes. Requires the Secretary to provide, directly or through grants or contracts with public or private nonprofit organizations, for the establishment and maintenance of resource centers: (1) serving defined geographic areas; (2) staffed by multidisciplinary teams of personnel trained in the prevention, identification, and treatment of child abuse and neglect; and (3) providing advice and consultation to individuals, agencies, and organizations which request such services. Limits the amount of funds which may be used for such purposes. Requires the Director to conduct a study of: (1) the incidence of child abuse among children with handicaps and the relationship between child abuse and children's handicapping conditions; and (2) the incidence of children who have developed handicapping conditions as a result of child abuse or neglect. Requires the Director, within two years after the date of enactment of this Act, to report on such study, with recommendations, to the appropriate congressional committees. Provides for grants and contracts for interagency demonstration training programs, including programs for treating and preventing abuse of children with handicaps. Provides for grants and contracts for innovative programs and projects relating to alcohol-related child abuse, home health visitor programs, and a national parent self-help program. Directs the Secretary to establish demonstration priorities for making grants or contracts for model training materials. Establishes a National Commission on Child and Youth Deaths. Directs the Commission to study and evaluate comprehensively Federal, State, and local public and private resources which affect child and youth deaths. Directs the Commission to make recommendations with respect to: (1) a national policy designed to reduce and prevent child and youth deaths, including more accurate reporting systems and appropriate roles for the Federal Government, States, and local governments and the private sector; (2) changes needed within Federal laws and programs to achieve an effective Federal role in preventing such deaths; and (3) changes needed to improve national data collection with respect to deaths. Directs the Commission, within 12 months after the date of enactment of this Act, to report to the President and the appropriate congressional committees on information gathered, evaluations, and recommendations. Authorizes appropriations. Terminates the Commission 90 days after the date on which it transmits its report. Title II: Adoption Opportunities - Amends the Child Abuse Prevention and Treatment and Adoption Reform Act of 1978 to direct the Secretary of Health and Human Services to provide, directly or by grants or contracts, for programs aimed at increasing the number of minority children placed in adoptive families, with a special emphasis on recruitment of and placement with minority families. Directs the Secretary to provide, directly or by grants or contracts, for post-legal adoption services for families who have adopted special needs children. Authorizes appropriations for FY 1988 through 1991. Authorizes appropriations for such period for the minority placement and post-legal adoption services programs. Title III: Family Violence Prevention and Services Act, Reauthorization - Amends the Family Violence Prevention and Services Act to remove a three-year limit on grants for shelters. Authorizes appropriations for FY 1988 through 1991.

Bill· SS. 1629 (100th)open

Indoor Air Quality Act of 1988

United States · United States Congress · 7 August 1987

Indoor Air Quality Act of 1987 - Directs the Administrator of the Environmental Protection Agency to establish a national research, development, and demonstration program to assure the quality of indoor air, including coordinating and accelerating efforts related to the causes, detection, and correction of contaminated air. Requires such program to include information collection and dissemination, cooperative research, grants, studies, development of techniques, facility construction, and conferences. Requires that research focus on human health effects and the identification of types and levels of contaminants likely to cause harm, including the development of methodology and techniques for detection and control. Authorizes the Administrator to assist technology demonstration activities based on a technology's potential to cost effectively control sources of contaminants which pose the greatest risk. Limits Federal funding to 75 percent of costs. Directs the Administrator to report to the Congress by the start of FY 1989 on activities conducted under this Act. Directs the Administrator to publish and biennially revise a list of contaminants known to occur in indoor air. Provides for additions to such list upon application of a State Governor. Requires the Administrator to publish advisory materials addressing the human health effects of listed contaminants which describe the properties, effects, risks, and concentrations of such contaminants. Directs the Indoor Air Panel of the EPA Science Advisory Board to assist in the listing and advisories. Requires that advisories be updated every five years. Directs the Administrator to develop and publish a national indoor air quality response plan to meet applicable clean air standards, including the dissemination of information and education and the provision of technical assistance. Requires the response plan to identify the contaminant, the basis for the action, the nature of the response, the responsible Federal authority, and the necessary financial resources. Requires such plan to include a specific response plan for Federal buildings which lists buildings and the reduction and response actions to be taken, and identifies those buildings likely to exceed applicable standards. Exempts specified buildings for national security, demolition, or special use purposes. Requires response plans to be submitted to the Congress on a biennial basis. Authorizes grants to States for the development of management strategies and indoor air quality assessment and response programs similar to those of the Federal program. Directs the Administrator to establish the Office of Indoor Air Quality within EPA's Office of Air and Radiation to implement agency responsibilities of this Act. Directs the President to establish a National Indoor Air Quality Council within the Executive Office to coordinate Federal activities and advise the President. Requires that the Council report to the Congress on a biennial basis. Directs the Administrator to conduct an indoor air contaminant reduction demonstration program in new Federal buildings, including the development of design, purchasing, and management guidelines. Requires the Administrator to establish a national indoor air quality clearinghouse. Authorizes appropriations for FY 1988 through 1992.

Bill· SJRESS.J.Res. 184 (100th)passed

A joint resolution designating October 15, 1987, as "National Safety Belt Use Day".

United States · United States Congress · 7 August 1987

Designates October 15, 1987, as National Safety Belt Use Day. Authorizes and requests the President to issue a proclamation calling on the people to wear safety belts and have their children use child safety seats, and encouraging public safety and law enforcement agencies to promote these devices.

Bill· SS. 1600 (100th)open

Federal Aviation Administration Independent Establishment Act of 1988

United States · United States Congress · 6 August 1987

Federal Aviation Administration Independent Establishment Act of 1987 - Establishes the Federal Aviation Administration as an independent Federal agency to succeed the Federal Aviation Administration of the Department of Transportation. Transfers to such independent agency all functions vested in the Federal Aviation Administration currently in the Department of Transportation, and all functions vested in such Department which are administered through the Federal Aviation Administration or are related to it. Authorizes appropriations.

Bill· SS. 1586 (100th)open

Technology To Educate Children With Handicaps Act

United States · United States Congress · 3 August 1987

Technology to Educate Children With Handicaps Act - Amends the Education of the Handicapped Act to add provisions for assistive device resource centers. Directs the Secretary of Education to make grants to States to pay the Federal share of the cost of establishing assistive device resources centers. Directs the Secretary to make State allotments based on the number of handicapped children. Sets forth a minimum State allotment. Requires that each center serve: (1) severely handicapped infants and toddlers; (2) severely handicapped children and youth; and (3) severely handicapped individuals who have attained 21 years of age if the State plan prescribes a targeted population of such individuals. Requires each center to: (1) train and assist specialists in local educational agencies and nonprofit community organizations to evaluate a handicapped student's potential to benefit from assistive devices; (2) instruct teachers, therapists, paraprofessionals, parents, and handicapped students in the appropriate use of assistive devices; (3) provide follow-up services and collect data to determine the effectiveness of the services provided; (4) develop a statewide service delivery system for severely handicapped children; (5) be able to assist in the development of assistive devices to meet the needs of handicapped individuals; (6) disseminate information to local educational agencies and nonprofit community organizations; and (7) provide in-service training to specialists, teachers, parents, and others on the benefits of assistive devices to promote improved educational performance and increased interaction between handicapped and nonhandicapped individuals. Requires each State to assure priority of services for handicapped children from birth through age 21. States that nothing in this Act precludes the provision of center services to handicapped individuals who are no longer eligible for services under the Education of the Handicapped Act. Requires each center to establish an Advisory Committee. Prohibits Federal funds from being used for the operations of such Committee. Sets forth required contents of State allotment applications. Allows any public agency or private nonprofit organization or institution to apply to a State for a grant to establish a center. Makes the Federal share of the cost 70 percent in FY 1988, 65 percent in FY 1989, and 60 percent in FY 1990. Authorizes appropriations to carry out this Act.

Bill· SS. 1587 (100th)reported

1988 Olympic Commemorative Coin Act

United States · United States Congress · 3 August 1987

1988 Olympic Commemorative Coin Act - Directs the Secretary of the Treasury to issue a specified number of gold and silver coins emblematic of the participation of American athletes in the 1988 Olympic Games. Sets forth certain features of the coins and provides for their sale and issuance. Requires all sales to include specified surcharges. Requires all surcharges to be paid to the United States Olympic Committee. Terminates the minting of the coins on December 31, 1988.

Bill· SS. 1585 (100th)open

Even Start Act

United States · United States Congress · 3 August 1987

Even Start Act - Amends the Education Consolidation and Improvement Act of 1981 (ECIA) to add a new Chapter 3: Even Start Programs. Provides for grants to integrate early childhood education and adult education for parents into a unified program. Allocates program grants to States in the same proportion as under the allocation of ECIA chapter 1 (Financial Assistance to Meet the Special Educational Needs of Disadvantaged Children) funds. Sets a maximum and minimum for such State allotments. Requires that funds made available to local educational agencies (LEAs) under this Act be used to pay the Federal share of the cost of providing family-centered education programs to help parents to become full partners in the education of their children and assist children to reach their full potential as learners. Sets forth program elements. Limits the Federal share to 80 percent of program costs in the first year, 60 percent in the second, 40 percent in the third, and 20 percent in the fourth and any subsequent year. Allows the non-Federal share to be obtained from any available source, including Federal, State, and local programs. Makes eligible for participation in this program families that include: (1) a parent who is eligible for participation in an adult basic education program under the Adult Education Act; and (2) a child aged one to seven, inclusive, who resides in a school attendance area designated for participation in chapter 1 programs. Set forth LEA application requirements. Requires each State educational agency to award grants on the basis of proposals which meet specified criteria. Provides that grants may be awarded for up to four years. Requires the Secretary to: (1) provide for the annual independent evaluation of programs under this part; and (2) submit to the Congress an annual review and summary of the results of such evaluations. Authorizes appropriations for FY 1988 through 1993 to carry out this Act.

Bill· SS. 1575 (100th)open

AIDS Federal Policy Act of 1987

United States · United States Congress · 31 July 1987

AIDS Federal Policy Act of 1987 - Amends the Public Health Service Act to create a new title on acquired immune deficiency syndrome (AIDS). Authorizes the Secretary of Health and Human Services, acting through the Director of the Centers for Disease Control, to make grants for counseling and testing regarding the etiologic agent for AIDS. Specifies eligibility requirements for grants. Directs the Secretary, in making the grants, to give preference to applicants who will provide the counseling and testing in any geographic area with a significant incidence of AIDS. Prohibits the Secretary from making a grant unless the applicant submits an application containing agreements in accordance with specified provisions of this Act. Prohibits the Secretary from making a grant unless the applicant agrees to: (1) ensure the confidentiality of information and records; (2) test individuals only after obtaining informed consent; (3) provide counseling regarding certain matters before testing any individual; (4) provide counseling both for individuals testing negative and for individuals testing positive; (5) offer, to the extent permitted under State law, opportunities for an individual to undergo counseling and testing without the individual being required either to provide information regarding the individual's identity or using a pseudonym; (6) not require the individual to undergo testing as a condition of receiving health services, unless the testing is medically necessary in the provision of the health services; (7) use funds from the grant to significantly increase the availability of counseling and testing above the level previously provided by the applicant; (8) provide the counseling and testing without regard to the ability of the individual to pay charges imposed by the applicant, if any; (9) establish fiscal control and fund accounting regarding the grant; and (10) expend not more than ten percent of the amounts received for administering the grant. Authorizes the Secretary, on request of a grantee, to provide supplies and services in lieu of grant funds. Authorizes appropriations for FY 1988 through 1990. Prohibits, except as provided in this Act, disclosure of identifying information with respect to a protected individual or a contact of such individual. Describes persons subject to such prohibition. Provides for civil and criminal penalties for violation of the prohibition, and for injunctive relief. Authorizes disclosure of identifying information regarding a protected individual and a contact of the individual with consent of the protected individual. Authorizes certain persons subject to prohibition of disclosure to disclose identifying information without consent of the protected individual, in certain circumstances and for certain purposes, to: (1) health care professionals and providers; (2) the protected individual; (3) State public health officers; (4) medical facilities receiving blood, semen, breast milk, or an organ from the individual; and (5) others, as medically necessary. Authorizes redisclosure by recipients of information disclosed under the same terms and conditions as the original disclosure. Authorizes a court of competent jurisdiction to order disclosure of identifying information if the court determines, after due process, that the disclosure is necessary to prevent a clear and imminent danger of transmission of the etiologic agent for AIDS. Provides for confidentiality of court records. Authorizes physicians or professional counselors to disclose identifying information with respect to a protected individual to the individual's spouse or sexual partner, if the physician or counselor believes the disclosure is medically appropriate and that the protected individual will not inform the spouse of sexual contact with regard to the identifying information involved. Requires any person who discloses identifying information permitted by this Act, subject to exception, to: (1) accompany disclosure with a statement declaring that subsequent disclosure of the information may be prohibited by law; and (2) notify a living protected individual of the disclosure. Prohibits discrimination against an otherwise qualified individual, solely by reason of the fact that the individual is, or is regarded as being, infected with the etiologic agent for AIDS: (1) in employment, housing, public accommodations, or governmental services; and (2) in the provision of benefits under any program or activity that receives or benefits from Federal financial assistance. Provides guidelines for the construction of the term "otherwise qualified individual." Provides for civil penalties for violation of the prohibition against discrimination, and for injunctive relief. States that the prohibition of discrimination shall not be construed to prohibit life or health insurance organizations from requiring applicants for insurance to undergo testing for the purpose of determining whether the applicant is infected with such etiologic agent.

Bill· SS. 1567 (100th)reported

Regulatory Fairness Act

United States · United States Congress · 30 July 1987

Regulatory Fairness Act - Amends the Federal Power Act to direct the Federal Energy Regulatory Commission to order a public utility to refund those amounts determined by the Commission to be in excess of just and reasonable rates or charges.

Bill· SS. 1572 (100th)open

National Education Savings Trust Act of 1987

United States · United States Congress · 30 July 1987

National Education Savings Trust Act of 1987 - Title I: Establishment of National Education Savings Trust - Establishes the National Education Savings Trust. Creates a Board of Trustees including the Secretaries of Education and of the Treasury, ex officio, and representatives of postsecondary education institutions and of the general public, to be appointed by the President with the advice and consent of the Senate. Creates under the jurisdiction and control of the Board an Advance Tuition Payment Fund. Sets forth the general duties of the Board, including paying money directly to postsecondary institutions. Directs the Secretary of the Treasury, as Managing Trustee, to invest portions of Fund moneys in interest-bearing obligations of the United States or in federally-guaranteed obligations. Sets forth restrictions on uses of the Fund. Requires the Board to make annual reports to the Congress. Allows a purchaser to enter into an agreement with the Trust for the purchase of an advance tuition payment plan for use by a qualified beneficiary to pay a portion of the tuition and fees required to attend a postsecondary education institution. Sets forth required contents and design of advance tuition payment plan agreements. Directs the Trust to provide that a purchaser may purchase an advance payment tuition plan for an eligible beneficiary at any time following the beneficiary's birth. Sets forth certain restrictions and conditions for termination of agreements and for refunds upon termination. Amends the Higher Education Act of 1965 to provide that not more than 75 percent of any corpus or income under any advance tuition payment agreement from the Trust with respect to which the student is a qualified beneficiary shall be considered as income or resources with respect to any student in determining eligibility for assistance under any program funded under title IV of such Act. Provides that nothing in this Act shall be construed to permit a postsecondary education institution to request information concerning an advance tuition payment plan agreement with the Trust unless such information relates to eligibility for Federal financial assistance under title IV of the Higher Education Act of 1965 or some other Federal law. Provides that nothing in this Act shall be construed to permit any postsecondary education institution to charge any differential in the cost of attendance at such institution for qualified beneficiaries of such a plan agreement. Authorizes appropriations for a period not to exceed seven fiscal years after the date of enactment of this Act. Directs the Board to notify the Congress whenever, prior to the end of such period, it determines that the Trust is self-supporting. Title II: Tax Treatment of Advance Tuition Payment Plan Agreements - Amends the Internal Revenue Code to allow a tax deduction in an amount equal to the applicable percentage of the amount paid in cash by the taxpayer to the Trust under any advance tuition payment plan agreement. Makes the applicable percentage: (1) 100 percent if the adjusted gross income of the taxpayer is not over $25,000; (2) 50 percent if between $25,000 and $60,000; (3) 25 percent if between $60,000 and $100,000; and (4) zero percent if over $100,000. Reduces such dollar amounts by 50 percent in the case of a married individual filing a separate return. Provides for a cost-of-living adjustment for years after 1988. Allows such deduction only if: (1) the taxpayer is the qualified beneficiary under the agreement and is not the dependent of another taxpayer; or (2) the taxpayer is entitled to a specified deduction with respect to the qualified beneficiary under such agreement for the taxable year. Limits maximum deductible payments per beneficiary to $2,000 for any taxable year and $48,000 for all taxable years. Disallows such deduction for the taxable year in which the beneficiary dies or attains age 30 or for any year thereafter. Disallows such deduction to a taxpayer who is a dependent of another taxpayer. Disallows such deduction with respect to a beneficiary who is the taxpayer's spouse, unless the taxpayer is entitled to an exemption for the spouse and files a joint return. Deems payments to an advance tuition payment plan agreement as made for the preceding taxable year if they are made not later than the time prescribed by law for filing the return. Provides that the deduction for payments under advance tuition payment plan agreements is also allowable to taxpayers who do not itemize deductions. Excludes from gross income any amount paid from the Trust to any postsecondary education institution pursuant to any advance tuition payment plan agreement. Includes in the gross income of the person to whom the amount is paid any other amount paid for the Trust which is not described in the preceding sentence. Adds a penalty tax for such refunds from the Trust, except where the beneficiary under the agreement dies (the penalty is equal to 20 percent of gross income, or ten percent of gross income for taxable years ending before the qualified beneficiary attains age 25).

Bill· SS. 1566 (100th)referred

A bill entitled the "Safe Incineration Act of 1987, Title II".

United States · United States Congress · 29 July 1987

Amends the Solid Waste Disposal Act to direct the Administrator of the Environmental Protection Agency to develop and promulgate criteria and testing procedures for identifying municipal incinerator bottom and fly ash controlled by flue gas emissions control equipment which presents a substantial hazard to human health or the environment. Requires such criteria and procedures to determine leaching, total chemical analysis, respirability, and toxicity. Requires owners or operators of each such unit to separately test the bottom and fly ash, if possible. Requires that test results be kept and submitted to the Administrator, or the State if it is administering an authorized program. Directs the Administrator to promulgate and revise treatment standards to reduce the hazards associated with such ash, including the migration of hazardous constituents. Requires permits for new and existing treatment facilities which include management plans describing methods of testing, dispersion prevention methods, employee protection methods, and handling methods. Requires all municipal waste combustion units to comply with this Act. Establishes civil and criminal penalties for noncompliance. Authorizes States to administer and enforce an Administrator-approved program. Authorizes citizen suits for violations of this Act.

Bill· SS. 1565 (100th)referred

Safe Incineration Act of 1987

United States · United States Congress · 29 July 1987

Safe Incineration Act of 1987 - Amends the Clean Air Act to direct the Administrator of the Environmental Protection Agency to promulgate performance standards for emissions of specified air pollutants, including particulate matter, oxides of sulfur, and lead, from new or modified municipal waste incineration units. Requires such standards to reflect the best level of emission limitation achieved in practice by similar units under optimal conditions. Makes specified technologies available, including dry and wet scrubbing, fabric filtration, and source reduction and source separation. Requires initial standards to be promulgated by 1989, in effect by 1990, and reviewed every three years. Establishes specific, minimum requirements for degree of thermal destruction of combustibles, reductions of emissions of certain pollutants, and outlet gas concentrations of certain pollutants. Requires jurisdictions served by the municipal incineration unit to have an enforceable solid waste management plan before a State program may issue a permit for a new or modified unit. Requires such plan to reflect the operation of the new or modified unit. Sets a standard of emissions equivalent to that achieved by the five lowest emitting units should the Administrator fail to promulgate a standard for any of the specified pollutants. Directs the Administrator to promulgate regulations requiring existing units to meet the emissions standards promulgated under this Act according to a timetable which requires compliance at least within six years. Requires the shutdown of units which fail to meet certain outlet gas concentration limitations by specified dates. Requires owners or operators of municipal waste incineration units to monitor emissions at the point such emissions move into the ambient air and at other points as necessary to protect human health and the environment. Requires such owners or operators to pay for a program to detect impacts of the unit on humans or the environment, including the testing for and reporting of significant levels of contaminants. Requires such owners or operators to comply with certain reporting requirements under Superfund. Sets monitoring standards, including continuous and periodic monitoring. Requires the Administrator to establish operating and maintenance requirements for all units. Directs the Administrator to establish a model State program for the training and certification of municipal waste incinerator personnel. Requires operating personnel to pass such training or be certified by an authorized State program. Requires unit permits to be terminated five years after their issuance unless the Administrator or an authorized State certifies such unit's compliance with emissions and other requirements of this Act. Permits States to submit for Administrator approval a State program of enforcement, treating the State as the enforcing entity under this Act. Authorizes the Administrator to withdraw such authority if the State is not adequately enforcing these requirements.

Bill· SS. 1554 (100th)open

Renewable Energy and Energy Efficiency Technology Competitiveness Act of 1988

United States · United States Congress · 28 July 1987

Renewable Energy and Energy Conservation Technology Competitiveness Act of 1987 - Sets forth specified national goals for the current wind, photovoltaics, and solar thermal energy programs. Requires the President's budget requests for FY 1989 to contain the recommendations of the Secretary of Energy for specified Department of Energy research and development programs for 1995, including biofuels energy systems, solar buildings energy systems, ocean energy systems, and geothermal energy. Authorizes appropriations for FY 1988 through 1990 for: (1) the wind energy research program; (2) the photovoltaic energy systems program; (3) the solar thermal energy systems program; (4) the biofuels energy systems program; (5) the solar buildings energy systems program; (6) the ocean energy systems program; and (7) the geothermal program. Mandates that the President's budget requests for FY 1990 include the Secretary's recommendations or proof of concept proposals for certain renewable energy projects. Requires the Secretary to submit an options analysis to the Congress regarding the accelerated commercialization of specified renewable energy technologies. Requires the President's budget requests for FY 1989 and 1990 to include the Secretary's recommendations of amounts to be set aside for energy conservation research and development initiatives. Authorizes appropriations for specified energy conservation research and development programs for FY 1988 through 1990. Directs the Secretary to establish joint research and development ventures in specified energy technologies and to report to the Congress on the implementation of such plans. Directs the Secretary to establish the following advisory bodies: (1) Advisory Committee on Photovoltaic Village Energy Systems; (2) Advisory Committee on Wind Energy Village Energy Systems; (3) Advisory Committee on Solar Thermal Community Total Energy Systems; (4) Advisory Committee on Energy Performance in Factory-Made Housing; (5) Advisory Committee on Advanced District Cooling Technology; (6) Advisory Committee on Integrated Renewable Energy Systems; (7) Advisory Committee on Energy Conservation and Renewable Energy Technology Exports; and (8) Federal Energy Analysis Team. Authorizes appropriations for FY 1988 through 1993 for such joint ventures. Requires the Secretary to evaluate and report to the Congress on the efforts of the Committee on Renewable Energy, Commerce and Trade to promote renewable energy technology exports. Authorizes appropriations for such Committee activities for FY 1988 through 1990. Requires the Secretary to make annual reports to the Congress regarding the research programs and ventures under this Act. Requires each annual submission of the National Energy Policy Plan to be accompanied by a three-year strategic plan for energy technology research, development, and demonstration, including energy conservation and renewable energy technologies.

Law· SS. 1544 (100th)enacted

National Trails System Improvements Act of 1988

United States · United States Congress · 24 July 1987

National Trails System Improvements Act of 1987 - Amends the National Trails System Act to retain to the United States interests in abandoned railroad rights-of-way. Directs the Secretary of the Interior to manage such lands unless they can be incorporated into a conservation system unit or a national forest. Authorizes the Secretary to transfer such lands under the Secretary's management to qualified entities for public recreational purposes. Authorizes the Secretary to sell such lands which are not adjacent to public lands after offering State or local governments an opportunity to purchase such lands. Requires sale proceeds to be deposited in the Trails Fund established in the Treasury to be used for trail maintenance and loans to State or local agencies or other organizations for the acquisition of new trails. Requires the Secretaries of the Interior and the Treasury to report annually to the appropriate congressional committees on such Fund. Authorizes appropriations for FY 1988 through 1992 for administration. Authorizes appropriations for the Fund for FY 1988 and 1989.